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Investments - Summary of Details Investments in Affiliates (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Dec. 31, 2024
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance $ 405,021,000    
Fair Value, Ending Balance 406,423,000   $ 405,021,000
Total dividend income 1,417,000 $ 1,653,000  
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt MAG DS Corp. Aerospace and Defense Interest Rate 9.90% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 04/01/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,382,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,614,000    
Investment, Identifier [Axis]: "Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Project Leopard Holdings, Inc. High Tech Industries Interest Rate 9.64% Reference Rate and Spread SOFR + 5.25% Floor 0.50% Maturity 07/20/29"      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,938,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,680,000    
Investment, Identifier [Axis]: "Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Confluence Technologies, Inc. Services: Business Interest Rate 10.97% Reference Rate and Spread SOFR + 6.50% Floor 0.50% Maturity 07/23/29"      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,369,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 4,000,000    
Investment, Identifier [Axis]: Controlled investments KCAP Freedom 3, LLC Type of Investment Joint Ventures Industry Classification Joint Venture      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 13,015,000 [9],[10],[12] 14,275,000 [13],[14] 14,275,000 [13],[14]
Purchases/ (sales) of or Advances/ (Distributions) (360,000) [9],[10],[12]   (1,976,000) [11],[13],[14]
Net Change in Unrealized Gain/(Loss) (1,274,000) [9],[10],[12]   716,000 [11],[13],[14]
Fair Value, Ending Balance [9],[10],[12] 11,381,000   13,015,000 [11]
Principal 27,220,000 [9],[10],[12]   27,220,000 [11],[13],[14]
Investment, Identifier [Axis]: Controlled investments ProAir Holdco, LLC Type of Investment Common Stock and Membership Units Industry Classification Capital Equipment      
Summary of Investment Holdings [Line Items]      
Principal 2,749,997,000 [9],[10],[15]   2,749,997,000 [11],[13],[16]
Investment, Identifier [Axis]: Controlled investments ProAir, LLC Type of Investment Subordinated Debt Classification Capital Equipment      
Summary of Investment Holdings [Line Items]      
Principal [11],[13]     2,020,000
Investment, Identifier [Axis]: Controlled investments ProAir, LLC Type of Investment Subordinated Debt Industry Classification Capital Equipment      
Summary of Investment Holdings [Line Items]      
Principal [9],[10] 2,020,000    
Investment, Identifier [Axis]: Controlled investments Tank Partners Equipment Holdings, LLC - Class A Units Type of Investment Common Stock and Membership Units Industry Classification Energy: Oil & Gas      
Summary of Investment Holdings [Line Items]      
Net Change in Unrealized Gain/(Loss) [11],[13],[16]     6,228,000
Realized Gain/(Loss) [11],[13],[16]     (6,228,000)
Investment, Identifier [Axis]: Controlled investments Tank Partners Equipment Holdings, LLC Type of Investment Subordinated Debt Industry Classification Energy: Oil & Gas      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11],[13]   43,000 43,000
Net Change in Unrealized Gain/(Loss) [11],[13]     373,000
Realized Gain/(Loss) [11],[13]     (416,000)
Investment, Identifier [Axis]: Investments      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 405,021,000    
Fair Value, Ending Balance 406,423,000 [1],[2],[4],[5],[6],[7],[23]   405,021,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 64,384,000    
Fair Value, Ending Balance 61,523,000 [1],[2],[4],[5],[6],[7],[25]   64,384,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Collateralized Loan Obligations      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 2,192,000    
Fair Value, Ending Balance 1,334,000 [1],[2],[4],[5],[6],[7],[25]   2,192,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Collateralized Loan Obligations JMP Credit Advisors CLO IV LTD CLO Fund Securities Maturity 07/17/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[26],[27],[28] 725,000    
Fair Value, Ending Balance 615,000 [1],[2],[4],[5],[6],[7],[25],[29],[30],[31]   $ 725,000 [17],[18],[19],[20],[21],[22],[24],[26],[27],[28]
Principal [1],[2],[4],[5],[6],[7],[25],[29],[30],[31] 18,407,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[26],[27],[28],[32]     18,407
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Collateralized Loan Obligations JMP Credit Advisors CLO V LTD CLO Fund Securities Maturity 07/17/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[26],[27],[28] 1,467,000    
Fair Value, Ending Balance 719,000 [1],[2],[4],[5],[6],[7],[25],[29],[30],[31]   $ 1,467,000 [17],[18],[19],[20],[21],[22],[24],[26],[27],[28]
Principal [1],[2],[4],[5],[6],[7],[25],[29],[30],[31] 17,074,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[26],[27],[28],[32]     17,074
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Common Stock and Membership Units      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 3,650,000    
Fair Value, Ending Balance 3,521,000 [1],[2],[4],[5],[6],[7],[25]   $ 3,650,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Common Stock and Membership Units GreenPark Infrastructure, LLC - Series M-1 Energy: Electricity      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[33],[34] 2,202,000    
Fair Value, Ending Balance $ 2,196,000 [1],[2],[4],[5],[6],[7],[25],[35],[36]   $ 2,202,000 [17],[18],[19],[20],[21],[22],[24],[33],[34]
Investment in number of units 6,412 [1],[2],[4],[5],[6],[7],[8],[25],[35],[36]   6,412 [17],[18],[19],[20],[21],[22],[24],[32],[33],[34]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Common Stock and Membership Units Kleen-Tech Acquisition, LLC Services: Business      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[37] $ 1,420,000    
Fair Value, Ending Balance $ 1,305,000 [1],[2],[4],[5],[6],[7],[25],[38]   $ 1,420,000 [17],[18],[19],[20],[21],[22],[24],[37]
Investment in number of units 250,000 [1],[2],[4],[5],[6],[7],[8],[25],[38]   250,000 [17],[18],[19],[20],[21],[22],[24],[32],[37]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Common Stock and Membership Units Princeton Medspa Partners, LLC - Warrant Services: Consumer      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[25],[36] $ 20,000    
Investment in number of units [1],[2],[4],[5],[6],[7],[8],[25],[36] 0.03    
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Common Stock and Membership Units Princeton Medspa Partners, LLC – Warrant Services: Consumer      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[34] $ 28,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[24],[34]     $ 28,000
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32],[34]     0.03
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Derivatives Princeton Medspa Partners, LLC Services: Consumer      
Summary of Investment Holdings [Line Items]      
Principal [1],[2],[4],[5],[6],[7],[8],[25],[31],[36] 1,000,000,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[28],[32],[34]     1,000,000
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies First Lien/Senior Secured Debt      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 7,762,000    
Fair Value, Ending Balance 7,711,000 [1],[2],[4],[5],[6],[7],[25]   $ 7,762,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies First Lien/Senior Secured Debt PMP OPCO, LLC (Princeton Medspa Partners, LLC) (Revolver) Services: Consumer Reference Rate and Spread SOFR + 8.50% Floor 2.00% Maturity 05/31/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[33],[39] (10,000)    
Fair Value, Ending Balance (11,000) [1],[2],[4],[5],[6],[7],[25],[35],[40]   (10,000) [17],[18],[19],[20],[21],[22],[24],[33],[39]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies First Lien/Senior Secured Debt PMP OPCO, LLC (Princeton Medspa Partners, LLC) Services: Consumer Interest Rate 12.82% Reference Rate and Spread SOFR + 8.50% Floor 2.00% Maturity 05/31/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[25],[35] 1,518,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[25],[35] 1,675,000    
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies First Lien/Senior Secured Debt PMP OPCO, LLC (Princeton Medspa Partners, LLC) Services: Consumer Interest Rate 12.86% Reference Rate and Spread SOFR + 8.50% Floor 2.00% Maturity 05/31/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[33],[41] 1,529,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[24],[33],[41]     $ 1,529,000
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32],[33],[41]     1,679
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies First Lien/Senior Secured Debt Riddell, Inc. Consumer goods: Durable Interest Rate 10.32% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 03/29/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[25],[35] 6,204,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[25],[35] 6,205,000    
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies First Lien/Senior Secured Debt Riddell, Inc. Consumer goods: Durable Interest Rate 10.48% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 03/29/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[33],[41] 6,243,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[24],[33],[41]     $ 6,243,000
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32],[33],[41]     6,244
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Joint Ventures      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 41,138,000    
Fair Value, Ending Balance 39,110,000 [1],[2],[4],[5],[6],[7],[25]   $ 41,138,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Joint Ventures Series A-Great Lakes Funding II LLC Joint Venture      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[28],[33],[42] 41,138,000    
Fair Value, Ending Balance 39,110,000 [1],[2],[4],[5],[6],[7],[25],[31],[35],[43]   $ 41,138,000 [17],[18],[19],[20],[21],[22],[24],[28],[33],[42]
Principal [1],[2],[4],[5],[6],[7],[8],[31],[35],[43] 40,805,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[28],[32],[33],[42]     41,309
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 5,699,000    
Fair Value, Ending Balance 5,829,000 [1],[2],[4],[5],[6],[7],[25]   $ 5,699,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units BMP Slappey Holdco, LLC Telecommunications      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[25],[38] $ 576,000    
Investment in number of units [1],[2],[4],[5],[6],[7],[8],[25],[38] 200,000    
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units BMP Slappey Holdco, Telecommunications      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[37] $ 557,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[24],[37]     $ 557,000
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32],[37]     200,000
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units BMP Slappey Investment II Telecommunications      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[37] 248,000    
Fair Value, Ending Balance $ 256,000 [1],[2],[4],[5],[6],[7],[25],[38]   $ 248,000 [17],[18],[19],[20],[21],[22],[24],[37]
Investment in number of units 88,946 [1],[2],[4],[5],[6],[7],[8],[25],[38]   88,946 [17],[18],[19],[20],[21],[22],[24],[32],[37]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units EBSC Holdings LLC (Riddell, Inc.) Consumer goods: Durable Interest Rate 10.00% PIK      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[44] $ 2,375,000    
Fair Value, Ending Balance $ 2,538,000 [1],[2],[4],[5],[6],[7],[25],[45]   $ 2,375,000 [17],[18],[19],[20],[21],[22],[24],[44]
Investment in number of units 2,207 [1],[2],[4],[5],[6],[7],[8],[25],[45]   2,154 [17],[18],[19],[20],[21],[22],[24],[32],[44]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units GreenPark Infrastructure, LLC - Series A Energy: Electricity      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] $ 500,000    
Fair Value, Ending Balance $ 500,000 [1],[2],[4],[5],[6],[7],[25],[36]   $ 500,000 [17],[18],[19],[20],[21],[22],[24]
Investment in number of units 1,000 [1],[2],[4],[5],[6],[7],[8],[25],[36]   1,000 [17],[18],[19],[20],[21],[22],[24],[32]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units Northeast Metal Works LLC - Class O Preferred Metals & Mining Interest Rate 10.00% PIK      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[37],[44] $ 1,160,000    
Fair Value, Ending Balance $ 1,160,000 [1],[2],[4],[5],[6],[7],[25],[38],[45]   $ 1,160,000 [17],[18],[19],[20],[21],[22],[24],[37],[44]
Investment in number of units 4,950,000 [1],[2],[4],[5],[6],[7],[8],[25],[38],[45]   4,950,000 [17],[18],[19],[20],[21],[22],[24],[32],[37],[44]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units Northeast Metal Works LLC - Preferred Metals & Mining      
Summary of Investment Holdings [Line Items]      
Investment in number of units [1],[2],[4],[5],[6],[7],[8],[25],[38] 2,368    
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units Northeast Metal Works LLC – Preferred Metals & Mining      
Summary of Investment Holdings [Line Items]      
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32],[37]     2,368
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Preferred Stock and Units Princeton Medspa Partners, LLC Services: Consumer Interest Rate 12.50% PIK      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24],[34],[44] $ 859,000    
Fair Value, Ending Balance $ 799,000 [1],[2],[4],[5],[6],[7],[25],[36],[45]   $ 859,000 [17],[18],[19],[20],[21],[22],[24],[34],[44]
Investment in number of units 1,096 [1],[2],[4],[5],[6],[7],[8],[25],[36],[45]   1,064 [17],[18],[19],[20],[21],[22],[24],[32],[34],[44]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Second Lien/Senior Secured Debt      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] $ 3,943,000    
Fair Value, Ending Balance 4,018,000 [1],[2],[4],[5],[6],[7],[25]   $ 3,943,000 [17],[18],[19],[20],[21],[22],[24]
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Second Lien/Senior Secured Debt Northeast Metal Works LLC Metals & Mining Interest Rate 8.00% Maturity 01/01/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 500,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[24]     $ 500,000
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32]     500
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Second Lien/Senior Secured Debt Northeast Metal Works LLC Metals & Mining Interest Rate 8.00% Maturity 04/05/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[24] 3,443,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[24]     $ 3,443,000
Investment in number of units [17],[18],[19],[20],[21],[22],[24],[32]     4,500
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Second Lien/Senior Secured Debt Northeast Metal Works LLC Metals & Mining Interest Rate 8.00% Maturity 1/1/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[25] 500,000    
