ARCC 10-Q Quarterly Report Sept. 30, 2022 | Alphaminr

ARCC 10-Q Quarter ended Sept. 30, 2022

ARES CAPITAL CORP
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arcc-20220930
FALSE December 31 2022 Q3 0001287750 http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#RoyalBankOfCanadaMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#TruistFinancialCorporationMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#TruistFinancialCorporationMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#TruistFinancialCorporationMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#TruistFinancialCorporationMember http://fasb.org/us-gaap/2022#ForeignExchangeForwardMember http://www.arescapitalcorp.com/20220930#TruistFinancialCorporationMember http://fasb.org/us-gaap/2022#AccountingStandardsUpdate202006Member P1Y P1Y 0001287750 2022-01-01 2022-09-30 0001287750 2022-10-25 xbrli:shares 0001287750 us-gaap-supplement:InvestmentUnaffiliatedIssuerMember 2022-09-30 iso4217:USD 0001287750 us-gaap-supplement:InvestmentUnaffiliatedIssuerMember 2021-12-31 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2022-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2021-12-31 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2022-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2021-12-31 0001287750 2022-09-30 0001287750 2021-12-31 iso4217:USD xbrli:shares 0001287750 us-gaap-supplement:InvestmentUnaffiliatedIssuerMember 2022-07-01 2022-09-30 0001287750 us-gaap-supplement:InvestmentUnaffiliatedIssuerMember 2021-07-01 2021-09-30 0001287750 us-gaap-supplement:InvestmentUnaffiliatedIssuerMember 2022-01-01 2022-09-30 0001287750 us-gaap-supplement:InvestmentUnaffiliatedIssuerMember 2021-01-01 2021-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2022-07-01 2022-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2021-07-01 2021-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2022-01-01 2022-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2021-01-01 2021-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2022-07-01 2022-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2021-07-01 2021-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2022-01-01 2022-09-30 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2021-01-01 2021-09-30 0001287750 2022-07-01 2022-09-30 0001287750 2021-07-01 2021-09-30 0001287750 2021-01-01 2021-09-30 0001287750 2U, Inc., First lien senior secured loan 2022-09-30 utr:Rate 0001287750 AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC, First lien senior secured loan 1 2022-09-30 0001287750 AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC, Senior subordinated loan 2022-09-30 0001287750 arcc:AffiniPayMidcoLLCAndAffiniPayIntermediateHoldingsLLCMember 2022-09-30 0001287750 Anaplan, Inc., First lien senior secured loan 2022-09-30 0001287750 Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 1 2022-09-30 0001287750 Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 2 2022-09-30 0001287750 Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, Limited partnership units 2022-09-30 0001287750 arcc:AnaquaParentHoldingsIncAstorgVIICoInvestAnaquaMember 2022-09-30 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC, Class A membership units 2022-09-30 0001287750 arcc:APGIntermediateHoldingsCorporationAndAPGHoldingsLLCMember 2022-09-30 0001287750 Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., Series A preferred shares 2022-09-30 0001287750 arcc:ApprissHealthLLCAndApprissHealthIntermediateHoldingsIncMember 2022-09-30 0001287750 Apptio, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Apptio, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:ApptioIncMember 2022-09-30 0001287750 Avetta, LLC, First lien senior secured loan 2022-09-30 0001287750 AxiomSL Group, Inc. and Calypso Group, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 1 2022-09-30 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 2 2022-09-30 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, Preferred units 2022-09-30 0001287750 arcc:BanyanSoftwareHoldingsLLCAndBanyanSoftwareLPMember 2022-09-30 0001287750 Borrower R365 Holdings LLC, First lien senior secured loan 1 2022-09-30 0001287750 Borrower R365 Holdings LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:BorrowerR365HoldingsLLCMember 2022-09-30 0001287750 Bottomline Technologies, Inc., First lien senior secured loan 2022-09-30 0001287750 Businessolver.com, Inc., First lien senior secured loan 2022-09-30 0001287750 CallMiner, Inc., Warrant to purchase up to 2,350,636 shares of Series 1 preferred stock 2022-09-30 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Second lien senior secured loan 2022-09-30 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A preferred shares 2022-09-30 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A-2 preferred shares 2022-09-30 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A-3 preferred shares 2022-09-30 0001287750 arcc:CardinalParentIncAndPackersSoftwareIntermediateHoldingsIncMember 2022-09-30 0001287750 Community Brands ParentCo, LLC, First lien senior secured loan 2022-09-30 0001287750 Community Brands ParentCo, LLC, Class A units 2022-09-30 0001287750 arcc:CommunityBrandsParentCoLLCMember 2022-09-30 0001287750 Conservice Midco, LLC, Second lien senior secured loan 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured Loan 1 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 1 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 2 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 3 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 4 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., Common units 2022-09-30 0001287750 Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., Series A common units 2022-09-30 0001287750 arcc:ConsilioMidcoLimitedCompusoftUSLLCAndConsilioInvestmentHoldingsLPMember 2022-09-30 0001287750 CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, First lien senior secured loan 2022-09-30 0001287750 CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Second lien senior secured loan 2022-09-30 0001287750 CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Limited partnership units 2022-09-30 0001287750 arcc:CoreLogicIncAndTVIIICelestialCoInvestLPMember 2022-09-30 0001287750 Cority Software Inc., Cority Software (USA) Inc. and Cority Parent, Inc., First lien senior secured loan 2022-09-30 0001287750 Cority Software Inc., Cority Software (USA) Inc. and Cority Parent, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Cority Software Inc., Cority Software (USA) Inc. and Cority Parent, Inc., First lien senior secured loan 3 2022-09-30 0001287750 Cority Software Inc., Cority Software (USA) Inc. and Cority Parent, Inc., First lien senior secured loan 4 2022-09-30 0001287750 Cority Software Inc., Cority Software (USA) Inc. and Cority Parent, Inc., Preferred equity 2022-09-30 0001287750 Cority Software Inc., Cority Software (USA) Inc. and Cority Parent, Inc., Common equity 2022-09-30 0001287750 arcc:CoritySoftwareIncCoritySoftwareUSAIncAndCorityParentIncMember 2022-09-30 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Second lien senior secured loan 2022-09-30 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Series A preferred shares 2022-09-30 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Class A-1 common stock 2022-09-30 0001287750 arcc:CornerstoneOnDemandIncAndSunshineSoftwareHoldingsIncMember 2022-09-30 0001287750 Datix Bidco Limited, First lien senior secured loan 2022-09-30 0001287750 Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Second lien senior secured loan 2022-09-30 0001287750 Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A preferred shares 2022-09-30 0001287750 Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A units 2022-09-30 0001287750 arcc:DcertBuyerIncDCertPreferredHoldingsIncAndDestinyDigitalHoldingsLPMember 2022-09-30 0001287750 Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 2022-09-30 0001287750 Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 2 2022-09-30 0001287750 Denali Holdco LLC and Denali Apexco LP, Class A units 2022-09-30 0001287750 arcc:DenaliHoldcoLLCAndDenaliApexcoLPMember 2022-09-30 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 1 2022-09-30 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 3 2022-09-30 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 4 2022-09-30 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., Preferred stock 2022-09-30 0001287750 arcc:DiligentCorporationAndDiligentPreferredIssuerIncMember 2022-09-30 0001287750 Drilling Info Holdings, Inc. and Titan DI Preferred Holdings, Inc., Second lien senior secured loan 2022-09-30 0001287750 Drilling Info Holdings, Inc. and Titan DI Preferred Holdings, Inc., Preferred stock 2022-09-30 0001287750 arcc:DrillingInfoHoldingsIncAndTitanDIPreferredHoldingsIncMember 2022-09-30 0001287750 DS Admiral Bidco, LLC, First lien senior secured loan 2022-09-30 0001287750 Dye & Durham Corporation, First lien senior secured loan 2022-09-30 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured revolving loan 1 2022-09-30 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured revolving loan 2 2022-09-30 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 1 2022-09-30 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc, Preferred equity 2022-09-30 0001287750 arcc:ElemicaParentIncEZElemicaHoldingsIncMember 2022-09-30 0001287750 EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Second lien senior secured loan 2022-09-30 0001287750 EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Partnership units 2022-09-30 0001287750 arcc:EPPurchaserLLCAndTPGVIIIEPCoInvestIILPMember 2022-09-30 0001287750 EpiServer Inc. and Episerver Sweden Holdings AB, First lien senior secured loan 1 2022-09-30 0001287750 EpiServer Inc. and Episerver Sweden Holdings AB, First lien senior secured loan 2 2022-09-30 0001287750 EpiServer Inc. and Episerver Sweden Holdings AB, First lien senior secured loan 3 2022-09-30 0001287750 arcc:EpiServerIncAndEpiserverSwedenHoldingsABMember 2022-09-30 0001287750 eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 1 2022-09-30 0001287750 eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 2 2022-09-30 0001287750 eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Limited partnership interest 2022-09-30 0001287750 arcc:EResearchTechnologyIncAndAstorgVIICoInvestERTMember 2022-09-30 0001287750 ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured loan 2022-09-30 0001287750 ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., Limited partner interests 2022-09-30 0001287750 arcc:ESHAResearchLLCAndRMCFVICIVXLVIIILPMember 2022-09-30 0001287750 Extrahop Networks, Inc., First lien senior secured loan 1 2022-09-30 0001287750 Extrahop Networks, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:ExtraHopNetworksIncMember 2022-09-30 0001287750 First Insight, Inc., Warrant to purchase up to 122,827 units of Series C preferred stock 2022-09-30 0001287750 FM:Systems Group, LLC, First lien senior secured loan 1 2022-09-30 0001287750 FM:Systems Group, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:FMSystemsGroupLLCMember 2022-09-30 0001287750 Forescout Technologies, Inc., First lien senior secured loan 1 2022-09-30 0001287750 Forescout Technologies, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:ForescoutTechnologiesIncMember 2022-09-30 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, First lien senior secured loan 1 2022-09-30 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, Class A preferred units 2022-09-30 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, Class B common units 2022-09-30 0001287750 arcc:FrontlineTechnologiesGroupHoldingLLCFrontlineTechnologiesBlockerBuyerIncFrontlineTechnologiesHoldingsLLCAndFrontlineTechnologiesParentLLCMember 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., First lien senior secured revolving loan 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., First lien senior secured loan 1 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., First lien senior secured loan 2 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Second lien senior secured loan 1 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Second lien senior secured loan 2 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Second lien senior secured loan 3 2022-09-30 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Class A common stock 2022-09-30 0001287750 arcc:GenesisAcquisitionCoAndGenesisUltimateHoldingCoMember 2022-09-30 0001287750 GI Ranger Intermediate LLC, First lien senior secured revolving loan 2022-09-30 0001287750 GI Ranger Intermediate LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:GIRangerIntermediateLLCMember 2022-09-30 0001287750 GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 1 2022-09-30 0001287750 GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 3 2022-09-30 0001287750 GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 4 2022-09-30 0001287750 GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Senior subordinated loan 2022-09-30 0001287750 GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Preferred units 2022-09-30 0001287750 arcc:GraphPADSoftwareLLCInsightfulScienceIntermediateILLCAndInsightfulScienceHoldingsLLCMember 2022-09-30 0001287750 GSV PracticeTek Holdings, LLC, Class A units 2022-09-30 0001287750 Heavy Construction Systems Specialists, LLC, First lien senior secured loan 2022-09-30 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured revolving loan 2022-09-30 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured loan 2022-09-30 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Senior subordinated loan 2022-09-30 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Common units 2022-09-30 0001287750 arcc:HuskiesParentIncGIInsurityParentLLCAndGIInsurityTopcoLPMember 2022-09-30 0001287750 IfByPhone Inc., Warrant to purchase up to 124,300 shares of Series C preferred stock 2022-09-30 0001287750 Imprivata, Inc., Second lien senior secured loan 2022-09-30 0001287750 Inmar, Inc., Second lien senior secured loan 2022-09-30 0001287750 IQN Holding Corp., First lien senior secured loan 2022-09-30 0001287750 IV Rollover Holdings, LLC, Class B units 2022-09-30 0001287750 IV Rollover Holdings, LLC, Class X units 2022-09-30 0001287750 arcc:IVRolloverHoldingsLLCMember 2022-09-30 0001287750 Kaseya Inc. and Knockout Intermediate Holdings I Inc., First lien senior secured loan 2022-09-30 0001287750 Kaseya Inc. and Knockout Intermediate Holdings I Inc., Preferred stock 2022-09-30 0001287750 Kaseya Inc. and Knockout Intermediate Holdings I Inc, Preferred stock 2022-09-30 0001287750 arcc:KaseyaIncAndKnockoutIntermediateHoldingsIIncMember 2022-09-30 0001287750 LeanTaas Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Magnesium BorrowerCo, Inc. and Magnesium Co-Invest SCSp, First lien senior secured loan 2022-09-30 0001287750 Magnesium BorrowerCo, Inc. and Magnesium Co-Invest SCSp, Limited partnership interest 2022-09-30 0001287750 arcc:MagnesiumBorrowerCoIncAndMagnesiumCoInvestSCSpMember 2022-09-30 0001287750 Majesco and Magic Topco, L.P., First lien senior secured loan 2022-09-30 0001287750 Majesco and Magic Topco, L.P., Class A units 2022-09-30 0001287750 Majesco and Magic Topco, L.P., Class B units 2022-09-30 0001287750 arcc:MajescoAndMagicTopcoLPMember 2022-09-30 0001287750 Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured loan 2022-09-30 0001287750 Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., Limited partner interests 2022-09-30 0001287750 arcc:MinistryBrandsHoldingsLLCAndRCPMBInvestmentsBLPMember 2022-09-30 0001287750 Mitchell International, Inc., Second lien senior secured loan 2022-09-30 0001287750 MMIT Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 MMIT Holdings, LLC, First lien senior secured loan 1 2022-09-30 0001287750 MMIT Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:MMITHoldingsLLCMember 2022-09-30 0001287750 Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured loan 2022-09-30 0001287750 Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, Class A units 2022-09-30 0001287750 arcc:MoonrakerAcquisitionCoLLCAndMoonrakerHoldCoLLCMember 2022-09-30 0001287750 MRI Software LLC, First lien senior secured loan 1 2022-09-30 0001287750 MRI Software LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:MRISoftwareLLCMember 2022-09-30 0001287750 OpenMarket Inc., First lien senior secured loan 2022-09-30 0001287750 Paya, Inc and GTCR-Ultra Holdings LLC, Class B units 2022-09-30 0001287750 PayNearMe, Inc., Warrant to purchase up to 195,726 shares of Series E preferred stock 2022-09-30 0001287750 PDDS Holdco, Inc., First lien senior secured loan 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 1 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 2 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 3 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 4 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Series A preferred stock 2022-09-30 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Class A units 2022-09-30 0001287750 arcc:PDITAHoldingsIncPeachtreeParentIncAndInsightPDIHoldingsLLCMember 2022-09-30 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC,h First lien senior secured loan 1 2022-09-30 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, First lien senior secured loan 1 2022-09-30 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, First lien senior secured loan 3 2022-09-30 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, Class A units 2022-09-30 0001287750 arcc:PegasusGlobalEnterpriseHoldingsLLCMekoneBlockerAcquisitionIncAndMekoneParentLLCMember 2022-09-30 0001287750 Perforce Software, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Petvisor Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Pluralsight, Inc., First lien senior secured loan 2022-09-30 0001287750 Poplicus Incorporated, Warrant to purchase up to 2,402,991 shares of Series C preferred stock 2022-09-30 0001287750 ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured loan 2022-09-30 0001287750 ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., Limited partnership units 2022-09-30 0001287750 arcc:ProfitSolvPurchaserIncAndPSCoInvestLPMember 2022-09-30 0001287750 Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., First lien senior secured loan 2022-09-30 0001287750 Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., Class A common stock 2022-09-30 0001287750 Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., Class B common stock 2022-09-30 0001287750 arcc:ProjectAlphaIntermediateHoldingIncAndQlikParentIncMember 2022-09-30 0001287750 Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., First lien senior secured loan 2022-09-30 0001287750 Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., Preferred shares 2022-09-30 0001287750 arcc:ProjectEssentialBidcoIncAndProjectEssentialSuperParentIncMember 2022-09-30 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 1 2022-09-30 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 2 2022-09-30 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 3 2022-09-30 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., Class B units 2022-09-30 0001287750 arcc:ProjectPotterBuyerLLCAndProjectPotterParentLPMember 2022-09-30 0001287750 Proofpoint, Inc., First lien senior secured loan 2022-09-30 0001287750 Proofpoint, Inc., Second lien senior secured loan 2022-09-30 0001287750 arcc:ProofpointIncMember 2022-09-30 0001287750 QF Holdings, Inc., First lien senior secured loan 1 2022-09-30 0001287750 QF Holdings, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:QFHoldingsIncMember 2022-09-30 0001287750 Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 2022-09-30 0001287750 Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, Class A common units 2022-09-30 0001287750 arcc:RaptorTechnologiesLLCSycamoreBidcoLTDAndRocketParentLLCMember 2022-09-30 0001287750 RealPage, Inc., Second lien senior secured loan 2022-09-30 0001287750 Regent Education, Inc., Warrant to purchase up to 5,393,194 units of common stock 2022-09-30 0001287750 Regent Education, Inc., Warrant to purchase up to 987 units of common stock 2022-09-30 0001287750 arcc:RegentEducationIncMember 2022-09-30 0001287750 Relativity ODA LLC, First lien senior secured loan 2022-09-30 0001287750 Revalize, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Revalize, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:RevalizeIncMember 2022-09-30 0001287750 RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 2 2022-09-30 0001287750 RMS HoldCo II, LLC & RMS Group Holdings, Inc., Class A common stock 2022-09-30 0001287750 arcc:RMSHoldcoIILLCRMSGroupHoldingsIncMember 2022-09-30 0001287750 Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured loan 2022-09-30 0001287750 Smarsh Inc. and Skywalker TopCo, LLC, Common units 2022-09-30 0001287750 arcc:SmarshIncAndSkywalkerTopCoLLCMember 2022-09-30 0001287750 SocialFlow, Inc., Warrant to purchase up to 215,331 shares of Series C preferred stock 2022-09-30 0001287750 Sophia, L.P., Second lien senior secured loan 2022-09-30 0001287750 SoundCloud Limited, Common stock 2022-09-30 0001287750 Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 2022-09-30 0001287750 Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, Limited partner interests 2022-09-30 0001287750 arcc:SpiritRRHoldingsIncAndWinterfellCoInvestSCSpMember 2022-09-30 0001287750 Stamps.com Inc., First lien senior secured loan 2022-09-30 0001287750 Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 2022-09-30 0001287750 Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 2 2022-09-30 0001287750 Storable, Inc. and EQT IX Co-Investment (E) SCSP, Limited partnership interests 2022-09-30 0001287750 arcc:StorableIncAndEQTIXCoInvestmentESCSPMember 2022-09-30 0001287750 Sundance Group Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Sundance Group Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:SundanceGroupHoldingsIncMember 2022-09-30 0001287750 Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 2022-09-30 0001287750 Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., Class A-2 units 2022-09-30 0001287750 arcc:TamarackIntermediateLLCAndTamarackParentLLCMember 2022-09-30 0001287750 TCP Hawker Intermediate LLC, First lien senior secured revolving loan 2022-09-30 0001287750 TCP Hawker Intermediate LLC, First lien senior secured loan 2022-09-30 0001287750 TCP Hawker Intermediate LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:TCPHawkerIntermediateLLCMember 2022-09-30 0001287750 The Ultimate Software Group, Inc. and H&F Unite Partners, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 The Ultimate Software Group, Inc. and H&F Unite Partners, L.P., Limited partnership interests 2022-09-30 0001287750 arcc:TheUltimateSoftwareGroupIncAndHFUnitePartnersLPMember 2022-09-30 0001287750 TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Senior secured notes 2022-09-30 0001287750 TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., First lien senior secured loan 2022-09-30 0001287750 TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Second lien senior secured loan 2022-09-30 0001287750 TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Series A preferred stock 2022-09-30 0001287750 TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Limited partnership interests 2022-09-30 0001287750 arcc:TibCoSoftwareIncPicardParentIncPicardMidCoIncPicardHoldCoLLCAndElliottAltoCoInvestorAggregatorLPMember 2022-09-30 0001287750 Verscend Holding Corp., First lien senior secured revolving loan 2022-09-30 0001287750 WebPT, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 WebPT, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:WebPTIncMember 2022-09-30 0001287750 Wellness AcquisitionCo, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Wellness AcquisitionCo, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:WellnessAcquisitionCoIncMember 2022-09-30 0001287750 WorkWave Intermediate II, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:SoftwareAndServicesMember 2022-09-30 xbrli:pure 0001287750 BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, First lien senior secured loan 2022-09-30 0001287750 BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Senior subordinated loan 2022-09-30 0001287750 BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Common units 2022-09-30 0001287750 arcc:BCCBlueprintHoldingsILLCAndBCCBlueprintInvestmentsLLCMember 2022-09-30 0001287750 Beacon Pointe Harmony, LLC, First lien senior secured loan 2022-09-30 0001287750 Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 2022-09-30 0001287750 CrossCountry Mortgage, LLC, First lien senior secured loan 2022-09-30 0001287750 DFC Global Facility Borrower III LLC, First lien senior secured revolving loan 2022-09-30 0001287750 eCapital Finance Corp., Senior subordinated loan 1 2022-09-30 0001287750 eCapital Finance Corp., Senior subordinated loan 2 2022-09-30 0001287750 eCapital Finance Corp., Senior subordinated loan 3 2022-09-30 0001287750 eCapital Finance Corp., Senior subordinated loan 4 2022-09-30 0001287750 arcc:ECapitalFinanceCorpMember 2022-09-30 0001287750 EP Wealth Advisors, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 EP Wealth Advisors, LLC, First lien senior secured loan 2022-09-30 0001287750 EP Wealth Advisors, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:EPWealthAdvisorsLLCMember 2022-09-30 0001287750 Green Street Parent, LLC and Green Street Intermediate Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 HighTower Holding, LLC, Senior subordinated loan 2022-09-30 0001287750 Ivy Hill Asset Management, L.P., Senior subordinated loan 2022-09-30 0001287750 Ivy Hill Asset Management, L.P., Member interest 2022-09-30 0001287750 arcc:IvyHillAssetManagementLPMember 2022-09-30 0001287750 Javlin Three LLC, Javlin Four LLC, and Javlin Five LLC, First lien senior secured loan 2022-09-30 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC), Equity interests 2022-09-30 0001287750 Lido Advisors, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 LS DE LLC and LM LSQ Investors LLC, Senior subordinated loan 1 2022-09-30 0001287750 LS DE LLC and LM LSQ Investors LLC, Senior subordinated loan 2 2022-09-30 0001287750 LS DE LLC and LM LSQ Investors LLC, Membership units 2022-09-30 0001287750 arcc:LSDELLCAndLMLSQInvestorsLLCMember 2022-09-30 0001287750 Monica Holdco (US) Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Monica Holdco (US) Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:MonicaHoldcoUSIncMember 2022-09-30 0001287750 Priority Holdings, LLC and Priority Technology Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Priority Holdings, LLC and Priority Technology Holdings, Inc., Senior preferred stock 2022-09-30 0001287750 Priority Holdings, LLC and Priority Technology Holdings, Inc., Warrant to purchase up to 527,226 units of common stock 2022-09-30 0001287750 arcc:PriorityHoldingsLLCAndPriorityTechnologyHoldingsIncMember 2022-09-30 0001287750 Rialto Management Group, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Rialto Management Group, LLC, First lien senior secured loan 1 2022-09-30 0001287750 Rialto Management Group, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Rialto Management Group, LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:RialtoManagementGroupLLCMember 2022-09-30 0001287750 TA/WEG Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 1 2022-09-30 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 3 2022-09-30 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 4 2022-09-30 0001287750 arcc:TAWEGHoldingsLLCMember 2022-09-30 0001287750 The Edelman Financial Center, LLC, Second lien senior secured loan 2022-09-30 0001287750 The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Senior subordinated loan 2022-09-30 0001287750 The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Series A preferred units 2022-09-30 0001287750 The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Common units 2022-09-30 0001287750 arcc:TheMatherGroupLLCTVGTMGTopcoIncAndTVGTMGHoldingsLLCMember 2022-09-30 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, First lien senior secured loan 2022-09-30 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A units 2022-09-30 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A units 2 2022-09-30 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B units 2022-09-30 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B units 2 2022-09-30 0001287750 arcc:TheUltimusGroupMidcoLLCTheUltimusGroupLLCAndTheUltimusGroupAggregatorLPMember 2022-09-30 0001287750 WA Asset Management, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:DiversifiedFinancialsMember 2022-09-30 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured loan 2022-09-30 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC, Class A common units 2022-09-30 0001287750 arcc:AbsoluteDentalGroupLLCAndAbsoluteDentalEquityLLCMember 2022-09-30 0001287750 ADG, LLC and RC IV GEDC Investor LLC, First lien senior secured revolving loan 1 2022-09-30 0001287750 ADG, LLC and RC IV GEDC Investor LLC, First lien senior secured revolving loan 2 2022-09-30 0001287750 ADG, LLC and RC IV GEDC Investor LLC, Second lien senior secured loan 2022-09-30 0001287750 ADG, LLC and RC IV GEDC Investor LLC, Membership units 2022-09-30 0001287750 arcc:ADGLLCAndRCIVGEDCInvestorLLCMember 2022-09-30 0001287750 Advarra Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Series A preferred shares 2022-09-30 0001287750 AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Preferred units 2022-09-30 0001287750 AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Class B common units 2022-09-30 0001287750 arcc:AHRFundingHoldingsIncAndAHRParentHoldingsLPMember 2022-09-30 0001287750 AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, Series A preferred stock 2022-09-30 0001287750 AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, Class A units 2022-09-30 0001287750 arcc:AthenaHealthGroupIncMinervaHoldcoIncAndBCPECoInvestALPMember 2022-09-30 0001287750 BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP, First lien senior secured loan 2022-09-30 0001287750 Bambino Group Holdings, LLC, Class A preferred units 2022-09-30 0001287750 CCS-CMGC Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 CCS-CMGC Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:CCSCMGCHoldingsIncMember 2022-09-30 0001287750 Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 2 2022-09-30 0001287750 arcc:CenterForAutismAndRelatedDisordersLLCMember 2022-09-30 0001287750 Comprehensive EyeCare Partners, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Comprehensive EyeCare Partners, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:ComprehensiveEyeCarePartnersLLCMember 2022-09-30 0001287750 Convey Health Solutions, Inc., First lien senior secured loan 1 2022-09-30 0001287750 Convey Health Solutions, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:ConveyHealthSolutionsIncMember 2022-09-30 0001287750 Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured loan 2022-09-30 0001287750 Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, Class A shares 2022-09-30 0001287750 Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, Common units 2022-09-30 0001287750 arcc:CrownCTParentIncCrownCTHoldCoIncAndCrownCTManagementLLCMember 2022-09-30 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured revolving loan 2022-09-30 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan 1 2022-09-30 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan 2 2022-09-30 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan 3 2022-09-30 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, Common stock 2022-09-30 0001287750 arcc:CVPHoldcoIncAndOMERSWildcatsInvestmentHoldingsLLCMember 2022-09-30 0001287750 Ensemble RCM, LLC, First lien senior secured loan 2022-09-30 0001287750 Evolent Health LLC, First lien senior secured loan 2022-09-30 0001287750 Explorer Investor, Inc, First lien senior secured loan 2022-09-30 0001287750 GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Second lien senior secured loan 2022-09-30 0001287750 GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Class A Units 2022-09-30 0001287750 GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Class A units 2022-09-30 0001287750 arcc:GHXUltimateParentCorporationCommerceParentIncAndCommerceTopcoLLCMember 2022-09-30 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., First lien senior secured loan 1 2022-09-30 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., First lien senior secured loan 2 2022-09-30 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., Second lien senior secured loan 2022-09-30 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase up to 115,733 units of common stock 2022-09-30 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase up to 1,926.57 units of common stock 2022-09-30 0001287750 arcc:GlobalMedicalResponseIncAndGMRBuyerCorpMember 2022-09-30 0001287750 HealthEdge Software, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 HealthEdge Software, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:HealthEdgeSoftwareIncMember 2022-09-30 0001287750 Honor Technology, Inc., First lien senior secured loan 2022-09-30 0001287750 Honor Technology, Inc., Warrant to purchase up to 133,333 units of series D-2 preferred stock 2022-09-30 0001287750 arcc:HonorTechnologyIncMember 2022-09-30 0001287750 JDC Healthcare Management, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 JDC Healthcare Management, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:JDCHealthcareManagementLLCMember 2022-09-30 0001287750 KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 2022-09-30 0001287750 Lifescan Global Corporation, First lien senior secured loan 2022-09-30 0001287750 Lifescan Global Corporation, Second lien senior secured loan 2022-09-30 0001287750 arcc:LifescanGlobalCorporationMember 2022-09-30 0001287750 Medline Borrower, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Senior preferred units 2022-09-30 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Preferred units 2022-09-30 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Class A units 2022-09-30 0001287750 arcc:NapaManagementServicesCorporationAndASPNAPAHoldingsLLCMember 2022-09-30 0001287750 National Spine and Pain Centers, LLC, First lien senior secured loan 2022-09-30 0001287750 NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured revolving loan 2022-09-30 0001287750 NMN Holdings III Corp. and NMN Holdings LP, Partnership units 2022-09-30 0001287750 arcc:NMNHoldingsIIICorpAndNMNHoldingsLPMember 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 2 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Preferred stock 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Preferred units 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Common units 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Class A common units 2022-09-30 0001287750 arcc:OlympiaAcquisitionIncAndOlympiaTopCoLPMember 2022-09-30 0001287750 OMH-HealthEdge Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 OMH-HealthEdge Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 OMH-HealthEdge Holdings, LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:OMHHealthEdgeHoldingsLLCMember 2022-09-30 0001287750 Pathway Vet Alliance LLC and Jedi Group Holdings LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Second lien senior secured loan 2022-09-30 0001287750 Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Class R common units 2022-09-30 0001287750 arcc:PathwayVetAllianceLLCAndJediGroupHoldingsLLCMember 2022-09-30 0001287750 PetVet Care Centers, LLC, First lien senior secured loan 2022-09-30 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured revolving loan 2022-09-30 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured loan 2022-09-30 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, Second lien senior secured loan 2022-09-30 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, Class A units 2022-09-30 0001287750 arcc:PremiseHealthHoldingCorpAndOMERSBluejayInvestmentHoldingsLPMember 2022-09-30 0001287750 Project Ruby Ultimate Parent Corp., Second lien senior secured loan 2022-09-30 0001287750 RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:RTISurgicalIncAndPioneerSurgicalTechnologyIncMember 2022-09-30 0001287750 SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC, Common units 2022-09-30 0001287750 arcc:SiroMedPhysicianServicesIncAndSiroMedEquityHoldingsLLCMember 2022-09-30 0001287750 SM Wellness Holdings, Inc. and SM Holdco, Inc., Series A units 2022-09-30 0001287750 SM Wellness Holdings, Inc. and SM Holdco, Inc., Series B units 2022-09-30 0001287750 arcc:SMWellnessHoldingsIncAndSMHoldcoIncMember 2022-09-30 0001287750 SOC Telemed, Inc. and PSC Spark Holdings, LP, First lien senior secured loan 2022-09-30 0001287750 SOC Telemed, Inc. and PSC Spark Holdings, LP, Class A-2 units 2022-09-30 0001287750 SOC Telemed, Inc. and PSC Spark Holdings, LP, Warrant to purchase up to 6,118 Class A-2 units 2022-09-30 0001287750 arcc:SOCTelemedIncAndPSCSparkHoldingsLPMember 2022-09-30 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Symplr Softwagre Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 