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Financial Highlights (Details) - Schedule of Financial Highlights - USD ($)
3 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Sep. 30, 2023
Investment Company, Financial Highlights [Line Items]      
Net Asset Value per share at Beginning of Period $ 70.75 $ 57.49  
Results of Operations:      
Net Investment Income/(Loss) 0.82 0.78  
Net Realized Gain/(Loss) on Investments 0.11 0.01  
Net Unrealized Gain/(Loss) on Investments 1.26 1.09  
Net loss on extinguishment of debt  
Net Increase (Decrease) in Net Assets Resulting from Operations 2.19 1.88  
Capital Share Transactions      
Repurchase of common stock under stock repurchase program 0.2 0.01  
Net Increase (Decrease) Resulting from Capital Share Transactions 0.2 0.01  
Net Asset Value per share at End of Period $ 73.14 $ 59.38  
Net Assets at End of Period (in Dollars) $ 150,700,800 $ 124,692,805  
Shares Outstanding at End of Period (in Shares) 2,060,490 2,099,824 2,073,713
Per share market value at end of period $ 42.25 $ 31.05  
Total return based on market value [1] 11.48% (10.98%)  
Total return based on net asset value [2] 2.65% 3.18%  
Portfolio turnover rate 6.80% 3.75%  
Ratio of net investment/(loss) income to average net assets after waivers, discounts and reimbursements [3] 4.78% 1.28%  
Ratio of total expenses to average net assets [3] 11.23% 2.38%  
Supplemental Data:      
Percentage of non-recurring fee income [4] 0.15% 1.56%  
Average debt outstanding (in Shares) [5] 85,941,941 80,021,800  
Average debt outstanding per weighted average common share $ 41.46 $ 38.09  
Asset coverage ratio per unit (in Dollars) [6] $ 2,754 $ 2,597  
Credit Facility (in Dollars) [7] $ 28,441,941  
2023 Notes $ 25.1  
2028 Notes $ 22.54 $ 23.55  
2023 Notes [Member]      
Supplemental Data:      
2023 Notes (in Dollars) [7] $ 22,521,800  
2028 Notes [Member]      
Supplemental Data:      
2028 Notes (in Dollars) [7] $ 57,500,000 $ 57,500,000  
[1] Total return is historical and assumes changes in share price, reinvestments of all dividends and distributions at prices obtained under the Company’s dividend reinvestment plan, and no sales charge for the period. Calculation is not annualized.
[2] Total return is historical and assumes changes in NAV, reinvestments of all dividends at prices obtained under the Company's dividend reinvestment plan, and no sales charges for the period. Calculation is not annualized.
[3] Ratios are annualized during interim periods.
[4] Represents the impact of the non-recurring fees as a percentage of total investment income.
[5] Based on daily weighted average carrying value of debt outstanding during the period.
[6] Asset coverage per unit is the ratio of the carrying value of our total consolidated assets, less all liabilities and indebtedness not represented by senior securities, to the aggregate amount of senior securities representing indebtedness. Asset coverage per unit is expressed in terms of dollar amounts per $1,000 of indebtedness. As of December 31, 2023, the Company’s asset coverage was 275.4% after giving effect to leverage and therefore the Company’s asset coverage was above 200%, the minimum asset coverage requirement under the 1940 Act.
[7] Total amount of each class of senior securities outstanding at the end of the period excluding debt issuance costs.