Principal [1],[2],[4],[5],[6],[7],[8],[25] 500,000    
Investment, Identifier [Axis]: Investments in Affiliate Portfolio Companies Second Lien/Senior Secured Debt Northeast Metal Works LLC Metals & Mining Interest Rate 8.00% Maturity 4/5/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[25] 3,518,000    
Principal [1],[2],[4],[5],[6],[7],[8],[25] 4,500,000    
Investment, Identifier [Axis]: Investments in Controlled Affiliated Portfolio Companies      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 13,015,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     $ 13,015,000
Investment, Identifier [Axis]: Investments in Controlled Affiliated Portfolio Companies Joint Ventures      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 13,015,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     $ 13,015,000
Investment, Identifier [Axis]: Investments in Controlled Afilliated Portfolio Companies      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[23] $ 11,381,000    
Investment, Identifier [Axis]: Investments in Controlled Afilliated Portfolio Companies Common Stock and Membership Units ProAir HoldCo, LLC Capital Equipment      
Summary of Investment Holdings [Line Items]      
Investment in number of units 2,749,997 [1],[2],[4],[5],[6],[7],[8],[23]   2,749,997 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Controlled Afilliated Portfolio Companies Joint Ventures      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[23] $ 11,381,000    
Investment, Identifier [Axis]: Investments in Controlled Afilliated Portfolio Companies Joint Ventures KCAP Freedom 3 LLC Joint Venture      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[28] 13,015,000    
Fair Value, Ending Balance 11,381,000 [1],[2],[4],[5],[6],[7],[23],[31]   $ 13,015,000 [17],[18],[19],[20],[21],[22],[28]
Principal [1],[2],[4],[5],[6],[7],[8],[23],[31] 27,220,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[28],[32]     27,220
Investment, Identifier [Axis]: Investments in Controlled Afilliated Portfolio Companies Subordinated Debt ProAir, LLC Capital Equipment      
Summary of Investment Holdings [Line Items]      
Investment in number of units [17],[18],[19],[20],[21],[22],[32],[46]     2,020
Investment, Identifier [Axis]: Investments in Controlled Afilliated Portfolio Companies Subordinated Debt ProAir, LLC Capital Equipment Maturity 1/31/23      
Summary of Investment Holdings [Line Items]      
Principal [1],[2],[4],[5],[6],[7],[8],[23],[47] 2,020,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 327,622,000    
Fair Value, Ending Balance 333,519,000 [1],[2],[4],[5],[6],[7]   $ 327,622,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 3,001,000    
Fair Value, Ending Balance 3,305,000 [1],[2],[4],[5],[6],[7]   3,001,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations Catamaran CLO 2014-1 Ltd. CLO Fund Securities Interest Rate 136.55% Maturity 4/20/2030      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[26],[27],[28] 261,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[26],[27],[28]     261,000
Principal [17],[18],[19],[20],[21],[22],[26],[27],[28],[32]     15,161,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations Catamaran CLO 2014-1 Ltd. CLO Fund Securities Interest Rate 415.72% Maturity 04/20/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[29],[30],[31] 797,000    
Principal [1],[2],[4],[5],[6],[7],[8],[29],[30],[31] 15,161,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations Catamaran CLO 2018-1 Ltd CLO Fund Securities Interest Rate 18.85% Maturity 10/27/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[29],[30],[31] 2,476,000    
Principal [1],[2],[4],[5],[6],[7],[8],[29],[30],[31] 10,000,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations Catamaran CLO 2018-1 Ltd. CLO Fund Securities Interest Rate 3.86% Maturity 10/27/2031      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[26],[27],[28] 2,600,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[26],[27],[28]     2,600,000
Principal [17],[18],[19],[20],[21],[22],[26],[27],[28],[32]     10,000,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations Dryden 30 Senior Loan Fund CLO Fund Securities Interest Rate 17.98% Maturity 11/1/2028      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[26],[27],[28] 140,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[26],[27],[28]     140,000
Principal [17],[18],[19],[20],[21],[22],[26],[27],[28],[32]     3,250,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Collateralized Loan Obligations Dryden 30 Senior Loan Fund CLO Fund Securities Interest Rate 5.30% Maturity 11/01/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[29],[30],[31] 32,000    
Principal [1],[2],[4],[5],[6],[7],[8],[29],[30],[31] 3,250,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 8,106,000    
Fair Value, Ending Balance 9,459,000 [1],[2],[4],[5],[6],[7]   8,106,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units AAPC Holdings, LLC Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[34] 444,000    
Fair Value, Ending Balance $ 447,000 [1],[2],[4],[5],[6],[7],[36]   $ 444,000 [17],[18],[19],[20],[21],[22],[34]
Investment in number of units 0.07 [1],[2],[4],[5],[6],[7],[8],[36]   0.07 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units ATP Oil & Gas Corporation Energy: Oil & Gas      
Summary of Investment Holdings [Line Items]      
Investment in number of units 0.1 [1],[2],[4],[5],[6],[7],[8],[48]   0.1 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Advantage Capital Holdings LLC - Class A Units Banking, Finance, Insurance & Real Estate      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[34] $ 842,000    
Fair Value, Ending Balance $ 843,000 [1],[2],[4],[5],[6],[7],[36]   $ 842,000 [17],[18],[19],[20],[21],[22],[34]
Investment in number of units 822 [1],[2],[4],[5],[6],[7],[8],[36]   822 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Anthem Sports & Entertainment Inc. - Class A Warrant Media: Broadcasting & Subscription      
Summary of Investment Holdings [Line Items]      
Investment in number of units 510 [1],[2],[4],[5],[6],[7],[8]   510 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Anthem Sports & Entertainment Inc. - Class B Warrant Media: Broadcasting & Subscription      
Summary of Investment Holdings [Line Items]      
Investment in number of units 88 [1],[2],[4],[5],[6],[7],[8]   88 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Anthem Sports & Entertainment Inc. - Warrant for CS Media: Broadcasting & Subscription      
Summary of Investment Holdings [Line Items]      
Investment in number of units 1,644 [1],[2],[4],[5],[6],[7],[8]   1,644 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Carestream Health Holdings, Inc. Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 130,000    
Fair Value, Ending Balance $ 130,000 [1],[2],[4],[5],[6],[7]   $ 130,000 [17],[18],[19],[20],[21],[22]
Investment in number of units 4,099 [1],[2],[4],[5],[6],[7],[8]   4,099 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Centric Brands, L.P. Machinery (Non-Agrclt/Constr/Electr)      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] $ 2,649,000    
Fair Value, Ending Balance $ 3,949,000 [1],[2],[3],[4],[5],[6],[7]   $ 2,649,000 [17],[18],[19],[20],[21],[22],[41]
Investment in number of units 81,770 [1],[2],[3],[4],[5],[6],[7],[8]   81,770 [17],[18],[19],[20],[21],[22],[32],[41]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units DxTx Pain and Spine LLC Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[34] $ 258,000    
Fair Value, Ending Balance $ 347,000 [1],[2],[4],[5],[6],[7],[36]   $ 258,000 [17],[18],[19],[20],[21],[22],[34]
Investment in number of units 158,166 [1],[2],[4],[5],[6],[7],[8],[36]   158,166 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Everyware Global, Inc. Consumer goods: Durable      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[49] $ 553,000    
Fair Value, Ending Balance $ 553,000 [1],[2],[4],[5],[6],[7],[50]   $ 553,000 [17],[18],[19],[20],[21],[22],[49]
Investment in number of units 1,085,565 [1],[2],[4],[5],[6],[7],[8],[50]   1,085,565 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units FP WRCA Coinvestment Fund VII, Ltd. - Class A Capital Equipment      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[27],[28] $ 967,000    
Fair Value, Ending Balance $ 975,000 [1],[2],[4],[5],[6],[7],[30],[31]   $ 967,000 [17],[18],[19],[20],[21],[22],[27],[28]
Investment in number of units 100 [1],[2],[4],[5],[6],[7],[8],[30],[31]   100 [17],[18],[19],[20],[21],[22],[27],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Fusion Connect, Inc. - Warrant Telecommunications      
Summary of Investment Holdings [Line Items]      
Investment in number of units 811,572 [1],[2],[4],[5],[6],[7],[8]   811,572 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Fusion Connect, Inc. Telecommunications      
Summary of Investment Holdings [Line Items]      
Investment in number of units 14 [1],[2],[3],[4],[5],[6],[7],[8]   14 [17],[18],[19],[20],[21],[22],[32],[41]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units HDC/HW Holdings, LLC High Tech Industries      
Summary of Investment Holdings [Line Items]      
Investment in number of units 148,826 [1],[2],[4],[5],[6],[7],[8]   148,826 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units LB NewHoldCo LLC Hotel, Gaming & Leisure      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] $ 993,000    
Fair Value, Ending Balance $ 993,000 [1],[2],[3],[4],[5],[6],[7]   $ 993,000 [17],[18],[19],[20],[21],[22],[41]
Investment in number of units 96,523 [1],[2],[3],[4],[5],[6],[7],[8]   96,523 [17],[18],[19],[20],[21],[22],[32],[41]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Live Comfortably Inc. Consumer goods: Durable      
Summary of Investment Holdings [Line Items]      
Investment in number of units [1],[2],[3],[4],[5],[6],[7],[8] 2,846    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Morae Global Holdings Inc. - Warrant IT Consulting & Other Services      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 117,000    
Fair Value, Ending Balance $ 118,000 [1],[2],[4],[5],[6],[7]   $ 117,000 [17],[18],[19],[20],[21],[22]
Investment in number of units 1 [1],[2],[4],[5],[6],[7],[8]   1 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Ohene Holdings B.V. - Warrant High Tech Industries      
Summary of Investment Holdings [Line Items]      
Investment in number of units 4 [1],[2],[4],[5],[6],[7],[8],[30],[31]   4 [17],[18],[19],[20],[21],[22],[27],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Roscoe Investors, LLC - Class A Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] $ 423,000    
Investment in number of units [1],[2],[4],[5],[6],[7],[8] 10,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Roscoe Investors,LLC - Class A Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 476,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     $ 476,000
Investment in number of units [17],[18],[19],[20],[21],[22],[32]     10,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units South Street Securities Holdings, Inc - Warrant Banking, Finance, Insurance & Real Estate      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] $ 440,000    
Investment in number of units [1],[2],[4],[5],[6],[7],[8] 3,966    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units South Street securities Holdings,Inc – Warrant Banking, Finance, Insurance & Real Estate      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 449,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     $ 449,000
Investment in number of units [17],[18],[19],[20],[21],[22],[32]     3,966
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Sundance Holdings Group, LLC Retail      
Summary of Investment Holdings [Line Items]      
Investment in number of units 14,603 [1],[2],[4],[5],[6],[7],[8]   14,603 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units VTX Holdings LLC - Series C High Tech Industries      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] $ 13,000    
Investment in number of units 441,252 [1],[2],[4],[5],[6],[7],[8]   441,252 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units Workplace Holdings LLC (Pomeroy Technologies, LLC) High Tech Industries      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 228,000    
Fair Value, Ending Balance $ 228,000 [1],[2],[4],[5],[6],[7]   $ 228,000 [17],[18],[19],[20],[21],[22]
Investment in number of units 950 [1],[2],[4],[5],[6],[7],[8]   950 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Common Stock and Membership Units World Business Lenders, LLC Banking, Finance, Insurance & Real Estate      
Summary of Investment Holdings [Line Items]      
Investment in number of units 49,209 [1],[2],[4],[5],[6],[7],[8],[31]   49,209 [17],[18],[19],[20],[21],[22],[28],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Derivatives      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 220,000    
Fair Value, Ending Balance 232,000 [1],[2],[4],[5],[6],[7]   $ 220,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Derivatives Advantage Capital Holdings LLC Banking, Finance, Insurance & Real Estate      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[28],[34] 220,000    
Fair Value, Ending Balance 232,000 [1],[2],[4],[5],[6],[7],[31],[36]   $ 220,000 [17],[18],[19],[20],[21],[22],[28],[34]
Principal [1],[2],[4],[5],[6],[7],[8],[31],[36] 164,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[28],[32],[34]     164
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Derivatives Epilog Partners LP (Care Connectors Medical Group) Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Principal [1],[2],[4],[5],[6],[7],[8],[31],[36] 1,166,667,000    
Investment in number of units [17],[18],[19],[20],[21],[22],[28],[32],[34]     1,166,667
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Derivatives HDNet Holdco LLC (Anthem) Media: Broadcasting & Subscription      
Summary of Investment Holdings [Line Items]      
Principal [1],[2],[4],[5],[6],[7],[8],[31] 200    
Investment in number of units [17],[18],[19],[20],[21],[22],[28],[32]     0.2
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 282,195,000    
Fair Value, Ending Balance 286,668,000 [1],[2],[4],[5],[6],[7]   $ 282,195,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt AIDC IntermediateCo 2, LLC (Peak Technologies) Services: Business Interest Rate 9.59% Reference Rate and Spread SOFR + 5.25% Floor 1.00% Maturity 07/22/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 979,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     979,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     980,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt AIDC IntermediateCo 2, LLC (Peak Technologies) Services: Business Interest Rate 9.82% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 07/22/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 966,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 978,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt AMCP Pet Holdings, Inc. (Revolver) Beverage, Food and Tobacco Interest Rate 11.45% Reference Rate and Spread SOFR + 7.00% 3.00% PIK Floor 1.00% Maturity 10/06/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 999,000    