2022-09-30 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-1 preferred shares 2022-09-30 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-2 preferred shares 2022-09-30 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-3 preferred shares 2022-09-30 0001287750 arcc:SymplrSoftwareIncAndSymplrSoftwareIntermediateHoldingsIncMember 2022-09-30 0001287750 Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, Common units 2022-09-30 0001287750 arcc:SynergyHomeCareFranchisingLLCAndNPSynergyHoldingsLLCMember 2022-09-30 0001287750 Tempus Labs, Inc., First lien senior secured loan 2022-09-30 0001287750 Therapy Brands Holdings LLC, Second lien senior secured loan 2022-09-30 0001287750 Touchstone Acquisition, Inc. and Touchstone Holding, L.P., Class A preferred units 2022-09-30 0001287750 U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Second lien senior secured loan 2022-09-30 0001287750 U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Common stock 2022-09-30 0001287750 arcc:USAnesthesiaPartnersIncUSAnesthesiaPartnersHoldingsIncMember 2022-09-30 0001287750 United Digestive MSO Parent, LLC, First lien senior secured loan 2022-09-30 0001287750 Viant Medical Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 2022-09-30 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 2 2022-09-30 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 3 2022-09-30 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., Class A-2 units 2022-09-30 0001287750 arcc:VPPIntermediateHoldingsLLCAndVPPGroupHoldingsLPMember 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured revolving loan 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 2 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 3 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 4 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 5 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 6 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 7 2022-09-30 0001287750 WSHP FC Acquisition LLC and WSHP FC Holdings LLC, Common units 2022-09-30 0001287750 arcc:WSHPFCAcquisitionLLCMember 2022-09-30 0001287750 us-gaap:HealthcareSectorMember 2022-09-30 0001287750 Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC, Class A common units 2022-09-30 0001287750 arcc:AccommodationsPlusTechnologiesLLCAndAccommodationsPlusTechnologiesHoldingsLLCMember 2022-09-30 0001287750 Aero Operating LLC, First lien senior secured loan 2022-09-30 0001287750 Aero Operating LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:AeroOperatingLLCMember 2022-09-30 0001287750 AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured revolving loan 2022-09-30 0001287750 AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 2022-09-30 0001287750 AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 2022-09-30 0001287750 AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 2 2022-09-30 0001287750 AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 3 2022-09-30 0001287750 AI Fire Buyer, Inc. and AI Fire Parent LLC, Common units 2022-09-30 0001287750 arcc:AIFireBuyerIncAndAIFireParentLLCMember 2022-09-30 0001287750 Applied Technical Services, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Applied Technical Services, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:AppliedTechnicalServicesLLCMember 2022-09-30 0001287750 Argenbright Holdings V, LLC and Amberstone Security Group Limited, First lien senior secured loan 2022-09-30 0001287750 Argenbright Holdings V, LLC and Amberstone Security Group Limited, First lien senior secured loan 2 2022-09-30 0001287750 arcc:ArgenbrightHoldingsVLLCAndAmberstoneSecurityGroupLimitedMember 2022-09-30 0001287750 BH-Sharp Holdings LP, Common units 2022-09-30 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured loan 2022-09-30 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Second lien senior secured loan 2022-09-30 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Class A units 2022-09-30 0001287750 arcc:CapstoneAcquisitionHoldingsIncAndCapstoneParentHoldingsLPMember 2022-09-30 0001287750 Compex Legal Services, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class A common stock 2022-09-30 0001287750 DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class B common stock 2022-09-30 0001287750 arcc:DTIHoldcoIncAndOPEDTIHoldingsIncMember 2022-09-30 0001287750 Elevation Services Parent Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Elevation Services Parent Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Elevation Services Parent Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:ElevationServicesParentHoldingsLLCMember 2022-09-30 0001287750 HAI Acquisition Corporation and Aloha Topco, LLC, First lien senior secured loan 2022-09-30 0001287750 HAI Acquisition Corporation and Aloha Topco, LLC, First lien senior secured loan 2 2022-09-30 0001287750 HAI Acquisition Corporation and Aloha Topco, LLC, Class A units 2022-09-30 0001287750 arcc:HAIAcquisitionCorporationAndAlohaTopcoLLCMember 2022-09-30 0001287750 HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured revolving loan 2022-09-30 0001287750 HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 2022-09-30 0001287750 HH-Stella, Inc. and Bedrock Parent Holdings, LP, Class A units 2022-09-30 0001287750 arcc:HHStellaIncAndBedrockParentHoldingsLPMember 2022-09-30 0001287750 ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, LLC , First lien senior secured loan 2022-09-30 0001287750 ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, LLC , Class A units 2022-09-30 0001287750 arcc:ISQHawkeyeHoldcoIncAndISQHawkeyeHoldingsLLCMember 2022-09-30 0001287750 Kellermeyer Bergensons Services, LLC, First lien senior secured loan 2022-09-30 0001287750 Kellermeyer Bergensons Services, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:KellermeyerBergensonsServicesLLCMember 2022-09-30 0001287750 KPS Global LLC and Cool Group LLC, First lien senior secured loan 2022-09-30 0001287750 KPS Global LLC and Cool Group LLC, First lien senior secured loan 2 2022-09-30 0001287750 KPS Global LLC and Cool Group LLC, Class A units 2022-09-30 0001287750 arcc:KPSGlobalLLCAndCoolGroupLLCMember 2022-09-30 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 1 2022-09-30 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 2 2022-09-30 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 3 2022-09-30 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 4 2022-09-30 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, Class A units 2022-09-30 0001287750 arcc:LaboratoriesBidcoLLCAndLaboratoriesTopcoLLCMember 2022-09-30 0001287750 LJP Purchaser, Inc. and LJP Topco, LP, First lien senior secured loan 2022-09-30 0001287750 LJP Purchaser, Inc. and LJP Topco, LP, Class A units 2022-09-30 0001287750 arcc:LJPPurchaserIncAndLJPTopcoLPMember 2022-09-30 0001287750 Management Consulting & Research LLC, First lien senior secured loan 2022-09-30 0001287750 Marmic Purchaser, LLC and Marmic Topco, L.P., First lien senior secured loan 1 2022-09-30 0001287750 Marmic Purchaser, LLC and Marmic Topco, L.P., First lien senior secured loan 2 2022-09-30 0001287750 Marmic Purchaser, LLC and Marmic Topco, L.P., First lien senior secured loan 3 2022-09-30 0001287750 Marmic Purchaser, LLC and Marmic Topco, L.P., Limited partnership units 2022-09-30 0001287750 arcc:MarmicPurchaserLLCAndMarmicTopcoLPMember 2022-09-30 0001287750 Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Second lien senior secured loan 2022-09-30 0001287750 Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Series A preferred stock 2022-09-30 0001287750 Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Common stock 2022-09-30 0001287750 arcc:MicrostarLogisticsLLCMicrostarGlobalAssetManagementLLCMStarHoldingCorporationAndKegstarUSAIncMember 2022-09-30 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 1 2022-09-30 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 2 2022-09-30 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:NASLLCAndNationwideMarketingGroupLLCMember 2022-09-30 0001287750 Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1, Senior subordinated loan 2022-09-30 0001287750 Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1, Limited partner interest 2022-09-30 0001287750 arcc:NestTopcoBorrowerIncKKRNestCoInvestLPAndNBLY20211Member 2022-09-30 0001287750 North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC, First lien senior secured loan 1 2022-09-30 0001287750 North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC, Common units 2022-09-30 0001287750 arcc:NorthAmericanFireHoldingsLLCAndNorthAmericanFireUltimateHoldingsLLCMember 2022-09-30 0001287750 North Haven Stack Buyer, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 North Haven Stack Buyer, LLC, First lien senior secured revolving loan 2 2022-09-30 0001287750 North Haven Stack Buyer, LLC, First lien senior secured loan 2022-09-30 0001287750 North Haven Stack Buyer, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:NorthHavenStackBuyerLLCMember 2022-09-30 0001287750 Petroleum Service Group LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Petroleum Service Group LLC, First lien senior secured loan 2022-09-30 0001287750 Petroleum Service Group LLC, First lien senior secured loan 2 2022-09-30 0001287750 Petroleum Service Group LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:PetroleumServiceGroupLLCMember 2022-09-30 0001287750 Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, Class A units 2022-09-30 0001287750 arcc:PritchardIndustriesLLCAndLJPritchardTopCoHoldingsLLCMember 2022-09-30 0001287750 PS Operating Company LLC and PS OP Holdings LLC, First lien senior secured revolving loan 2022-09-30 0001287750 PS Operating Company LLC and PS OP Holdings LLC, First lien senior secured loan 2022-09-30 0001287750 PS Operating Company LLC and PS OP Holdings LLC, Common unit 2022-09-30 0001287750 arcc:PSOperatingCompanyLLCAndPSOPHoldingsLLCFkaQCSupplyLLCMember 2022-09-30 0001287750 R2 Acquisition Corp., Common stock 2022-09-30 0001287750 RC V Tecmo Investor LLC, Common member units 2022-09-30 0001287750 RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 2022-09-30 0001287750 RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 2 2022-09-30 0001287750 arcc:RECommunityHoldingsGPLLCAndRECommunityHoldingsLPMember 2022-09-30 0001287750 Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan 2022-09-30 0001287750 Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., Limited partner interests 2022-09-30 0001287750 arcc:RegistrarIntermediateLLCAndPSPRegistrarCoInvestmentFundLPMember 2022-09-30 0001287750 Rodeo AcquisitionCo LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Rodeo AcquisitionCo LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:RodeoAcquisitionCoLLCMember 2022-09-30 0001287750 Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan 2022-09-30 0001287750 Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., Class A units 2022-09-30 0001287750 arcc:SchillLandscapingAndLawnCareServicesLLCTenderLawnCareULCAndLandscapeParallelPartnersLPMember 2022-09-30 0001287750 Shermco Intermediate Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, First lien senior secured loan 2022-09-30 0001287750 SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, Limited partnership class A-1 units 2022-09-30 0001287750 SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, Limited partnership class A-2 units 2022-09-30 0001287750 arcc:SSEBuyerIncSupplySourceEnterprisesIncImpactProductsLLCTheSafetyZoneLLCAndSSEParentLPMember 2022-09-30 0001287750 Startec Equity, LLC, Member interest 2022-09-30 0001287750 Stealth Holding LLC and UCIT Online Security Inc., First lien senior secured loan 2022-09-30 0001287750 Stealth Holding LLC and UCIT Online Security Inc., First lien senior secured loan 2 2022-09-30 0001287750 Stealth Holding LLC and UCIT Online Security Inc., First lien senior secured loan 3 2022-09-30 0001287750 arcc:StealthHoldingLLCAndUCITOnlineSecurityIncMember 2022-09-30 0001287750 The NPD Group, L.P., IRI Group Holdings, Inc., Information Resources, Inc. and IRI-NPD Co-Invest Aggregator, L.P., First lien senior secured loan 2022-09-30 0001287750 The NPD Group, L.P., IRI Group Holdings, Inc., Information Resources, Inc. and IRI-NPD Co-Invest Aggregator, L.P., Class A units 2022-09-30 0001287750 arcc:TheNPDGroupLPIRIGroupHoldingsIncInformationResourcesIncAndIRINPDCoInvestAggregatorLPMember 2022-09-30 0001287750 Thermostat Purchaser III, Inc., Second lien senior secured loan 2022-09-30 0001287750 Visual Edge Technology, Inc., First lien senior secured loan 2022-09-30 0001287750 Visual Edge Technology, Inc., Senior subordinated loan 2022-09-30 0001287750 Visual Edge Technology, Inc., Warrant to purchase up to 10,358,572 shares of common stock 2022-09-30 0001287750 arcc:VisualEdgeTechnologyIncMember 2022-09-30 0001287750 VRC Companies, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 VRC Companies, LLC, First lien senior secured loan 2022-09-30 0001287750 VRC Companies, LLC, Senior subordinated loan 2022-09-30 0001287750 arcc:VRCCompaniesLLCMember 2022-09-30 0001287750 Wash Encore Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured revolving loan 2022-09-30 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 2022-09-30 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 2 2022-09-30 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, Class A units 2022-09-30 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, Class B units 2022-09-30 0001287750 arcc:XIFINIncAndACPChargerCoInvestLLCMember 2022-09-30 0001287750 arcc:CommercialAndProfessionalServicesMember 2022-09-30 0001287750 ACAS Equity Holdings Corporation, Common stock 2022-09-30 0001287750 ARES 2007-3R, Subordinated notes 2022-09-30 0001287750 Blue Wolf Capital Fund II, L.P., Limited partnership interest 2022-09-30 0001287750 CoLTs 2005-1 Ltd., Preferred shares 2022-09-30 0001287750 CREST Exeter Street Solar 2004-1, Preferred shares 2022-09-30 0001287750 European Capital UK SME Debt LP, Limited partnership interest 2022-09-30 0001287750 HCI Equity, LLC, Member interest 2022-09-30 0001287750 Partnership Capital Growth Investors III, L.P., Limited partnership interest 2022-09-30 0001287750 PCG-Ares Sidecar Investment II, L.P., Limited partnership interest 2022-09-30 0001287750 PCG-Ares Sidecar Investment, L.P., Limited partnership interest 2022-09-30 0001287750 Piper Jaffray Merchant Banking Fund I, L.P., Limited partnership interest 2022-09-30 0001287750 Senior Direct Lending Program, LLC, Subordinated certificates 2022-09-30 0001287750 Senior Direct Lending Program, LLC, Membership interest 2022-09-30 0001287750 arcc:SeniorDirectLendingProgramLLCMember 2022-09-30 0001287750 VSC Investors LLC, Membership interest 2022-09-30 0001287750 arcc:InvestmentFundsAndVehiclesMember 2022-09-30 0001287750 Acrisure, LLC and Acrisure Finance, Inc., Senior subordinated loan 2022-09-30 0001287750 Alera Group, Inc., First lien senior secured loan 2022-09-30 0001287750 Amynta Agency Borrower Inc. and Amynta Warranty Borrower Inc., First lien senior secured loan 2022-09-30 0001287750 AQ Sunshine, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 AQ Sunshine, Inc., First lien senior secured loan 1 2022-09-30 0001287750 AQ Sunshine, Inc., First lien senior secured loan 2 2022-09-30 0001287750 AQ Sunshine, Inc., First lien senior secured loan 3 2022-09-30 0001287750 AQ Sunshine, Inc., First lien senior secured loan 4 2022-09-30 0001287750 arcc:AQSunshineIncMember 2022-09-30 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 2022-09-30 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 2 2022-09-30 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 4 2022-09-30 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, Senior subordinated loan 2022-09-30 0001287750 arcc:ArdonaghMidco2PlcAndArdonaghMidco3PlcMember 2022-09-30 0001287750 Benecon Midco II LLC and Locutus Holdco LLC, Common units 2022-09-30 0001287750 Benefytt Technologies, Inc., First lien senior secured loan 2022-09-30 0001287750 Benefytt Technologies, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:BenefyttTechnologiesIncMember 2022-09-30 0001287750 Captive Resources Midco, LLC, First lien senior secured loan 2022-09-30 0001287750 Foundation Risk Partners, Corp., First lien senior secured revolving loan 2022-09-30 0001287750 Foundation Risk Partners, Corp., First lien senior secured loan 2022-09-30 0001287750 Foundation Risk Partners, Corp., First lien senior secured loan 2 2022-09-30 0001287750 arcc:FoundationRiskPartnersCorpMember 2022-09-30 0001287750 Galway Borrower LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Galway Borrower LLC, First lien senior secured loan 2022-09-30 0001287750 Galway Borrower LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:GalwayBorrowerLLCMember 2022-09-30 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 2022-09-30 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 2 2022-09-30 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 3 2022-09-30 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 2022-09-30 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, Series A common units 2022-09-30 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, Series C common units 2022-09-30 0001287750 arcc:HighStreetBuyerIncAndHighStreetHoldcoLLCMember 2022-09-30 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured revolving loan 2022-09-30 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured loan 2022-09-30 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured loan 2 2022-09-30 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured loan 3 2022-09-30 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, Common units 2022-09-30 0001287750 arcc:K2InsuranceServicesLLCAndK2HoldcoLPMember 2022-09-30 0001287750 OneDigital Borrower LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Patriot Growth Insurance Services, LLC, First lien senior secured loan 2022-09-30 0001287750 Patriot Growth Insurance Services, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:PatriotGrowthInsuranceServicesLLCMember 2022-09-30 0001287750 People Corporation, First lien senior secured revolving loan 2022-09-30 0001287750 People Corporation, First lien senior secured loan 2022-09-30 0001287750 People Corporation, First lien senior secured loan 2 2022-09-30 0001287750 People Corporation, First lien senior secured loan 3 2022-09-30 0001287750 arcc:PeopleCorporationMember 2022-09-30 0001287750 Riser Merger Sub, Inc., First lien senior secured loan 2022-09-30 0001287750 RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 2022-09-30 0001287750 SageSure Holdings, LLC & Insight Catastrophe Group, LLC, First lien senior secured loan 2022-09-30 0001287750 SageSure Holdings, LLC & Insight Catastrophe Group, LLC, Series A units 2022-09-30 0001287750 arcc:SageSureHoldingsLLCInsightCatastropheGroupLLCMember 2022-09-30 0001287750 SCM Insurance Services Inc., First lien senior secured loan 2022-09-30 0001287750 SelectQuote, Inc., First lien senior secured loan 2022-09-30 0001287750 SG Acquisition, Inc., First lien senior secured loan 2022-09-30 0001287750 Spring Insurance Solutions, LLC, First lien senior secured loan 2022-09-30 0001287750 THG Acquisition, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 THG Acquisition, LLC, First lien senior secured loan 2022-09-30 0001287750 THG Acquisition, LLC, First lien senior secured loan 2 2022-09-30 0001287750 THG Acquisition, LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:THGAcquisitionLLCMember 2022-09-30 0001287750 us-gaap-supplement:InsuranceSectorMember 2022-09-30 0001287750 Apex Clean Energy TopCo, LLC, Class A common units 2022-09-30 0001287750 Ferrellgas, L.P. and Ferrellgas Partners L.P., Senior preferred units 2022-09-30 0001287750 Ferrellgas, L.P. and Ferrellgas Partners L.P., Class B units 2022-09-30 0001287750 arcc:FerrellgasLPAndFerrelgasPartnersLPMember 2022-09-30 0001287750 Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC, First lien senior secured loan 2022-09-30 0001287750 Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC, Class A1 units 2022-09-30 0001287750 Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC, Class A2 units 2022-09-30 0001287750 arcc:HeelstoneRenewableEnergyLLCMember 2022-09-30 0001287750 Opal Fuels LLC and Opal Fuels Inc., Senior subordinated loan 2022-09-30 0001287750 Opal Fuels LLC and Opal Fuels Inc., Class A common stock 2022-09-30 0001287750 arcc:OpalFuelsLLCAndOpalFuelsIncMember 2022-09-30 0001287750 PosiGen, Inc., Warrant to purchase up to 101,555 shares of series D-1 preferred stock 2022-09-30 0001287750 PosiGen, Inc., Warrant to purchase up to 1,112,022 shares of common stock 2022-09-30 0001287750 arcc:PosiGenIncMember 2022-09-30 0001287750 Potomac Intermediate Holdings II LLC, Series A units 2022-09-30 0001287750 Riverview Power LLC, First lien senior secured loan 2022-09-30 0001287750 SE1 Generation, LLC, Senior subordinated loan 2022-09-30 0001287750 Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, First lien senior secured loan 2022-09-30 0001287750 Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, Senior subordinated loan 2022-09-30 0001287750 arcc:SunrunAtlasDepositor20192LLCAndSunrunAtlasHoldings20192LLCMember 2022-09-30 0001287750 Sunrun Luna Holdco 2021, LLC, Senior subordinated revolving loan 2022-09-30 0001287750 Sunrun Luna Holdco 2021, LLC, Senior subordinated revolving loan 2 2022-09-30 0001287750 arcc:SunrunLunaHoldco2021LLCMember 2022-09-30 0001287750 Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, First lien senior secured loan 2022-09-30 0001287750 Sunrun Xanadu Issuer 2019-1, LLC and gSunrun Xanadu Holdings 2019-1, LLC, First lien senior secured loan 2022-09-30 0001287750 Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, Senior subordinated loan 2022-09-30 0001287750 Sunrun Xanadu Issuer 2019-1, LLC and gSunrun Xanadu Holdings 2019-1, LLC, Senior subordinated loan 2022-09-30 0001287750 arcc:SunrunXanaduIssuer20191LLCAndSunrunXanaduHoldings20191LLCMember 2022-09-30 0001287750 arcc:PowerGenerationMember 2022-09-30 0001287750 ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Aimbridge Acquisition Co., Inc., Second lien senior secured loan 2022-09-30 0001287750 American Residential Services L.L.C. and Aragorn Parent Holdings LP, Second lien senior secured loan 2022-09-30 0001287750 American Residential Services L.L.C. and Aragorn Parent Holdings LP, Series A preferred units 2022-09-30 0001287750 arcc:AmericanResidentialServicesLLCAndAragornParentHoldingsLPMember 2022-09-30 0001287750 ATI Restoration, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 ATI Restoration, LLC, First lien senior secured loan 2022-09-30 0001287750 ATI Restoration, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:ATIRestorationLLCMember 2022-09-30 0001287750 Belfor Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Belfor Holdings, Inc., First lien senior secured revolving loan 2 2022-09-30 0001287750 arcc:BelforHoldingsIncMember 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 2 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 3 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 4 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 5 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 6 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 7 2022-09-30 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., Warrant to purchase up to 718.66 shares 2022-09-30 0001287750 arcc:CiprianiUSAIncAndCiprianiGroupHoldingSARLMember 2022-09-30 0001287750 CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 CMG HoldCo, LLC and CMG Buyer Holdings, Inc., Common stock 2022-09-30 0001287750 arcc:CMGHoldCoLLCAndCMGBuyerHoldingsIncMember 2022-09-30 0001287750 Concert Golf Partners Holdco LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan 2022-09-30 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan 2 2022-09-30 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan 3 2022-09-30 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, Class A units 2022-09-30 0001287750 arcc:EssentialServicesHoldingCorporationAndOMERSMahomesInvestmentHoldingsLLCMember 2022-09-30 0001287750 Jenny C Acquisition, Inc., Senior subordinated loan 2022-09-30 0001287750 KeyStone Sub-debt HoldCo, LLC, Senior subordinated loan 2022-09-30 0001287750 KeyStone Sub-debt HoldCo, LLC, Senior subordinated loan 2 2022-09-30 0001287750 KeyStone Sub-debt HoldCo, LLC, Warrant to purchase up to 24.7581 Class C interests 2022-09-30 0001287750 arcc:KeyStoneSubDebtHoldCoLLCMember 2022-09-30 0001287750 LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC, First lien senior secured loan 2022-09-30 0001287750 LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC, First lien senior secured loan 2 2022-09-30 0001287750 LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC, First lien senior secured loan 3 2022-09-30 0001287750 LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC, Membership interest 2022-09-30 0001287750 arcc:LSPHoldcoLLCAndZBSMechanicalGroupCoInvestFund2LLCMember 2022-09-30 0001287750 ME Equity LLC, Common stock 2022-09-30 0001287750 Movati Athletic (Group) Inc., First lien senior secured loan 2022-09-30 0001287750 OTG Management, LLC, Class A preferred units 2022-09-30 0001287750 OTG Management, LLC, Common units 2022-09-30 0001287750 OTG Management, LLC, Warrant to purchase up to 7.73% of common units 2022-09-30 0001287750 arcc:OTGManagementLLCMember 2022-09-30 0001287750 Pueblo Mechanical and Controls, LLC and OMERS PMC Investment Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Pueblo Mechanical and Controls, LLC and OMERS PMC Investment Holdings, LLC, Class A units 2022-09-30 0001287750 arcc:PuebloMechanicalAndControlsLLCAndOMERSPMCInvestmentHoldingsLLCMember 2022-09-30 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, First lien senior secured loan 2022-09-30 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, Preferred membership units 2022-09-30 0001287750 arcc:PyramidManagementAdvisorsLLCAndPyramidInvestorsLLCMember 2022-09-30 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 2022-09-30 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 3 2022-09-30 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, Series D units 2022-09-30 0001287750 arcc:RedwoodServicesLLCAndRedwoodServicesHoldcoLLCMember 2022-09-30 0001287750 Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc., First lien senior secured loan 2022-09-30 0001287750 SV-Burton Holdings, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 2022-09-30 0001287750 SV-Burton Holdings, LLC and LBC Breeze Holdings LLC, Class A units 2022-09-30 0001287750 arcc:SVBurtonHoldingsLLCLBCBreezeHoldingsLLCMember 2022-09-30 0001287750 Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 2022-09-30 0001287750 Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., Class A units 2022-09-30 0001287750 arcc:TaymaxGroupLPTaymaxGroupGPLLCPFSalemCanadaULCAndTCPFitParentLPMember 2022-09-30 0001287750 The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc., First lien senior secured loan 2022-09-30 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan 2022-09-30 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan 2 2022-09-30 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 2022-09-30 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 2 2022-09-30 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, Class A units 2022-09-30 0001287750 arcc:TheArcticomGroupLLCAndAMCPMechanicalHoldingsLPMember 2022-09-30 0001287750 YE Brands Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 YE Brands Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:YEBrandsHoldingsLLCMember 2022-09-30 0001287750 arcc:ConsumerServicesMember 2022-09-30 0001287750 AI Aqua Merger Sub, Inc., First lien senior secured loan 2022-09-30 0001287750 API Commercial Inc., API Military Inc., and API Space Intermediate, Inc., First lien senior secured loan 2022-09-30 0001287750 Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., Common stock 2022-09-30 0001287750 arcc:ArrowheadHoldcoCompanyAndArrowheadGSHoldingsIncMember 2022-09-30 0001287750 BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:BlueHaloFinancingHoldingsLLCBlueHaloGlobalHoldingsLLCAndBlueHaloLLCMember 2022-09-30 0001287750 Burgess Point Purchaser Corporation, First lien senior secured loan 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured revolving loan 2 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 3 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 4 2022-09-30 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 5 2022-09-30 0001287750 arcc:CadenceAerospaceLLCMember 2022-09-30 0001287750 DFS Holding Company, Inc., First lien senior secured loan 2022-09-30 0001287750 DFS Holding Company, Inc., First lien senior secured loan 2 2022-09-30 0001287750 DFS Holding Company, Inc., First lien senior secured loan 3 2022-09-30 0001287750 arcc:DFSHoldingCompanyIncMember 2022-09-30 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured loan 2022-09-30 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, Common units 2022-09-30 0001287750 arcc:DynamicNCAerospaceHoldingsLLCAndDynamicNCInvestmentHoldingsLPMember 2022-09-30 0001287750 EPS NASS Parent, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 EPS NASS Parent, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:EPSNASSParentIncMember 2022-09-30 0001287750 ESCP PPG Holdings, LLC, Class A-1 units 2022-09-30 0001287750 ESCP PPG Holdings, LLC, Class A-2 units 2022-09-30 0001287750 arcc:ESCPPPGHoldingsLLCMember 2022-09-30 0001287750 Harvey Tool Company, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Harvey Tool Company, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:HarveyToolCompanyLLCMember 2022-09-30 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Senior subordinated loan 2022-09-30 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Series A preferred stock 2022-09-30 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Class A common stock 2022-09-30 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Class B common stock 2022-09-30 0001287750 Imaging Businhess Machines, L.L.C. and Scanner Holdings Corporation, Class B common stock 2022-09-30 0001287750 arcc:ImagingBusinessMachinesLLCAndScannerHoldingsCorporationMember 2022-09-30 0001287750 Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured loan 2022-09-30 0001287750 Kene Acquisition, Inc. and Kene Holdings, L.P., Class A units 2022-09-30 0001287750 arcc:KeneAcquisitionIncAndKeneHoldingsLPMember 2022-09-30 0001287750 Lower ACS, Inc., First lien senior secured loan 2022-09-30 0001287750 LTG Acquisition, Inc., Class A membership units 2022-09-30 0001287750 Maverick Acquisition, Inc., First lien senior secured loan 2022-09-30 0001287750 MB Aerospace Holdings II Corp., First lien senior secured loan 2022-09-30 0001287750 MB Aerospace Holdings II Corp., Second lien senior secured loan 2022-09-30 0001287750 MB Aerospace Holdings II Corp., Second lien senior secured loan 2 2022-09-30 0001287750 arcc:MBAerospaceHoldingsIICorpMember 2022-09-30 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP, First lien senior secured loan 2022-09-30 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP, First lien senior secured loan 2 2022-09-30 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP, Class A-2 common units 2022-09-30 0001287750 arcc:NCWSIntermediateIncAndNCWSHoldingsLPMember 2022-09-30 0001287750 Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC, Second lien senior secured loan 2022-09-30 0001287750 Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP., First lien senior secured loan 2022-09-30 0001287750 Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP., First lien senior secured loan 2 2022-09-30 0001287750 Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP., First lien senior secured loan 3 2022-09-30 0001287750 Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP., Class A units 2022-09-30 0001287750 arcc:PrecinmacUSHoldingsIncTrimasterManufacturingIncAndBladeGroupHoldingsLPMember 2022-09-30 0001287750 Prime Buyer, L.L.C., First lien senior secured revolving loan 2022-09-30 0001287750 Prime Buyer, L.L.C., First lien senior secured revolving loan 2 2022-09-30 0001287750 arcc:PrimeBuyerLLCMember 2022-09-30 0001287750 Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 2022-09-30 0001287750 Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 2 2022-09-30 0001287750 arcc:RadiusAerospaceIncAndRadiusAerospaceEuropeLimitedMember 2022-09-30 0001287750 Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon, First lien senior secured revolving loan 2022-09-30 0001287750 arcc:CapitalGoodsMember 2022-09-30 0001287750 Badger Sportswear Acquisition, Inc., Second lien senior secured loan 2022-09-30 0001287750 Bowhunter Holdings, LLC, Common units 2022-09-30 0001287750 Centric Brands LLC and Centric Brands GP LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Centric Brands LLC and Centric Brands GP LLC, First lien senior secured loan 2022-09-30 0001287750 Cehntric Brands LLC and Centric Brands GP LLC, First lien senior secured loan 2022-09-30 0001287750 Centric Brands LLC and Centric Brands GP LLC, Membership interests 2022-09-30 0001287750 arcc:CentricBrandsLLCAndCentricBrandsGPLLCMember 2022-09-30 0001287750 DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 2022-09-30 0001287750 DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 2 2022-09-30 0001287750 DRS Holdings III, Inc. and DRS Holdings I, Inc., Common stock 2022-09-30 0001287750 arcc:DRSHoldingsIIIIncAndDRSHoldingsIIncMember 2022-09-30 0001287750 Implus Footcare, LLC, First lien senior secured loan 2022-09-30 0001287750 Implus Footcare, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Implus Footcare, LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:ImplusFootcareLLCMember 2022-09-30 0001287750 Johnnie-O Inc. and Johnnie-O Holdings Inc., First lien senior secured loan 2022-09-30 0001287750 Johnnie-O Inc. and Johnnie-O Holdings Inc., Series A convertible preferred stock 2022-09-30 0001287750 Johnnie-O Inc. and Johnnie-O Holdings Inc., Warrant to purchase up to 76,491 shares of common stock 2022-09-30 0001287750 arcc:JohnnieOIncAndJohnnieOHoldingsIncMember 2022-09-30 0001287750 Lew's Intermediate Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Lew's Intermediate Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:LewsIntermediateHoldingsLLCMember 2022-09-30 0001287750 New Era Cap, LLC, First lien senior secured loan 2022-09-30 0001287750 Pelican Products, Inc., Second lien senior secured loan 2022-09-30 0001287750 Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, First lien senior secured loan 2022-09-30 0001287750 Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:RawlingsSportingGoodsCompanyIncAndEastonDiamondSportsLLCMember 2022-09-30 0001287750 Reef Lifestyle, LLC, First lien senior secured revolving loan 1 2022-09-30 0001287750 Reef Lifestyle, LLC, First lien senior secured revolving loan 2 2022-09-30 0001287750 Reef Lifestyle, LLC, First lien senior secured loan 1 2022-09-30 0001287750 Reef Lifestyle, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:ReefLifestyleLLCMember 2022-09-30 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC), Class B common units 2022-09-30 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC), Common units 2022-09-30 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC), Warrant to purchase up to 3,157,895 units 2022-09-30 0001287750 arcc:SToysHoldingsLLCFkaTheStep2CompanyLLCMember 2022-09-30 0001287750 SHO Holding I Corporation, Second lien senior secured loan 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, Class A preferred units 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, Class C preferred units 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, Preferred units 2022-09-30 0001287750 arcc:ShockDoctorIncAndShockDoctorHoldingsLLCMember 2022-09-30 0001287750 SVP-Singer Holdings Inc. and SVP-Singer Holdings LP, First lien senior secured loan 2022-09-30 0001287750 SVP-Singer Holdings Inc. and SVP-Singer Holdings LP, Class A common units 2022-09-30 0001287750 arcc:SVPSingerHoldingsIncAndSVPSingerHoldingsLPMember 2022-09-30 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc., First lien senior secured loan 2022-09-30 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc., Common stock 2022-09-30 0001287750 arcc:TotesIsotonerCorporationAndTotesUltimateHoldcoIncMember 2022-09-30 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, First lien senior secured loan 2022-09-30 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, Second lien senior secured loan 2022-09-30 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, Second lien senior secured loan 2 2022-09-30 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, Class A units 2022-09-30 0001287750 arcc:VarsityBrandsHoldingCoIncAndBCPEHerculesHoldingsLPMember 2022-09-30 0001287750 arcc:ConsumerDurablesAndApparelMember 2022-09-30 0001287750 Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 2022-09-30 0001287750 Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Preferred units 2022-09-30 0001287750 Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Class A common units 2022-09-30 0001287750 