Principal [1],[2],[4],[5],[6],[7],[8] 1,017,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt AMCP Pet Holdings, Inc. (Revolver) Beverage, Food and Tobacco Interest Rate 11.80% Reference Rate and Spread SOFR + 7.00% 3.00% PIK Floor 1.00% Maturity 10/06/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 994,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     994,000
Principal [17],[18],[19],[20],[21],[22],[32]     1,012,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt AMCP Pet Holdings, Inc. Beverage, Food and Tobacco Interest Rate 11.44% Reference Rate and Spread SOFR + 7.00%, 3.00% PIK Floor 1.00% Maturity 10/06/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,800,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 4,887,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt AMCP Pet Holdings, Inc. Beverage, Food and Tobacco Interest Rate 11.74% Reference Rate and Spread SOFR + 7.00%, 3.00% PIK Floor 1.00% Maturity 10/06/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 4,785,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     4,785,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     4,875,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Accordion Partners LLC (Revolver) Reference Rate and Spread SOFR + 5.25% Floor 0.75% Maturity 11/17/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[39] (8,000)    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[39]     (8,000)
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Accordion Partners LLC Finance Interest Rate 9.55% Reference Rate and Spread SOFR + 5.25% Floor 0.75% Maturity 11/17/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 4,610,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 4,610,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Accordion Partners LLC Finance Interest Rate 9.58% Reference Rate and Spread SOFR + 5.25% Floor 0.75% Maturity 11/17/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 4,436,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     4,436,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     4,464,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Accurate Background, LLC Services: Business Interest Rate 10.56% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 03/26/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,321,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 4,356,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Accurate Background, LLC Services: Business Interest Rate 10.59% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 03/26/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 4,329,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     4,329,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     4,367,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Advantage Capital Holdings LLC Banking, Finance, Insurance & Real Estate Interest Rate 13.00% Reference Rate and Spread 13.00%, 5.00% PIK Maturity 04/14/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 13,649,000    
Fair Value, Ending Balance 14,143,000 [1],[2],[3],[4],[5],[6],[7]   13,649,000 [17],[18],[19],[20],[21],[22],[41]
Principal 15,127,000 [1],[2],[3],[4],[5],[6],[7],[8]   14,754,000 [17],[18],[19],[20],[21],[22],[32],[41]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt American Academy Holdings, LLC Healthcare & Pharmaceuticals Interest Rate 14.19% Reference Rate and Spread SOFR + 9.75%, 5.25% PIK Floor 1.00% Maturity 6/30/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,196,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,968,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt American Academy Holdings, LLC Healthcare & Pharmaceuticals Interest Rate 14.22% Reference Rate and Spread SOFR + 9.75%, 5.25% PIK Floor 1.00% Maturity 6/30/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 3,954,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     3,954,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     3,934,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Ancile Solutions, Inc. High Tech Industries Interest Rate 14.56% Reference Rate and Spread SOFR + 10.00% Floor 1.00% Maturity 6/11/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,969,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,969,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Ancile Solutions, Inc. High Tech Industries Interest Rate 14.62% Reference Rate and Spread SOFR + 10.00% Floor 1.00% Maturity 6/11/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 6,035,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     6,035,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     6,034,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. (Delayed Draw Term Loan) Media: Broadcasting & Subscription Interest Rate 11.58% Reference Rate and Spread SOFR + 7.00%, 11.58% PIK Floor 1.00% Maturity 04/06/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 920,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 920,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. (Revolver 2022) Media: Broadcasting & Subscription Interest Rate 14.09% Reference Rate and Spread SOFR + 9.50%, 11.09% PIK Floor 1.00% Maturity 06/30/24      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 319,000    
Principal [1],[2],[4],[5],[6],[7],[8] 563,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. (Revolver 2022) Media: Broadcasting & Subscription Interest Rate 14.09% Reference Rate and Spread SOFR + 9.50%, 3.00% PIK, Floor 1.00% Maturity 06/30/24      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 353,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     353,000
Principal [17],[18],[19],[20],[21],[22],[32]     563,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. (Revolver) Media: Broadcasting & Subscription Interest Rate 14.06% Reference Rate and Spread SOFR + 9.50%, 11.06% PIK Floor 1.00% Maturity 11/15/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 675,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 1,256,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. (Revolver) Media: Broadcasting & Subscription Interest Rate 14.09% Reference Rate and Spread SOFR + 9.50%, 3.00% PIK, Floor 1.00% Maturity 06/30/24      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 734,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     734,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     1,222,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. Media: Broadcasting & Subscription Interest Rate 13.99% Reference Rate and Spread SOFR + 9.40%, 13.99% PIK Floor 1.00% Maturity 11/15/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 9,668,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     9,668,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     15,070,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Anthem Sports & Entertainment Inc. Media: Broadcasting & Subscription Interest Rate 14.06% Reference Rate and Spread SOFR + 9.50%, 11.06% PIK Floor 1.00% Maturity 11/15/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 8,413,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 14,857,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Appfire Technologies, LLC High Tech Industries Interest Rate 9.30% Reference Rate and Spread SOFR + 5.00% Floor 1.00% Maturity 03/09/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,801,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,817,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Appfire Technologies, LLC High Tech Industries Interest Rate 9.33% Reference Rate and Spread SOFR + 5.00% , Floor 1.00% Maturity 03/09/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 5,817,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     5,817,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     5,832,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt BetaNXT, Inc. (Revolver) Banking, Finance, Insurance & Real Estate Interest Rate 8.80% Reference Rate and Spread SOFR + 4.50% Maturity 07/01/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 1,332,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 1,425,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt BetaNXT, Inc. (Revolver) Banking, Finance, Insurance & Real Estate Interest Rate 8.86% Reference Rate and Spread SOFR + 4.50% Maturity 07/01/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 963,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     963,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     1,014,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt BetaNXT, Inc. Banking, Finance, Insurance & Real Estate Interest Rate 10.05% Reference Rate and Spread SOFR + 5.75% Maturity 07/01/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 11,969,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 12,448,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt BetaNXT, Inc. Banking, Finance, Insurance & Real Estate Interest Rate 10.08% Reference Rate and Spread SOFR + 5.75% Maturity 07/01/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 11,997,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     11,997,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     12,480,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Bradshaw International Parent Corp. (Revolver) Consumer goods: Durable Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 10/21/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[39] (8,000)    
Fair Value, Ending Balance (7,000) [1],[2],[4],[5],[6],[7],[35],[40]   (8,000) [17],[18],[19],[20],[21],[22],[33],[39]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Bradshaw International Parent Corp. Consumer goods: Durable Interest Rate 10.17% Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 10/21/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 486,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 490,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Bradshaw International Parent Corp. Consumer goods: Durable Interest Rate 10.21% Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 10/21/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 487,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     487,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     491,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt C.P. Converters, Inc. Chemicals, Plastics and Rubber Interest Rate 12.06% Reference Rate and Spread SOFR + 7.75%, 12.06% PIK Maturity 12/13/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 10,530,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 11,084,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt C.P. Converters, Inc. Chemicals, Plastics and Rubber Interest Rate 13.16% Reference Rate and Spread SOFR + 8.49%, 1.00% PIK Floor 1.00% Maturity 12/13/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 9,628,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     9,628,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     10,135,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt CB MIDCO, LLC Consumer goods: Durable Interest Rate 10.17% Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 09/27/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,007,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,752,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt CB MIDCO, LLC Consumer goods: Durable Interest Rate 10.21% Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 09/27/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 3,414,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     3,414,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     3,762,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt CCMG Buyer, LLC (Care Connectors Medical Group) Healthcare & Pharmaceuticals Interest Rate 9.82% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 05/08/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,143,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,143,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt CCMG Buyer, LLC (Care Connectors Medical Group) Healthcare & Pharmaceuticals Interest Rate 9.90% Reference Rate and Spread SOFR + 5.50%, Floor 1.00% Maturity 05/08/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 3,151,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     3,151,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     3,151,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Cenexel Clinical Research, Inc. Healthcare & Pharmaceuticals Interest Rate 10.19% Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 11/08/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,753,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,759,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Cenexel Clinical Research, Inc. Healthcare & Pharmaceuticals Interest Rate 10.47% Reference Rate and Spread SOFR + 5.75% Floor 1.00% Maturity 11/08/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 5,765,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     5,765,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     5,773,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Centric Brands Inc. (Term Loan A1) Machinery (Non-Agrclt/Constr/Electr) Interest Rate 10.80% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 02/06/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,115,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,115,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Centric Brands Inc. (Term Loan A1) Machinery (Non-Agrclt/Constr/Electr) Interest Rate 11.03% Reference Rate and Spread SOFR + 6.50%, Floor 1.00% Maturity 02/06/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 3,807,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     3,807,000
Principal [17],[18],[19],[20],[21],[22],[32]     3,807,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Centric Brands Inc. (Term Loan A2) Machinery (Non-Agrclt/Constr/Electr) Interest Rate 12.30% Reference Rate and Spread SOFR + 8.00%, 12.30% PIK Floor 1.00% Maturity 02/06/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 3,574,000    
Principal [1],[2],[4],[5],[6],[7],[8] 3,574,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Centric Brands Inc. (Term Loan A2) Machinery (Non-Agrclt/Constr/Electr) Interest Rate 12.53% Reference Rate and Spread SOFR + 8.00%, 12.53% PIK Floor 1.00% Maturity 02/06/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 3,463,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     3,463,000