arcc:AutomotiveKeysGroupLLCAndAutomotiveKeysInvestorLLCMember 2022-09-30 0001287750 Continental Acquisition Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Continental Acquisition Holdings, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:ContinentalAcquisitionHoldingsIncMember 2022-09-30 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC, First lien senior secured loan 2022-09-30 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC, Class A common units 2022-09-30 0001287750 arcc:EcklerIndustriesIncAndEcklerPurchaserLLCMember 2022-09-30 0001287750 Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc., Warrant to purchase up to 633,008 shares of Class A common stock 2022-09-30 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, First lien senior secured loan 2022-09-30 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Second lien senior secured loan 2022-09-30 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Co-invest units 2022-09-30 0001287750 arcc:HighlineAftermarketAcquisitionLLCHighlineAftermarketSCAcquisitionIncAndHighlinePPCBlockerLLCMember 2022-09-30 0001287750 Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C., First lien senior secured loan 2022-09-30 0001287750 Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C., Preferred units 2022-09-30 0001287750 arcc:MacLeanFoggCompanyAndMacLeanFoggHoldingsLLCMember 2022-09-30 0001287750 Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, Series A preferred stock 2022-09-30 0001287750 Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, Class A-1 units 2022-09-30 0001287750 arcc:MavisTireExpressServicesTopcoCorpMetisHoldCoIncAndMetisTopCoLPMember 2022-09-30 0001287750 McLaren Group Limited, Senior preference shares 2022-09-30 0001287750 McLaren Group Limited, Warrant to purchase up to 49,181 ordinary shares 2022-09-30 0001287750 McLaren Group Limited, Warrant to purchase up to 13,776 ordinary shares 2022-09-30 0001287750 arcc:McLarenGroupLimitedMember 2022-09-30 0001287750 SK SPV IV, LLC, Series A common stock 2022-09-30 0001287750 SK SPV IV, LLC, Series B common stock 2022-09-30 0001287750 arcc:SKSPVIVLLCMember 2022-09-30 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 2022-09-30 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 2 2022-09-30 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, Class A units 2022-09-30 0001287750 arcc:SunAcquirerCorpAndSunTopCoLPMember 2022-09-30 0001287750 Wand Newco 3, Inc., Second lien senior secured loan 2022-09-30 0001287750 arcc:AutomobilesAndComponentsSectorMember 2022-09-30 0001287750 American Seafoods Group LLC and American Seafoods Partners LLC, Class A units 2022-09-30 0001287750 American Seafoods Group LLC and American Seafoods Partners LLC, Warrant to purchase up to 7,422,078 Class A units 2022-09-30 0001287750 arcc:AmericanSeafoodsGroupLLCAndAmericanSeafoodsPartnersLLCMember 2022-09-30 0001287750 Berner Food & Beverage, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured loan 2022-09-30 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P., Common units 2022-09-30 0001287750 arcc:BraggLiveFoodProductsLLCAndSPCInvestmentCoLPMember 2022-09-30 0001287750 CHG PPC Parent LLC & PPC CHG Blocker LLC, Second lien senior secured loan 2022-09-30 0001287750 CHG PPC Parent LLC & PPC CHG Blocker LLC, Common units 2022-09-30 0001287750 arcc:CHGPPCParentLLCPPCCHGBlockerLLCMember 2022-09-30 0001287750 Florida Food Products, LLC, First lien senior secured loan 2022-09-30 0001287750 Florida Food Products, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Florida Food Products, LLC, Second lien senior secured loan 2022-09-30 0001287750 arcc:FloridaFoodProductsLLCMember 2022-09-30 0001287750 GF Parent LLC, Class A preferred units 2022-09-30 0001287750 GF Parent LLC, Class A common units 2022-09-30 0001287750 GF Parent LLC, Class B common units 2022-09-30 0001287750 arcc:GFParentLLCMember 2022-09-30 0001287750 Gotham Greens Holdings, PBC, First lien senior secured loan 2022-09-30 0001287750 Gotham Greens Holdings, PBC, Series E-1 preferred stock 2022-09-30 0001287750 Gotham Greens Holdings, PBC, Warrant to purchase up to 43,154 shares of Series E-1 preferred stock 2022-09-30 0001287750 arcc:GothamGreensHoldingsPBCMember 2022-09-30 0001287750 Hometown Food Company, First lien senior secured revolving loan 2022-09-30 0001287750 KC Culinarte Intermediate, LLC, First lien senior secured loan 2022-09-30 0001287750 KC Culinarte Intermediate, LLC, Second lien senior secured loan 2022-09-30 0001287750 arcc:KCCulinarteIntermediateLLCMember 2022-09-30 0001287750 KNPC HoldCo, LLC, First lien senior secured loan 2022-09-30 0001287750 Manna Pro Products, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 RB Holdings InterCo, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 RB Holdings InterCo, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:RBHoldingsInterCoLLCMember 2022-09-30 0001287750 RF HP SCF Investor, LLC, Membership interest 2022-09-30 0001287750 Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan 2022-09-30 0001287750 Teasdale Foods, Inc. and Familia Group Holdings Inc., Warrant to purchase up to 57,827 shares of common stock 2022-09-30 0001287750 arcc:TeasdaleFoodsIncAndFamiliaGroupHoldingsIncMember 2022-09-30 0001287750 Triton Water Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Triton Water Holdings, Inc., Senior subordinated loan 2022-09-30 0001287750 arcc:TritonWaterHoldingsIncMember 2022-09-30 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC, Class A units 2022-09-30 0001287750 arcc:WatermillExpressLLCAndWatermillExpressHoldingsLLCMember 2022-09-30 0001287750 Winebow Holdings, Inc. and The Vintner Group, Inc., First lien senior secured loan 2022-09-30 0001287750 us-gaap-supplement:FoodAndBeverageSectorMember 2022-09-30 0001287750 Abzena Holdings, Inc. and Astro Group Holdings Ltd., First lien senior secured loan 2022-09-30 0001287750 Abzena Holdings, Inc. and Astro Group Holdings Ltd., First lien senior secured loan 2 2022-09-30 0001287750 Abzena Holdings, Inc. and Astro Group Holdings Ltd., A ordinary shares 2022-09-30 0001287750 arcc:AbzenaHoldingsIncAndAstroGroupHoldingsLtdMember 2022-09-30 0001287750 Alcami Corporation and ACM Holdings I, LLC, First lien senior secured loan 2022-09-30 0001287750 Alcami Corporation and ACM Holdings I, LLC, Second lien senior secured loan 2022-09-30 0001287750 Alcami Corporation and ACM Holdings I, LLC, Common units 2022-09-30 0001287750 arcc:AlcamiCorporationAndACMHoldingsILLCMember 2022-09-30 0001287750 Amryt Pharmaceuticals, Inc., First lien senior secured loan 2022-09-30 0001287750 Athyrium Buffalo LP, Limited partnership interests 2022-09-30 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 2022-09-30 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Preferred units 2022-09-30 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Series A preferred shares 2022-09-30 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Class A common units 2022-09-30 0001287750 arcc:CobaltBuyerSubIncCobaltHoldingsILPAndCobaltIntermediateIIncMember 2022-09-30 0001287750 Covaris Intermediate 3, LLC & Covaris Parent, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Covaris Intermediate 3, LLC & Covaris Parent, LLC, First lien senior secured loan 2022-09-30 0001287750 Covaris Intermediate 3, LLC & Covaris Parent, LLC, Class A-2 units 2022-09-30 0001287750 arcc:CovarisIntermediate3LLCCovarisParentLLCMember 2022-09-30 0001287750 NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 2022-09-30 0001287750 NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:NMCSkincareIntermediateHoldingsIILLCMember 2022-09-30 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 2022-09-30 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 2 2022-09-30 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 3 2022-09-30 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 4 2022-09-30 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Class A preferred units 2022-09-30 0001287750 arcc:NorthAmericanScienceAssociatesLLCCardinalPurchaserLLCAndCardinalTopcoHoldingsLPMember 2022-09-30 0001287750 TerSera Therapeutics LLC, First lien senior secured loan 2022-09-30 0001287750 TerSera Therapeutics LLC, First lien senior secured loan 2 2022-09-30 0001287750 TerSera Therapeutics LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:TerSeraTherapeuticsLLCMember 2022-09-30 0001287750 Verista, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Verista, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:VeristaIncMember 2022-09-30 0001287750 Vertice Pharma UK Parent Limited, Preferred shares 2022-09-30 0001287750 arcc:PharmaceuticalsBiotechnologyAndLifeSciencesMember 2022-09-30 0001287750 Atlas Intermediate III, L.L.C., First lien senior secured revolving loan 2022-09-30 0001287750 Atlas Intermediate III, L.L.C., First lien senior secured loan 2022-09-30 0001287750 Atlas Intermediate III, L.L.C., First lien senior secured loan 2 2022-09-30 0001287750 Atlas Intermediate III, L.L.C., First lien senior secured loan 3 2022-09-30 0001287750 arcc:AtlasIntermediateIIILLCMember 2022-09-30 0001287750 Bamboo Purchaser, Inc., First lien senior secured loan 2022-09-30 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 2022-09-30 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 2 2022-09-30 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 3 2022-09-30 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., Common units 2022-09-30 0001287750 arcc:DisplayHoldingCompanyIncSaldonHoldingsIncAndFastsignsHoldingsIncMember 2022-09-30 0001287750 GPM Investments, LLC and ARKO Corp., Common stock 2022-09-30 0001287750 GPM Investments, LLC and ARKO Corp., Warrant to purchase up to 1,088,780 units of common stock 2022-09-30 0001287750 arcc:GPMInvestmentsLLCAndARKOCorpMember 2022-09-30 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, Class A common units 2022-09-30 0001287750 arcc:MarconeYellowstoneBuyerIncAndMarconeYellowstoneHoldingsLLCMember 2022-09-30 0001287750 McKenzie Creative Brands, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 McKenzie Creative Brands, LLC, First lien senior secured loan 2022-09-30 0001287750 McKenzie Creative Brands, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:McKenzieCreativeBrandsLLCMember 2022-09-30 0001287750 Monolith Brands Group, Inc., Series A-1 preferred stock 2022-09-30 0001287750 Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP, First lien senior secured loan 2022-09-30 0001287750 Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP, Limited partnership interests 2022-09-30 0001287750 arcc:MoonValleyNurseryOfArizonaRetailLLCMoonValleyNurseryFarmHoldingsLLCMoonValleyNurseryREHoldingsLLCAndStonecourtIVPartnersLPMember 2022-09-30 0001287750 North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, First lien senior secured loan 2022-09-30 0001287750 North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, First lien senior secured loan 2 2022-09-30 0001287750 North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, Class A units 2022-09-30 0001287750 arcc:NorthHavenFalconBuyerLLCAndNorthHavenFalconHoldingCompanyLLCMember 2022-09-30 0001287750 Reddy Ice LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Reddy Ice LLC, First lien senior secured loan 2022-09-30 0001287750 Reddy Ice LLC, First lien senior secured loan 2 2022-09-30 0001287750 Reddy Ice LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:ReddyIceLLCMember 2022-09-30 0001287750 SCIH Salt Holdings Inc., First lien senior secured revolving loan 2022-09-30 0001287750 US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., First lien senior secured loan 2022-09-30 0001287750 US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., Limited partner interests 2022-09-30 0001287750 arcc:USSaltInvestorsLLCAndEmeraldLakePearlAcquisitionALPMember 2022-09-30 0001287750 arcc:RetailingAndDistributionMember 2022-09-30 0001287750 Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan 2022-09-30 0001287750 Aventine Intermediate LLC & Aventine Holdings II LLC, Senior subordinated loan 2022-09-30 0001287750 arcc:AventineIntermediateLLCAventineHoldingsIILLCMember 2022-09-30 0001287750 Axiomatic, LLC, Class A-1 units 2022-09-30 0001287750 CMW Parent LLC (fka Black Arrow, Inc.), Series A units 2022-09-30 0001287750 Global Music Rights, LLC, First lien senior secured loan 2022-09-30 0001287750 MailSouth, Inc., First lien senior secured loan 2022-09-30 0001287750 Miami Beckham United LLC, Class A preferred units 2022-09-30 0001287750 OUTFRONT Media Inc., Series A convertible perpetual preferred stock 2022-09-30 0001287750 Padres L.P., First lien senior secured loan 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 1 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 2 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 3 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 4 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, Class A units 2022-09-30 0001287750 arcc:ProductionResourceGroupLLCAndPRGIIILLCMember 2022-09-30 0001287750 Professional Fighters League, LLC and PFL MMA, Inc., First lien senior secured loan 2022-09-30 0001287750 Professional Fighters League, LLC and PFL MMA, Inc., Series E preferred stock 2022-09-30 0001287750 Professional Fighters League, LLC and PFL MMA, Inc., Warrant to purchase up to 3,223,122 shares of common stock 2022-09-30 0001287750 arcc:ProfessionalFightersLeagueLLCAndPFLMMAIncMember 2022-09-30 0001287750 Storm Investment S.a.r.l., First lien senior secured loan 2022-09-30 0001287750 Storm Investment S.a.r.l., Class A redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class B redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class C redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class D redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class E redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class F redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class G redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class H redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Class I redeemable shares 2022-09-30 0001287750 Storm Investment S.a.r.l., Ordinary shares 2022-09-30 0001287750 arcc:StormInvestmentSarlMember 2022-09-30 0001287750 The Teaching Company Holdings, Inc., Preferred stock 2022-09-30 0001287750 The Teaching Company Holdings, Inc., Common stock 2022-09-30 0001287750 arcc:TheTeachingCompanyHoldingsIncMember 2022-09-30 0001287750 arcc:MediaAndEntertainmentMember 2022-09-30 0001287750 Calyx Energy III, LLC, First lien senior secured loan 2022-09-30 0001287750 Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC, Second lien senior secured loan 2022-09-30 0001287750 GNZ Energy Bidco Limited and Galileo Co-investment Trust I, First lien senior secured loan 2022-09-30 0001287750 GNZ Energy Bidco Limited and Galileo Co-investment Trust I, Common units 2022-09-30 0001287750 arcc:GNZEnergyBidcoLimitedAndGalileoCoInvestmentTrustIMember 2022-09-30 0001287750 Halcon Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Murchison Oil and Gas, LLC and Murchison Holdings, LLC, First lien senior secured loan 2022-09-30 0001287750 Murchison Oil and Gas, LLC and Murchison Holdings, LLC, Preferred units 2022-09-30 0001287750 arcc:MurchisonOilAndGasLLCAndMurchisonHoldingsLLCMember 2022-09-30 0001287750 Offen, Inc., First lien senior secured loan 2022-09-30 0001287750 SilverBow Resources, Inc., Common stock 2022-09-30 0001287750 VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 2022-09-30 0001287750 VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 2 2022-09-30 0001287750 VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 3 2022-09-30 0001287750 VPROP Operating, LLC and V SandCo, LLC, Class A units 2022-09-30 0001287750 arcc:VPROPOperatingLLCAndVSandCoLLCMember 2022-09-30 0001287750 us-gaap-supplement:EnergySectorMember 2022-09-30 0001287750 Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Second lien senior secured loan 2022-09-30 0001287750 Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Class A preferred units 2022-09-30 0001287750 Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Series A preferred shares 2022-09-30 0001287750 arcc:BalrogAcquisitionIncBalrogTopcoIncAndBalrogParentLPMember 2022-09-30 0001287750 Continental Café, LLC and Infinity Ovation Yacht Charters, LLC, First lien senior secured loan 2022-09-30 0001287750 DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured revolving loan 2022-09-30 0001287750 DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured loan 2022-09-30 0001287750 DecoPac, Inc. and KCAKE Holdings Inc., Common stock 2022-09-30 0001287750 arcc:DecoPacIncAndKCAKEHoldingsIncMember 2022-09-30 0001287750 FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured loan 2022-09-30 0001287750 FS Squared Holding Corp. and FS Squared, LLC, Class A units 2022-09-30 0001287750 arcc:FSSquaredHoldingCorpAndFSSquaredLLCMember 2022-09-30 0001287750 JWC/KI Holdings, LLC, Membership units 2022-09-30 0001287750 SFE Intermediate Holdco LLC, First lien senior secured revolving loan 2022-09-30 0001287750 SFE Intermediate Holdco LLC, First lien senior secured loan 1 2022-09-30 0001287750 SFE Intermediate Holdco LLC, First lien senior secured loan 2 2022-09-30 0001287750 SFE Intermediate Holdco LLC, First lien senior secured loan 3 2022-09-30 0001287750 arcc:SFEIntermediateHoldcoLLCMember 2022-09-30 0001287750 VCP-EDC Co-Invest, LLC, Membership units 2022-09-30 0001287750 ZB Holdco LLC & ZB Parent LLC, First lien senior secured revolving loan 2022-09-30 0001287750 ZB Holdco LLC & ZB Parent LLC, First lien senior secured loan 2022-09-30 0001287750 ZB Holdco LLC & ZB Parent LLC, Series A units 2022-09-30 0001287750 arcc:ZBHoldcoLLCZBParentLLCMember 2022-09-30 0001287750 arcc:FoodAndStaplesRetailingMember 2022-09-30 0001287750 ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan 2022-09-30 0001287750 ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, Class A units 2022-09-30 0001287750 arcc:ASPRPacAcquisitionCoLLCAndASPRPacHoldingsLPMember 2022-09-30 0001287750 Coyote Buyer, LLC, First lien senior secured loan 2022-09-30 0001287750 Coyote Buyer, LLC, First lien senior secured loan 2 2022-09-30 0001287750 arcc:CoyoteBuyerLLCMember 2022-09-30 0001287750 Genomatica, Inc., Warrant to purchase 322,422 shares of Series D preferred stock 2022-09-30 0001287750 Halex Holdings, Inc., Common stock 2022-09-30 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 2022-09-30 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 2 2022-09-30 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 3 2022-09-30 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, Second lien senior secured loan 2022-09-30 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, Common units 2022-09-30 0001287750 arcc:HFoodHoldingsLLCAndMatterhornParentLLCMember 2022-09-30 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 2022-09-30 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 2022-09-30 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 2 2022-09-30 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 3 2022-09-30 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., Class A preferred units 2022-09-30 0001287750 arcc:NelipakHoldingCompanyNelipakEuropeanHoldingsCooperatiefUAKNPAKHoldingsLPAndPAKNKNetherlandsTreasuryBVMember 2022-09-30 0001287750 Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 2022-09-30 0001287750 Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class A preferred units 2022-09-30 0001287750 Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class C units 2022-09-30 0001287750 arcc:NovipaxBuyerLLCAndNovipaxParentHoldingCompanyLLCMember 2022-09-30 0001287750 Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, First lien senior secured loan 2022-09-30 0001287750 Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Second lien senior secured loan 2022-09-30 0001287750 Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Co-Invest units 2022-09-30 0001287750 arcc:PlaskolitePPCIntermediateIILLCAndPlaskolitePPCBlockerLLCMember 2022-09-30 0001287750 Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan 2022-09-30 0001287750 Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 2022-09-30 0001287750 Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 2 2022-09-30 0001287750 Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 3 2022-09-30 0001287750 arcc:PrecisionConceptsInternationalLLCAndPrecisionConceptsCanadaCorporationMember 2022-09-30 0001287750 SCI PH Parent, Inc., Series B shares 2022-09-30 0001287750 arcc:MaterialsSectorMember 2022-09-30 0001287750 Chariot Buyer LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Chariot Buyer LLC, Second lien senior secured loan 2022-09-30 0001287750 arcc:ChariotBuyerLLCMember 2022-09-30 0001287750 Everspin Technologies, Inc., Warrant to purchase up to 18,461 shares of common stock 2022-09-30 0001287750 ITI Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 ITI Holdings, Inc., First lien senior secured revolving loan 2 2022-09-30 0001287750 ITI Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 arcc:ITIHoldingsIncMember 2022-09-30 0001287750 Micromeritics Instrument Corp., First lien senior secured revolving loan 2022-09-30 0001287750 Micromeritics Instrument Corp., First lien senior secured loan 2022-09-30 0001287750 arcc:MicromeriticsInstrumentCorpMember 2022-09-30 0001287750 Repairify, Inc. and Repairify Holdings, LLC, Class A common units 2022-09-30 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, First lien senior secured revolving loan 2022-09-30 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, First lien senior secured loan 2022-09-30 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, First lien senior secured loan 2 2022-09-30 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, First lien senior secured loan 3 2022-09-30 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, Limited partnership interests 2022-09-30 0001287750 arcc:WildcatBuyerCoIncAndWildcatParentLPMember 2022-09-30 0001287750 arcc:TechnologyHardwareAndEquipmentMember 2022-09-30 0001287750 Commercial Trailer Leasing, Inc., First lien senior secured loan 2022-09-30 0001287750 Commercial Trailer Leasing, Inc., Second lien senior secured loan 2022-09-30 0001287750 arcc:CommercialTrailerLeasingIncMember 2022-09-30 0001287750 Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 2022-09-30 0001287750 Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., Common stock 2022-09-30 0001287750 arcc:ShurCoAcquisitionIncAndShurCoHoldCoIncMember 2022-09-30 0001287750 arcc:TransportationMember 2022-09-30 0001287750 ASP Dream Acquisition Co LLC, First lien senior secured loan 2022-09-30 0001287750 Excelligence Holdings Corp., First lien senior secured loan 2022-09-30 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured revolving loan 2022-09-30 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 2 2022-09-30 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., Series A preferred stock 2022-09-30 0001287750 arcc:FlinnScientificIncAndWCIQuantumHoldingsIncMember 2022-09-30 0001287750 National College of Business and Technology Inc. & Leeds IV Advisors, Inc., Senior preferred series A-1 shares 2022-09-30 0001287750 National College of Business and Technology Inc. & Leeds IV Advisors, Inc., Series B preferred stock 2022-09-30 0001287750 National College of Business and Technology Inc. & Leeds IV Advisors, Inc., Series B preferred stock 2 2022-09-30 0001287750 National College of Business and Technology Inc. & Leeds IV Advisors, Inc., Series C preferred stock 2022-09-30 0001287750 National College of Business and Technology Inc. & Leeds IV Advisors, Inc., Series C preferred stock 2 2022-09-30 0001287750 National College of Business and Technology Inc. & Leeds IV Advisors, Inc., Common stock 2022-09-30 0001287750 arcc:NationalCollegeOfBusinessAndTechnologyIncLeedsIVAdvisorsIncMember 2022-09-30 0001287750 arcc:EducationMember 2022-09-30 0001287750 CDI Holdings III Corp. and CDI Holdings I Corp., First lien senior secured loan 2022-09-30 0001287750 CDI Holdings III Corp. and CDI Holdings I Corp., Common stock 2022-09-30 0001287750 arcc:CDIHoldingsIIICorpAndCDIHoldingsICorpMember 2022-09-30 0001287750 Foundation Consumer Brands, LLC, First lien senior secured loan 2022-09-30 0001287750 Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured revolving loan 2022-09-30 0001287750 Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured loan 2022-09-30 0001287750 Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., Limited partner interests 2022-09-30 0001287750 arcc:PremierSpecialtiesIncAndRMCFVCIVXLIVLPMember 2022-09-30 0001287750 Rug Doctor, LLC and RD Holdco Inc., Second lien senior secured loan 2022-09-30 0001287750 Rug Doctor, LLC and RD Holdco Inc., Common stock 2022-09-30 0001287750 Rug Doctor, LLC and RD Holdco Inc., Warrant to purchase up to 56,372 shares of common stock 2022-09-30 0001287750 arcc:RugDoctorLLCAndRDHoldcoIncMember 2022-09-30 0001287750 Walnut Parent, Inc., First lien senior secured loan 2022-09-30 0001287750 Walnut Parent, Inc., First lien senior secured loan 2 2022-09-30 0001287750 arcc:WalnutParentIncMember 2022-09-30 0001287750 arcc:HouseholdAndPersonalProductsMember 2022-09-30 0001287750 Aventiv Technologies, LLC and Securus Technologies Holdings, Inc., First lien senior secured loan 2022-09-30 0001287750 Aventiv Technologies, LLC and Securus Technologies Holdings, Inc., Second lien senior secured loan 2022-09-30 0001287750 arcc:AventivTechnologiesLLCAndSecurusTechnologiesHoldingsIncMember 2022-09-30 0001287750 Emergency Communications Network, LLC, First lien senior secured revolving loan 2022-09-30 0001287750 Emergency Communications Network, LLC, First lien senior secured loan 2022-09-30 0001287750 arcc:EmergencyCommunicationsNetworkLLCMember 2022-09-30 0001287750 arcc:TelecommunicationServicesMember 2022-09-30 0001287750 CAD, Royal Bank of Canada, Company Settlement Date July 28, 2022, Contract One 2022-09-30 iso4217:CAD 0001287750 CAD, Royal Bank of Canada, Company Settlement Date July 19, 2022, Contract One 2022-09-30 0001287750 EURO, Royal Bank of Canada, Company Settlement Date July 28, 2022 2022-09-30 iso4217:EUR 0001287750 GBP, Royal Bank of Canada, Company Settlement Date July 28, 2022, Contract One 2022-09-30 iso4217:GBP 0001287750 GBP, Royal Bank of Canada, Company Settlement Date July 28, 2022, Contract Two 2022-09-30 0001287750 CAD, Royal Bank of Canada, Company Settlement Date July 8, 2022 2022-09-30 0001287750 USD, Royal Bank of Canada, Company Settlement Date July 28, 2022 2022-09-30 0001287750 Apex Clean Energy TopCo, LLC 2022-01-01 2022-09-30 0001287750 Apex Clean Energy TopCo, LLC 2022-09-30 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC 2022-01-01 2022-09-30 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC 2022-09-30 0001287750 Blue Wolf Capital Fund II, L.P. 2022-01-01 2022-09-30 0001287750 Blue Wolf Capital Fund II, L.P. 2022-09-30 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P. 2022-01-01 2022-09-30 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P. 2022-09-30 0001287750 ESCP PPG Holdings, LLC 2022-01-01 2022-09-30 0001287750 ESCP PPG Holdings, LLC 2022-09-30 0001287750 European Capital UK SME Debt LP 2022-01-01 2022-09-30 0001287750 European Capital UK SME Debt LP 2022-09-30 0001287750 PCG-Ares Sidecar Investment, L.P. 2022-01-01 2022-09-30 0001287750 PCG-Ares Sidecar Investment, L.P. 2022-09-30 0001287750 PCG-Ares Sidecar Investment II, L.P. 2022-01-01 2022-09-30 0001287750 PCG-Ares Sidecar Investment II, L.P. 2022-09-30 0001287750 Primrose Holding Corporation 2022-01-01 2022-09-30 0001287750 Primrose Holding Corporation 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC 2022-01-01 2022-09-30 0001287750 Production Resource Group, L.L.C. and PRG III, LLC 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2022-01-01 2022-09-30 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2022-09-30 0001287750 Sundance Energy Inc. 2022-01-01 2022-09-30 0001287750 Sundance Energy Inc. 2022-09-30 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 2022-01-01 2022-09-30 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 2022-09-30 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC 2022-01-01 2022-09-30 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC 2022-09-30 0001287750 ACAS Equity Holdings Corporation 2022-01-01 2022-09-30 0001287750 ACAS Equity Holdings Corporation 2022-09-30 0001287750 ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. 2022-01-01 2022-09-30 0001287750 ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. 2022-09-30 0001287750 CoLTs 2005-1 Ltd. 2022-01-01 2022-09-30 0001287750 CoLTs 2005-1 Ltd. 2022-09-30 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC 2022-01-01 2022-09-30 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC 2022-09-30 0001287750 Halex Holdings, Inc. 2022-01-01 2022-09-30 0001287750 Halex Holdings, Inc. 2022-09-30 0001287750 HCI Equity, LLC 2022-01-01 2022-09-30 0001287750 HCI Equity, LLC 2022-09-30 0001287750 Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 2022-01-01 2022-09-30 0001287750 Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 2022-09-30 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation 2022-01-01 2022-09-30 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation 2022-09-30 0001287750 Ivy Hill Asset Management, L.P. 2022-01-01 2022-09-30 0001287750 Ivy Hill Asset Management, L.P. 2022-09-30 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 2022-01-01 2022-09-30 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 2022-09-30 0001287750 Navisun LLC and Navisun Holdings LLC 2022-01-01 2022-09-30 0001287750 Navisun LLC and Navisun Holdings LLC 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P. and Asclepius Hodlings LLC 2022-01-01 2022-09-30 0001287750 Olympia Acquisition, Inc., Olympia TopCo, L.P. and Asclepius Hodlings LLC 2022-09-30 0001287750 Potomac Intermediate Holdings II LLC 2022-01-01 2022-09-30 0001287750 Potomac Intermediate Holdings II LLC 2022-09-30 0001287750 PS Operating Company LLC and PS Op Holdings LLC 2022-01-01 2022-09-30 0001287750 PS Operating Company LLC and PS Op Holdings LLC 2022-09-30 0001287750 Rug Doctor, LLC and RD Holdco Inc. 2022-01-01 2022-09-30 0001287750 Rug Doctor, LLC and RD Holdco Inc. 2022-09-30 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC) 2022-01-01 2022-09-30 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC) 2022-09-30 0001287750 Senior Direct Lending Program, LLC 2022-01-01 2022-09-30 0001287750 Senior Direct Lending Program, LLC 2022-09-30 0001287750 Startec Equity, LLC 2022-01-01 2022-09-30 0001287750 Startec Equity, LLC 2022-09-30 0001287750 VPROP Operating, LLC and V SandCo, LLC 2022-01-01 2022-09-30 0001287750 VPROP Operating, LLC and V SandCo, LLC 2022-09-30 0001287750 arcc:SubordinatedCertificatesOfTheSDLPMember arcc:AresCapitalCorporationMember srt:MinimumMember 2022-09-30 0001287750 McKenzie Creative Brands, LLC, First lien senior secured loan, First Out Tranche 2022-09-30 0001287750 DFC Global Facility Borrower III LLC, First lien senior secured revolving loan, Secured borrowing 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Absolute Dental Group LLC and Absolute Dental Equity, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Abzena Holdings, Inc. and Astro Group Holdings Ltd. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ADG, LLC and RC IV GEDC Investor LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Advarra Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AI Fire Buyer, Inc. and AI Fire Parent LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AIM Acquisition, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Alcami Corporation and ACM Holdings I, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember American Residential Services L.L.C. and Aragorn Parent Holdings LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Anaplan, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember APG Intermediate Holdings Corporation and APG Holdings, LLC 2022-09-30 0001287750 Applied Technical Services, LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Apptio, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AQ Sage Buyer, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AQ Sunshine, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Ardonagh Midco 2 plc and Ardonagh Midco 3 plc 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Argenbright Holdings V, LLC and Amberstone Security Group Limited 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Arrowhead Holdco Company and Arrowhead GS Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ATI Restoration, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Atlas Intermediate III, L.L.C. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Aventine Intermediate LLC & Aventine Holdings II LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Avetta, LLC 2022-09-30 0001287750 AxiomSL Group, Inc. and Calypso Group, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Banyan Software Holdings, LLC and Banyan Software, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Beacon Pointe Harmony, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Belfor Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Benecon Midco II LLC and Locutus Holdco LLC 2022-09-30 0001287750 Benefytt Technologies, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Berner Food & Beverage, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Borrower R365 Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Bottomline Technologies, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Bragg Live Food Products, LLC and SPC Investment Co., L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Businessolver.com, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cadence Aerospace, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Captive Resources Midco, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CCS-CMGC Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CDI Holdings III Corp. and CDI Holdings I Corp. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Center for Autism and Related Disorders, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Centric Brands LLC and Centric Brands GP LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Chariot Buyer LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CMG HoldCo, LLC and CMG Buyer Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Commercial Trailer Leasing, Inc. 2022-09-30 0001287750 Community Brands ParentCo, LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Compex Legal Services, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Comprehensive EyeCare Partners, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Concert Golf Partners Holdco LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Continental Café, LLC and Infinity Ovation Yacht Charters, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Convera International Holdings Limited and Convera International Financial S.A R.L. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CoreLogic, Inc. and T-VIII Celestial Co-Invest LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Covaris Intermediate 3, LLC & Covaris Parent, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Coyote Buyer, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CrossCountry Mortgage, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CST Buyer Company (d/b/a Intoxalock) 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DecoPac, Inc. and KCAKE Holdings Inc. 2022-09-30 0001287750 Denali Holdco LLC and Denali Apexco LP arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DFC Global Facility Borrower III LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Diligent Corporation and Diligent Preferred Issuer, Inc. 2022-09-30 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DRS Holdings III, Inc. and DRS Holdings I, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DS Admiral Bidco, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Dye & Durham Corporation 2022-09-30 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Eckler Industries, Inc. and Eckler Purchaser LLC 2022-09-30 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Elevation Services Parent Holdings, LLC 2022-09-30 0001287750 Emergency Communications Network, LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember EP Wealth Advisors, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember EpiServer Inc. and Episerver Sweden Holdings AB 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember EPS NASS Parent, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember eResearch Technology, Inc. and Astorg VII Co-Invest ERT 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ESHA Research, LLC and RMCF VI CIV XLVIII, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Explorer Investor, Inc 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Extrahop Networks, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember FL Hawk Intermediate Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember FM:Systems Group, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Forescout Technologies, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Foundation Risk Partners, Corp. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember FS Squared Holding Corp. and FS Squared, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Galway Borrower LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Genesis Acquisition Co. and Genesis Ultimate Holding Co. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GI Ranger Intermediate LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Global Music Rights, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GNZ Energy Bidco Limited and Galileo Co-Investment 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Gotham Greens Holdings, PBC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Green Street Parent, LLC and Green Street Intermediate Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember HAI Acquisition Corporation and Aloha Topco, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Halcon Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Harvey Tool Company, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember HealthEdge Software, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Heavy Construction Systems Specialists, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Help/Systems Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember HGC Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember HH-Stella, Inc. and Bedrock Parent Holdings, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember High Street Buyer, Inc. and High Street Holdco LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Hometown Food Company 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP 2022-09-30 0001287750 IQN Holding Corp. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ISQ Hawkeye Holdco, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ITI Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember JDC Healthcare Management, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember K2 Insurance Services, LLC and K2 Holdco LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Kaseya Inc. and Knockout Intermediate Holdings I Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember KBHS Acquisition, LLC (d/b/a Alita Care, LLC) 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Kene Acquisition, Inc. and Kene Holdings, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Laboratories Bidco LLC and Laboratories Topco LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember LeanTaaS Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Lew's Intermediate Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Lido Advisors, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember LJP Purchaser, Inc. and LJP Topco, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Lower ACS, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Magnesium BorrowerCo, Inc. and Magnesium Co-Invest SCSp 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Majesco and Magic Topco, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Management Consulting & Research LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Manna Pro Products, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Marmic Purchaser, LLC and Marmic Topco, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Maverick Acquisition, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember McKenzie Creative Brands, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Medline Borrower, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Micromeritics Instrument Corp. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember MMIT Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Monica Holdco (US) Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember MRI Software LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Murchison Oil and Gas, LLC and Murchison Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember n2y Holding, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember NAS, LLC and Nationwide Marketing Group, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember National Intergovernmental Purchasing Alliance Company 2022-09-30 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember NMC Skincare Intermediate Holdings II, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember NMN Holdings III Corp. and NMN Holdings LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Noble Aerospace, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember North Haven Stack Buyer, LLC 2022-09-30 0001287750 Offen, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember OneDigital Borrower LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Padres L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pathway Vet Alliance LLC and Jedi Group Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Patriot Growth Insurance Services, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Paya, Inc and GTCR-Ultra Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember PDDS HoldCo, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pelican Products, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember People Corporation 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Perforce Software, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Petroleum Service Group LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Petvisor Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pluralsight, Inc. 2022-09-30 0001287750 Precision Concepts International LLC and Precision Concepts Canada Corporation arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Prime Buyer, L.L.C. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Project Essential Bidco, Inc. and Project Essential Super Parent, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Project Potter Buyer, LLC and Project Potter Parent, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Proofpoint, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember PS Operating Company LLC and PS Op Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pueblo Mechanical and Controls, LLC and OMERS PMC Investment Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Pyramid Management Advisors, LLC and Pyramid Investors, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember QF Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Radius Aerospace, Inc. and Radius Aerospace Europe Limited 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember RB Holdings InterCo, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Reddy Ice LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Redwood Services, LLC and Redwood Services Holdco, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Reef Lifestyle, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Relativity ODA LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Repairify, Inc. and Repairify Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Revalize, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Rialto Management Group, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Riser Merger Sub, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember RMS HoldCo II, LLC & RMS Group Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Rodeo AcquisitionCo LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc. 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arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember SM Wellness Holdings, Inc. and SM Holdco, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Smarsh Inc. and Skywalker TopCo, LLC 2022-09-30 0001287750 SOC Telemed, Inc. and PSC Spark Holdings, LP arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Star US Bidco LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Stealth Holding LLC and UCIT Online Security Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Sun Acquirer Corp. and Sun TopCo, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Sundance Group Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Sunrun Luna Holdco 2021, LLC 2022-09-30 0001287750 SV-Burton Holdings, LLC and LBC Breeze Holdings LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember TA/WEG Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember TCP Hawker Intermediate LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember TerSera Therapeutics LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember The Arcticom Group, LLC and AMCP Mechanical Holdings, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC 2022-09-30 0001287750 The NPD Group, L.P., IRI Group Holdings, Inc., Information Resources, Inc. and IRI-NPD Co-Invest Aggregator, L.P. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember The Ultimate Software Group, Inc. and H&F Unite Partners, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Therapy Brands Holdings LLC 2022-09-30 0001287750 Thermostat Purchaser III, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 THG Acquisition, LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Two Six Labs, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember United Digestive MSO Parent, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Verista, Inc. 2022-09-30 0001287750 Verscend Holding Corp. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember VRC Companies, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember VS Buyer, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember WA Asset Management, LLC 2022-09-30 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 WebPT, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 Wellness AcquisitionCo, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Wildcat BuyerCo, Inc. and Wildcat Parent, LP 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember WorkWave Intermediate II, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember WSHP FC Acquisition LLC and WSHP FC Holdings LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember XIFIN, Inc. and ACP Charger Co-Invest LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember YE Brands Holdings, LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ZB Holdco LLC & ZB Parent LLC 2022-09-30 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2022-09-30 0001287750 Athyrium Buffalo LP arcc:PrivateEquityCommitmentsMember 2022-09-30 0001287750 European Capital UK SME Debt LP arcc:PrivateEquityCommitmentsMember 2022-09-30 0001287750 arcc:PrivateEquityCommitmentsMember PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P. 2022-09-30 0001287750 arcc:PrivateEquityCommitmentsMember 2022-09-30 0001287750 arcc:SeniorDirectLendingProgramMember arcc:AresCapitalCorporationMember us-gaap:UnfundedLoanCommitmentMember 2022-09-30 0001287750 2U, Inc., First lien senior secured loan 2021-12-31 0001287750 AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC, Senior subordinated loan 2021-12-31 0001287750 arcc:AffiniPayMidcoLLCAndAffiniPayIntermediateHoldingsLLCMember 2021-12-31 0001287750 Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 2021-12-31 0001287750 Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 2 2021-12-31 0001287750 Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, Limited partnership units 2021-12-31 0001287750 arcc:AnaquaParentHoldingsIncAstorgVIICoInvestAnaquaMember 2021-12-31 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC, Class A membership units 2021-12-31 0001287750 arcc:APGIntermediateHoldingsCorporationAndAPGHoldingsLLCMember 2021-12-31 0001287750 Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., Series A preferred shares 2021-12-31 0001287750 arcc:ApprissHealthLLCAndApprissHealthIntermediateHoldingsIncMember 2021-12-31 0001287750 Apptio, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Apptio, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:ApptioIncMember 2021-12-31 0001287750 Avetta, LLC, First lien senior secured loan 2021-12-31 0001287750 AxiomSL Group, Inc. and Calypso Group, Inc., First lien senior secured loan 2021-12-31 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 2021-12-31 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 2 2021-12-31 0001287750 Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 3 2021-12-31 0001287750 arcc:BanyanSoftwareHoldingsLLCAndBanyanSoftwareLPMember 2021-12-31 0001287750 Borrower R365 Holdings LLC, First lien senior secured loan 2021-12-31 0001287750 Businessolver.com, Inc., First lien senior secured loan 2021-12-31 0001287750 CallMiner, Inc., Warrant to purchase shares of Series 1 preferred stock 2021-12-31 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Second lien senior secured loan 2021-12-31 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A-2 preferred shares 2021-12-31 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A-3 preferred shares 2021-12-31 0001287750 Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A preferred shares 2021-12-31 0001287750 arcc:CardinalParentIncAndPackersSoftwareIntermediateHoldingsIncMember 2021-12-31 0001287750 Consilio Midco Limited and Consilio Investment Holdings, L.P., First lien senior secured loan 2021-12-31 0001287750 Consilio Midco Limited and Consilio Investment Holdings, L.P., First lien senior secured loan 2 2021-12-31 0001287750 Consilio Midco Limited and Consilio Investment Holdings, L.P., First lien senior secured loan 3 2021-12-31 0001287750 Consilio Midco Limited and Consilio Investment Holdings, L.P., First lien senior secured loan 4 2021-12-31 0001287750 Consilio Midco Limited and Consilio Investment Holdings, L.P., Common units 2021-12-31 0001287750 arcc:ConsilioMidcoLimitedCompusoftUSLLCAndConsilioInvestmentHoldingsLPMember 2021-12-31 0001287750 CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Second lien senior secured loan 2021-12-31 0001287750 CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Limited partnership units 2021-12-31 0001287750 arcc:CoreLogicIncAndTVIIICelestialCoInvestLPMember 2021-12-31 0001287750 Cority Software Inc., IQS, Inc. and Cority Parent, Inc., First lien senior secured loan 2021-12-31 0001287750 Cority Software Inc., IQS, Inc. and Cority Parent, Inc., First lien senior secured loan 2 2021-12-31 0001287750 Cority Software Inc., IQS, Inc. and Cority Parent, Inc., First lien senior secured loan 3 2021-12-31 0001287750 Cority Software Inc., IQS, Inc. and Cority Parent, Inc., Preferred equity 2021-12-31 0001287750 Cority Software Inc., IQS, Inc. and Cority Parent, Inc., Common equity 2021-12-31 0001287750 arcc:CoritySoftwareIncIQSIncAndCorityParentIncMember 2021-12-31 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Second lien senior secured loan 2021-12-31 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Series A preferred shares 2021-12-31 0001287750 Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Class A-1 common stock 2021-12-31 0001287750 arcc:CornerstoneOnDemandIncAndSunshineSoftwareHoldingsIncMember 2021-12-31 0001287750 Datix Bidco Limited, First lien senior secured loan 2021-12-31 0001287750 DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A preferred shares 2021-12-31 0001287750 DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A units 2021-12-31 0001287750 arcc:DcertBuyerIncDCertPreferredHoldingsIncAndDestinyDigitalHoldingsLPMember 2021-12-31 0001287750 Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 2021-12-31 0001287750 Denali Holdco LLC and Denali Topco LLC, Class A units 2021-12-31 0001287750 arcc:DenaliHoldcoLLCAndDenaliApexcoLPMember 2021-12-31 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 2021-12-31 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 2 2021-12-31 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 3 2021-12-31 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan 4 2021-12-31 0001287750 Diligent Corporation and Diligent Preferred Issuer, Inc., Preferred stock 2021-12-31 0001287750 arcc:DiligentCorporationAndDiligentPreferredIssuerIncMember 2021-12-31 0001287750 Drilling Info Holdings, Inc. and Titan DI Preferred Holdings, Inc., Second lien senior secured loan 2021-12-31 0001287750 Drilling Info Holdings, Inc. and Titan DI Preferred Holdings, Inc., Preferred stock 2021-12-31 0001287750 arcc:DrillingInfoHoldingsIncAndTitanDIPreferredHoldingsIncMember 2021-12-31 0001287750 DS Admiral Bidco, LLC, First lien senior secured loan 2021-12-31 0001287750 Dye & Durham Corporation, First lien senior secured loan 2021-12-31 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Elemica Parent, Inc. h& EZ Elemica Holdings, Inc., First lien senior secured loan 2 2021-12-31 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 2 2021-12-31 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc., Preferred equity 2021-12-31 0001287750 arcc:ElemicaParentIncEZElemicaHoldingsIncMember 2021-12-31 0001287750 EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Second lien senior secured loan 2021-12-31 0001287750 EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Partnership units 2021-12-31 0001287750 arcc:EPPurchaserLLCAndTPGVIIIEPCoInvestIILPMember 2021-12-31 0001287750 EpiServer Inc. and Episerver Sweden Holdings AB, First lien senior secured loan 2021-12-31 0001287750 EpiServer Inc. and Episerver Sweden Holdings AB, First lien senior secured loan 2 2021-12-31 0001287750 EpiServer Inc. and Episerver Sweden Holdings AB, First lien senior secured loan 3 2021-12-31 0001287750 arcc:EpiServerIncAndEpiserverSwedenHoldingsABMember 2021-12-31 0001287750 eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 2021-12-31 0001287750 eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 2 2021-12-31 0001287750 eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Limited partnership interest 2021-12-31 0001287750 arcc:EResearchTechnologyIncAndAstorgVIICoInvestERTMember 2021-12-31 0001287750 ExtraHop Networks, Inc., First lien senior secured loan 2021-12-31 0001287750 ExtraHop Networks, Inc., First lien senior secured loan 2 2021-12-31 0001287750 arcc:ExtraHopNetworksIncMember 2021-12-31 0001287750 First Insight, Inc., Warrant to purchase units of Series C preferred stock 2021-12-31 0001287750 FM:Systems Group, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 FM:Systems Group, LLC, First lien senior secured loan 2021-12-31 0001287750 FM:Systems Group, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:FMSystemsGroupLLCMember 2021-12-31 0001287750 Forescout Technologies, Inc., First lien senior secured loan 2021-12-31 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, First lien senior secured loan 2021-12-31 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, Class A preferred units 2021-12-31 0001287750 Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC, Class B common units 2021-12-31 0001287750 arcc:FrontlineTechnologiesGroupHoldingLLCFrontlineTechnologiesBlockerBuyerIncFrontlineTechnologiesHoldingsLLCAndFrontlineTechnologiesParentLLCMember 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., First lien senior secured revolving loan 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., First lien senior secured loan 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., First lien senior secured loan 2 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Second lien senior secured loan 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Second lien senior secured loan 2 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Second lien senior secured loan 3 2021-12-31 0001287750 Genesis Acquisition Co. and Genesis Ultimate Holding Co., Class A common stock 2021-12-31 0001287750 Genesis Acquisition Co. ahnd Genesis Ultimate Holding Co., Class A common stock 2021-12-31 0001287750 arcc:GenesisAcquisitionCoAndGenesisUltimateHoldingCoMember 2021-12-31 0001287750 GI Ranger Intermediate LLC, First lien senior secured loan 2021-12-31 0001287750 Heavy Construction Systems Specialists, LLC, First lien senior secured loan 2021-12-31 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured revolving loan 2021-12-31 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured loan 2021-12-31 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Senior subordinated loan 2021-12-31 0001287750 Huskies Parent, Inc., GI Insurity Parent LLC, and GI Insurity Topco LP, Company units 2021-12-31 0001287750 arcc:HuskiesParentIncGIInsurityParentLLCAndGIInsurityTopcoLPMember 2021-12-31 0001287750 IfByPhone Inc., Warrant to purchase shares of Series C preferred stock 2021-12-31 0001287750 Inmar, Inc., Second lien senior secured loan 2021-12-31 0001287750 Insightful Science, First lien senior secured loan 2021-12-31 0001287750 Insightful Science, First lien senior secured loan 2 2021-12-31 0001287750 Insightful Science, First lien senior secured loan 3 2021-12-31 0001287750 Insightful Science, First lien senior secured loan 4 2021-12-31 0001287750 Insightful Science, Senior subordinated loan 2021-12-31 0001287750 Insightful Science, Preferred units 2021-12-31 0001287750 arcc:InsightfulScienceMember 2021-12-31 0001287750 IV Rollover Holdings, LLC, Class B units 2021-12-31 0001287750 IV Rollover Holdings, LLC, Class X units 2021-12-31 0001287750 arcc:IVRolloverHoldingsLLCMember 2021-12-31 0001287750 Majesco and Magic Topco, L.P., First lien senior secured loan 2021-12-31 0001287750 Majesco and Magic Topco, L.P., Class A units 2021-12-31 0001287750 Majesco and Magic Topco, L.P., Class B units 2021-12-31 0001287750 arcc:MajescoAndMagicTopcoLPMember 2021-12-31 0001287750 Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured loan 2021-12-31 0001287750 Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., Limited partner interests 2021-12-31 0001287750 Ministry Brangds Holdings, LLC and RCP MB Investments B, L.P., Limited partner interests 2021-12-31 0001287750 arcc:MinistryBrandsHoldingsLLCAndRCPMBInvestmentsBLPMember 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), First lien senior secured revolving loan 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), First lien senior secured loan 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), First lien senior secured loan 2 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), Second lien senior secured loan 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), Second lien senior secured loan 2 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), Second lien senior secured loan 3 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), Second lien senior secured loan 4 2021-12-31 0001287750 Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands), Class A units 2021-12-31 0001287750 arcc:MinistryBrandsLLCAndMBParentHoldCoLPDbaCommunityBrandsMember 2021-12-31 0001287750 Mitchell International, Inc., Second lien senior secured loan 2021-12-31 0001287750 MMIT Holdings, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 MMIT Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 MMIT Holdings, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:MMITHoldingsLLCMember 2021-12-31 0001287750 MRI Software LLC, First lien senior secured loan 2021-12-31 0001287750 MRI Software LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:MRISoftwareLLCMember 2021-12-31 0001287750 OpenMarket Inc., First lien senior secured loan 2021-12-31 0001287750 Paya, Inc and GTCR-Ultra Holdings LLC, Class B units 2021-12-31 0001287750 PayNearMe, Inc., Warrant to purchase shares of Series E preferred stock 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 2 2021-12-31 0001287750 PDI TA Hholdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 2 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 3 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Second lien senior secured loan 4 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Series A preferred stock 2021-12-31 0001287750 PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Class A units 2021-12-31 0001287750 arcc:PDITAHoldingsIncPeachtreeParentIncAndInsightPDIHoldingsLLCMember 2021-12-31 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, First lien senior secured loan 2021-12-31 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, First lien senior secured loan 3 2021-12-31 0001287750 Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC, Class A units 2021-12-31 0001287750 arcc:PegasusGlobalEnterpriseHoldingsLLCMekoneBlockerAcquisitionIncAndMekoneParentLLCMember 2021-12-31 0001287750 Pluralsight, Inc., First lien senior secured loan 2021-12-31 0001287750 Poplicus Incorporated, Warrant to purchase shares of Series C preferred stock 2021-12-31 0001287750 PracticeTek Purchaser, LLC and GSV PracticeTek Holdings, LLC, Class A units 2021-12-31 0001287750 ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured loan 2021-12-31 0001287750 ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., Limited partnership units 2021-12-31 0001287750 arcc:ProfitSolvPurchaserIncAndPSCoInvestLPMember 2021-12-31 0001287750 Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., Class A common stock 2021-12-31 0001287750 Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., Class B common stock 2021-12-31 0001287750 arcc:ProjectAlphaIntermediateHoldingIncAndQlikParentIncMember 2021-12-31 0001287750 Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., First lien senior secured loan 2021-12-31 0001287750 Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., Preferred shares 2021-12-31 0001287750 arcc:ProjectEssentialBidcoIncAndProjectEssentialSuperParentIncMember 2021-12-31 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured revolving loan 2021-12-31 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 2021-12-31 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 2 2021-12-31 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 3 2021-12-31 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., Class A units 2021-12-31 0001287750 Project Potter Buyer, LLC and Project Potter Parent, L.P., Class B units 2021-12-31 0001287750 arcc:ProjectPotterBuyerLLCAndProjectPotterParentLPMember 2021-12-31 0001287750 Proofpoint, Inc.,h First lien senior secured loan 2021-12-31 0001287750 Proofpoint, Inc., First lien senior secured loan 2021-12-31 0001287750 Proofpoint, Inc., Second lien senior secured loan 2021-12-31 0001287750 arcc:ProofpointIncMember 2021-12-31 0001287750 QF Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 QF Holdings, Inc., First lien senior secured loan 2 2021-12-31 0001287750 arcc:QFHoldingsIncMember 2021-12-31 0001287750 Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 2021-12-31 0001287750 Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, Class A common units 2021-12-31 0001287750 Raptor Thechnologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, Class A common units 2021-12-31 0001287750 arcc:RaptorTechnologiesLLCSycamoreBidcoLTDAndRocketParentLLCMember 2021-12-31 0001287750 RealPage, Inc., Second lien senior secured loan 2021-12-31 0001287750 Regent Education, Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 Regent Education, Inc., Warrant to purchase shares of common stock 2 2021-12-31 0001287750 arcc:RegentEducationIncMember 2021-12-31 0001287750 Relativity ODA LLC, First lien senior secured loan 2021-12-31 0001287750 RMS Holdco II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 RMS Holdco II, LLC & RMS Group Holdings, Inc., Class A common stock 2021-12-31 0001287750 arcc:RMSHoldcoIILLCRMSGroupHoldingsIncMember 2021-12-31 0001287750 Smarsh Inc., MobileGuard, LLC, Actiance, Inc. and Skywalker TopCo, LLC, First lien senior secured loan 2021-12-31 0001287750 Smarsh Inc., MobileGuard, LLC, Actiance, Inc. and Skywalker TopCo, LLC, Common units 2021-12-31 0001287750 arcc:SmarshIncMobileGuardLLCActianceIncAndSkywalkerTopCoLLCMember 2021-12-31 0001287750 SocialFlow, Inc., Warrant to purchase shares of Series C preferred stock 2021-12-31 0001287750 Sophia, L.P., Second lien senior secured loan 2021-12-31 0001287750 SoundCloud Limited, Common stock 2021-12-31 0001287750 Stamps.com Inc., First lien senior secured loan 2021-12-31 0001287750 Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 2021-12-31 0001287750 Storable, Inc. and EQT IX Co-Investment (E) SCSP, Limited partnership interests 2021-12-31 0001287750 arcc:StorableIncAndEQTIXCoInvestmentESCSPMember 2021-12-31 0001287750 Sundance Group Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Sundance Group Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:SundanceGroupHoldingsIncMember 2021-12-31 0001287750 TCP Hawker Intermediate LLC, First lien senior secured loan 2021-12-31 0001287750 TCP Hawker Intermediate LLC, First lien senior secured loan 2 2021-12-31 0001287750 TCP Hawker Intermediate LLC, First lien senior secured loan 3 2021-12-31 0001287750 arcc:TCPHawkerIntermediateLLCMember 2021-12-31 0001287750 The Ultimate Software Group, Inc. and H&F Unite Partners, L.P., First lien senior secured revolving loan 2021-12-31 0001287750 The Ultimate Software Group, Inc. and H&F Unite Partners, L.P., Limited partnership interests 2021-12-31 0001287750 The Ultimhate Software Group, Inc. and H&F Unite Partners, L.P., Limited partnership interests 2021-12-31 0001287750 arcc:TheUltimateSoftwareGroupIncAndHFUnitePartnersLPMember 2021-12-31 0001287750 Verscend Holding Corp., First lien senior secured revolving loan 2021-12-31 0001287750 WebPT, Inc., First lien senior secured loan 2021-12-31 0001287750 Wellness AcquisitionCo, Inc., First lien senior secured loan 2021-12-31 0001287750 WorkWave Intermediate II, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:SoftwareAndServicesMember 2021-12-31 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured loan 2021-12-31 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC, Class A common units 2021-12-31 0001287750 arcc:AbsoluteDentalGroupLLCAndAbsoluteDentalEquityLLCMember 2021-12-31 0001287750 ADG, LLC and RC IV GEDC Investor LLC, First lien senior secured revolving loan 1 2021-12-31 0001287750 ADG, LLC and RC IV GEDC Investor LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 ADG, LLC and RC IV GEDC Investor LLC, Second lien senior secured loan 2021-12-31 0001287750 ADG, LLC and RC IV GEDC Investor LLC, Membership units 2021-12-31 0001287750 arcc:ADGLLCAndRCIVGEDCInvestorLLCMember 2021-12-31 0001287750 Alteon Health, LLC. First lien senior secured loan 2021-12-31 0001287750 AthenaHealth Group Inc., VVC Holding Corp, Virence Intermediate Holding Corp, and Virence Holdings LLC, Class A interests 2021-12-31 0001287750 Bambino Group Holdings, LLC, Class A preferred units 2021-12-31 0001287750 Bearcat Buyer, Inc. and Bearcat Parent, Inc., Second lien senior secured loan 1 2021-12-31 0001287750 Bearcat Buyer, Inc. and Bearcat Parent, Inc., Second lien senior secured loan 2 2021-12-31 0001287750 Bearcat Buyer, Inc. and Bearcat Parent, Inc., Class B common units 2021-12-31 0001287750 arcc:BearcatBuyerIncAndBearcatParentIncMember 2021-12-31 0001287750 CCS-CMGC Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 CCS-CMGC Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:CCSCMGCHoldingsIncMember 2021-12-31 0001287750 Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Comprehensive EyeCare Partners, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Comprehensive EyeCare Partners, LLC, First lien senior secured loan 1 2021-12-31 0001287750 Comprehensive EyeCare Partners, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Comprehensive EyeCare Partners, LLC, First lien senior secured loan 3 2021-12-31 0001287750 arcc:ComprehensiveEyeCarePartnersLLCMember 2021-12-31 0001287750 Convey Health Solutions, Inc., First lien senior secured loan 2021-12-31 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured revolving loan 2021-12-31 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan 1 2021-12-31 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan 2 2021-12-31 0001287750 CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, Common stock 2021-12-31 0001287750 arcc:CVPHoldcoIncAndOMERSWildcatsInvestmentHoldingsLLCMember 2021-12-31 0001287750 GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Second lien senior secured loan 2021-12-31 0001287750 GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Class A units 2021-12-31 0001287750 arcc:GHXUltimateParentCorporationCommerceParentIncAndCommerceTopcoLLCMember 2021-12-31 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., Second lien senior secured loan 2021-12-31 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase units of common stock 1 2021-12-31 0001287750 Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase units of common stock 2 2021-12-31 0001287750 arcc:GlobalMedicalResponseIncAndGMRBuyerCorpMember 2021-12-31 0001287750 HealthEdge Software, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 HealthEdge Software, Inc., First lien senior secured loan 2021-12-31 0001287750 HealthEdge Sgoftware, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:HealthEdgeSoftwareIncMember 2021-12-31 0001287750 Honor Technology, Inc., First lien senior secured loan 2021-12-31 0001287750 Honor Technology, Inc., Warrant to purchase shares of series D-2 preferred stock 2021-12-31 0001287750 arcc:HonorTechnologyIncMember 2021-12-31 0001287750 JDC Healthcare Management, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 JDC Healthcare Management, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:JDCHealthcareManagementLLCMember 2021-12-31 0001287750 KBHS Acquisition, LLC, (d/b/a/ Alita Care, LLC) First lien senior secured revolving loan 2021-12-31 0001287750 MCH Holdings, Inc., MC Acquisition Holdings I, LLC and Privia Health Group, Inc., First lien senior secured loan 2021-12-31 0001287750 MCH Holdings, Inc., MC Acquisition Holdings I, LLC and Privia Health Group, Inc., Class A units 2021-12-31 0001287750 arcc:MCHHoldingsIncMCAcquisitionHoldingsILLCAndPriviaHealthGroupIncMember 2021-12-31 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Second lien senior secured loan 2021-12-31 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Preferred units 2021-12-31 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Senior preferred units 2021-12-31 0001287750 Napa Management Services Corporation and ASP NAPA Holdings, LLC, Class A units 2021-12-31 0001287750 arcc:NapaManagementServicesCorporationAndASPNAPAHoldingsLLCMember 2021-12-31 0001287750 NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured revolving loan 2021-12-31 0001287750 NMN Holdings III Corp. and NMN Holdings LP, Partnership units 2021-12-31 0001287750 arcc:NMNHoldingsIIICorpAndNMNHoldingsLPMember 2021-12-31 0001287750 NueHealth Performance, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 NueHealth Performance, LLC, First lien senior secured loan 2021-12-31 0001287750 NueHealth Performance, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:NueHealthPerformanceLLCMember 2021-12-31 0001287750 Olympia Acquisition, Inc. and Olympia TopCo, L.P., First lien senior secured revolving loan 2021-12-31 0001287750 Olympia Acquisition, Inc. and Olympia TopCo, L.P., First lien senior secured revolving loan 2 2021-12-31 0001287750 Olympia Acquisition, Inc. and Olympia TopCo, L.P., First lien senior secured loan 2021-12-31 0001287750 Olympia Acquisition, Inc. and Olympia TopCo, L.P., First lien senior secured loan 2 2021-12-31 0001287750 Olympia Acquisition, Inc. and Olympia TopCo, L.P., Preferred units 2021-12-31 0001287750 Olympia Acquisition, Inc. and Olympia TopCo, L.P., Class A common units 2021-12-31 0001287750 arcc:OlympiaAcquisitionIncAndOlympiaTopCoLPMember 2021-12-31 0001287750 OMH-HealthEdge Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 OMH-HealthEdge Holdings, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:OMHHealthEdgeHoldingsLLCMember 2021-12-31 0001287750 Pathway Vet Alliance LLC and Jedi Group Holdings LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Second lien senior secured loan 2021-12-31 0001287750 Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Class R common units 2021-12-31 0001287750 arcc:PathwayVetAllianceLLCAndJediGroupHoldingsLLCMember 2021-12-31 0001287750 PhyMED Management LLC, Second lien senior secured loan 2021-12-31 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured revolving loan 2021-12-31 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured loan 2021-12-31 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, Second lien senior secured loan 2021-12-31 0001287750 Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, Class A units 2021-12-31 0001287750 arcc:PremiseHealthHoldingCorpAndOMERSBluejayInvestmentHoldingsLPMember 2021-12-31 0001287750 Project Ruby Ultimate Parent Corp. (dba Wellsky), Second lien senior secured loan 2021-12-31 0001287750 Respicardia, Inc., Warrant to purchase shares of Series C preferred stock 2021-12-31 0001287750 RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 2021-12-31 0001287750 RTI gSurgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:RTISurgicalIncAndPioneerSurgicalTechnologyIncMember 2021-12-31 0001287750 SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC, Common units 2021-12-31 0001287750 arcc:SiroMedPhysicianServicesIncAndSiroMedEquityHoldingsLLCMember 2021-12-31 0001287750 SM Wellness Holdings, Inc. and SM Holdco, Inc., Series A units 2021-12-31 0001287750 SM Wellness Holdings, Inc. and SM Holdco, Inc., Series B units 2021-12-31 0001287750 arcc:SMWellnessHoldingsIncAndSMHoldcoIncMember 2021-12-31 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 2021-12-31 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-1 preferred shares 2021-12-31 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-2 preferred