Principal [17],[18],[19],[20],[21],[22],[32]     3,463,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Centric Brands Inc. Machinery (Non-Agrclt/Constr/Electr) Interest Rate 10.03% Reference Rate and Spread SOFR + 5.50%, Floor 1.00% Maturity 08/06/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 3,689,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     3,689,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     3,689,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Centric Brands Inc. Machinery (Non-Agrclt/Constr/Electr) Interest Rate 9.80% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 08/06/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,689,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,689,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Colonnade Intermediate, LLC (Revolver) Services: Business Floor 1.00% Maturity 04/27/24      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[46] 494,000    
Fair Value, Ending Balance 491,000 [1],[2],[4],[5],[6],[7],[47]   494,000 [17],[18],[19],[20],[21],[22],[46]
Principal 685,000 [1],[2],[4],[5],[6],[7],[8],[47]   685,000 [17],[18],[19],[20],[21],[22],[32],[46]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Colonnade Intermediate, LLC Services: Business Floor 1.00% Maturity 04/27/24      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[46] 5,164,000    
Fair Value, Ending Balance 5,132,000 [1],[2],[4],[5],[6],[7],[47]   5,164,000 [17],[18],[19],[20],[21],[22],[46]
Principal 7,167,000 [1],[2],[4],[5],[6],[7],[8],[47]   7,167,000 [17],[18],[19],[20],[21],[22],[32],[46]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Datalink, LLC Healthcare & Pharmaceuticals Interest Rate 11.49% Reference Rate and Spread SOFR + 6.75% Floor 1.00% Maturity 11/23/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,218,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     2,218,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,640,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Datalink, LLC Healthcare & Pharmaceuticals Interest Rate 11.69% Reference Rate and Spread SOFR + 7.25% Floor 1.00% Maturity 11/23/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 1,855,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 2,622,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dentive, LLC (Revolver) Healthcare & Pharmaceuticals Interest Rate 11.05% Reference Rate and Spread SOFR + 6.75% Floor 0.75% Maturity 12/23/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 184,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 187,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dentive, LLC (Revolver) Healthcare & Pharmaceuticals Interest Rate 11.08% Reference Rate and Spread SOFR + 6.75% Floor 0.75% Maturity 12/23/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 114,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     114,000
Principal [17],[18],[19],[20],[21],[22],[32]     117,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dentive, LLC Healthcare & Pharmaceuticals Interest Rate 11.05% Reference Rate and Spread SOFR + 6.75% Floor 0.75% Maturity 12/26/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 2,688,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 2,732,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dentive, LLC Healthcare & Pharmaceuticals Interest Rate 11.08% Reference Rate and Spread SOFR + 6.75% Floor 0.75% Maturity 12/26/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 2,696,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     2,696,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     2,740,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dodge Data & Analytics LLC (Second Out) Construction & Building Interest Rate 9.22% Reference Rate and Spread SOFR + 4.75% Floor 0.50% Maturity 02/28/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 775,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 912,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dodge Data & Analytics LLC (Second Out) Construction & Building Interest Rate 9.42% Reference Rate and Spread SOFR + 4.75% Floor 0.50% Maturity 02/28/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 779,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     779,000
Principal [17],[18],[19],[20],[21],[22],[32]     917,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dodge Data & Analytics LLC Construction & Building Interest Rate 10.72% Reference Rate and Spread SOFR + 6.25% Floor 0.50% Maturity 01/31/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 650,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 658,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Dodge Data & Analytics LLC Construction & Building Interest Rate 10.92% Reference Rate and Spread SOFR + 6.25% Floor 0.50% Maturity 01/31/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 651,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     651,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     657,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Florida Food Products, LLC Beverage, Food and Tobacco Interest Rate 9.49% Reference Rate and Spread SOFR + 5.00% Floor 0.75% Maturity 10/18/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,778,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 6,805,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Florida Food Products, LLC Beverage, Food and Tobacco Interest Rate 9.52% Reference Rate and Spread SOFR + 5.00% Floor 0.75% Maturity 10/18/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 5,833,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     5,833,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     6,823,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Fortis Payment Systems, LLC Diversified Financial Services Interest Rate 9.68% Reference Rate and Spread SOFR + 5.25% Floor 1.00% Maturity 02/13/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 3,074,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     3,074,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     3,092,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Franchise Group, Inc. (DIP) Retail Interest Rate 13.44% Reference Rate and Spread SOFR + 9.00% Floor 1.00% Maturity 05/06/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 594,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 595,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Franchise Group, Inc. (DIP) Retail Interest Rate 13.55% Reference Rate and Spread SOFR + 9.00% Floor 1.00% Maturity 05/06/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 582,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     582,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     594,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Franchise Group, Inc. (Roll-up) Retail Interest Rate 9.19% Reference Rate and Spread SOFR + 4.75% Floor 0.75% Maturity 05/06/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 1,171,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 1,164,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Franchise Group, Inc. Retail Interest Rate 10.39% Reference Rate and Spread SOFR + 5.45% Floor 0.75% Maturity 03/10/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 1,783,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     1,783,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     3,003,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Franchise Group, Inc. Retail Interest Rate 9.30% Reference Rate and Spread SOFR + 4.75% Floor 0.75% Maturity 03/10/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 781,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 1,839,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Fulcrum US Holdings, Inc. (Revolver) IT Consulting & Other Services Interest Rate 13.50% Reference Rate and Spread P + 6.00% Maturity 05/20/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 2,000,000    
Principal [1],[2],[4],[5],[6],[7],[8] 2,000,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Global Integrated Flooring Systems Inc. (Revolver) Consumer goods: Durable Interest Rate 12.69% Reference Rate and Spread SOFR + 9.36%, 1.00% PIK Maturity 06/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 29,000    
Principal [1],[2],[4],[5],[6],[7],[8] 51,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Global Integrated Flooring Systems Inc. (Revolver) Consumer goods: Durable Interest Rate 13.72% Reference Rate and Spread SOFR + 9.36%, 1.00% PIK Maturity 6/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 28,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     28,000
Principal [17],[18],[19],[20],[21],[22],[32]     51,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Global Integrated Flooring Systems Inc. Consumer goods: Durable Interest Rate 13.67% Reference Rate and Spread SOFR + 9.36%, 1.00% PIK Maturity 06/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 3,572,000    
Principal [1],[2],[4],[5],[6],[7],[8] 6,301,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Global Integrated Flooring Systems Inc. Consumer goods: Durable Interest Rate 13.96% Reference Rate and Spread SOFR + 9.36%, 1.00% PIK Maturity 6/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 3,479,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     3,479,000
Principal [17],[18],[19],[20],[21],[22],[32]     6,284,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt H-CA II, LLC Banking, Finance, Insurance & Real Estate Interest Rate 16.00% Maturity 09/01/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 1,560,000    
Fair Value, Ending Balance 1,491,000 [1],[2],[4],[5],[6],[7]   1,560,000 [17],[18],[19],[20],[21],[22]
Principal 1,650,000 [1],[2],[4],[5],[6],[7],[8]   1,724,000 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt H.W. Lochner, Inc. Services: Business Interest Rate 10.69% Reference Rate and Spread SOFR + 6.25% Floor 1.00% Maturity 07/02/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 17,474,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 17,475,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt H.W. Lochner, Inc. Services: Business Interest Rate 10.99% Reference Rate and Spread SOFR + 6.25% Floor 1.00% Maturity 07/02/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 14,513,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     14,513,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     14,513,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt HDC/HW Intermediate Holdings, LLC - Term Loan A High Tech Industries Interest Rate 8.75% Reference Rate and Spread SOFR + 3.50%, 2.50% PIK Floor 5.25% Maturity 06/21/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 4,527,000    
Fair Value, Ending Balance 4,463,000 [1],[2],[4],[5],[6],[7]   4,527,000 [17],[18],[19],[20],[21],[22]
Principal 5,597,000 [1],[2],[4],[5],[6],[7],[8]   5,597,000 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt HDC/HW Intermediate Holdings, LLC - Term Loan B High Tech Industries Maturity 06/21/26      
Summary of Investment Holdings [Line Items]      
Principal 3,876,000 [1],[2],[4],[5],[6],[7],[8],[47]   3,876,000 [17],[18],[19],[20],[21],[22],[32],[46]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Help Systems Holdings, Inc. High Tech Industries Interest Rate 8.39% Reference Rate and Spread SOFR + 4.00% Floor 0.75% Maturity 11/19/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 1,789,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 1,949,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Help Systems Holdings, Inc. High Tech Industries Interest Rate 8.69% Reference Rate and Spread SOFR + 4.00% Floor 0.75% Maturity 11/19/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 1,728,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     1,728,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     1,954,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Hollander Intermediate LLC Consumer goods: Durable Interest Rate 13.22% Reference Rate and Spread SOFR + 8.75%, 10.58% PIK Floor 2.00% Maturity 09/19/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 6,235,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     6,235,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     6,330,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt IDC Infusion Services LLC Healthcare & Pharmaceuticals Interest Rate 10.80% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 07/07/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 3,840,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 3,824,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt IDC Infusion Services LLC Healthcare & Pharmaceuticals Interest Rate 10.83% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 07/07/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 3,853,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     3,853,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     3,833,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Ivanti Software, Inc. High Tech Industries Interest Rate 8.82% Reference Rate and Spread SOFR + 4.25% Floor 0.75% Maturity 12/01/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 754,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 975,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Ivanti Software, Inc. High Tech Industries Interest Rate 9.12% Reference Rate and Spread SOFR + 4.25% Floor 0.75% Maturity 12/01/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 678,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     678,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     977,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Keg Logistics LLC (Revolver) Services: Business Interest Rate 10.65% Reference Rate and Spread SOFR + 6.08% Floor 1.00% Maturity 11/23/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 855,000    
Principal [1],[2],[4],[5],[6],[7],[8] 872,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Keg Logistics LLC (Revolver) Services: Business Interest Rate 10.68% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 11/23/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 868,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     868,000