shares 2021-12-31 0001287750 Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-3 preferred shares 2021-12-31 0001287750 arcc:SymplrSoftwareIncAndSymplrSoftwareIntermediateHoldingsIncMember 2021-12-31 0001287750 Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, Common units 2021-12-31 0001287750 arcc:SynergyHomeCareFranchisingLLCAndNPSynergyHoldingsLLCMember 2021-12-31 0001287750 Teligent, Inc, Second lien senior secured loan 2021-12-31 0001287750 Teligent, Inc, Second lien senior secured loan 2 2021-12-31 0001287750 Teligent, Inc, Second lien senior secured loan 3 2021-12-31 0001287750 Teligent, Inc, Series D preferred stock 2021-12-31 0001287750 Teligent, Inc, Warrant to purchase shares of common stock 2021-12-31 0001287750 Teligent, Inc, Warrant to purchase shares of common stock 2 2021-12-31 0001287750 arcc:TeligentIncMember 2021-12-31 0001287750 Therapy Brands Holdings LLC, Second lien senior secured loan 2021-12-31 0001287750 Touchstone Acquisition, Inc. and Touchstone Holding, L.P., Class A preferred units 2021-12-31 0001287750 U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Second lien senior secured loan 2021-12-31 0001287750 U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Common stock 2021-12-31 0001287750 arcc:USAnesthesiaPartnersIncUSAnesthesiaPartnersHoldingsIncMember 2021-12-31 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 2021-12-31 0001287750 VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., Class A-2 units 2021-12-31 0001287750 arcc:VPPIntermediateHoldingsLLCAndVPPGroupHoldingsLPMember 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured revolving loan 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured loan 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured loan 2 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured loan 3 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured loan 4 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured loan 5 2021-12-31 0001287750 WSHP FC Acquisition LLC, First lien senior secured loan 6 2021-12-31 0001287750 arcc:WSHPFCAcquisitionLLCMember 2021-12-31 0001287750 us-gaap:HealthcareSectorMember 2021-12-31 0001287750 Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC, Class A common units 2021-12-31 0001287750 arcc:AccommodationsPlusTechnologiesLLCAndAccommodationsPlusTechnologiesHoldingsLLCMember 2021-12-31 0001287750 Aero Operating LLC, First lien senior secured loan 2021-12-31 0001287750 Aero Operating LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:AeroOperatingLLCMember 2021-12-31 0001287750 Argenbright Holdings V, LLC, First lien senior secured loan 2021-12-31 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured revolving loan 2021-12-31 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured loan 2021-12-31 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Second lien senior secured loan 2021-12-31 0001287750 Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Class A units 2021-12-31 0001287750 arcc:CapstoneAcquisitionHoldingsIncAndCapstoneParentHoldingsLPMember 2021-12-31 0001287750 Cozzini Bros., Inc. and BH-Sharp Holdings LP, First lien senior secured loan 2021-12-31 0001287750 Cozzini Bros., Inc. and BH-Sharp Holdings LP, Common units 2021-12-31 0001287750 arcc:CozziniBrosIncAndBHSharpHoldingsLPMember 2021-12-31 0001287750 DTI Holdco, Inc. and OPE DTI Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 DTI Holdco, Inc. and OPE DTI Holdings, Inc., First lien senior secured revolving loan 2 2021-12-31 0001287750 DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class A common stock 2021-12-31 0001287750 DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class B common stock 2021-12-31 0001287750 arcc:DTIHoldcoIncAndOPEDTIHoldingsIncMember 2021-12-31 0001287750 Elevation Services Parent Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Elevation Services Parent Holdings, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Elevation Services Parent Holdings, LLC, First lien senior secured loan 3 2021-12-31 0001287750 Elevation Services Parent Holdings, LLC 2021-12-31 0001287750 HAI Acquisition Corporation and Aloha Topco, LLC, First lien senior secured loan 2021-12-31 0001287750 HAI Acquisition Corporation and Aloha Topco, LLC, First lien senior secured loan 2 2021-12-31 0001287750 HAI Acquisition Corporation and Aloha Topco, LLC, Class A units 2021-12-31 0001287750 arcc:HAIAcquisitionCorporationAndAlohaTopcoLLCMember 2021-12-31 0001287750 HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured revolving loan 2021-12-31 0001287750 HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 2021-12-31 0001287750 HH-Stella, Inc. and Bedrock Parent Holdings, LP, Class A units 2021-12-31 0001287750 arcc:HHStellaIncAndBedrockParentHoldingsLPMember 2021-12-31 0001287750 IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P., First lien senior secured loan 2021-12-31 0001287750 IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P., Second lien senior secured loan 2021-12-31 0001287750 IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P., Series A-1 preferred shares 2021-12-31 0001287750 IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P., Class A-1 common units 2021-12-31 0001287750 arcc:IRIHoldingsIncIRIGroupHoldingsIncAndIRIParentLPMember 2021-12-31 0001287750 Kellermeyer Bergensons Services, LLC, First lien senior secured loan 2021-12-31 0001287750 Kellermeyer Bergensons Services, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:KellermeyerBergensonsServicesLLCMember 2021-12-31 0001287750 KPS Global LLC and Cool Group LLC, First lien senior secured loan 2021-12-31 0001287750 KPS Global LLC and Cool Group LLC, First lien senior secured loan 2 2021-12-31 0001287750 KPS Global LLC and Cool Group LLC, Class A units 2021-12-31 0001287750 arcc:KPSGlobalLLCAndCoolGroupLLCMember 2021-12-31 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 2021-12-31 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 2 2021-12-31 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 3 2021-12-31 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 4 2021-12-31 0001287750 Laboratories Bidco LLC and Laboratories Topco LLC, Class A units 2021-12-31 0001287750 arcc:LaboratoriesBidcoLLCAndLaboratoriesTopcoLLCMember 2021-12-31 0001287750 Lakers Buyer, Inc. and Lakers Parent LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Lakers Buyer, Inc. and Lakers Parent LLC, First lien senior secured loan 2021-12-31 0001287750 Lakers Buyer, Inc. and Lakers Parent LLC, Second lien senior secured loan 2021-12-31 0001287750 Lakers Buyer, Inc. and Lakers Parent LLC, Common units 2021-12-31 0001287750 arcc:LakersBuyerIncAndLakersParentLLCMember 2021-12-31 0001287750 Marmic Purchaser, LLC and Marmic Topco, L.P., First lien senior secured loan 2021-12-31 0001287750 Marmic Purchaser, LLC and Marmic Topco, L.P., Limited partnership units 2021-12-31 0001287750 arcc:MarmicPurchaserLLCAndMarmicTopcoLPMember 2021-12-31 0001287750 Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Second lien senior secured loan 2021-12-31 0001287750 Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Series A preferred stock 2021-12-31 0001287750 Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Common stock 2021-12-31 0001287750 arcc:MicrostarLogisticsLLCMicrostarGlobalAssetManagementLLCMStarHoldingCorporationAndKegstarUSAIncMember 2021-12-31 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 2021-12-31 0001287750 NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:NASLLCAndNationwideMarketingGroupLLCMember 2021-12-31 0001287750 Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1, Senior subordinated loan 2021-12-31 0001287750 Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1, Limited partner interest 2021-12-31 0001287750 arcc:NestTopcoBorrowerIncKKRNestCoInvestLPAndNBLY20211Member 2021-12-31 0001287750 NM GRC Holdco, LLC, First lien senior secured loan 2021-12-31 0001287750 North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC, Common units 2021-12-31 0001287750 arcc:NorthAmericanFireHoldingsLLCAndNorthAmericanFireUltimateHoldingsLLCMember 2021-12-31 0001287750 North Haven Stack Buyer, LLC, First lien senior secured loan 2021-12-31 0001287750 Petroleum Service Group LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Petroleum Service Group LLC, First lien senior secured loan 2021-12-31 0001287750 Petroleum Service Group LLC, First lien senior secured loan 2 2021-12-31 0001287750 Petroleum Service Group LLC, First lien senior secured loan 3 2021-12-31 0001287750 Petroleum Service Group LLC, First lien senior secured loan 4 2021-12-31 0001287750 arcc:PetroleumServiceGroupLLCMember 2021-12-31 0001287750 Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, Class A units 2021-12-31 0001287750 arcc:PritchardIndustriesLLCAndLJPritchardTopCoHoldingsLLCMember 2021-12-31 0001287750 PS Operating Company LLC and PS OP Holdings LLC (fka QC Supply, LLC), First lien senior secured revolving loan 2021-12-31 0001287750 PS Operating Company LLC and PS OP Holdings LLC (fka QC Supply, LLC), First lien senior secured loan 2021-12-31 0001287750 PS Operating Company LLC and PS OP Holdings LLC (fka QC Supply, LLC), Common unit 2021-12-31 0001287750 arcc:PSOperatingCompanyLLCAndPSOPHoldingsLLCFkaQCSupplyLLCMember 2021-12-31 0001287750 R2 Acquisition Corp., Common stock 2021-12-31 0001287750 RC V Tecmo Investor LLC, Common member units 2021-12-31 0001287750 RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 2021-12-31 0001287750 RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 2 2021-12-31 0001287750 arcc:RECommunityHoldingsGPLLCAndRECommunityHoldingsLPMember 2021-12-31 0001287750 Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan 2021-12-31 0001287750 Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., Limited partner interests 2021-12-31 0001287750 arcc:RegistrarIntermediateLLCAndPSPRegistrarCoInvestmentFundLPMember 2021-12-31 0001287750 Rodeo AcquisitionCo LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Rodeo AcquisitionCo LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:RodeoAcquisitionCoLLCMember 2021-12-31 0001287750 Schill Landscaping and Lawn Care Services LLC and Landscape Parallel Partners, L.P., First lien senior secured loan 2021-12-31 0001287750 Schill Landscaping and Lawn Care Services LLC and Landscape Parallel Partners, L.P., Class A units 2021-12-31 0001287750 arcc:SchillLandscapingAndLawnCareServicesLLCTenderLawnCareULCAndLandscapeParallelPartnersLPMember 2021-12-31 0001287750 SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, First lien senior secured loan 2021-12-31 0001287750 SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, Limited partnership class A-1 units 2021-12-31 0001287750 SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, Limited partnership class A-2 units 2021-12-31 0001287750 arcc:SSEBuyerIncSupplySourceEnterprisesIncImpactProductsLLCTheSafetyZoneLLCAndSSEParentLPMember 2021-12-31 0001287750 Startec Equity, LLC, Member interest 2021-12-31 0001287750 Stealth Holding LLC and UCIT Online Security Inc., First lien senior secured loan 2021-12-31 0001287750 Stealth Holding LLC and UCIT Online Security Inc., First lien senior secured loan 2 2021-12-31 0001287750 arcc:StealthHoldingLLCAndUCITOnlineSecurityIncMember 2021-12-31 0001287750 Thermostat Purchaser III, Inc., Second lien senior secured loan 2021-12-31 0001287750 Tyden Group Holding Corp., Preferred stock 2021-12-31 0001287750 Tyden Group Holding Corp., Common stock 2021-12-31 0001287750 arcc:TydenGroupHoldingCorpMember 2021-12-31 0001287750 Visual Edge Technology, Inc., First lien senior secured loan 2021-12-31 0001287750 Visual Edge Technology, Inc., Senior subordinated loan 2021-12-31 0001287750 Visual Edge Technology, Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 arcc:VisualEdgeTechnologyIncMember 2021-12-31 0001287750 VLS Recovery Services, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 VLS Recovery Services, LLC, First lien senior secured loan 2021-12-31 0001287750 VLS Recovery Services, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:VLSRecoveryServicesLLCMember 2021-12-31 0001287750 Wash Encore Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured revolving loan 2021-12-31 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 2021-12-31 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 2 2021-12-31 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, Class A units 2021-12-31 0001287750 XIFIN, Inc. and ACP Charger Co-Invest LLC, Class B units 2021-12-31 0001287750 arcc:XIFINIncAndACPChargerCoInvestLLCMember 2021-12-31 0001287750 arcc:CommercialAndProfessionalServicesMember 2021-12-31 0001287750 BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, First lien senior secured loan 2021-12-31 0001287750 BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Senior subordinated loan 2021-12-31 0001287750 BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Common units 2021-12-31 0001287750 arcc:BCCBlueprintHoldingsILLCAndBCCBlueprintInvestmentsLLCMember 2021-12-31 0001287750 Beacon Pointe Harmony, LLC, First lien senior secured loan 2021-12-31 0001287750 CrossCountry Mortgage, LLC, First lien senior secured loan 2021-12-31 0001287750 DFC Global Facility Borrower III LLC, First lien senior secured revolving loan 2021-12-31 0001287750 eCapital Finance Corp., Senior subordinated loan 2021-12-31 0001287750 eCapital Finance Corp., Senior subordinated loan 2 2021-12-31 0001287750 arcc:ECapitalFinanceCorpMember 2021-12-31 0001287750 EP Wealth Advisors, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 EP Wealth Advisors, LLC, First lien senior secured loan 2021-12-31 0001287750 EP Wealth Advisors, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:EPWealthAdvisorsLLCMember 2021-12-31 0001287750 Green Street Parent, LLC and Green Street Intermediate Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Ivy Hill Asset Management, L.P., Senior subordinated loan 2021-12-31 0001287750 Ivy Hill Asset Management, L.P., Member interest 2021-12-31 0001287750 arcc:IvyHillAssetManagementLPMember 2021-12-31 0001287750 Javlin Three LLC, Javlin Four LLC, and Javlin Five LLC, First lien senior secured loan 2021-12-31 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC), First lien senior secured loan 2021-12-31 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC), Equity interests 2021-12-31 0001287750 arcc:JoyceLaneCapitalLLCAndJoyceLaneFinancingSPVLLCFkaCienaCapitalLLCMember 2021-12-31 0001287750 LS DE LLC and LM LSQ Investors LLC, Senior subordinated loan 2021-12-31 0001287750 LS DE LLC and LM LSQ Investors LLC, Senior subordinated loan 2 2021-12-31 0001287750 LS DE LLC and LM LSQ Investors LLC, Membership units 2021-12-31 0001287750 arcc:LSDELLCAndLMLSQInvestorsLLCMember 2021-12-31 0001287750 Monica Holdco (US) Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Monica Holdco (US) Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:MonicaHoldcoUSIncMember 2021-12-31 0001287750 Priority Holdings, LLC and Priority Technology Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Priority Holdings, LLC and Priority Technology Holdings, Inc., Senior preferred stock 2021-12-31 0001287750 Priority Holdings, LLC and Priority Technology Holdings, Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 arcc:PriorityHoldingsLLCAndPriorityTechnologyHoldingsIncMember 2021-12-31 0001287750 Rialto Management Group, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Rialto Management Group, LLC, First lien senior secured loan 2021-12-31 0001287750 Rialto Management Group, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Rialto Management Group, LLC, First lien senior secured loan 3 2021-12-31 0001287750 arcc:RialtoManagementGroupLLCMember 2021-12-31 0001287750 TA/WEG Holdings, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 2 2021-12-31 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 3 2021-12-31 0001287750 TA/WEG Holdings, LLC, First lien senior secured loan 4 2021-12-31 0001287750 arcc:TAWEGHoldingsLLCMember 2021-12-31 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, First lien senior secured loan 2021-12-31 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A units 2021-12-31 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A units 2 2021-12-31 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B units 2021-12-31 0001287750 The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B units 2 2021-12-31 0001287750 arcc:TheUltimusGroupMidcoLLCTheUltimusGroupLLCAndTheUltimusGroupAggregatorLPMember 2021-12-31 0001287750 arcc:DiversifiedFinancialsMember 2021-12-31 0001287750 Alera Group, Inc., First lien senior secured loan 2021-12-31 0001287750 Amynta Agency Borrower Inc. and Amynta Warranty Borrower Inc., First lien senior secured loan 2021-12-31 0001287750 AQ Sunshine, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 AQ Sunshine, Inc., First lien senior secured loan 2021-12-31 0001287750 AQ Sunshine, Inc., First lien senior secured loan 2 2021-12-31 0001287750 AQ Sunshine, Inc., First lien senior secured loan 3 2021-12-31 0001287750 arcc:AQSunshineIncMember 2021-12-31 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 2021-12-31 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 2 2021-12-31 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 3 2021-12-31 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 4 2021-12-31 0001287750 Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, Senior subordinated loan 2021-12-31 0001287750 arcc:ArdonaghMidco2PlcAndArdonaghMidco3PlcMember 2021-12-31 0001287750 Benecon Midco II LLC and Locutus Holdco LLC, Common units 2021-12-31 0001287750 Benefytt Technologies, Inc., First lien senior secured loan 2021-12-31 0001287750 Foundation Risk Partners, Corp., First lien senior secured loan 2021-12-31 0001287750 Galway Borrower LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Galway Borrower LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:GalwayBorrowerLLCMember 2021-12-31 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 2021-12-31 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 2 2021-12-31 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 2021-12-31 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, Series A common units 2021-12-31 0001287750 High Street Buyer, Inc. and High Street Holdco LLC, Series C common units 2021-12-31 0001287750 arcc:HighStreetBuyerIncAndHighStreetHoldcoLLCMember 2021-12-31 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured revolving loan 2021-12-31 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured loan 2021-12-31 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured loan 2 2021-12-31 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, First lien senior secured loan 3 2021-12-31 0001287750 K2 Insurance Services, LLC and K2 Holdco LP, Common units 2021-12-31 0001287750 arcc:K2InsuranceServicesLLCAndK2HoldcoLPMember 2021-12-31 0001287750 NSM Insurance Group, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 NSM Insurance Group, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:NSMInsuranceGroupLLCMember 2021-12-31 0001287750 OneDigital Holdings, Achilles Holdco, First lien senior secured revolving loan 2021-12-31 0001287750 Patriot Growth Insurance Services, LLC, First lien senior secured loan 2021-12-31 0001287750 People Corporation, First lien senior secured revolving loan 2021-12-31 0001287750 People Corporation, First lien senior secured loan 2021-12-31 0001287750 People Corporation, First lien senior secured loan 2 2021-12-31 0001287750 People Corporation, First lien senior secured loan 3 2021-12-31 0001287750 arcc:PeopleCorporationMember 2021-12-31 0001287750 RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:RSCAcquisitionIncAndRSCInsuranceBrokerageIncMember 2021-12-31 0001287750 SCM Insurance Services Inc., First lien senior secured loan 2021-12-31 0001287750 SCM Insurance Services Inc., Second lien senior secured loan 2021-12-31 0001287750 arcc:SCMInsuranceServicesIncMember 2021-12-31 0001287750 SelectQuote, Inc., First lien senior secured loan 2021-12-31 0001287750 SG Acquisition, Inc., First lien senior secured loan 2021-12-31 0001287750 Spring Insurance Solutions, LLC, First lien senior secured loan 2021-12-31 0001287750 THG Acquisition, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 THG Acquisition, LLC, First lien senior secured loan 2021-12-31 0001287750 THG Acquisition, LLC, First lien senior secured loan 2 2021-12-31 0001287750 THG Acquisition, LLC, First lien senior secured loan 3 2021-12-31 0001287750 THG Acquisition, LLC, First lien senior secured loan 4 2021-12-31 0001287750 arcc:THGAcquisitionLLCMember 2021-12-31 0001287750 us-gaap-supplement:InsuranceSectorMember 2021-12-31 0001287750 ACAS Equity Holdings Corporation, Common stock 2021-12-31 0001287750 Ares IIIR/IVR CLO Ltd., Subordinated notes 2021-12-31 0001287750 Blue Wolf Capital Fund II, L.P., Limited partnership interest 2021-12-31 0001287750 CoLTs 2005-1 Ltd., Preferred shares 2021-12-31 0001287750 CREST Exeter Street Solar 2004-1, Preferred shares 2021-12-31 0001287750 European Capital UK SME Debt LP, Limited partnership interest 2021-12-31 0001287750 HCI Equity, LLC, Member interest 2021-12-31 0001287750 Partnership Capital Growth Investors III, L.P., Limited partnership interest 2021-12-31 0001287750 PCG-Ares Sidecar Investment II, L.P., Limited partnership interest 2021-12-31 0001287750 PCG-Ares Sidecar Investment, L.P., Limited partnership interest 2021-12-31 0001287750 Piper Jaffray Merchant Banking Fund I, L.P., Limited partnership interest 2021-12-31 0001287750 Senior Direct Lending Program, LLC, Subordinated certificates 2021-12-31 0001287750 Senior Direct Lending Program, LLC, Member interest 2021-12-31 0001287750 arcc:SeniorDirectLendingProgramLLCMember 2021-12-31 0001287750 VSC Investors LLC, Membership interest 2021-12-31 0001287750 arcc:InvestmentFundsAndVehiclesMember 2021-12-31 0001287750 AI Aqua Merger Sub, Inc., First lien senior secured loan 2021-12-31 0001287750 Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., Common stock 2021-12-31 0001287750 arcc:ArrowheadHoldcoCompanyAndArrowheadGSHoldingsIncMember 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured revolving loan 3 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 1 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 3 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 4 2021-12-31 0001287750 Cadence Aerospace, LLC, First lien senior secured loan 5 2021-12-31 0001287750 arcc:CadenceAerospaceLLCMember 2021-12-31 0001287750 DFS Holding Company, Inc., First lien senior secured loan 2021-12-31 0001287750 DFS Holding Company, Inc., First lien senior secured loan 2 2021-12-31 0001287750 DFS Holding Company, Inc., First lien senior secured loan 3 2021-12-31 0001287750 DFS Holding Company, Inc., First lien senior secured loan 4 2021-12-31 0001287750 arcc:DFSHoldingCompanyIncMember 2021-12-31 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured loan 2021-12-31 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, Common units 2021-12-31 0001287750 arcc:DynamicNCAerospaceHoldingsLLCAndDynamicNCInvestmentHoldingsLPMember 2021-12-31 0001287750 EPS NASS Parent, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 EPS NASS Parent, Inc., First lien senior secured loan 2021-12-31 0001287750 arcc:EPSNASSParentIncMember 2021-12-31 0001287750 ESCP PPG Holdings, LLC, Class A units 2021-12-31 0001287750 Flow Control Solutions, Inc., First lien senior secured loan 2021-12-31 0001287750 Harvey Tool Company, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Harvey Tool Company, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:HarveyToolCompanyLLCMember 2021-12-31 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Senior subordinated loan 2021-12-31 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Series A preferred stock 2021-12-31 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Class A common stock 2021-12-31 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Class B common stock 2021-12-31 0001287750 arcc:ImagingBusinessMachinesLLCAndScannerHoldingsCorporationMember 2021-12-31 0001287750 Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured revolving loan 2021-12-31 0001287750 Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured loan 2021-12-31 0001287750 Kene Acquisition, Inc. and Kene Holdings, L.P., Class A units 2021-12-31 0001287750 arcc:KeneAcquisitionIncAndKeneHoldingsLPMember 2021-12-31 0001287750 LTG Acquisition, Inc., Class A membership units 2021-12-31 0001287750 Maverick Acquisition, Inc., First lien senior secured loan 2021-12-31 0001287750 MB Aerospace Holdings II Corp., First lien senior secured loan 2021-12-31 0001287750 MB Aerospace Holdings II Corp., Second lien senior secured loan 2021-12-31 0001287750 MB Aerospace Holdings II Corp., Second lien senior secured loan 2 2021-12-31 0001287750 arcc:MBAerospaceHoldingsIICorpMember 2021-12-31 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP, First lien senior secured loan 2021-12-31 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP, First lien senior secured loan 2 2021-12-31 0001287750 NCWS Intermediate, Inc. and NCWS Holdings LP, Class A-2 common units 2021-12-31 0001287750 arcc:NCWSIntermediateIncAndNCWSHoldingsLPMember 2021-12-31 0001287750 Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC, Second lien senior secured loan 2021-12-31 0001287750 Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP., First lien senior secured loan 2021-12-31 0001287750 Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP., Class A units 2021-12-31 0001287750 arcc:PrecinmacUSHoldingsIncTrimasterManufacturingIncAndBladeGroupHoldingsLPMember 2021-12-31 0001287750 Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon, First lien senior secured revolving loan 2021-12-31 0001287750 arcc:CapitalGoodsMember 2021-12-31 0001287750 Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 2021-12-31 0001287750 Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Preferred units 2021-12-31 0001287750 Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Class A common units 2021-12-31 0001287750 arcc:AutomotiveKeysGroupLLCAndAutomotiveKeysInvestorLLCMember 2021-12-31 0001287750 Continental Acquisition Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Continental Acquisition Holdings, Inc., First lien senior secured loan 2 2021-12-31 0001287750 arcc:ContinentalAcquisitionHoldingsIncMember 2021-12-31 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC, First lien senior secured loan 2021-12-31 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC, Class A common units 2021-12-31 0001287750 arcc:EcklerIndustriesIncAndEcklerPurchaserLLCMember 2021-12-31 0001287750 Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc., Second lien senior secured loan 2021-12-31 0001287750 Faraday&Fhuture Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc., Warrant to purchase shares of Class A common stock 2021-12-31 0001287750 Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc., Warrant to purchase shares of Class A common stock 2021-12-31 0001287750 arcc:FaradayFutureIncFFIncFaradaySPELLCAndFaradayFutureIntelligentElectricIncMember 2021-12-31 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Second lien senior secured loan 2021-12-31 0001287750 Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Co-invest units 2021-12-31 0001287750 arcc:HighlineAftermarketAcquisitionLLCHighlineAftermarketSCAcquisitionIncAndHighlinePPCBlockerLLCMember 2021-12-31 0001287750 Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C., First lien senior secured loan 2021-12-31 0001287750 Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C., First lien senior secured loan 2 2021-12-31 0001287750 Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C., Preferred units 2021-12-31 0001287750 arcc:MacLeanFoggCompanyAndMacLeanFoggHoldingsLLCMember 2021-12-31 0001287750 Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, First lien senior secured revolving loan 2021-12-31 0001287750 Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, Series A preferred stock 2021-12-31 0001287750 Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, Class A-1 units 2021-12-31 0001287750 arcc:MavisTireExpressServicesTopcoCorpMetisHoldCoIncAndMetisTopCoLPMember 2021-12-31 0001287750 McLaren Group Limited, Senior preference shares 2021-12-31 0001287750 McLaren Group Limited, Warrant to purchase ordinary shares 2021-12-31 0001287750 McLaren Group Limited, Warrant to purchase ordinary shares 2 2021-12-31 0001287750 arcc:McLarenGroupLimitedMember 2021-12-31 0001287750 SK SPV IV, LLC, Series A common stock 2021-12-31 0001287750 SK SPV IV, LLC, Series B common stock 2021-12-31 0001287750 arcc:SKSPVIVLLCMember 2021-12-31 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 2021-12-31 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 2 2021-12-31 0001287750 Sun Acquirer Corp. and Sun TopCo, LP, Class A units 2021-12-31 0001287750 arcc:SunAcquirerCorpAndSunTopCoLPMember 2021-12-31 0001287750 Wand Newco 3, Inc., Second lien senior secured loan 2021-12-31 0001287750 arcc:AutomobilesAndComponentsSectorMember 2021-12-31 0001287750 Apex Clean Energy TopCo, LLC, Class A common units 2021-12-31 0001287750 Ferrellgas, L.P., Senior preferred units 2021-12-31 0001287750 Heelstone Renewable Energy, LLC, First lien senior secured loan 2021-12-31 0001287750 Heelstone Renewable Energy, LLC, Class A1 units 2021-12-31 0001287750 arcc:HeelstoneRenewableEnergyLLCMember 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC, First lien senior secured loan 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC, First lien senior secured loan 2 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC, First lien senior secured loan 3 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC, Series A preferred units 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC, Class A units 2021-12-31 0001287750 arcc:NavisunLLCAndNavisunHoldingsLLCMember 2021-12-31 0001287750 Opal Fuels LLC, Senior subordinated loan 2021-12-31 0001287750 PosiGen, Inc., Warrant to purchase shares of series D-1 preferred stock 2021-12-31 0001287750 PosiGen, Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 arcc:PosiGenIncMember 2021-12-31 0001287750 Potomac Intermediate Holdings II LLC, Series A units 2021-12-31 0001287750 Riverview Power LLC, First lien senior secured loan 2021-12-31 0001287750 SE1 Generation, LLC, Senior subordinated loan 2021-12-31 0001287750 Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, First lien senior secured loan 2021-12-31 0001287750 Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, Senior subordinated loan 2021-12-31 0001287750 arcc:SunrunAtlasDepositor20192LLCAndSunrunAtlasHoldings20192LLCMember 2021-12-31 0001287750 Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, First lien senior secured loan 2021-12-31 0001287750 Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, Senior subordinated loan 2021-12-31 0001287750 arcc:SunrunXanaduIssuer20191LLCAndSunrunXanaduHoldings20191LLCMember 2021-12-31 0001287750 arcc:PowerGenerationMember 2021-12-31 0001287750 Badger Sportswear Acquisition, Inc., Second lien senior secured loan 2021-12-31 0001287750 Bowhunter Holdings, LLC, Common units 2021-12-31 0001287750 Centric Brands LLC and Centric Brands GP LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Centric Brands LLC and Centric Brands GP LLC, First lien senior secured loan 2021-12-31 0001287750 Centric Brands LLC and Centric Brands GP LLC, Membership interests 2021-12-31 0001287750 arcc:CentricBrandsLLCAndCentricBrandsGPLLCMember 2021-12-31 0001287750 DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 2021-12-31 0001287750 DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 2 2021-12-31 0001287750 DRS Holdings III, Inc. and DRS Holdings I, Inc., Common stock 2021-12-31 0001287750 arcc:DRSHoldingsIIIIncAndDRSHoldingsIIncMember 2021-12-31 0001287750 Implus Footcare, LLC, First lien senior secured loan 2021-12-31 0001287750 Implus Footcare, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Implus Footcare, LLC, First lien senior secured loan 3 2021-12-31 0001287750 Implus Footcare, LLC, First lien senior secured loan 4 2021-12-31 0001287750 arcc:ImplusFootcareLLCMember 2021-12-31 0001287750 Lew's Intermediate Holdings, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Lew's Intermediate Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:LewsIntermediateHoldingsLLCMember 2021-12-31 0001287750 Pelican Products, Inc., Second lien senior secured loan 2021-12-31 0001287750 Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, First lien senior secured loan 2021-12-31 0001287750 Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:RawlingsSportingGoodsCompanyIncAndEastonDiamondSportsLLCMember 2021-12-31 0001287750 Reef Lifestyle, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Reef Lifestyle, LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 Reef Lifestyle, LLC, First lien senior secured loan 2021-12-31 0001287750 Reef Lifestyle, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:ReefLifestyleLLCMember 2021-12-31 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC), Class B common units 2021-12-31 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC), Common units 2021-12-31 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC), Warrant to purchase units 2021-12-31 0001287750 arcc:SToysHoldingsLLCFkaTheStep2CompanyLLCMember 2021-12-31 0001287750 SHO Holding I Corporation, Second lien senior secured loan 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, Class A preferred units 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, Class C preferred units 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC, Preferred units 2021-12-31 0001287750 arcc:ShockDoctorIncAndShockDoctorHoldingsLLCMember 2021-12-31 0001287750 SVP-Singer Holdings Inc. and SVP-Singer Holdings LP, First lien senior secured loan 2021-12-31 0001287750 SVP-Singer Holdings Inc. and SVP-Singer Holdings LP, Class A common units 2021-12-31 0001287750 arcc:SingerSewingCompanySVPSingerHoldingsLLCAndSVPSingerHoldingsLPMember 2021-12-31 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc., First lien senior secured loan 2021-12-31 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc., First lien senior secured loan 2 2021-12-31 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc., Common stock 2021-12-31 0001287750 arcc:TotesIsotonerCorporationAndTotesUltimateHoldcoIncMember 2021-12-31 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, Second lien senior secured loan 2021-12-31 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, Second lien senior secured loan 2 2021-12-31 0001287750 Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP, Class A units 2021-12-31 0001287750 arcc:VarsityBrandsHoldingCoIncAndBCPEHerculesHoldingsLPMember 2021-12-31 0001287750 arcc:ConsumerDurablesAndApparelMember 2021-12-31 0001287750 ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Aimbridge Acquisition Co., Inc., Second lien senior secured loan 2021-12-31 0001287750 American Residential Services L.L.C. and Aragorn Parent Holdings LP, Second lien senior secured loan 2021-12-31 0001287750 American Residential Services L.L.C. and Aragorn Parent Holdings LP, Series A preferred units 2021-12-31 0001287750 arcc:AmericanResidentialServicesLLCAndAragornParentHoldingsLPMember 2021-12-31 0001287750 ATI Restoration, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 ATI Restoration, LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 ATI Restoration, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:ATIRestorationLLCMember 2021-12-31 0001287750 Belfor Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 2 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 3 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 4 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 5 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 6 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., First lien senior secured loan 7 2021-12-31 0001287750 Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L., Warrant 2021-12-31 0001287750 arcc:CiprianiUSAIncAndCiprianiGroupHoldingSARLMember 2021-12-31 0001287750 Concert Golf Partners Holdco LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan 1 2021-12-31 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan 2 2021-12-31 0001287750 Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, Class A units 2021-12-31 0001287750 arcc:EssentialServicesHoldingCorporationAndOMERSMahomesInvestmentHoldingsLLCMember 2021-12-31 0001287750 Garden Fresh Restaurant Corp. and GFRC Holdings LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Garden Fresh Restaurant Corp. and GFRC Holdings LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:GardenFreshRestaurantCorpAndGFRCHoldingsLLCMember 2021-12-31 0001287750 Jenny C Acquisition, Inc., Senior subordinated loan 2021-12-31 0001287750 Jim N Nicks Management, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Jim N Nicks Management, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:JimNNicksManagementLLCMember 2021-12-31 0001287750 KeyStone Sub-debt HoldCo, LLC, Senior subordinated loan 2021-12-31 0001287750 KeyStone Sub-debt HoldCo, LLC, Senior subordinated loan 2 2021-12-31 0001287750 KeyStone Sub-debt HoldCo, LLC, Warrant to purchase Class C interests 2021-12-31 0001287750 arcc:KeyStoneSubDebtHoldCoLLCMember 2021-12-31 0001287750 Len the Plumber, LLC, LTP Neffsville, LLC, LTP of NJ, LLC, and LTP LSI, LLC, First lien senior secured loan 2021-12-31 0001287750 LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC, First lien senior secured loan 2021-12-31 0001287750 LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC, Membership interest 2021-12-31 0001287750 arcc:LSPHoldcoLLCAndZBSMechanicalGroupCoInvestFund2LLCMember 2021-12-31 0001287750 ME Equity LLC, Common stock 2021-12-31 0001287750 Movati Athletic (Group) Inc., First lien senior secured loan 2021-12-31 0001287750 Movati Athletic (Group) Inc., First lien senior secured loan 2 2021-12-31 0001287750 Movati Athletic (Group) Inc., First lien senior secured loan 3 2021-12-31 0001287750 arcc:MovatiAthleticGroupIncMember 2021-12-31 0001287750 OTG Management, LLC, Class A preferred units 2021-12-31 0001287750 OTG Management, LLC, Common units 2021-12-31 0001287750 OTG Management, LLC, Warrant to purchase common units 2021-12-31 0001287750 arcc:OTGManagementLLCMember 2021-12-31 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, First lien senior secured loan 2021-12-31 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Pyramid Management Advisors, LLC and Pyramid Investors, LLC, Preferred membership units 2021-12-31 0001287750 arcc:PyramidManagementAdvisorsLLCAndPyramidInvestorsLLCMember 2021-12-31 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 2021-12-31 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Redwood Services, LLC and Redwood Services Holdco, LLC, Series D units 2021-12-31 0001287750 arcc:RedwoodServicesLLCAndRedwoodServicesHoldcoLLCMember 2021-12-31 0001287750 Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc., First lien senior secured loan 2021-12-31 0001287750 SV-Burton Holdings, LLC & LBC Breeze Holdings LLC, First lien senior secured loan 2021-12-31 0001287750 SV-Burton Holdings, LLC & LBC Breeze Holdings LLC, Class A units 2021-12-31 0001287750 arcc:SVBurtonHoldingsLLCLBCBreezeHoldingsLLCMember 2021-12-31 0001287750 Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 2021-12-31 0001287750 Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 2021-12-31 0001287750 Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., Class A units 2021-12-31 0001287750 arcc:TaymaxGroupLPTaymaxGroupGPLLCPFSalemCanadaULCAndTCPFitParentLPMember 2021-12-31 0001287750 The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc., First lien senior secured loan 2021-12-31 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan 2021-12-31 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 2021-12-31 0001287750 The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, Class A units 2021-12-31 0001287750 arcc:TheArcticomGroupLLCAndAMCPMechanicalHoldingsLPMember 2021-12-31 0001287750 YE Brands Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:ConsumerServicesMember 2021-12-31 0001287750 Atlas Intermediate III, L.L.C., First lien senior secured loan 2021-12-31 0001287750 Atlas Intermediate III, L.L.C., First lien senior secured loan 2 2021-12-31 0001287750 arcc:AtlasIntermediateIIILLCMember 2021-12-31 0001287750 Bamboo Purchaser, Inc., First lien senior secured loan 2021-12-31 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 2021-12-31 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 2 2021-12-31 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 3 2021-12-31 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., Common units 2021-12-31 0001287750 arcc:DisplayHoldingCompanyIncSaldonHoldingsIncAndFastsignsHoldingsIncMember 2021-12-31 0001287750 GPM Investments, LLC and ARKO Corp., Common stock 2021-12-31 0001287750 GPM Investments, LLC and ARKO Corp., Warrant to purchase common stock 2021-12-31 0001287750 arcc:GPMInvestmentsLLCAndARKOCorpMember 2021-12-31 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 3 2021-12-31 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 4 2021-12-31 0001287750 Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, Class A common units 2021-12-31 0001287750 arcc:MarconeYellowstoneBuyerIncAndMarconeYellowstoneHoldingsLLCMember 2021-12-31 0001287750 McKenzie Creative Brands, LLC, First lien senior secured loan 2021-12-31 0001287750 McKenzie Creative Brands, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:McKenzieCreativeBrandsLLCMember 2021-12-31 0001287750 Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP, First lien senior secured loan 2021-12-31 0001287750 Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP, Limited partnership interests 2021-12-31 0001287750 arcc:MoonValleyNurseryOfArizonaRetailLLCMoonValleyNurseryFarmHoldingsLLCMoonValleyNurseryREHoldingsLLCAndStonecourtIVPartnersLPMember 2021-12-31 0001287750 North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, First lien senior secured loan 2021-12-31 0001287750 North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, Class A units 2021-12-31 0001287750 arcc:NorthHavenFalconBuyerLLCAndNorthHavenFalconHoldingCompanyLLCMember 2021-12-31 0001287750 Reddy Ice LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Reddy Ice LLC, First lien senior secured loan 2021-12-31 0001287750 Reddy Ice LLC, First lien senior secured loan 2 2021-12-31 0001287750 Reddy Ice LLC, First lien senior secured loan 3 2021-12-31 0001287750 arcc:ReddyIceLLCMember 2021-12-31 0001287750 SCIH Salt Holdings Inc., First lien senior secured revolving loan 2021-12-31 0001287750 US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., First lien senior secured loan 2021-12-31 0001287750 US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., Limited partner interests 2021-12-31 0001287750 arcc:USSaltInvestorsLLCAndEmeraldLakePearlAcquisitionALPMember 2021-12-31 0001287750 arcc:RetailingAndDistributionMember 2021-12-31 0001287750 Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan 2021-12-31 0001287750 Aventine Intermediate LLC & Aventine Holdings II LLC, Senior subordinated loan 2021-12-31 0001287750 arcc:AventineIntermediateLLCAventineHoldingsIILLCMember 2021-12-31 0001287750 CMW Parent LLC (fka Black Arrow, Inc.), Series A units 2021-12-31 0001287750 Global Music Rights, LLC, First lien senior secured loan 2021-12-31 0001287750 Miami Beckham United LLC, Class A preferred units 2021-12-31 0001287750 MMax Investment Partners, Inc. (d/b/a Professional Fighters League) and PFL MMA, Inc., First lien senior secured loan 2021-12-31 0001287750 MMax Investment Partners, Inc. (d/b/a Professional Fighters League) and PFL MMA, Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 arcc:MMaxInvestmentPartnersIncDbaProfessionalFightersLeagueAndPFLMMAIncMember 2021-12-31 0001287750 OUTFRONT Media Inc., Series A convertible perpetual preferred stock 2021-12-31 0001287750 Padres L.P., First lien senior secured loan 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 3 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 4 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC, Class A units 2021-12-31 0001287750 arcc:ProductionResourceGroupLLCAndPRGIIILLCMember 2021-12-31 0001287750 Storm Investment S.a.r.l., First lien senior secured loan 2021-12-31 0001287750 Storm Investment S.a.r.l., Class A redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class B redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class C redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class D redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class E redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class F redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class G redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class H redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Class I redeemable shares 2021-12-31 0001287750 Storm Investment S.a.r.l., Ordinary shares 2021-12-31 0001287750 arcc:StormInvestmentSarlMember 2021-12-31 0001287750 The Teaching Company Holdings, Inc., Preferred stock 2021-12-31 0001287750 The Teaching Company Holdings, Inc., Common stock 2021-12-31 0001287750 arcc:TheTeachingCompanyHoldingsIncMember 2021-12-31 0001287750 arcc:MediaAndEntertainmentMember 2021-12-31 0001287750 American Seafoods Group LLC and American Seafoods Partners LLC, Class A units 2021-12-31 0001287750 American Seafoods Group LLC and American Seafoods Partners LLC, Warrant to purchase Class A units 2021-12-31 0001287750 arcc:AmericanSeafoodsGroupLLCAndAmericanSeafoodsPartnersLLCMember 2021-12-31 0001287750 Berner Food & Beverage, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Berner Food & Beverage, LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 arcc:BernerFoodBeverageLLCMember 2021-12-31 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured revolving loan 2021-12-31 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured loan 2021-12-31 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P., Common units 2021-12-31 0001287750 arcc:BraggLiveFoodProductsLLCAndSPCInvestmentCoLPMember 2021-12-31 0001287750 CHG PPC Parent LLC & PPC CHG Blocker LLC, Second lien senior secured loan 2021-12-31 0001287750 CHG PPC Parent LLC & PPC CHG Blocker LLC, Common units 2021-12-31 0001287750 arcc:CHGPPCParentLLCPPCCHGBlockerLLCMember 2021-12-31 0001287750 Florida Food Products, LLC, First lien senior secured loan 2021-12-31 0001287750 Florida Food Products, LLC, Second lien senior secured loan 2021-12-31 0001287750 arcc:FloridaFoodProductsLLCMember 2021-12-31 0001287750 Gehl Foods, LLC and GF Parent LLC, Class A preferred units 2021-12-31 0001287750 Gehl Foods, LLC and GF Parent LLC, Class A common units 2021-12-31 0001287750 Gehl Foods, LLC and GF Parent LLC, Class B common units 2021-12-31 0001287750 arcc:GehlFoodsLLCAndGFParentLLCMember 2021-12-31 0001287750 KC Culinarte Intermediate, LLC, First lien senior secured loan 2021-12-31 0001287750 KC Culinarte Intermediate, LLC, Second lien senior secured loan 2021-12-31 0001287750 arcc:KCCulinarteIntermediateLLCMember 2021-12-31 0001287750 Manna Pro Products, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 RF HP SCF Investor, LLC, Membership interest 2021-12-31 0001287750 Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan 2021-12-31 0001287750 Teasdale Foods, Inc. and Familia Group Holdings Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 arcc:TeasdaleFoodsIncAndFamiliaGroupHoldingsIncMember 2021-12-31 0001287750 Triton Water Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Triton Water Holdings, Inc., Senior subordinated loan 2021-12-31 0001287750 arcc:TritonWaterHoldingsIncMember 2021-12-31 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Watermill Express, LLC and Watermill Express Holdings, LLC, Class A units 2021-12-31 0001287750 arcc:WatermillExpressLLCAndWatermillExpressHoldingsLLCMember 2021-12-31 0001287750 Winebow Holdings, Inc. and The Vintner Group, Inc., First lien senior secured loan 2021-12-31 0001287750 us-gaap-supplement:FoodAndBeverageSectorMember 2021-12-31 0001287750 ASP-r-pac Acquisition Co LLC and ASP-r-pac Holdings LP, First lien senior secured revolving loan 2021-12-31 0001287750 ASP-r-pac Acquisition Co LLC and ASP-r-pac Holdings LP, First lien senior secured loan 2021-12-31 0001287750 ASP-r-pac Acquisition Co LLC and ASP-r-pac Holdings LP, Class A units 2021-12-31 0001287750 arcc:ASPRPacAcquisitionCoLLCAndASPRPacHoldingsLPMember 2021-12-31 0001287750 Genomatica, Inc., Warrant to purchase shares of Series D preferred stock 2021-12-31 0001287750 Halex Holdings, Inc., Common stock 2021-12-31 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 2021-12-31 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, Second lien senior secured loan 2021-12-31 0001287750 H-Food Holdings, LLC and Matterhorn Parent, LLC, Common units 2021-12-31 0001287750 arcc:HFoodHoldingsLLCAndMatterhornParentLLCMember 2021-12-31 0001287750 IntraPac International LLC and IntraPac Canada Corporation, First lien senior secured revolving loan 2021-12-31 0001287750 IntraPac International LLC and IntraPac Canada Corporation, First lien senior secured loan 2021-12-31 0001287750 IntraPac International LLC and IntraPac Canada Corporation, First lien senior secured loan 2 2021-12-31 0001287750 arcc:IntraPacInternationalLLCAndIntraPacCanadaCorporationMember 2021-12-31 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 2021-12-31 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 2021-12-31 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 2 2021-12-31 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 3 2021-12-31 0001287750 Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., Class A units 2021-12-31 0001287750 arcc:NelipakHoldingCompanyNelipakEuropeanHoldingsCooperatiefUAKNPAKHoldingsLPAndPAKNKNetherlandsTreasuryBVMember 2021-12-31 0001287750 Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 2021-12-31 0001287750 Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class A preferred units 2021-12-31 0001287750 Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class C units 2021-12-31 0001287750 arcc:NovipaxBuyerLLCAndNovipaxParentHoldingCompanyLLCMember 2021-12-31 0001287750 Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Second lien senior secured loan 2021-12-31 0001287750 Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Co-Invest units 2021-12-31 0001287750 arcc:PlaskolitePPCIntermediateIILLCAndPlaskolitePPCBlockerLLCMember 2021-12-31 0001287750 SCI PH Parent, Inc., Series B shares 2021-12-31 0001287750 arcc:MaterialsSectorMember 2021-12-31 0001287750 Abzena Holdings, Inc. and Astro Group Holdings Ltd., First lien senior secured loan 2021-12-31 0001287750 Abzena Holdings, Inc. and Astro Group Holdings Ltd., First lien senior secured loan 2 2021-12-31 0001287750 Abzena Holdings, Inc. and Astro Group Holdings Ltd., Class A ordinary shares 2021-12-31 0001287750 arcc:AbzenaHoldingsIncAndAstroGroupHoldingsLtdMember 2021-12-31 0001287750 Alcami Corporation and ACM Holdings I, LLC, First lien senior secured loan 2021-12-31 0001287750 Alcami Corporation and ACM Holdings I, LLC, Second lien senior secured loan 2021-12-31 0001287750 Alcami Corporation and ACM Holdings I, LLC, Common units 2021-12-31 0001287750 arcc:AlcamiCorporationAndACMHoldingsILLCMember 2021-12-31 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 2021-12-31 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Series A preferred shares 2021-12-31 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Preferred units 2021-12-31 0001287750 Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Class A common units 2021-12-31 0001287750 arcc:CobaltBuyerSubIncCobaltHoldingsILPAndCobaltIntermediateIIncMember 2021-12-31 0001287750 NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 2021-12-31 0001287750 NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:NMCSkincareIntermediateHoldingsIILLCMember 2021-12-31 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 2021-12-31 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 2 2021-12-31 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 3 2021-12-31 0001287750 North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Class A preferred units 2021-12-31 0001287750 arcc:NorthAmericanScienceAssociatesLLCCardinalPurchaserLLCAndCardinalTopcoHoldingsLPMember 2021-12-31 0001287750 TerSera Therapeutics LLC, First lien senior secured revolving loan 2021-12-31 0001287750 TerSera Therapeutics LLC, First lien senior secured loan 2021-12-31 0001287750 TerSera Therapeutics LLC, First lien senior secured loan 2 2021-12-31 0001287750 TerSera Therapeutics LLC, First lien senior secured loan 3 2021-12-31 0001287750 arcc:TerSeraTherapeuticsLLCMember 2021-12-31 0001287750 Vertice Pharma UK Parent Limited, Preferred shares 2021-12-31 0001287750 arcc:PharmaceuticalsBiotechnologyAndLifeSciencesMember 2021-12-31 0001287750 Birch Permian, LLC, Second lien senior secured loan 2021-12-31 0001287750 Cheyenne Petroleum Chompany Limited Partnership, CPC 2001 LLC and Mill Shoals LLC, Second lien senior secured loan 2021-12-31 0001287750 Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC, Second lien senior secured loan 2021-12-31 0001287750 Halcon Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Murchison Oil and Gas, LLC and Murchison Holdings, LLC, First lien senior secured loan 2021-12-31 0001287750 Murchison Oil and Gas, LLC and Murchison Holdings, LLC, First lien senior secured loan 2 2021-12-31 0001287750 Murchison Oil and Gas, LLC and Murchison Holdings, LLC, Preferred units 2021-12-31 0001287750 arcc:MurchisonOilAndGasLLCAndMurchisonHoldingsLLCMember 2021-12-31 0001287750 Sundance Energy Inc., Common stock 2021-12-31 0001287750 VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 2021-12-31 0001287750 VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 2 2021-12-31 0001287750 VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 3 2021-12-31 0001287750 VPROP Operating, LLC and V SandCo, LLC, Class A units 2021-12-31 0001287750 arcc:VPROPOperatingLLCAndVSandCoLLCMember 2021-12-31 0001287750 us-gaap-supplement:EnergySectorMember 2021-12-31 0001287750 Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Second lien senior secured loan 2021-12-31 0001287750 Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Class A preferred units 2021-12-31 0001287750 Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Series A preferred shares 2021-12-31 0001287750 arcc:BalrogAcquisitionIncBalrogTopcoIncAndBalrogParentLPMember 2021-12-31 0001287750 Continental Cafe, LLC and Infinity Ovation Yacht Charters, LLC, First lien senior secured loan 2021-12-31 0001287750 DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured revolving loan 2021-12-31 0001287750 DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured loan 2021-12-31 0001287750 DecoPac, Inc. and KCAKE Holdings Inc., Common stock 2021-12-31 0001287750 arcc:DecoPacIncAndKCAKEHoldingsIncMember 2021-12-31 0001287750 FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured revolving loan 2021-12-31 0001287750 FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured loan 2021-12-31 0001287750 FS Squared Holding Corp. and FS Squared, LLC, Class A units 2021-12-31 0001287750 arcc:FSSquaredHoldingCorpAndFSSquaredLLCMember 2021-12-31 0001287750 JWC/KI Holdings, LLC, Membership units 2021-12-31 0001287750 SFE Intermediate Holdco LLC, First lien senior secured loan 2021-12-31 0001287750 SFE Intermediate Holdco LLC, First lien senior secured loan 2 2021-12-31 0001287750 arcc:SFEIntermediateHoldcoLLCMember 2021-12-31 0001287750 VCP-EDC Co-Invest, LLC, Membership units 2021-12-31 0001287750 arcc:FoodAndStaplesRetailingMember 2021-12-31 0001287750 Chariot Buyer LLC, First lien senior secured revolving loan 2021-12-31 0001287750 Chariot Buyer LLC, First lien senior secured revolving loan 2 2021-12-31 0001287750 Chariot Buyer LLC, Second lien senior secured loan 2021-12-31 0001287750 arcc:ChariotBuyerLLCMember 2021-12-31 0001287750 Everspin Technologies, Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 Micromeritics Instrument Corp., First lien senior secured revolving loan 2021-12-31 0001287750 Micromeritics Instrument Corp., First lien senior secured loan 2021-12-31 0001287750 arcc:MicromeriticsInstrumentCorpMember 2021-12-31 0001287750 Repairify, Inc. and Repairify Holdings, LLC, Class A common units 2021-12-31 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, First lien senior secured loan 2021-12-31 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, First lien senior secured loan 2 2021-12-31 0001287750 Wildcat BuyerCo, Inc. and Wildcat Parent, LP, Limited partnership interests 2021-12-31 0001287750 arcc:WildcatBuyerCoIncAndWildcatParentLPMember 2021-12-31 0001287750 arcc:TechnologyHardwareAndEquipmentMember 2021-12-31 0001287750 Commercial Trailer Leasing, Inc., First lien senior secured loan 2021-12-31 0001287750 Commercial Trailer Leasing, Inc., Second lien senior secured loan 2021-12-31 0001287750 arcc:CommercialTrailerLeasingIncMember 2021-12-31 0001287750 Shur-Co Acquisition, Inc. and Shur-Co HoldCo, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Shur-Co Acquisition, Inc. and Shur-Co HoldCo, Inc., First lien senior secured loan 2021-12-31 0001287750 Shur-Co Acquisition, Inc. and Shur-Co HoldCo, Inc., Common stock 2021-12-31 0001287750 arcc:ShurCoAcquisitionIncAndShurCoHoldCoIncMember 2021-12-31 0001287750 arcc:TransportationMember 2021-12-31 0001287750 CDI Holdings III Corp. and CDI Holdings I Corp., First lien senior secured loan 2021-12-31 0001287750 CDI Holdings III Corp. and CDI Holdings I Corp., Common stock 2021-12-31 0001287750 arcc:CDIHoldingsIIICorpAndCDIHoldingsICorpMember 2021-12-31 0001287750 Foundation Consumer Brands, LLC, First lien senior secured loan 2021-12-31 0001287750 Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured loan 2021-12-31 0001287750 Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., Limited partner interests 2021-12-31 0001287750 arcc:PremierSpecialtiesIncAndRMCFVCIVXLIVLPMember 2021-12-31 0001287750 Rug Doctor, LLC and RD Holdco Inc., Second lien senior secured loan 2021-12-31 0001287750 Rug Doctor, LLC and RD Holdco Inc., Common stock 2021-12-31 0001287750 Rug Doctor, LLC and RD Holdco Inc., Warrant to purchase shares of common stock 2021-12-31 0001287750 arcc:RugDoctorLLCAndRDHoldcoIncMember 2021-12-31 0001287750 Walnut Parent, Inc., First lien senior secured loan 2021-12-31 0001287750 Walnut Parent, Inc., First lien senior secured loan 2 2021-12-31 0001287750 arcc:WalnutParentIncMember 2021-12-31 0001287750 arcc:HouseholdAndPersonalProductsMember 2021-12-31 0001287750 Excelligence Holdings Corp., First lien senior secured loan 2021-12-31 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured revolving loan 2021-12-31 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 2021-12-31 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 2 2021-12-31 0001287750 Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., Series A preferred stock 2021-12-31 0001287750 arcc:FlinnScientificIncAndWCIQuantumHoldingsIncMember 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., First lien senior secured loan 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Senior preferred series A-1 shares 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Series B preferred stock 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Series B preferred stock 2 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Series C preferred stock 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Series C preferred stock 2 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Common stock 2021-12-31 0001287750 Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc., Common stock 2 2021-12-31 0001287750 arcc:InstitutoDeBancaYComercioIncLeedsIVAdvisorsIncMember 2021-12-31 0001287750 Primrose Holding Corporation, Common stock 2021-12-31 0001287750 arcc:EducationMember 2021-12-31 0001287750 Emergency Communications Network, LLC, First lien senior secured loan 2021-12-31 0001287750 arcc:TelecommunicationServicesMember 2021-12-31 0001287750 CAD, Truist Financial Corporation, Company Settlement Date January 28, 2022, Contract One 2021-12-31 0001287750 CAD, Truist Financial Corporation, Company Settlement Date January 19, 2022 2021-12-31 0001287750 EURO, Truist Financial Corporation, Company Settlement Date January 28, 2022, Contract One 2021-12-31 0001287750 GBP, Truist Financial Corporation, Company Settlement Date January 28, 2022, Contract Two 2021-12-31 0001287750 CAD, Truist Financial Corporation, Company Settlement Date January 28, 2022, Contract Two 2021-12-31 0001287750 Apex Clean Energy TopCo, LLC 2021-01-01 2021-12-31 0001287750 Apex Clean Energy TopCo, LLC 2021-12-31 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC 2021-01-01 2021-12-31 0001287750 APG Intermediate Holdings Corporation and APG Holdings, LLC 2021-12-31 0001287750 Blue Angel Buyer 1, LLC and Blue Angel Holdco, LLC 2021-01-01 2021-12-31 0001287750 Blue Angel Buyer 1, LLC and Blue Angel Holdco, LLC 2021-12-31 0001287750 Blue Wolf Capital Fund II, L.P. 2021-01-01 2021-12-31 0001287750 Blue Wolf Capital Fund II, L.P. 2021-12-31 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P. 2021-01-01 2021-12-31 0001287750 Bragg Live Food Products, LLC and SPC Investment Co., L.P. 2021-12-31 0001287750 Crown Health Care Laundry Services, LLC and Crown Laundry Holdings, LLC 2021-01-01 2021-12-31 0001287750 Crown Health Care Laundry Services, LLC and Crown Laundry Holdings, LLC 2021-12-31 0001287750 ESCP PPG Holdings, LLC 2021-01-01 2021-12-31 0001287750 ESCP PPG Holdings, LLC 2021-12-31 0001287750 European Capital UK SME Debt LP 2021-01-01 2021-12-31 0001287750 European Capital UK SME Debt LP 2021-12-31 0001287750 Panda Temple Power, LLC and T1 Power Holdings LLC 2021-01-01 2021-12-31 0001287750 Panda Temple Power, LLC and T1 Power Holdings LLC 2021-12-31 0001287750 PCG-Ares Sidecar Investment II, L.P. 2021-01-01 2021-12-31 0001287750 PCG-Ares Sidecar Investment II, L.P. 2021-12-31 0001287750 PCG-Ares Sidecar Investment, L.P. 2021-01-01 2021-12-31 0001287750 PCG-Ares Sidecar Investment, L.P. 2021-12-31 0001287750 Primrose Holding Corporation 2021-01-01 2021-12-31 0001287750 Primrose Holding Corporation 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC 2021-01-01 2021-12-31 0001287750 Production Resource Group, L.L.C. and PRG III, LLC 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2021-01-01 2021-12-31 0001287750 Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2021-12-31 0001287750 Sundance Energy Inc. 2021-01-01 2021-12-31 0001287750 Sundance Energy Inc. 2021-12-31 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 2021-01-01 2021-12-31 0001287750 Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 2021-12-31 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerNoncontrolledMember 2021-01-01 2021-12-31 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC 2021-01-01 2021-12-31 0001287750 Absolute Dental Group LLC and Absolute Dental Equity, LLC 2021-12-31 0001287750 ACAS Equity Holdings Corporation 2021-01-01 2021-12-31 0001287750 ACAS Equity Holdings Corporation 2021-12-31 0001287750 ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. 2021-01-01 2021-12-31 0001287750 ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. 2021-12-31 0001287750 BW Landco LLC 2021-01-01 2021-12-31 0001287750 BW Landco LLC 2021-12-31 0001287750 CoLTs 2005-1 Ltd. 2021-01-01 2021-12-31 0001287750 CoLTs 2005-1 Ltd. 2021-12-31 0001287750 CoLTs 2005-2 Ltd. 2021-01-01 2021-12-31 0001287750 CoLTs 2005-2 Ltd. 2021-12-31 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC 2021-01-01 2021-12-31 0001287750 Eckler Industries, Inc. and Eckler Purchaser LLC 2021-12-31 0001287750 Halex Holdings, Inc. 2021-01-01 2021-12-31 0001287750 Halex Holdings, Inc. 2021-12-31 0001287750 HCI Equity, LLC 2021-01-01 2021-12-31 0001287750 HCI Equity, LLC 2021-12-31 0001287750 Heelstone Renewable Energy, LLC 2021-01-01 2021-12-31 0001287750 Heelstone Renewable Energy, LLC 2021-12-31 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation 2021-01-01 2021-12-31 0001287750 Imaging Business Machines, L.L.C. and Scanner Holdings Corporation 2021-12-31 0001287750 Ivy Hill Asset Management, L.P. 2021-01-01 2021-12-31 0001287750 Ivy Hill Asset Management, L.P. 2021-12-31 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 2021-01-01 2021-12-31 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC 2021-01-01 2021-12-31 0001287750 Navisun LLC and Navisun Holdings LLC 2021-12-31 0001287750 NECCO Holdings, Inc. and New England Confectionery Company, Inc. 2021-01-01 2021-12-31 0001287750 NECCO Holdings, Inc. and New England Confectionery Company, Inc. 2021-12-31 0001287750 NECCO Realty Investments LLC 2021-01-01 2021-12-31 0001287750 NECCO Realty Investments LLC 2021-12-31 0001287750 Potomac Intermediate Holdings II LLC 2021-01-01 2021-12-31 0001287750 Potomac Intermediate Holdings II LLC 2021-12-31 0001287750 PS Operating Company LLC and PS Op Holdings LLC 2021-01-01 2021-12-31 0001287750 PS Operating Company LLC and PS Op Holdings LLC 2021-12-31 0001287750 Rug Doctor, LLC and RD Holdco Inc. 2021-01-01 2021-12-31 0001287750 Rug Doctor, LLC and RD Holdco Inc. 2021-12-31 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC) 2021-01-01 2021-12-31 0001287750 S Toys Holdings LLC (fka The Step2 Company, LLC) 2021-12-31 0001287750 Senior Direct Lending Program, LLC 2021-01-01 2021-12-31 0001287750 Senior Direct Lending Program, LLC 2021-12-31 0001287750 Singer Sewing Company, SVP-Singer Holdings, LLC and SVP-Singer Holdings LP 2021-01-01 2021-12-31 0001287750 Singer Sewing Company, SVP-Singer Holdings, LLC and SVP-Singer Holdings LP 2021-12-31 0001287750 Startec Equity, LLC 2021-01-01 2021-12-31 0001287750 Startec Equity, LLC 2021-12-31 0001287750 VPROP Operating, LLC and V SandCo, LLC 2021-01-01 2021-12-31 0001287750 VPROP Operating, LLC and V SandCo, LLC 2021-12-31 0001287750 us-gaap-supplement:InvestmentAffiliatedIssuerControlledMember 2021-01-01 2021-12-31 0001287750 McKenzie Creative Brands, LLC, First lien senior secured loan, First Out Tranche 2021-12-31 0001287750 Teligent, Inc, Second lien senior secured loan 3, Secured borrowing 2021-12-31 0001287750 DFC Global Facility Borrower III LLC, First lien senior secured revolving loan, Secured borrowing 2021-12-31 0001287750 A.U.L. Corp. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Absolute Dental Group LLC and Absolute Dental Equity, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Abzena Holdings, Inc. and Astro Group Holdings Ltd. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ADG, LLC and RC IV GEDC Investor LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC 2021-12-31 0001287750 AI Aqua Merger Sub, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Alcami Corporation and ACM Holdings I, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Alera Group, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember American Residential Services L.L.C. and Aragorn Parent Holdings LP 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember APG Intermediate Holdings Corporation and APG Holdings, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Apptio, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember AQ Sunshine, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Argenbright Holdings V, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Arrowhead Holdco Company and Arrowhead GS Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Athenahealth, Inc., VVC Holding Corp., Virence Intermediate Holding Corp., and Virence Holdings LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember ATI Restoration, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Atlas Intermediate III, L.L.C. 2021-12-31 0001287750 Aventine Intermediate LLC and Aventine Holdings II LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Avetta, LLC 2021-12-31 0001287750 AxiomSL Group, Inc. and Calypso Group, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Bamboo Purchaser, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Banyan Software Holdings, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Beacon Pointe Harmony, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Bearcat Buyer, Inc. and Bearcat Parent, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Belfor Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Benecon Midco II LLC and Locutus Holdco LLC 2021-12-31 0001287750 Benefytt Technologies, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Berner Food & Beverage, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Borrower R365 Holdings LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Bragg Live Food Products, LLC and SPC Investment Co., L.P. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Businessolver.com, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cadence Aerospace, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CCS-CMGC Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CDI Holdings III Corp. and CDI Holdings I Corp. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Center for Autism and Related Disorders, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Centric Brands LLC and Centric Brands GP LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Chariot Buyer LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Commercial Trailer Leasing, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Comprehensive EyeCare Partners, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Concert Golf Partners Holdco LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Consilio Midco Limited and Consilio Investment Holdings, L.P. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Continental Café, LLC and Infinity Ovation Yacht Charters, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CoreLogic, Inc. and T-VIII Celestial Co-Invest LP 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cority Software Inc., IQS, Inc. and Cority Parent, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Cozzini Bros., Inc. and BH-Sharp Holdings LP 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CrossCountry Mortgage, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CST Buyer Company (d/b/a Intoxalock) 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DecoPac, Inc. and KCAKE Holdings Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Denali Holdco LLC and Denali Topco LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DFC Global Facility Borrower III LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Diligent Corporation and Diligent Preferred Issuer, Inc. 2021-12-31 0001287750 Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DRS Holdings III, Inc. and DRS Holdings I, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DS Admiral Bidco, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember DTI Holdco, Inc. and OPE DTI Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Dye & Durham Corporation 2021-12-31 0001287750 Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Eckler Industries, Inc. and Eckler Purchaser LLC 2021-12-31 0001287750 Elemica Parent, Inc. & EZ Elemica Holdings, Inc. arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 Emergency Communications Network, LLC arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember EP Wealth Advisors, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember EpiServer Inc. and Episerver Sweden Holdings AB 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember EPS NASS Parent, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember eResearch Technology, Inc. and Astorg VII Co-Invest ERT 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Extrahop Networks, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember FL Hawk Intermediate Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Flow Control Solutions, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember FM:Systems Group, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Forescout Technologies, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Foundation Risk Partners, Corp. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember FS Squared Holding Corp. and FS Squared, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Galway Borrower LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Garden Fresh Restaurant Corp. and GFRC Holdings LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Genesis Acquisition Co. and Genesis Ultimate Holding Co. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GI Ranger Intermediate LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Global Music Rights, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Green Street Parent, LLC and Green Street Intermediate Holdings, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember HAI Acquisition Corporation and Aloha Topco, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Halcon Holdings, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Harvey Tool Company, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember HealthEdge Software, Inc. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Heavy 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arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember JDC Healthcare Management, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Jim N Nicks Management, LLC 2021-12-31 0001287750 Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) arcc:RevolvingAndDelayedDrawLoanCommitmentsMember 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember K2 Insurance Services, LLC and K2 Holdco LP 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember KBHS Acquisition, LLC (d/b/a Alita Care, LLC) 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Kellermeyer Bergensons Services, LLC 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Kene Acquisition, Inc. and Kene Holdings, L.P. 2021-12-31 0001287750 arcc:RevolvingAndDelayedDrawLoanCommitmentsMember Laboratories Bidco LLC and Laboratories Topco LLC 2021-12-31 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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 10-Q
ý QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the quarterly period ended September 30, 2022