Principal [17],[18],[19],[20],[21],[22],[32]     872,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Keg Logistics LLC Services: Business Interest Rate 10.67% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 11/23/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 11,817,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     11,817,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     11,877,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Keg Logistics LLC Services: Business Interest Rate 11.22% Reference Rate and Spread SOFR + 6.75% Floor 1.00% Maturity 11/23/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 11,615,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 11,846,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Lifescan Global Corporation Healthcare & Pharmaceuticals Interest Rate 10.92% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 12/31/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 1,344,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 2,083,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Lifescan Global Corporation Healthcare & Pharmaceuticals Interest Rate 11.12% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 12/31/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 758,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     758,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,165,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Live Comfortably Inc. Consumer goods: Durable Interest Rate 7.44% Reference Rate and Spread SOFR + 3.00% Floor 2.00% Maturity 09/20/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 6,082,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 6,239,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Luminii LLC (Revolver) Construction & Building Interest Rate 11.94% Reference Rate and Spread SOFR + 7.35% Floor 1.00% Maturity 4/11/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 339,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     339,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     343,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Luminii LLC Construction & Building Interest Rate 11.94% Reference Rate and Spread SOFR + 7.35% Floor 1.00% Maturity 4/11/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 5,827,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     5,827,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     5,873,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt MAG DS Corp. Aerospace and Defense Interest Rate 9.93% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 04/01/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 3,406,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     3,406,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     3,624,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt MSM Acquisitions, Inc Services: Business Interest Rate 10.51% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 12/09/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 8,891,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     8,891,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     9,852,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt MSM Acquisitions, Inc. Services: Business Interest Rate 10.31% Reference Rate and Spread SOFR + 6.00%, 2.50% PIK Floor 1.00% Maturity 12/09/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 8,982,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 9,952,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Money Transfer Acquisition Inc. Finance Interest Rate 12.67% Reference Rate and Spread SOFR + 8.25% Floor 1.00% Maturity 12/14/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 8,343,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 8,520,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Money Transfer Acquisition Inc. Finance Interest Rate 12.71% Reference Rate and Spread SOFR + 8.25% Floor 1.00% Maturity 12/14/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 8,392,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     8,392,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     8,574,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Morae Global Corporation (Revolver) IT Consulting & Other Services Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 10/26/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[39] (3,000)    
Fair Value, Ending Balance (1,000) [1],[2],[4],[5],[6],[7],[35],[40]   (3,000) [17],[18],[19],[20],[21],[22],[33],[39]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Morae Global Corporation IT Consulting & Other Services Interest Rate 12.45% Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 10/26/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 2,105,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 2,120,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Morae Global Corporation IT Consulting & Other Services Interest Rate 12.77% Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 10/26/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,129,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     2,129,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,163,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Neptune Bidco US Inc. - Term Loan A Media: Broadcasting & Subscription Interest Rate 9.14% Reference Rate and Spread SOFR + 4.75% Maturity 10/11/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 2,588,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 3,000,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Neptune Bidco US Inc. Media: Broadcasting & Subscription Interest Rate 9.39% Reference Rate and Spread SOFR + 5.00% Floor 0.50% Maturity 04/11/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 3,854,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 4,456,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Neptune Bidco US Inc. Media: Broadcasting & Subscription Interest Rate 9.76% Reference Rate and Spread SOFR + 5.00% Floor 0.50% Maturity 04/11/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,217,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     2,217,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,463,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Netwrix Corporation (Revolver) High Tech Industries Reference Rate and Spread SOFR + 5.00% Floor 0.75% Maturity 06/09/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[39] (10,000)    
Fair Value, Ending Balance (10,000) [1],[2],[4],[5],[6],[7],[35],[40]   (10,000) [17],[18],[19],[20],[21],[22],[33],[39]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Netwrix Corporation High Tech Industries Interest Rate 9.06% Reference Rate and Spread SOFR + 4.75% Floor 0.75% Maturity 06/09/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,202,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 4,238,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Netwrix Corporation High Tech Industries Interest Rate 9.26% Reference Rate and Spread SOFR + 4.75% Floor 0.75% Maturity 06/09/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 4,212,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     4,212,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     4,248,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Newbury Franklin Industrials, LLC Consumer goods: Durable Interest Rate 11.18% Reference Rate and Spread SOFR + 7.00% Floor 2.00% Maturity 12/11/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 3,878,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 4,003,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Newbury Franklin Industrials, LLC Consumer goods: Durable Interest Rate 11.40% Reference Rate and Spread SOFR + 7.00% Floor 2.00% Maturity 12/11/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 3,898,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     3,898,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     4,013,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt One Stop Mailing LLC Transportation: Consumer Interest Rate 10.69% Reference Rate and Spread SOFR + 6.25% Floor 1.00% Maturity 04/29/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 7,459,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 7,450,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt One Stop Mailing LLC Transportation: Consumer Interest Rate 10.72% Reference Rate and Spread SOFR + 6.25% Floor 1.00% Maturity 04/29/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 7,470,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     7,470,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     7,470,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PMA Parent Holdings LLC (Revolver) Finance Reference Rate and Spread SOFR + 5.25% Floor 0.75% Maturity 01/31/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35],[40] (1,000)    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PMA Parent Holdings LLC (Revolver) Finance Reference Rate and Spread SOFR +5.25% Floor 0.75% Maturity 01/31/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[39] (2,000)    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[39]     (2,000)
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PMA Parent Holdings LLC Finance Interest Rate 9.55% Reference Rate and Spread SOFR + 5.25% Floor 0.75% Maturity 01/31/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 1,382,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 1,401,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PMA Parent Holdings LLC Finance Interest Rate 9.58% Reference Rate and Spread SOFR +5.25% Floor 0.75% Maturity 01/31/31      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 1,379,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     1,379,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     1,401,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PVHC Holding Corp Containers, Packaging and Glass Interest Rate 11.18% Reference Rate and Spread SOFR + 6.75%, 0.75% PIK Floor 2.50% Maturity 02/17/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,702,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     2,702,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,729,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PVHC Holding Corp Containers, Packaging and Glass Interest Rate 11.20% Reference Rate and Spread SOFR + 6.00%, 0.75% PIK Floor 2.50% Maturity 02/17/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 2,703,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 2,728,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PhyNet Dermatology LLC Healthcare & Pharmaceuticals Interest Rate 10.79% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 10/20/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 1,283,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 1,291,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt PhyNet Dermatology LLC Healthcare & Pharmaceuticals Interest Rate 11.12% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 10/20/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 1,279,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     1,279,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     1,294,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Pomeroy Technologies, LLC (Super Senior A) High Tech Industries Interest Rate 6.00% PIK Maturity 11/30/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 1,367,000    
Fair Value, Ending Balance 1,388,000 [1],[2],[4],[5],[6],[7]   1,367,000 [17],[18],[19],[20],[21],[22]
Principal 1,388,000 [1],[2],[4],[5],[6],[7],[8]   1,367,000 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Premier Imaging, LLC Healthcare & Pharmaceuticals Interest Rate 10.56% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 03/31/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 2,564,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 2,913,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Premier Imaging, LLC Healthcare & Pharmaceuticals Interest Rate 10.59% Reference Rate and Spread SOFR + 6.00%, 10.59% PIK Floor 1.00% Maturity 03/31/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,524,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     2,524,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,869,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Project Castle, Inc. Transportation: Cargo Interest Rate 9.76% Reference Rate and Spread SOFR + 5.50% Floor 0.50% Maturity 06/08/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,649,000    
Fair Value, Ending Balance 2,563,000 [1],[2],[3],[4],[5],[6],[7]   2,649,000 [17],[18],[19],[20],[21],[22],[41]
Principal 3,012,000 [1],[2],[3],[4],[5],[6],[7],[8]   3,020,000 [17],[18],[19],[20],[21],[22],[32],[41]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Project Leopard Holdings, Inc. High Tech Industries Interest Rate 9.94% Reference Rate and Spread SOFR + 5.25% Floor 0.50% Maturity 07/20/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 5,126,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     5,126,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     5,695,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Radius Aerospace, Inc. Aerospace and Defense Interest Rate 10.45% Reference Rate and Spread SOFR + 6.00% Floor 1.00% Maturity 03/29/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,475,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,510,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Radius Aerospace, Inc. Aerospace and Defense Interest Rate 10.48% Reference Rate and Spread SOFR + 6.00%, 10.48% PIK Floor 1.00% Maturity 03/29/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 6,026,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     6,026,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     6,066,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Red Range Intermediate Inc. Capital Equipment Interest Rate 12.41% Reference Rate and Spread SOFR + 8.00% Floor 1.00% Maturity 10/01/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35] 324,000    
Principal [1],[2],[4],[5],[6],[7],[8],[35] 324,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Red Range Intermediate Inc. Capital Equipment Interest Rate 12.69% Reference Rate and Spread SOFR + 8.00% Floor 1.00% Maturity 10/01/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 324,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     324,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     324,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Riskonnect Parent LLC Application Software Interest Rate 9.05% Reference Rate and Spread SOFR + 4.75% Floor 0.75% Maturity 12/07/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 1,162,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 1,213,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Riskonnect Parent LLC Application Software Interest Rate 9.48% Reference Rate and Spread SOFR + 5.00% Maturity 12/07/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 1,166,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     1,166,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     1,216,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt STG Distribution, LLC (STG Logistics) (Second Out) Transportation: Cargo Interest Rate 11.92% Reference Rate and Spread SOFR + 7.60%, 6.50% PIK Floor 1.50% Maturity 10/03/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 768,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 1,806,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt STG Distribution, LLC (STG Logistics) (Second Out) Transportation: Cargo Interest Rate 12.12% Reference Rate and Spread SOFR + 7.60%, 6.50% PIK Floor 1.50% Maturity 10/03/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 997,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     997,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     1,777,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt STG Distribution, LLC (STG Logistics) (Third Out) Transportation: Cargo Interest Rate 11.42% Reference Rate and Spread SOFR + 7.10%, 6.00% PIK Floor 1.50% Maturity 10/03/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 173,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 1,352,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt STG Distribution, LLC (STG Logistics) (Third Out) Transportation: Cargo Interest Rate 11.62% Reference Rate and Spread SOFR + 7.10%, 6.50% PIK Floor 1.50% Maturity 10/03/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 136,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     136,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     1,332,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt South Street Securities Holdings, Inc Banking, Finance, Insurance & Real Estate Interest Rate 9.00% Maturity 09/20/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 2,685,000    
Fair Value, Ending Balance 2,705,000 [1],[2],[4],[5],[6],[7]   2,685,000 [17],[18],[19],[20],[21],[22]
Principal 3,150,000 [1],[2],[4],[5],[6],[7],[8]   3,150,000 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Sundance Holdings Group, LLC (Priority PIK Term Loan). Retail Interest Rate 13.96% Reference Rate and Spread SOFR + 9.50%, 9.50% PIK Maturity 06/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 159,000    
Principal [1],[2],[4],[5],[6],[7],[8] 159,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Sundance Holdings Group, LLC Retail Interest Rate 14.23% Reference Rate and Spread SOFR + 9.50%, 1.50% PIK Maturity 06/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 4,488,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     4,488,000
Principal [17],[18],[19],[20],[21],[22],[32]     6,667,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Sundance Holdings Group, LLC Retail Maturity 06/30/25      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[47] 3,905,000    
Principal [1],[2],[4],[5],[6],[7],[8],[47] 6,536,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Symplr Software, Inc Healthcare & Pharmaceuticals Interest Rate 9.19% Reference Rate and Spread SOFR + 4.50% Floor 0.75% Maturity 12/22/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 1,517,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     1,517,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     1,653,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Symplr Software, Inc. Healthcare & Pharmaceuticals Interest Rate 8.89% Reference Rate and Spread SOFR + 4.50% Floor 0.75% Maturity 12/22/27      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 1,438,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 1,649,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Synamedia Americas Holdings, Inc. Interactive Media & Services Interest Rate 10.80% Reference Rate and Spread SOFR + 6.50% Floor 1.00% Maturity 12/05/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 7,078,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 7,110,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Synamedia Americas Holdings, Inc. Interactive Media & Services Interest Rate 12.11% Reference Rate and Spread SOFR + 7.75% Floor 1.00% Maturity 12/05/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 2,559,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     2,559,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     2,610,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt TA/WEG Holdings, LLC Banking, Finance, Insurance & Real Estate Interest Rate 9.30% Reference Rate and Spread SOFR + 5.00% Floor 1.00% Maturity 10/02/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,019,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,019,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt TA/WEG Holdings, LLC Banking, Finance, Insurance & Real Estate Interest Rate 9.55% Reference Rate and Spread SOFR + 5.00% Floor 1.00% Maturity 10/02/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 5,032,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     5,032,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     5,032,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt TLE Holdings, LLC Healthcare, Education and Childcare Interest Rate 9.92% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 06/29/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 6,099,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 6,099,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt TLE Holdings, LLC Healthcare, Education and Childcare Interest Rate 9.96% Reference Rate and Spread SOFR + 5.50% Floor 1.00% Maturity 06/29/26      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[41] 6,115,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[41]     6,115,000
Principal [17],[18],[19],[20],[21],[22],[32],[41]     6,115,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Tactical Air Support, Inc. Aerospace and Defense Interest Rate 12.94% Reference Rate and Spread SOFR + 8.50% Floor 1.00% Maturity 12/22/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 1,938,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 1,950,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Tactical Air Support, Inc. Aerospace and Defense Interest Rate 13.25% Reference Rate and Spread SOFR + 8.50% Floor 1.00% Maturity 12/22/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 1,958,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     1,958,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     1,975,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt Taoglas USA Holdings Inc. High Tech Industries Interest Rate 11.55% Reference Rate and Spread SOFR + 7.25% Floor 1.00% Maturity 02/28/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 1,619,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 1,643,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt VBC Spine Opco LLC (DxTx Pain and Spine LLC) (Revolver) Healthcare & Pharmaceuticals Interest Rate 12.69% Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 06/14/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 255,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     255,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     258,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt VBC Spine Opco LLC (DxTx Pain and Spine LLC) (Revolver) Healthcare & Pharmaceuticals Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 06/14/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[35],[40] (3,000)    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt VBC Spine Opco LLC (DxTx Pain and Spine LLC) Healthcare & Pharmaceuticals Interest Rate 12.45% Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 06/14/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7],[35] 3,986,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8],[35] 4,019,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt VBC Spine Opco LLC (DxTx Pain and Spine LLC) Healthcare & Pharmaceuticals Interest Rate 12.79% Reference Rate and Spread SOFR + 8.00% Floor 2.00% Maturity 06/14/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33] 4,558,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33]     4,558,000
Principal [17],[18],[19],[20],[21],[22],[32],[33]     4,600,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt VTX Intermediate Holdings, Inc. High Tech Industries Interest Rate 11.56% Reference Rate and Spread SOFR + 7.00%, 1.00% PIK Floor 2.00% Maturity 12/12/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 5,091,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,135,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies First Lien/Senior Secured Debt VTX Intermediate Holdings, Inc. High Tech Industries Interest Rate 11.65% Reference Rate and Spread SOFR + 7.00%, 1.00% PIK Floor 2.00% Maturity 12/12/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 5,074,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     5,074,000
Principal [17],[18],[19],[20],[21],[22],[32]     5,122,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 7,307,000    
Fair Value, Ending Balance $ 7,409,000 [1],[2],[4],[5],[6],[7]   $ 7,307,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units 4L Ultimate Topco Corporation Services: Business      
Summary of Investment Holdings [Line Items]      
Investment in number of units 321 [1],[2],[4],[5],[6],[7],[8]   321 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units AAPC Holdings, LLC Healthcare & Pharmaceuticals Interest Rate 18.00% PIK      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[34],[44] $ 243,000    
Fair Value, Ending Balance $ 251,000 [1],[2],[4],[5],[6],[7],[36],[45]   $ 243,000 [17],[18],[19],[20],[21],[22],[34],[44]
Investment in number of units 146,214 [1],[2],[4],[5],[6],[7],[8],[36],[45]   146,214 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units Advantage Capital Holdings LLC Banking, Finance, Insurance & Real Estate Interest Rate 12.50% PIK      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[34],[44] $ 2,795,000    
Fair Value, Ending Balance $ 2,881,000 [1],[2],[4],[5],[6],[7],[36],[45]   $ 2,795,000 [17],[18],[19],[20],[21],[22],[34],[44]
Investment in number of units 2,880,830 [1],[2],[4],[5],[6],[7],[8],[36],[45]   2,794,692 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units Aperture Dodge 18 LLC Banking, Finance, Insurance & Real Estate      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 2,662,000    
Fair Value, Ending Balance $ 2,486,000 [1],[2],[4],[5],[6],[7]   $ 2,662,000 [17],[18],[19],[20],[21],[22]
Investment in number of units 3,077,360 [1],[2],[4],[5],[6],[7],[8]   3,077,360 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units Epilog Partners SPV III, LLC (Care Connectors Medical Group) Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[34] $ 1,283,000    
Fair Value, Ending Balance $ 1,467,000 [1],[2],[4],[5],[6],[7],[35],[36]   $ 1,283,000 [17],[18],[19],[20],[21],[22],[33],[34]
Investment in number of units 1,179,466 [1],[2],[4],[5],[6],[7],[8],[35],[36]   1,173,118 [17],[18],[19],[20],[21],[22],[32],[34]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Preferred Stock and Units Prosper Marketplace Consumer goods: Durable      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[51] $ 324,000    
Fair Value, Ending Balance $ 324,000 [1],[2],[4],[5],[6],[7],[52]   $ 324,000 [17],[18],[19],[20],[21],[22],[51]
Investment in number of units 912,865 [1],[2],[4],[5],[6],[7],[8],[52]   912,865 [17],[18],[19],[20],[21],[22],[32],[51]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] $ 25,053,000    
Fair Value, Ending Balance 24,706,000 [1],[2],[4],[5],[6],[7]   $ 25,053,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt American Academy Holdings, LLC Healthcare & Pharmaceuticals Interest Rate 14.50% PIK Maturity 03/01/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 6,925,000    
Principal [1],[2],[4],[5],[6],[7],[8] 7,057,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt American Academy Holdings, LLC Healthcare & Pharmaceuticals Interest Rate 14.50% PIK Maturity 3/01/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 6,396,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     6,396,000
Principal [17],[18],[19],[20],[21],[22],[32]     6,813,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Confluence Technologies, Inc. Services: Business Interest Rate 10.98% Reference Rate and Spread SOFR + 6.50% Floor 0.50% Maturity 7/23/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 3,301,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     3,301,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     4,000,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Dcert Buyer, Inc. High Tech Industries Interest Rate 11.32% Reference Rate and Spread SOFR + 7.00% Maturity 02/16/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,415,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,400,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Dcert Buyer, Inc. High Tech Industries Interest Rate 11.36% Reference Rate and Spread SOFR + 7.00% Maturity 02/16/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 4,558,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     4,558,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     5,400,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Idera, Inc. High Tech Industries Interest Rate 11.19% Reference Rate and Spread SOFR + 6.75% Floor 0.75% Maturity 02/04/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 1,810,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 2,024,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Idera, Inc. High Tech Industries Interest Rate 11.47% Reference Rate and Spread SOFR + 6.75% Floor 0.75% Maturity 02/04/29      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 1,992,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     1,992,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     2,024,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Ivanti Software, Inc. High Tech Industries Interest Rate 11.82% Reference Rate and Spread SOFR + 7.25% Floor 0.50% Maturity 12/01/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 2,845,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 6,000,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Ivanti Software, Inc. High Tech Industries Interest Rate 12.12% Reference Rate and Spread SOFR + 7.25% Floor 0.50% Maturity 12/01/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[33],[41] 3,458,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[33],[41]     3,458,000
Principal [17],[18],[19],[20],[21],[22],[32],[33],[41]     6,000,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Project Leopard Holdings, Inc. High Tech Industries Interest Rate 12.04% Reference Rate and Spread SOFR + 7.75% Floor 0.50% Maturity 07/20/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[3],[4],[5],[6],[7] 4,487,000    
Principal [1],[2],[3],[4],[5],[6],[7],[8] 5,000,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt Project Leopard Holdings, Inc. High Tech Industries Interest Rate 12.34% Reference Rate and Spread SOFR + 7.75% Floor 0.50% Maturity 07/20/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 4,488,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     4,488,000
Principal [17],[18],[19],[20],[21],[22],[32]     5,000,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Second Lien/Senior Secured Debt VTX Intermediate Holdings, Inc. High Tech Industries Interest Rate 12.50% PIK Floor 2.00% Maturity 12/12/30      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 860,000    
Fair Value, Ending Balance 855,000 [1],[2],[3],[4],[5],[6],[7]   860,000 [17],[18],[19],[20],[21],[22]
Principal 878,000 [1],[2],[4],[5],[6],[7],[8]   878,000 [17],[18],[19],[20],[21],[22],[32]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Subordinated Debt      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 1,740,000    
Fair Value, Ending Balance 1,740,000 [1],[2],[4],[5],[6],[7]   1,740,000 [17],[18],[19],[20],[21],[22]
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Subordinated Debt DeltaDx Limited, LP (Money Transfer Acquisition Inc.) Finance Interest Rate 15.00% PIK Maturity 06/30/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7] 528,000    
Principal [1],[2],[4],[5],[6],[7],[8] 538,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Subordinated Debt DeltaDx Limited, LP (Money Transfer Acquisition Inc.)Finance Interest Rate 15.00% PIK Maturity 06/30/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22] 528,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22]     528,000