OR

o TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from _____ to _____

Commission File No. 814-00663
ARES CAPITAL CORPORATION
(Exact name of Registrant as specified in its charter)
Maryland 33-1089684
(State or other jurisdiction of (I.R.S. Employer
incorporation or organization) Identification Number)

245 Park Avenue , 44 th Floor , New York , NY 10167
(Address of principal executive office)   (Zip Code)
( 212 ) 750-7300
(Registrant’s telephone number, including area code)
____________________________________________________________________

Securities registered pursuant to Section 12(b) of the Act:
Title of each class Trading symbol Name of each exchange on which registered
Common stock, par value $0.001 per share ARCC NASDAQ Global Select Market

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days: Yes ý No o

Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit such files). Yes o No o

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, smaller reporting company, or an emerging growth company. See definitions of “large accelerated filer,” “accelerated filer,” “smaller reporting company,” and “emerging growth company” in Rule 12b-2 of the Exchange Act. (Check one):
Large accelerated filer x
Accelerated filer o
Non-accelerated filer o
Smaller reporting company o
Emerging growth company o

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Securities Act. o

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes o No ý

Indicate the number of shares outstanding of each of the issuer’s classes of common stock, as of the latest practicable date.
Class Outstanding at October 25, 2022
Common stock, $0.001 par value 508,259,293
1


ARES CAPITAL CORPORATION
INDEX
Part I.
Item 1.
Item 2.
Item 3.
Item 4.
Part II.
Item 1.
Item 1A.
Item 2.
Item 3.
Item 4.
Item 5.
Item 6.

2


PART I - FINANCIAL INFORMATION
Item 1. Financial Statements

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED BALANCE SHEET
(in millions, except per share data)

As of
September 30, 2022 December 31, 2021
(unaudited)
ASSETS
Investments at fair value
Non-controlled/non-affiliate company investments $ 17,227 $ 17,056
Non-controlled affiliate company investments 358 373
Controlled affiliate company investments 3,754 2,580
Total investments at fair value (amortized cost of $ 21,469 and $ 19,810 , respectively)
21,339 20,009
Cash and cash equivalents 257 372
Restricted cash 105 114
Interest receivable 160 142
Receivable for open trades 21 80
Other assets 135 99
Operating lease right-of-use asset 21 27
Total assets $ 22,038 $ 20,843
LIABILITIES
Debt $ 11,816 $ 11,020
Base management fees payable 78 69
Income based fees payable 63 67
Capital gains incentive fees payable 72 161
Interest and facility fees payable 76 100
Payable to participants 105 114
Payable for open trades 141 216
Accounts payable and other liabilities 139 111
Secured borrowings 79 74
Operating lease liabilities 33 43
Total liabilities 12,602 11,975
Commitments and contingencies (Note 7)
STOCKHOLDERS’ EQUITY
Common stock, par value $ 0.001 per share, 700 and 600 common shares authorized, respectively; 508 and 468 common shares issued and outstanding, respectively
Capital in excess of par value 9,370 8,553
Accumulated undistributed earnings 66 315
Total stockholders’ equity 9,436 8,868
Total liabilities and stockholders’ equity $ 22,038 $ 20,843
NET ASSETS PER SHARE $ 18.56 $ 18.96

See accompanying notes to consolidated financial statements.

3


ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED STATEMENT OF OPERATIONS
(in millions, except per share data)
(unaudited)
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
INVESTMENT INCOME:
From non-controlled/non-affiliate company investments:
Interest income (excluding payment-in-kind (“PIK”) interest income) $ 300 $ 230 $ 786 $ 656
PIK interest income 28 42 84 95
Capital structuring service fees 26 53 81 179
Dividend income 52 31 140 86
Other income 11 11 29 28
Total investment income from non-controlled/non-affiliate company investments 417 367 1,120 1,044
From non-controlled affiliate company investments:
Interest income (excluding PIK interest income) 2 2 5 5
PIK interest income 2 1 4 3
Dividend income 1
Other income 1
Total investment income from non-controlled affiliate company investments 4 3 10 9
From controlled affiliate company investments:
Interest income (excluding PIK interest income) 49 39 126 129
PIK interest income 4 3 9 23
Capital structuring service fees 6 6 13 11
Dividend income 55 23 173 72
Other income 2 1 5 3
Total investment income from controlled affiliate company investments 116 72 326 238
Total investment income 537 442 1,456 1,291
EXPENSES:
Interest and credit facility fees 120 94 314 267
Base management fees 78 65 226 184
Income based fees 63 53 171 158
Capital gains incentive fees ( 37 ) 30 ( 64 ) 133
Administrative fees 3 4 9 11
Other general and administrative 8 7 20 18
Total expenses 235 253 676 771
NET INVESTMENT INCOME BEFORE INCOME TAXES 302 189 780 520
Income tax expense, including excise tax 14 5 37 21
NET INVESTMENT INCOME 288 184 743 499
REALIZED AND UNREALIZED GAINS (LOSSES) ON INVESTMENTS, FOREIGN CURRENCY AND OTHER TRANSACTIONS:
Net realized gains (losses):
Non-controlled/non-affiliate company investments ( 51 ) 82 ( 2 ) 139
Non-controlled affiliate company investments 29 1 6 58
Controlled affiliate company investments 40 19 61
Foreign currency and other transactions 22 26 32 9
Net realized gains 149 55 267
Net unrealized gains (losses):
Non-controlled/non-affiliate company investments ( 225 ) 35 ( 426 ) 388
Non-controlled affiliate company investments 30 6 62 13
Controlled affiliate company investments ( 18 ) ( 29 ) ( 10 ) 56
Foreign currency and other transactions 29 ( 11 ) 50 5
Net unrealized gains (losses) ( 184 ) 1 ( 324 ) 462
Net realized and unrealized gains (losses) on investments, foreign currency and other transactions ( 184 ) 150 ( 269 ) 729
REALIZED LOSS ON EXTINGUISHMENT OF DEBT ( 48 ) ( 43 )
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS $ 104 $ 334 $ 426 $ 1,185
NET INCOME PER COMMON SHARE (see Note 10)
Basic $ 0.21 $ 0.73 $ 0.86 $ 2.68
Diluted $ 0.21 $ 0.73 $ 0.86 $ 2.68
WEIGHTED AVERAGE SHARES OF COMMON STOCK OUTSTANDING (see Note 10)
Basic 503 453 492 441
Diluted 523 453 512 441
See accompanying notes to consolidated financial statements.
4

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Software & Services
2U, Inc. Provider of course design and learning management system to educational institutions First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 6/2021 12/2024 $ 54.6 $ 54.0 $ 54.6 (2)(6)(11)
AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC (15) Payment processing solution provider First lien senior secured loan 8.81 % SOFR (Q) 5.75 % 6/2022 6/2028 120.9 118.6 118.4 (2)(11)
First lien senior secured loan 8.33 % LIBOR (Q) 5.75 % 2/2020 6/2028 63.5 63.5 62.2 (2)(11)
Senior subordinated loan
12.58 % PIK
SOFR (Q) 10.00 % 2/2020 6/2030 55.0 55.0 54.4 (2)(11)
237.1 235.0
Anaplan, Inc. (15) Provider of cloud-based connected planning platforms for business analytics First lien senior secured loan 9.53 % SOFR (M) 6.50 % 6/2022 6/2029 21.8 21.8 21.4 (2)(11)
Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua (15) Provider of intellectual property management lifecycle software First lien senior secured loan 5.60 % Euribor (S) 5.50 % 4/2019 4/2026 4.0 4.6 4.0 (2)
First lien senior secured loan 8.81 % LIBOR (S) 5.25 % 6/2021 4/2026 1.0 1.0 1.0 (2)(11)
Limited partnership units 6/2019 4,400,000 4.2 7.1 (2)(6)
9.8 12.1
APG Intermediate Holdings Corporation and APG Holdings, LLC (4)(15) Aircraft performance software provider First lien senior secured loan 8.15 % LIBOR (Q) 5.25 % 1/2020 1/2025 13.3 13.3 13.2 (2)(11)
Class A membership units 1/2020 9,750,000 9.8 8.4 (2)
23.1 21.6
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. (15) Software platform for identification, prevention and management of substance use disorder First lien senior secured loan 9.93 % LIBOR (M) 7.25 % 5/2021 5/2027 5.7 5.7 5.7 (2)(11)
Series A preferred shares
11.00 % PIK
5/2021 32,236 37.6 37.6 (2)
43.3 43.3
Apptio, Inc. (15) Provider of cloud-based technology business management solutions First lien senior secured revolving loan 8.46 % LIBOR (Q) 6.00 % 1/2019 1/2025 1.7 1.7 1.7 (2)(11)
First lien senior secured loan 8.46 % LIBOR (Q) 6.00 % 1/2019 1/2025 42.2 42.2 41.8 (2)(11)
43.9 43.5
Avetta, LLC (15) Supply chain risk management SaaS platform for global enterprise clients First lien senior secured loan 8.56 % LIBOR (Q) 5.75 % 7/2021 4/2024 0.2 0.2 0.1 (2)(11)
AxiomSL Group, Inc. and Calypso Group, Inc. (15) Provider of risk data management and regulatory reporting software First lien senior secured revolving loan 9.12 % LIBOR (M) 6.00 % 7/2021 12/2027 21.2 20.9 21.2 (2)(11)
Banyan Software Holdings, LLC and Banyan Software, LP (15) Vertical software businesses holding company First lien senior secured revolving loan 10.17 % LIBOR (Q) 6.50 % 10/2020 10/2025 0.9 0.9 0.9 (2)(11)
First lien senior secured loan 10.17 % LIBOR (Q) 6.50 % 12/2021 10/2026 9.1 9.1 9.1 (2)(11)
First lien senior secured loan 10.17 % LIBOR (Q) 6.50 % 10/2020 10/2026 1.0 1.0 1.0 (2)(11)
Preferred units 1/2022 120,999 4.1 5.1 (2)
15.1 16.1
5

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Borrower R365 Holdings LLC (15) Provider of restaurant enterprise resource planning systems First lien senior secured loan
9.68 % ( 3.00 % PIK)
LIBOR (Q) 6.00 % 6/2021 6/2027 15.9 15.6 15.9 (2)(11)
First lien senior secured loan
9.68 % ( 3.00 % PIK)
LIBOR (Q) 6.00 % 1/2022 6/2027 1.4 1.4 1.4 (2)(11)
17.0 17.3
Bottomline Technologies, Inc. (15) Provider of payment automation solutions First lien senior secured loan 8.35 % SOFR (M) 5.50 % 5/2022 5/2029 33.0 33.0 32.4 (2)(11)
Businessolver.com, Inc. (15) Provider of SaaS-based benefits solutions for employers and employees First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 12/2021 12/2027 14.4 14.4 14.2 (2)(11)
CallMiner, Inc. Provider of cloud-based conversational analytics solutions Warrant to purchase shares of Series 1 preferred stock 7/2014 7/2024 2,350,636
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. (15) Provider of software and technology-enabled content and analytical solutions to insurance brokers First lien senior secured revolving loan 9.75 % Base Rate (Q) 3.50 % 11/2020 11/2025 2.2 2.2 2.1 (2)(11)
Second lien senior secured loan 11.40 % LIBOR (Q) 7.75 % 11/2020 11/2028 64.3 64.3 61.5 (2)(11)
Series A preferred shares
14.75 % PIK
LIBOR (Q) 11.00 % 11/2020 24,898 31.0 27.9 (2)
Series A-2 preferred shares
14.75 % PIK
LIBOR (Q) 11.00 % 12/2020 8,963 11.0 9.9 (2)
Series A-3 preferred shares
11.00 % PIK
11/2021 11,952 13.2 11.8 (2)
121.7 113.2
Community Brands ParentCo, LLC (15) Software and payment services provider to non-profit institutions First lien senior secured loan 8.88 % SOFR (M) 5.75 % 2/2022 2/2028 10.7 10.7 10.4 (2)(11)
Class A units 12/2016 500,000 5.0 7.0 (2)
15.7 17.4
Conservice Midco, LLC Provider of outsourced utility management software and billing solutions Second lien senior secured loan 10.87 % LIBOR (M) 7.75 % 5/2022 5/2028 (2)
Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P. (15) Provider of sales software for the interior design industry First lien senior secured loan 9.45 % SOFR (Q) 5.75 % 6/2022 5/2028 11.7 11.7 11.5 (2)(6)(11)
First lien senior secured loan 9.42 % SOFR (Q) 5.75 % 5/2021 5/2028 15.0 15.0 14.7 (2)(6)(11)
First lien senior secured loan 7.55 % Euribor (Q) 6.25 % 11/2021 5/2028 24.7 28.4 24.2 (2)(6)
First lien senior secured loan 9.45 % SOFR (Q) 5.75 % 5/2021 5/2028 60.0 60.0 58.8 (2)(6)(11)
Common units 5/2021 4,799,000 4.8 7.1 (2)(6)
Series A common units 9/2022 23,340 0.2 (2)(6)
120.1 116.3
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP (15) Provider of information, insight, analytics, software and other outsourced services primarily to the mortgage, real estate and insurance sectors First lien senior secured loan 6.63 % LIBOR (M) 3.50 % 6/2022 6/2028 4.1 3.3 3.3 (2)(11)
Second lien senior secured loan 9.63 % LIBOR (M) 6.50 % 6/2021 6/2029 155.7 155.7 132.3 (2)(11)
Limited partnership units 4/2021 59,665,989 59.7 62.4 (2)
218.7 198.0
6

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc. (15) Provider of environmental, health and safety software to track compliance data First lien senior secured loan 8.81 % SOFR (Q) 6.00 % 9/2022 7/2026 16.5 16.5 16.5 (2)(6)(11)
First lien senior secured loan 7.28 % LIBOR (Q) 5.00 % 10/2019 7/2026 4.4 4.4 4.4 (2)(6)(11)
First lien senior secured loan 9.28 % LIBOR (Q) 7.00 % 9/2020 7/2026 1.1 1.1 1.1 (2)(6)(11)
First lien senior secured loan 7.28 % LIBOR (Q) 5.00 % 7/2019 7/2026 6.3 6.3 6.3 (2)(6)(11)
Preferred equity
9.00 % PIK
7/2019 198 0.3 0.6 (2)(6)
Common equity 7/2019 190,143 (2)(6)
28.6 28.9
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. (16) Provider of a cloud-based, SaaS platform for talent management First lien senior secured revolving loan 6.21 % LIBOR (M) 3.50 % 10/2021 10/2026 21.9 21.9 20.2 (2)(14)
Second lien senior secured loan 9.62 % LIBOR (M) 6.50 % 10/2021 10/2029 137.5 137.5 125.1 (2)(11)
Series A preferred shares
10.50 % PIK
10/2021 116,413 125.2 111.4 (2)
Class A-1 common stock 10/2021 1,360,100 13.6 15.1 (2)
298.2 271.8
Datix Bidco Limited Global healthcare software company that provides software solutions for patient safety and risk management First lien senior secured loan 6.01 % LIBOR (S) 4.50 % 10/2019 4/2025 0.1 (2)(6)
Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P. Provider of internet security tools and solutions Second lien senior secured loan 9.90 % LIBOR (Q) 7.00 % 5/2022 2/2029 8.8 8.2 8.5 (2)
Series A preferred shares
10.50 % PIK
5/2021 129,822 145.3 132.9 (2)
Series A units 5/2021 817,194 13.3 12.4 (2)
166.8 153.8
Denali Holdco LLC and Denali Apexco LP (15) Provider of cybersecurity audit and assessment services First lien senior secured loan 8.79 % LIBOR (Q) 5.50 % 7/2022 9/2027 1.2 1.2 1.2 (2)(11)
First lien senior secured loan 8.79 % LIBOR (Q) 5.50 % 9/2021 9/2027 0.1 0.1 0.1 (2)(11)
Class A units 2/2022 2,549,000 2.5 2.5 (2)
3.8 3.8
Diligent Corporation and Diligent Preferred Issuer, Inc. (15) Provider of secure SaaS solutions for board and leadership team documents First lien senior secured revolving loan 8.49 % LIBOR (Q) 6.25 % 8/2020 12/2022 1.1 1.1 1.1 (2)(11) (14)
First lien senior secured loan 9.13 % LIBOR (Q) 6.25 % 8/2020 8/2025 36.0 35.5 35.3 (2)(11)
First lien senior secured loan 9.13 % LIBOR (Q) 6.25 % 7/2021 8/2025 2.0 2.0 2.0 (2)(11)
First lien senior secured loan 8.63 % LIBOR (Q) 5.75 % 4/2021 8/2025 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 8.63 % LIBOR (Q) 5.75 % 3/2021 8/2025 0.1 0.1 0.1 (2)(11)
Preferred stock
10.50 % PIK
4/2021 13,140 15.0 14.3 (2)
53.8 52.9
Drilling Info Holdings, Inc. and Titan DI Preferred Holdings, Inc. SaaS based business analytics company focused on oil and gas industry Second lien senior secured loan 11.37 % LIBOR (M) 8.25 % 2/2020 7/2026 25.0 25.0 24.5 (2)
Preferred stock
13.50 % PIK
2/2020 29.53 41.0 40.6 (2)
66.0 65.1
7

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
DS Admiral Bidco, LLC (15) Tax return software provider for government institutions First lien senior secured loan 8.56 % LIBOR (Q) 5.75 % 3/2021 3/2028 0.1 0.1 0.1 (2)(11)
Dye & Durham Corporation (15) Provider of cloud-based software and technology solutions for the legal industry First lien senior secured loan 8.62 % CDOR (Q) 5.75 % 12/2021 12/2027 39.2 42.2 39.2 (2)(6)(11)
Elemica Parent, Inc. & EZ Elemica Holdings, Inc. (15) SaaS based supply chain management software provider focused on chemical markets First lien senior secured revolving loan 8.57 % LIBOR (Q) 5.50 % 9/2019 9/2025 3.1 3.1 3.0 (2)(11)
First lien senior secured revolving loan 10.75 % Base Rate (Q) 4.50 % 9/2019 9/2025 1.0 1.0 1.0 (11)
First lien senior secured loan 9.01 % LIBOR (Q) 5.50 % 9/2019 9/2025 61.5 61.5 60.3 (2)(11)
First lien senior secured loan 8.79 % LIBOR (Q) 5.50 % 12/2020 9/2025 5.8 5.8 5.6 (2)(11)
Preferred equity 9/2019 4,599 4.6 6.0 (2)
76.0 75.9
EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P. Provider of entertainment workforce and production management solutions Second lien senior secured loan 10.17 % LIBOR (Q) 6.50 % 11/2021 11/2029 177.9 177.9 174.3 (2)(11)
Partnership units 5/2019 5,034,483 3.2 11.6 (2)(6)
181.1 185.9
EpiServer Inc. and Episerver Sweden Holdings AB (15) Provider of web content management and digital commerce solutions First lien senior secured loan 7.19 % Euribor (Q) 6.00 % 3/2019 4/2026 5.2 5.9 5.1 (2)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 12/2021 4/2026 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 10/2018 4/2026 0.1 0.1 0.1 (2)(11)
6.1 5.3
eResearch Technology, Inc. and Astorg VII Co-Invest ERT (15) Provider of mission-critical, software-enabled clinical research solutions Second lien senior secured loan 11.12 % LIBOR (M) 8.00 % 4/2021 2/2028 30.6 29.7 29.1 (2)(11)
Second lien senior secured loan 11.12 % LIBOR (M) 8.00 % 2/2020 2/2028 17.2 16.9 16.3 (2)(11)
Limited partnership interest 1/2020 3,988,000 4.5 3.2 (2)(6)
51.1 48.6
ESHA Research, LLC and RMCF VI CIV XLVIII, L.P. (15) Provider of nutritional information and software as a services (SaaS) compliance solutions First lien senior secured loan 8.96 % SOFR (Q) 6.25 % 6/2022 6/2028 6.8 6.8 6.7 (2)(11)
Limited partner interests 6/2022 4,818,000 4.8 4.8
11.6 11.5
Extrahop Networks, Inc. (15) Provider of real-time wire data analytics solutions for application and infrastructure monitoring First lien senior secured loan 11.17 % LIBOR (Q) 7.50 % 7/2021 7/2027 16.6 16.6 16.6 (2)(11)
First lien senior secured loan 11.17 % LIBOR (Q) 7.50 % 7/2021 7/2027 3.0 3.0 3.0 (2)(11)
19.6 19.6
First Insight, Inc. Software company providing merchandising and pricing solutions to companies worldwide Warrant to purchase units of Series C preferred stock 3/2014 3/2024 122,827
8