Principal [17],[18],[19],[20],[21],[22],[32]     538,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Subordinated Debt Lucky Bucks Holdings LLC Hotel, Gaming & Leisure Maturity 05/29/28      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [17],[18],[19],[20],[21],[22],[46] 1,212,000    
Fair Value, Ending Balance [17],[18],[19],[20],[21],[22],[46]     1,212,000
Principal [17],[18],[19],[20],[21],[22],[32],[46]     6,258,000
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Subordinated Debt Lucky Bucks Holdings LLC Hotel, Gaming & Leisure Maturity 05/29/28"      
Summary of Investment Holdings [Line Items]      
Fair Value, Ending Balance [1],[2],[4],[5],[6],[7],[47] 1,212,000    
Principal [1],[2],[4],[5],[6],[7],[8],[47] 6,258,000    
Investment, Identifier [Axis]: Investments in Non-Control, Non-Affiliate Portfolio Companies Subordinated Debt TRSO II, Inc. Energy: Oil & Gas Maturity 1/24/2025      
Summary of Investment Holdings [Line Items]      
Principal [17],[18],[19],[20],[21],[22],[32],[46]     26,000
Investment, Identifier [Axis]: Non-controlled affiliated investments BMP Slappey Holdco, LLC Type of Investment Preferred Stock and Units Industry Classification Telecommunications      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 557,000 [9],[15],[53] 553,000 [16],[54] 553,000 [16],[54]
Net Change in Unrealized Gain/(Loss) 19,000 [9],[15],[53]   4,000 [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 576,000   557,000 [11]
Principal 200,000,000 [9],[15],[53]   200,000,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments BMP Slappey Investment II Type of Investment Preferred Stock and Units Industry Classification Telecommunications      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 248,000 [9],[15],[53] 246,000 [16],[54] 246,000 [16],[54]
Net Change in Unrealized Gain/(Loss) 8,000 [9],[15],[53]   2,000 [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 256,000   248,000 [11]
Principal 88,946,000 [9],[15],[53]   88,946,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments EBSC Holdings LLC (Riddell, Inc.) Type of Investment Preferred Stock and Units Industry Classification Consumer goods: Durable      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[11],[15],[53] 2,375,000    
Purchases/ (sales) of or Advances/ (Distributions) 53,000 [9],[15],[53]   2,131,000 [11],[16],[54]
Net Change in Unrealized Gain/(Loss) 110,000 [9],[15],[53]   244,000 [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 2,538,000   2,375,000 [11]
Principal 2,207,000 [9],[15],[53]   2,154,000 [11],[16],[54]
Interest and Fee Income 53,000 [9],[15],[53]   154,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments GreenPark Infrastructure, LLC - Series A Type of Investment Preferred Stock and Units Industry Classification Energy: Electricity      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 500,000 [9],[15],[53] 500,000 [16],[54] 500,000 [16],[54]
Fair Value, Ending Balance [9],[15],[53] 500,000   500,000 [11]
Principal 1,000,000 [9],[15],[53]   1,000,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments GreenPark Infrastructure, LLC - Series M-1 Type of Investment Common Stock and Membership Units Industry Classification Energy: Electricity      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 2,202,000 [9],[15],[53] 171,000 [16],[54] 171,000 [16],[54]
Purchases/ (sales) of or Advances/ (Distributions) [11],[16],[54]     2,025,000
Net Change in Unrealized Gain/(Loss) (6,000) [9],[15],[53]   6,000 [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 2,196,000   2,202,000 [11]
Principal 6,412,000 [9],[15],[53]   6,412,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments JMP Credit Advisors CLO IV LTD Type of Investment Collateralized Loan Obligations Industry Classification CLO Fund Securities      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[10],[11],[53] 725,000    
Purchases/ (sales) of or Advances/ (Distributions) (519,000) [9],[10],[53]   (260,000) [11],[13],[54]
Net Accretion [11],[13],[54]     98,000
Transfers In (Out) of Affiliates [11],[13],[54]     683,000
Net Change in Unrealized Gain/(Loss) 409,000 [9],[10],[53]   204,000 [11],[13],[54]
Fair Value, Ending Balance [9],[10],[53] 615,000   725,000 [11]
Principal 18,407,000 [9],[10],[53]   18,407,000 [11],[13],[54]
Interest and Fee Income [11],[13],[54]     98,000
Investment, Identifier [Axis]: Non-controlled affiliated investments JMP Credit Advisors CLO IV LTD Type of Investment Collateralized Loan Obligations Industry Classification CLO Fund Securities One      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[10],[53] 1,467,000    
Purchases/ (sales) of or Advances/ (Distributions) [9],[10],[53] (656,000)    
Realized Gain/(Loss) [9],[10],[53] (92,000)    
Fair Value, Ending Balance [9],[10],[53] 719,000   1,467,000
Principal [9],[10],[53] 17,074,000    
Investment, Identifier [Axis]: Non-controlled affiliated investments JMP Credit Advisors CLO V LTD Type of Investment Collateralized Loan Obligations Industry Classification CLO Fund Securities One      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11],[13],[54] 1,467,000    
Purchases/ (sales) of or Advances/ (Distributions) [11],[13],[54]     (904,000)
Net Accretion [11],[13],[54]     656,000
Transfers In (Out) of Affiliates [11],[13],[54]     3,049,000
Realized Gain/(Loss) [11],[13],[54]     (1,334,000)
Fair Value, Ending Balance [11],[13],[54]     1,467,000
Principal [11],[13],[54]     17,074,000
Interest and Fee Income [11],[13],[54]     656,000
Investment, Identifier [Axis]: Non-controlled affiliated investments Kleen-Tech Acquisition, LLC Type of Investment Common Stock Industry Classification Services: Business      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 1,420,000 [9],[15],[53] 998,000 [16],[54] 998,000 [16],[54]
Net Change in Unrealized Gain/(Loss) (115,000) [9],[15],[53]   422,000 [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 1,305,000   1,420,000 [11]
Principal 250,000,000 [9],[15],[53]   250,000,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments Northeast Metal Works LLC - Class O Preferred Type of Investment Preferred Stock and Units Industry Classification Metals & Mining      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 1,160,000 [9],[15],[53] 4,182,000 [16],[54] 4,182,000 [16],[54]
Purchases/ (sales) of or Advances/ (Distributions) [11],[16],[54]     450,000
Net Change in Unrealized Gain/(Loss) [11],[16],[54]     (3,472,000)
Fair Value, Ending Balance [9],[15],[53] 1,160,000   1,160,000 [11]
Principal 4,950,000,000 [9],[15],[53]   4,950,000,000 [11],[16],[54]
Interest and Fee Income 123,000 [9],[15],[53]   485,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments Northeast Metal Works LLC - Preferred Type of Investment Preferred Stock and Units Industry Classification Metals & Mining      
Summary of Investment Holdings [Line Items]      
Principal 2,368,000 [9],[15],[53]   2,368,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments Northeast Metal Works LLC Type of Investment Second Lien/Senior Secured Debt Industry Classification Metals & Mining      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11],[54] 3,443,000 3,560,000 3,560,000
Net Change in Unrealized Gain/(Loss) [11],[54]     (117,000)
Fair Value, Ending Balance [11],[54]     3,443,000
Principal [11],[54]     4,500,000
Interest and Fee Income [11],[54]     366,000
Investment, Identifier [Axis]: Non-controlled affiliated investments Northeast Metal Works LLC Type of Investment Second Lien/Senior Secured Debt Industry Classification Metals & Mining One      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11],[54] 500,000    
Purchases/ (sales) of or Advances/ (Distributions) [11],[54]     500,000
Fair Value, Ending Balance [11],[54]     500,000
Principal [11],[54]     500,000
Interest and Fee Income [11],[54]     36,000
Investment, Identifier [Axis]: Non-controlled affiliated investments Northeast Metal Works LLC Type of Investment Subordinated Debt Industry Classification Metals & Mining      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[53] 3,443,000    
Net Change in Unrealized Gain/(Loss) [9],[53] (75,000)    
Fair Value, Ending Balance [9],[53] 3,518,000   3,443,000
Principal [9],[53] 4,500,000    
Interest and Fee Income [9],[53] 90,000    
Investment, Identifier [Axis]: Non-controlled affiliated investments Northeast Metal Works LLC Type of Investment Subordinated Debt Industry Classification Metals & Mining One      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[53] 500,000    
Fair Value, Ending Balance [9],[53] 500,000   500,000
Principal [9],[53] 500,000    
Interest and Fee Income [9],[53] 0    
Investment, Identifier [Axis]: Non-controlled affiliated investments PMP OPCO, LLC ((Princeton Medspa Partners, LLC) Type of Investment First Lien/Senior Secured Debt Industry Classification Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[11],[53],[55],[56] 1,529,000    
Purchases/ (sales) of or Advances/ (Distributions) (3,000) [9],[53],[56]   1,635,000 [11],[54],[55]
Net Accretion 1,000 [9],[53],[56]   4,000 [11],[54],[55]
Net Change in Unrealized Gain/(Loss) (9,000) [9],[53],[56]   (110,000) [11],[54],[55]
Fair Value, Ending Balance [9],[53],[56] 1,518,000   1,529,000 [11],[55]
Principal 1,675,000 [9],[53],[56]   1,679,000 [11],[54],[55]
Interest and Fee Income 58,000 [9],[53],[56]   147,000 [11],[54],[55]
Investment, Identifier [Axis]: Non-controlled affiliated investments PMP OPCO, LLC (Princeton Medspa Partners, LLC) (Revolver) Type of Investment First Lien/Senior Secured Debt Industry Classification Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[11],[53],[55],[56] (10,000)    
Purchases/ (sales) of or Advances/ (Distributions) [11],[54],[55]     (4,000)
Net Change in Unrealized Gain/(Loss) (1,000) [9],[53],[56]   (6,000) [11],[54],[55]
Fair Value, Ending Balance [9],[53],[56] (11,000)   (10,000) [11],[55]
Interest and Fee Income [11],[54],[55]     1,000
Investment, Identifier [Axis]: Non-controlled affiliated investments Princeton Medspa Partners, LLC - Put Option Type of Investment Derivatives Industry Classification Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Principal 1,000,000,000 [9],[12],[15],[53]   1,000,000,000 [11],[14],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments Princeton Medspa Partners, LLC - Warrant Type of Investment Common Stock and Membership Units Industry Classification Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[11],[15],[53] 28,000    
Net Change in Unrealized Gain/(Loss) (8,000) [9],[15],[53]   28,000 [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 20,000   28,000 [11]
Principal 0 [9],[15],[53]   0 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments Princeton Medspa Partners, LLC Type of Investment Preferred Stock and Units Industry Classification Healthcare & Pharmaceuticals      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[11],[15],[53] 859,000    
Purchases/ (sales) of or Advances/ (Distributions) 33,000 [9],[15],[53]   1,064,000 [11],[16],[54]
Net Change in Unrealized Gain/(Loss) (93,000) [9],[15],[53]   (205,000) [11],[16],[54]
Fair Value, Ending Balance [9],[15],[53] 799,000   859,000 [11]
Principal 1,096,000 [9],[15],[53]   1,064,000 [11],[16],[54]
Interest and Fee Income 33,000 [9],[15],[53]   76,000 [11],[16],[54]
Investment, Identifier [Axis]: Non-controlled affiliated investments Riddell, Inc. Type of Investment First Lien/Senior Secured Debt Industry Classification Consumer goods: Durable      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [9],[11],[53],[55],[56] 6,243,000    
Purchases/ (sales) of or Advances/ (Distributions) (40,000) [9],[53],[56]   6,127,000 [11],[54],[55]
Net Accretion 6,000 [9],[53],[56]   20,000 [11],[54],[55]
Net Change in Unrealized Gain/(Loss) (5,000) [9],[53],[56]   96,000 [11],[54],[55]
Fair Value, Ending Balance [9],[53],[56] 6,204,000   6,243,000 [11],[55]
Principal 6,205,000 [9],[53],[56]   6,244,000 [11],[54],[55]
Interest and Fee Income 167,000 [9],[53],[56]   554,000 [11],[54],[55]
Investment, Identifier [Axis]: Non-controlled affiliated investments Series A-Great Lakes Funding II LLC Type of Investment Joint Ventures Industry Classification Joint Venture      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11],[55] 41,138,000 [9],[12],[53],[56],[57] 45,012,000 [14],[54],[58] 45,012,000 [14],[54],[58]
Purchases/ (sales) of or Advances/ (Distributions) (504,000) [9],[12],[53],[56],[57]   (2,692,000) [11],[14],[54],[55],[58]
Net Change in Unrealized Gain/(Loss) (1,524,000) [9],[12],[53],[56],[57]   (1,182,000) [11],[14],[54],[55],[58]
Fair Value, Ending Balance [9],[12],[53],[56],[57] 39,110,000   41,138,000 [11],[55]
Principal 40,805,000 [9],[12],[53],[56],[57]   41,309,000 [11],[14],[54],[55],[58]
Total dividend income 1,417,000 [9],[12],[53],[56],[57]   6,576,000 [11],[14],[54],[55],[58]
Investment, Identifier [Axis]: Total controlled investments      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance 13,015,000 [9],[10] 14,318,000 [13] 14,318,000 [13]
Purchases/ (sales) of or Advances/ (Distributions) (360,000) [9],[10]   (1,976,000) [13]
Net Change in Unrealized Gain/(Loss) (1,274,000) [9],[10]   7,317,000 [13]
Realized Gain/(Loss) [13]     (6,644,000)
Fair Value, Ending Balance [9],[10] 11,381,000   13,015,000
Investment, Identifier [Axis]: Total non-controlled affiliated and controlled investments      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 77,399,000 [9] 69,540,000 69,540,000
Purchases/ (sales) of or Advances/ (Distributions) (1,996,000) [9]   8,096,000 [11]
Net Accretion 7,000 [9]   778,000 [11]
Transfers In (Out) of Affiliates [11]     3,732,000
Net Change in Unrealized Gain/(Loss) (2,414,000) [9]   3,231,000 [11]
Realized Gain/(Loss) (92,000) [9]   (7,978,000) [11]
Fair Value, Ending Balance [9] 72,904,000   77,399,000 [11]
Interest and Fee Income 524,000 [9]   2,573,000 [11]
Total dividend income 1,417,000 [9]   6,576,000 [11]
Investment, Identifier [Axis]: Total non-controlled affiliated investments      
Summary of Investment Holdings [Line Items]      
Fair Value, Beginning Balance [11] 64,384,000 [9],[53] $ 55,222,000 [54] 55,222,000 [54]
Purchases/ (sales) of or Advances/ (Distributions) (1,636,000) [9],[53]   10,072,000 [11],[54]
Net Accretion 7,000 [9],[53]   778,000 [11],[54]
Transfers In (Out) of Affiliates [11],[54]     3,732,000
Net Change in Unrealized Gain/(Loss) (1,140,000) [9],[53]   (4,086,000) [11],[54]
Realized Gain/(Loss) (92,000) [9],[53]   (1,334,000) [11],[54]
Fair Value, Ending Balance [9],[53] 61,523,000   64,384,000 [11]
Interest and Fee Income 524,000 [9],[53]   2,573,000 [11],[54]
Total dividend income $ 1,417,000 [9],[53]   $ 6,576,000 [11],[54]
[1] All debt investments are income producing, unless otherwise noted. Equity and warrant investments are non-income producing, unless otherwise noted.
[2] All investments valued using unobservable inputs (Level III), unless otherwise noted.
[3] As of March 31, 2025, this investment is pledged to secure the Company’s debt obligations.
[4] Percentages are based on net assets as of March 31, 2025.
[5] Reflects the fair market value of all investments as of March 31, 2025 as determined in good faith using significant unobservable inputs by the Adviser in its role as “valuation designee” in accordance with Rule 2a-5 under the 1940 Act, pursuant to valuation policies and procedures that have been approved by the Company’s board of directors (the “Board”).
[6] The Company's investments are generally acquired in private transactions exempt from registration under the Securities Act of 1933, as amended (the “Securities Act”) and, therefore, are generally subject to limitations on resale, and may be deemed to be “restricted securities” under the Securities Act of 1933.
[7] The aggregate cost of investments for federal income tax purposes is approximately $464.0 million. The aggregate gross unrealized appreciation is approximately $52.4 million, the aggregate gross unrealized depreciation is approximately $110.1 million, and the net unrealized depreciation is approximately $57.6 million.
[8] Par amount is presented for debt investments, while the number of shares or units owned is presented for equity investments.
[9] All investments valued using unobservable inputs (Level III), unless otherwise noted.
[10] As defined in the 1940 Act, the Company is deemed to be both an “Affiliated Person” and has “Control” of this portfolio company as the Company owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company.
[11] Fair value of this investment was determined using significant unobservable inputs, unless otherwise noted.
[12] Non-qualified asset for purposes of section 55(a) of the Investment Company Act of 1940.
[13] As defined in the 1940 Act, the Company is deemed to be both an “Affiliated Person” and has “Control” of this portfolio company as the Company owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company.
[14] Non-qualified asset for purposes of section 55(a) of the Investment Company Act of 1940.
[15] Number of shares held.
[16] Number of shares held.
[17] All debt investments are income producing, unless otherwise noted. Equity and warrant investments are non-income producing, unless otherwise noted.
[18] All investments valued using unobservable inputs (Level III), unless otherwise noted.
[19] Percentages are based on net assets as of December 31, 2024.
[20] Reflects the fair market value of all investments as of December 31, 2024 as determined in good faith using significant unobservable inputs by the Adviser in its role as “valuation designee” in accordance with Rule 2a-5 under the 1940 Act, pursuant to valuation policies and procedures that have been approved by the Company’s board of directors (the “Board”).
[21] The Company's investments are generally acquired in private transactions exempt from registration under the Securities Act of 1933, as amended (the “Securities Act”) and, therefore, are generally subject to limitations on resale, and may be deemed to be “restricted securities'' under the Securities Act of 1933.
[22] The aggregate cost of investments for federal income tax purposes is approximately $458.4 million. The aggregate gross unrealized appreciation is approximately $50.0 million, the aggregate gross unrealized depreciation is approximately $103.3 million, and the net unrealized depreciation is approximately $53.3 million.
[23] As defined in the 1940 Act, the Company is deemed to be both an “Affiliated Person” and has “Control” of this portfolio company as the Company owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company.
[24] Under the 1940 Act, the Company is deemed to be an “Affiliated Person” of, as defined in the 1940 Act, this portfolio company as the Company owns at least 5% of the portfolio company’s outstanding voting securities or is under common control with such portfolio company.
[25] Under the 1940 Act, the Company is deemed to be an “Affiliated Person” of, as defined in the 1940 Act, this portfolio company as the Company owns at least 5% of the portfolio company’s outstanding voting securities or is under common control with such portfolio company.
[26] CLO Fund Securities are entitled to periodic distributions which are generally equal to the remaining cash flow of the payments made by the underlying fund’s investments less contractual payments to debt holders and fund expenses. The estimated annualized effective yield indicated is based upon a current projection of the amount and timing of these distributions. Such projections are updated on a quarterly basis and the estimated effective yield is adjusted prospectively.
[27] Non-U.S. company or principal place of business outside the U.S.
[28] The investment is treated as a non-qualifying asset under Section 55(a) of the 1940 Act. Under the 1940 Act, we may not acquire any non-qualifying asset unless, at the time the acquisition is made, qualifying assets represent at least 70% of our total assets. As of December 31, 2024, qualifying assets represent 86.6% of the Company's total assets and non-qualifying assets represent 13.4% of the Company's total assets.
[29] CLO Subordinated Investments are entitled to periodic distributions which are generally equal to the remaining cash flow of the payments made by the underlying fund’s investments less contractual payments to debt holders and fund expenses. The estimated annualized effective yield indicated is based upon a current projection of the amount and timing of these distributions. Such projections are updated on a quarterly basis and the estimated effective yield is adjusted prospectively.
[30] Non-U.S. company or principal place of business outside the U.S.
[31] The investment is treated as a non-qualifying asset under Section 55(a) of the 1940 Act. Under the 1940 Act, we may not acquire any non-qualifying asset unless, at the time the acquisition is made, qualifying assets represent at least 70% of our total assets. As of March 31, 2025, qualifying assets represent 87.1% of the Company's total assets and non-qualifying assets represent 12.9% of the Company's total assets.
[32] Par amount is presented for debt investments, while the number of shares or units owned is presented for equity investments.

See accompanying notes to unaudited consolidated financial statements.

[33] Security has an unfunded commitment in addition to the amounts shown in the Consolidated Schedule of Investments. See Note 8 for additional information on the Company’s commitments and contingencies.
[34] This investment is owned by PTMN Sub Holdings LLC, one of the Company’s taxable blocker subsidiaries.
[35] Debt security has an unfunded commitment in addition to the amounts shown in the Consolidated Schedule of Investments. See Note 8 for additional information on the Company’s commitments and contingencies.
[36] This investment is held by PTMN Sub Holdings LLC, one of the Company's taxable blocker subsidiaries.
[37] This investment is owned by HCAP Equity Holdings, LLC, one of the Company’s taxable blocker subsidiaries.
[38] This investment is owned by HCAP Equity Holdings, LLC, one of the Company’s taxable blocker subsidiaries.
[39] The negative cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan.
[40] The negative cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan.
[41] As of December 31, 2024, this investment is pledged to secure the Company’s debt obligations.
[42] The investment is held at the NAV of the underlying fund.
[43] The investment is valued at the NAV of the underlying fund.
[44] The equity investment is income producing, based on rate disclosed.
[45] The equity investment is income producing.
[46] Loan or debt security is on non-accrual status and therefore is considered non-income producing.
[47] Loan or debt security is on non-accrual status and therefore is considered non-income producing.
[48] This investment receives a 5% royalty interest on oil being produced on certain fields. All production payments received are being applied to the cost basis and are considered return of capital.
[49] This investment is held by the Company's wholly-owned subsidiary Garrison Capital Equity Holdings XI LLC.
[50] This investment is held by the Company's wholly-owned subsidiary Garrison Capital Equity Holdings XI LLC.
[51] Held through Garrison Capital Equity Holdings II LLC and net of non-controlling member’s interest of 17.5% pursuant to the Amended and Restated Limited Liability Company Agreement of Garrison Capital Equity Holdings II LLC.
[52] Held through Garrison Capital Equity Holdings II LLC and net of non-controlling member’s interest of 17.5% pursuant to the Amended and Restated Limited Liability Company Agreement of Garrison Capital Equity Holdings II LLC.
[53] Under the 1940 Act, the Company is deemed to be an “Affiliated Person” of, as defined in the 1940 Act, this portfolio company as the Company owns at least 5% of the portfolio company’s outstanding voting securities or is under common control with such portfolio company.
[54] Under the 1940 Act, the Company is deemed to be an “Affiliated Person” of, as defined in the 1940 Act, this portfolio company as the Company owns at least 5% of the portfolio company’s outstanding voting securities or is under common control with such portfolio company.
[55] Security has an unfunded commitment in addition to the amounts shown in consolidated schedule of investments. See Note 8 for additional information on the Company's commitments and contingencies
[56] Security has an unfunded commitment in addition to the amounts shown in the Consolidated Schedule of Investments. See Note 8 for additional information on the Company’s commitments and contingencies.
[57] The investment is valued at the NAV of the underlying fund.
[58] The investment is valued at the NAV of the underlying fund.