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
FM:Systems Group, LLC (15) Provider of facilities and space management software solutions First lien senior secured loan 9.13 % LIBOR (S) 5.75 % 12/2019 12/2024 3.2 3.2 3.2 (2)(11)
First lien senior secured loan 9.05 % LIBOR (Q) 5.75 % 6/2021 12/2024 1.4 1.4 1.4 (2)(11)
4.6 4.6
Forescout Technologies, Inc. (15) Network access control solutions provider First lien senior secured loan
13.13 % PIK
LIBOR (Q) 9.50 % 8/2020 8/2026 23.2 22.9 23.2 (2)(11)
First lien senior secured loan
12.67 % PIK
LIBOR (Q) 9.00 % 7/2022 8/2026 12.3 12.3 12.3 (2)(11)
35.2 35.5
Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC Provider of human capital management and SaaS-based software solutions to employees and administrators of K-12 school organizations First lien senior secured loan 11.00 % Base Rate (Q) 4.75 % 12/2020 9/2023 14.7 14.7 14.7 (2)(11)
First lien senior secured loan 11.00 % Base Rate (Q) 4.75 % 6/2021 9/2023 0.1 0.1 0.1 (2)(11)
Class A preferred units
9.00 % PIK
9/2017 4,574 6.7 7.2
Class B common units 9/2017 499,050 8.4
21.5 30.4
Genesis Acquisition Co. and Genesis Ultimate Holding Co. (15) Child care management software and services provider First lien senior secured revolving loan 7.92 % LIBOR (Q) 3.75 % 7/2018 7/2024 1.5 1.5 1.5 (2)
First lien senior secured loan 8.42 % LIBOR (Q) 4.25 % 11/2021 7/2024 9.0 9.0 9.0 (2)(11)
First lien senior secured loan 7.92 % LIBOR (Q) 3.75 % 7/2018 7/2024 0.2 0.2 0.2 (2)
Second lien senior secured loan 9.79 % LIBOR (Q) 7.50 % 7/2018 7/2025 32.4 32.4 32.0 (2)
Second lien senior secured loan 9.79 % LIBOR (Q) 7.50 % 11/2021 7/2025 21.1 21.1 20.9 (2)(11)
Second lien senior secured loan 9.79 % LIBOR (Q) 7.50 % 6/2021 7/2025 7.5 7.5 7.4 (2)
Class A common stock 7/2018 8.39 0.8 1.4 (2)
72.5 72.4
GI Ranger Intermediate LLC (15) Provider of payment processing services and software to healthcare providers First lien senior secured revolving loan 9.70 % SOFR (Q) 6.00 % 10/2021 10/2027 0.4 0.4 0.4 (2)(11)
First lien senior secured loan 9.70 % SOFR (Q) 6.00 % 10/2021 10/2028 40.2 40.2 39.8 (2)(11)
40.6 40.2
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC (15) Provider of data analysis, statistics, and visualization software solutions for scientific research applications First lien senior secured loan 7.00 % LIBOR (A) 6.00 % 12/2017 4/2027 0.2 0.2 0.2 (2)(11)
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 11/2021 4/2027 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 10/2021 4/2027 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 8.31 % LIBOR (Q) 5.50 % 4/2021 4/2027 0.1 0.1 0.1 (2)(11)
Senior subordinated loan
10.50 % PIK
4/2021 4/2032 43.5 43.5 41.6 (2)
9

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Preferred units
14.00 % PIK
4/2021 1,828,644 57.5 57.5
101.5 99.6
GSV PracticeTek Holdings, LLC Software provider for medical practitioners Class A units
8.00 % PIK
3/2021 12,429,675 0.7 13.6 (2)
Heavy Construction Systems Specialists, LLC (15) Provider of construction software First lien senior secured loan 8.02 % LIBOR (M) 5.50 % 11/2021 11/2028 0.1 0.1 0.1 (2)(11)
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP (15) Insurance software provider First lien senior secured revolving loan 9.17 % LIBOR (Q) 5.50 % 11/2021 11/2027 7.0 7.0 6.5 (2)(11)
First lien senior secured loan 8.64 % LIBOR (Q) 5.50 % 11/2021 11/2028 60.5 60.5 56.3 (2)(11)
Senior subordinated loan
10.00 % PIK
11/2021 11/2031 97.1 97.1 86.4 (2)
Common units 11/2021 4,243,657 8.8 6.1 (2)
173.4 155.3
IfByPhone Inc. Voice-based marketing automation software provider Warrant to purchase units of Series C preferred stock 10/2012 10/2022 124,300 0.1
Imprivata, Inc. Provider of identity and access management solutions to the healthcare industry Second lien senior secured loan 9.28 % SOFR (M) 6.25 % 4/2022 12/2028 16.1 15.9 15.3 (2)(11)
Inmar, Inc. Technology-driven solutions provider for retailers, wholesalers and manufacturers Second lien senior secured loan 11.12 % LIBOR (M) 8.00 % 4/2017 5/2025 28.3 28.1 27.7 (2)(11)
IQN Holding Corp. (15) Provider of extended workforce management software First lien senior secured loan 8.41 % SOFR (Q) 5.50 % 5/2022 5/2029 23.6 23.6 23.3 (2)(11)
IV Rollover Holdings, LLC Provider of cloud based IT solutions, infrastructure and services Class B units 5/2017 170,490
Class X units 5/2017 5,000,000 2.1 2.1 (2)
2.1 2.1
Kaseya Inc. and Knockout Intermediate Holdings I Inc. (15) Provider of cloud-based software and technology solutions for small and medium sized businesses First lien senior secured loan 8.29 % SOFR (S) 5.75 % 6/2022 6/2029 167.0 167.0 163.7 (2)(11)
Preferred stock
11.75 % PIK
6/2022 38,797 38.8 38.0 (2)
205.8 201.7
LeanTaaS Holdings, Inc. (15) Provider of SaaS tools to optimize healthcare asset utilization First lien senior secured loan 11.05 % SOFR (Q) 7.50 % 7/2022 7/2028 30.5 30.5 29.9 (2)(11)
Magnesium BorrowerCo, Inc. and Magnesium Co-Invest SCSp (15) Cybersecurity solutions provider First lien senior secured loan 8.70 % SOFR (Q) 5.75 % 5/2022 5/2029 169.7 173.1 166.3 (2)(6)(11)
Limited partnership interest 5/2022 3,974 38.8 40.4 (2)(6)
211.9 206.7
Majesco and Magic Topco, L.P. (15) Insurance software provider First lien senior secured loan 10.93 % LIBOR (Q) 7.25 % 9/2020 9/2027 30.4 30.4 30.4 (2)(11)
Class A units
9.00 % PIK
9/2020 2,539 3.0 3.5 (2)
Class B units 9/2020 570,625
33.4 33.9
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. (15) Software and payment services provider to faith-based institutions First lien senior secured revolving loan 12/2021 12/2027 (13)
10

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 12/2021 12/2028 32.6 32.6 31.6 (2)(11)
Limited partner interests 12/2021 9,574,000 9.6 9.1 (2)
42.2 40.7
Mitchell International, Inc. Provider of technology, connectivity, and information solutions to the property and casualty insurance industry Second lien senior secured loan 9.57 % LIBOR (Q) 6.50 % 10/2021 10/2029 91.2 90.4 85.2 (2)(11)(18)
MMIT Holdings, LLC (15) Provider of market intelligence and analysis for the pharmaceutical industry First lien senior secured revolving loan 9.50 % LIBOR (Q) 6.25 % 9/2021 9/2027 0.8 0.8 0.8 (11)
First lien senior secured loan 9.92 % LIBOR (Q) 6.25 % 10/2021 9/2027 13.6 13.6 13.7 (2)(11)
First lien senior secured loan 9.92 % LIBOR (Q) 6.25 % 9/2021 9/2027 2.8 2.8 2.8 (2)(11)
17.2 17.3
Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC (15) Leading technology solution provider for casing and auditioning to the entertainment industry First lien senior secured loan 9.03 % SOFR (M) 6.00 % 8/2022 8/2028 26.7 26.7 26.2 (2)(11)
Class A units
8.00 % PIK
8/2022 45,320 4.5 4.5
31.2 30.7
MRI Software LLC (15) Provider of real estate and investment management software First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 2/2020 2/2026 47.2 47.2 45.8 (11)
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 8/2020 2/2026 15.4 15.4 14.9 (2)(11)
62.6 60.7
OpenMarket Inc. Provider of cloud-based mobile engagement platform First lien senior secured loan 9.92 % LIBOR (Q) 6.25 % 9/2021 9/2026 51.7 51.7 51.2 (2)(6)(11)
Paya, Inc and GTCR-Ultra Holdings LLC (15) Provider of payment processing and merchant acquiring solutions Class B units 8/2017 2,878,372 2.0 (2)
PayNearMe, Inc. Electronic cash payment system provider Warrant to purchase shares of Series E preferred stock 3/2016 3/2023 195,726 0.2
PDDS HoldCo, Inc. (15) Provider of cloud-based dental practice management software First lien senior secured loan 9.89 % SOFR (S) 6.75 % 7/2022 7/2028 9.0 9.0 8.8 (2)(11)
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC (15) Provider of enterprise management software for the convenience retail and petroleum wholesale market First lien senior secured revolving loan 7.21 % LIBOR (Q) 4.50 % 3/2019 10/2024 4.7 4.7 4.6 (2)(11)
First lien senior secured loan 7.16 % LIBOR (M) 4.50 % 3/2019 10/2024 53.1 53.1 52.0 (2)(11)
Second lien senior secured loan 11.49 % LIBOR (Q) 8.50 % 3/2019 10/2025 70.2 70.2 69.5 (2)(11)
Second lien senior secured loan 11.49 % LIBOR (Q) 8.50 % 4/2021 10/2025 8.7 8.7 8.7 (2)(11)
Second lien senior secured loan 11.49 % LIBOR (Q) 8.50 % 12/2020 10/2025 8.3 8.3 8.2 (2)(11)
Second lien senior secured loan 11.49 % LIBOR (Q) 8.50 % 12/2021 10/2025 7.2 7.2 7.1 (2)(11)
11

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Series A preferred stock
13.25 % PIK
3/2019 13,656 21.5 21.1 (2)
Class A units 3/2019 2,062,493 2.1 2.8 (2)
175.8 174.0
Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC (15) Provider of plant maintenance and scheduling software First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 10/2020 5/2025 13.7 13.7 13.7 (2)(11)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 6/2020 5/2025 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 8.92 % LIBOR (Q) 5.25 % 5/2019 5/2025 0.2 0.2 0.2 (2)(11)
Class A units 5/2019 5,000 5.0 15.1
19.0 29.1
Perforce Software, Inc. (15) Developer of software used for application development First lien senior secured revolving loan 7/2019 7/2024
Petvisor Holdings, LLC (15) Provider of veterinarian-focused SaaS solutions First lien senior secured loan 7.43 % SOFR (S) 5.50 % 6/2022 6/2028 19.0 19.0 18.6 (2)(11)
Pluralsight, Inc. (15) Online education learning platform First lien senior secured loan 10.68 % LIBOR (M) 8.00 % 4/2021 4/2027 106.2 106.2 106.2 (2)(11)
Poplicus Incorporated Business intelligence and market analytics platform for companies that sell to the public sector Warrant to purchase shares of Series C preferred stock 6/2015 6/2025 2,402,991 0.1
ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P. (15) Provider of practice management software to law firms First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 3/2021 3/2027 5.5 5.5 5.5 (2)(11)
Limited partnership units 3/2021 1,624,000 1.6 1.5 (2)
7.1 7.0
Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc. Provider of data visualization software for data analytics First lien senior secured loan 7.12 % LIBOR (M) 4.00 % 6/2022 4/2024 2.9 2.8 2.7 (2)(18)
Class A common stock 8/2016 7,445 7.4 13.4 (2)
Class B common stock 8/2016 1,841,609 0.1 0.1 (2)
10.3 16.2
Project Essential Bidco, Inc. and Project Essential Super Parent, Inc. (15) Saas provider of automated crew callout and scheduling software for the utility industry First lien senior secured loan 6.75 % LIBOR (S) 5.75 % 4/2021 4/2028 36.3 36.3 34.8 (2)(11)
Preferred shares
13.25 % PIK
LIBOR (Q) 9.50 % 4/2021 26,436 30.9 29.4 (2)
67.2 64.2
Project Potter Buyer, LLC and Project Potter Parent, L.P. (15) Software solutions provider to the ready-mix concrete industry First lien senior secured revolving loan 10.27 % LIBOR (M) 7.75 % 4/2020 4/2026 2.1 2.1 2.1 (2)(11)(14)
First lien senior secured loan 10.28 % LIBOR (M) 7.75 % 4/2020 4/2027 43.8 43.8 43.8 (2)(11)
First lien senior secured loan 10.78 % LIBOR (M) 7.75 % 11/2020 4/2027 19.2 19.2 19.2 (2)(11)
First lien senior secured loan 10.78 % LIBOR (M) 7.75 % 10/2020 4/2027 12.8 12.8 12.8 (2)(11)
Class B units 4/2020 588,636 5.1 (2)
77.9 83.0
Proofpoint, Inc. (15) Cybersecurity solutions provider First lien senior secured loan 6.32 % LIBOR (Q) 3.25 % 6/2021 8/2028 1.0 0.9 0.9 (2)(11)(18)
Second lien senior secured loan 9.32 % LIBOR (Q) 6.25 % 6/2021 8/2029 34.6 34.5 34.6 (2)(11)
35.4 35.5
12

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
QF Holdings, Inc. (15) SaaS based electronic health record software provider First lien senior secured loan 8.76 % LIBOR (Q) 6.25 % 12/2021 12/2027 8.1 8.1 8.1 (2)(11)
First lien senior secured loan 10.43 % LIBOR (Q) 6.25 % 9/2019 12/2027 6.8 6.8 6.8 (2)(11)
14.9 14.9
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC (15) Provider of SaaS-based safety and security software to the K-12 school market First lien senior secured loan 8.92 % LIBOR (Q) 6.00 % 10/2021 10/2028 8.5 8.5 8.4 (2)(6)(11)
Class A common units 12/2018 2,880,582 3.5 5.4
12.0 13.8
RealPage, Inc. Provider of enterprise software solutions to the residential real estate industry Second lien senior secured loan 9.62 % LIBOR (M) 6.50 % 4/2021 4/2029 84.1 83.0 83.2 (2)(11)
Regent Education, Inc. Provider of software solutions designed to optimize the financial aid and enrollment processes Warrant to purchase units of common stock 12/2016 12/2026 5,393,194
Warrant to purchase units of common stock 12/2016 12/2026 987
Relativity ODA LLC (15) Electronic discovery document review software platform for use in litigations and investigations First lien senior secured loan
10.59 % ( 4.00 % PIK)
LIBOR (M) 8.00 % 5/2021 5/2027 21.9 21.9 21.9 (2)(11)
Revalize, Inc. (15) Develops and operates software providing configuration, price and quote capabilities for sales teams First lien senior secured revolving loan 9.19 % LIBOR (Q) 5.75 % 5/2022 4/2027 0.9 0.9 0.9 (2)(11)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 5/2022 4/2027 0.7 0.7 0.6 (2)(11)
1.6 1.5
RMS HoldCo II, LLC & RMS Group Holdings, Inc. (15) Developer of revenue cycle management solutions, process automation, analytics and integration for the healthcare industry First lien senior secured loan 9.95 % SOFR (Q) 6.25 % 8/2022 12/2027 40.2 40.2 39.4 (2)(11)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 12/2021 12/2027 0.1 0.1 0.1 (2)(11)
Class A common stock 12/2021 464.90 4.6 5.5 (2)
44.9 45.0
Smarsh Inc. and Skywalker TopCo, LLC (15) SaaS based communication archival service provider First lien senior secured loan 10.05 % SOFR (Q) 6.50 % 2/2022 2/2029 10.6 10.6 10.5 (2)(11)
Common units 11/2020 1,742,623 6.3 8.4 (2)
16.9 18.9
SocialFlow, Inc. Social media optimization platform provider Warrant to purchase units of Series C preferred stock 1/2016 1/2026 215,331
Sophia, L.P. Provider of ERP software and services for higher education institutions Second lien senior secured loan 11.67 % LIBOR (Q) 8.00 % 10/2020 10/2028 105.9 105.9 103.8 (2)(11)
SoundCloud Limited Platform for receiving, sending, and distributing music Common stock 8/2017 73,422 0.4 0.7 (2)(6)
13

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp (15) Provider of data, analytics, news, and workflow tools to customers in the counter-cyclical distressed debt space First lien senior secured loan 9.38 % SOFR (M) 6.50 % 9/2022 9/2028 11.4 11.4 11.2 (2)(11)
Limited partner interests 9/2022 982 10.0 9.8 (2)
21.4 21.0
Stamps.com Inc. Provider of mailing and shipping solutions First lien senior secured loan 8.38 % LIBOR (M) 5.75 % 10/2021 10/2028 147.1 147.1 142.7 (2)(11)
Storable, Inc. and EQT IX Co-Investment (E) SCSP PMS solutions and web services for the self-storage industry Second lien senior secured loan 9.33 % LIBOR (S) 6.75 % 4/2021 4/2029 42.8 42.8 41.1 (2)(11)
Second lien senior secured loan 9.33 % SOFR (S) 6.75 % 3/2022 4/2029 10.3 10.3 9.9 (2)(11)
Limited partnership interests 4/2021 614,950 6.2 7.2 (2)(6)
59.3 58.2
Sundance Group Holdings, Inc. (15) Provider of cloud-based document management and collaboration solutions First lien senior secured revolving loan 9.40 % LIBOR (Q) 6.25 % 7/2021 7/2027 2.0 2.0 2.0 (2)(11)
First lien senior secured loan 8.54 % LIBOR (Q) 6.25 % 7/2021 7/2027 15.4 15.2 15.3 (2)(11)
17.2 17.3
Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C. (15) Provider of environment, health, safety, and sustainability software First lien senior secured loan 9.23 % SOFR (S) 5.50 % 3/2022 3/2028 35.2 35.2 34.9 (11)
Class A-2 units 3/2022 4,849 4.8 5.4
40.0 40.3
TCP Hawker Intermediate LLC (15) Workforce management solutions provider First lien senior secured revolving loan 8.09 % LIBOR (Q) 5.50 % 8/2019 8/2025 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 9.18 % LIBOR (Q) 5.50 % 8/2019 8/2026 34.6 34.6 34.2 (2)(11)
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 12/2020 8/2026 6.5 6.5 6.5 (2)(11)
41.2 40.8
The Ultimate Software Group, Inc. and H&F Unite Partners, L.P. (15) Provider of cloud based HCM solutions for businesses First lien senior secured revolving loan 6.87 % LIBOR (M) 3.75 % 5/2019 5/2024 0.9 0.9 0.9 (2)(6)(14)
Limited partnership interests 5/2019 12,583,556 12.6 13.5 (2)(6)
13.5 14.4
TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. (15) Provider of server, application and desktop virtualization, networking, software as a service, and cloud computing technologies Senior secured notes 6.50 % 9/2022 3/2029 88.9 86.4 75.0 (2)(18)
First lien senior secured loan 8.05 % SOFR (Q) 4.50 % 9/2022 3/2029 10.9 10.4 9.7 (2)(11)(18)
Second lien senior secured loan 12.05 % SOFR (Q) 8.50 % 9/2022 9/2029 85.3 83.9 70.8 (2)(11)
Series A preferred stock
15.55 % PIK
SOFR (Q) 12.00 % 9/2022 141,928 137.8 134.8 (2)
Limited partnership interests 9/2022 12,250,000 12.3 10.9 (2)
330.8 301.2
Verscend Holding Corp. (15) Healthcare analytics solutions provider First lien senior secured revolving loan 8/2018 8/2023 (13)
14

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
WebPT, Inc. (15) Electronic medical record software provider First lien senior secured revolving loan 8.38 % LIBOR (S) 6.75 % 8/2019 1/2028 0.2 0.2 0.2 (2)(11)
First lien senior secured loan 9.82 % LIBOR (Q) 6.75 % 8/2019 1/2028 48.1 48.1 48.1 (2)(11)
48.3 48.3
Wellness AcquisitionCo, Inc. (15) Provider of retail consumer insights and analytics for manufacturers and retailers in the natural, organic and specialty products industry First lien senior secured revolving loan 1/2021 1/2027 (13)
First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 1/2021 1/2027 0.1 0.1 0.1 (2)(11)
0.1 0.1
WorkWave Intermediate II, LLC (15) Provider of cloud-based field services and fleet management solutions First lien senior secured loan
10.90 % PIK
SOFR (Q) 7.25 % 6/2021 6/2027 65.6 65.6 65.6 (2)(11)
4,924.8 4,816.4 51.05 %
Diversified Financials
BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC Provider of comprehensive suite of investment management and wealth planning solutions First lien senior secured loan 9.54 % LIBOR (Q) 6.25 % 9/2021 9/2027 0.2 0.2 0.2 (2)(11)
Senior subordinated loan
10.05 % PIK
9/2021 9/2026 4.9 4.9 4.9 (2)
Common units 9/2021 4,497,860 4.5 3.8 (2)
9.6 8.9
Beacon Pointe Harmony, LLC (15) Provider of comprehensive wealth management services First lien senior secured loan 8.37 % LIBOR (M) 5.25 % 12/2021 12/2028 16.6 16.6 16.4 (2)(6)(11)
Convera International Holdings Limited and Convera International Financial S.A R.L. (15) Provider of B2B international payment and FX risk management solutions First lien senior secured loan 9.30 % SOFR (Q) 5.75 % 3/2022 3/2028 63.0 63.0 63.0 (2)(6)(11)
CrossCountry Mortgage, LLC (15) Mortgage company originating loans in the retail and consumer direct channels First lien senior secured loan 10.07 % LIBOR (Q) 7.00 % 11/2021 11/2027 93.8 93.8 92.8 (2)(11)
DFC Global Facility Borrower III LLC (15) Non-bank provider of alternative financial services First lien senior secured revolving loan 10.06 % LIBOR (M) 7.50 % 6/2021 6/2026 152.0 169.4 152.0 (2)(6)(9)(11)
eCapital Finance Corp. Consolidator of commercial finance businesses Senior subordinated loan 10.36 % SOFR (M) 7.75 % 4/2022 12/2025 55.8 55.8 55.2 (2)(11)
Senior subordinated loan 10.36 % SOFR (M) 7.75 % 1/2020 12/2025 56.0 56.0 55.4 (2)(11)
Senior subordinated loan 10.36 % LIBOR (M) 7.75 % 1/2022 12/2025 24.3 24.3 24.1 (2)(11)
Senior subordinated loan 10.36 % SOFR (M) 7.75 % 11/2020 12/2025 5.4 5.4 5.3 (2)(11)
141.5 140.0
EP Wealth Advisors, LLC (15) Wealth management and financial planning firm First lien senior secured revolving loan 8.17 % LIBOR (Q) 4.50 % 9/2020 9/2026 0.7 0.7 0.7 (2)(11)
First lien senior secured loan 7.93 % LIBOR (Q) 4.50 % 11/2021 9/2026 1.5 1.5 1.5 (2)(11)
First lien senior secured loan 8.17 % LIBOR (Q) 4.50 % 9/2020 9/2026 0.2 0.2 0.2 (2)(11)
2.4 2.4
15

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Green Street Parent, LLC and Green Street Intermediate Holdings, LLC (15) Provider of REIT research data and analytics First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 12/2021 8/2026 0.1 0.1 0.1 (2)(11)
HighTower Holding, LLC Provider of investment, financial and retirement planning services Senior subordinated loan 6.75 % 6/2022 4/2029 8.1 6.7 6.6 (2)(6)(18)
Ivy Hill Asset Management, L.P. (5) Asset management services Senior subordinated loan 9.56 % SOFR (Q) 6.50 % 2/2018 5/2023 436.1 436.1 436.1 (6)(11)
Member interest 6/2009 100.00 % 1,372.5 1,522.1 (6)
1,808.6 1,958.2
Javlin Three LLC, Javlin Four LLC, and Javlin Five LLC Asset-backed financial services company First lien senior secured loan 6/2014 11/2018 15.4 12.4 (2)(6)(10)
Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) (5) Specialty finance company Equity interests 11/2010 (6)
Lido Advisors, LLC (15) Wealth management and financial planning firm First lien senior secured revolving loan 7.44 % LIBOR (M) 4.50 % 6/2021 6/2027 0.2 0.2 0.2 (11)
LS DE LLC and LM LSQ Investors LLC Asset based lender Senior subordinated loan 10.50 % 6/2017 6/2021 3.0 3.0 3.0 (2)(6)
Senior subordinated loan 10.50 % 6/2015 3/2024 37.0 37.0 37.0 (2)(6)
Membership units 6/2015 3,275,000 3.3 3.2 (6)
43.3 43.2
Monica Holdco (US) Inc. (15) Investment technology and advisory firm First lien senior secured revolving loan 1/2021 1/2026 (13)
First lien senior secured loan 9.92 % LIBOR (Q) 6.25 % 1/2021 1/2028 2.6 2.6 2.6 (2)(11)
2.6 2.6
Priority Holdings, LLC and Priority Technology Holdings, Inc. Provider of merchant acquiring and payment processing solutions First lien senior secured loan 8.27 % LIBOR (Q) 5.75 % 4/2021 4/2027 6.7 6.7 6.5 (2)(6)(11)
Senior preferred stock
15.75 % ( 7.00 % PIK)
LIBOR (Q) 12.00 % 4/2021 65,761 68.0 72.0 (2)(6)
Warrant to purchase units of common stock 4/2021 4/2031 527,226 4.0 2.4 (2)(6)
78.7 80.9
Rialto Management Group, LLC (15) Investment and asset management platform focused on real estate First lien senior secured revolving loan 11/2018 12/2025 (6)(13)
First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 11/2018 12/2025 0.3 0.3 0.3 (2)(6)(11)
First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 12/2021 12/2025 0.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 4/2021 12/2025 0.1 0.1 0.1 (2)(6)(11)
0.5 0.5
TA/WEG Holdings, LLC (15) Wealth management and financial planning firm First lien senior secured revolving loan 10/2019 10/2027 (13)
First lien senior secured loan 8.45 % LIBOR (S) 6.00 % 8/2021 10/2027 1.6 1.6 1.6 (2)(11)
First lien senior secured loan 8.02 % LIBOR (S) 6.00 % 6/2021 3/2023 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 9.31 % LIBOR (S) 6.00 % 11/2020 10/2027 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 7.57 % LIBOR (S) 6.00 % 10/2019 10/2027 0.1 0.1 0.1 (2)(11)
1.9 1.9
16

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
The Edelman Financial Center, LLC Provider of investment, financial and retirement planning services Second lien senior secured loan 9.87 % LIBOR (Q) 6.75 % 9/2022 7/2026 5.4 4.7 4.8 (2)(6)
The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC (15) Provider of comprehensive wealth management services First lien senior secured loan 8.41 % SOFR (S) 5.75 % 3/2022 3/2028 3.3 3.3 3.3 (2)(6)(11)
Senior subordinated loan
12.00 % PIK
3/2022 3/2029 2.9 2.9 2.8 (2)(6)
Series A preferred units 3/2022 7,199 7.2 7.2 (2)(6)
Common units 3/2022 7,199 (6)
13.4 13.3
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP (15) Provider of asset-servicing capabilities for fund managers First lien senior secured loan 8.17 % LIBOR (Q) 4.50 % 2/2019 2/2026 37.5 37.5 37.1 (2)(11)
Class A units 9/2019 1,443 1.6 2.4
Class A units 2/2019 245 0.2
Class B units 2/2019 245,194
Class B units 2/2019 2,167,424
39.3 39.5
WA Asset Management, LLC (15) Wealth management and financial planning firm First lien senior secured loan 9.20 % SOFR (Q) 5.50 % 3/2022 3/2028 4.0 4.0 4.0 (2)(6)(11)
2,512.7 2,631.3 27.89 %
Health Care Services
Absolute Dental Group LLC and Absolute Dental Equity, LLC (5)(15) Dental services provider First lien senior secured revolving loan
14.25 % ( 5.00 % PIK)
Base Rate (Q) 8.00 % 6/2021 6/2024 1.7 1.7 1.7 (2)(11)
First lien senior secured loan
12.68 % ( 5.00 % PIK)
LIBOR (Q) 9.00 % 6/2021 6/2024 51.4 51.4 51.4 (2)(11)
Class A common units 6/2021 7,617,280 4.7 14.3 (2)
57.8 67.4
ADG, LLC and RC IV GEDC Investor LLC (15) Dental services provider First lien senior secured revolving loan
7.81 % ( 0.50 % PIK)
LIBOR (Q) 5.25 % 9/2016 10/2022 9.0 9.0 8.7 (2)(11)
First lien senior secured revolving loan
10.00 % ( 0.50 % PIK)
Base Rate (Q) 3.75 % 9/2016 10/2022 3.9 3.9 3.8 (2)(11)
Second lien senior secured loan
6.56 % PIK
LIBOR (M) 3.44 % 9/2016 3/2024 125.6 103.6 106.8 (2)
Membership units 9/2016 3,000,000 3.0
119.5 119.3
Advarra Holdings, Inc. (15) Provider of central institutional review boards over clinical trials First lien senior secured loan 8.12 % SOFR (Q) 5.75 % 8/2022 8/2029 4.1 4.1 4.0 (2)(11)
AHR Funding Holdings, Inc. and AHR Parent Holdings, LP Provider of Revenue Cycle Management solutions to hospitals Series A preferred shares
12.75 % PIK
7/2022 7/2028 35,000 35.8 35.5 (2)
Preferred units
8.00 % PIK
7/2022 9,900 10.0 9.9 (2)
Class B common units 7/2022 100,000 0.1 0.1 (2)
45.9 45.5
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (15) Revenue cycle management provider to the physician practices and acute care hospitals Series A preferred stock
10.75 % PIK
2/2022 198,504 212.3 197.4 (2)
17

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Class A units 2/2022 10,487,950 10.5 10.2 (2)
222.8 207.6
BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP (15) Opiod treatment provider First lien senior secured loan 7.83 % LIBOR (M) 5.00 % 5/2022 6/2027 6.0 6.4 6.0 (2)(11)
Bambino Group Holdings, LLC Dental services provider Class A preferred units 12/2016 1,000,000 1.1 1.2 (2)
CCS-CMGC Holdings, Inc. (15) Correctional facility healthcare operator First lien senior secured revolving loan 9/2018 (13)
First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 9/2018 10/2025 33.7 33.6 31.1 (2)(18)
33.6 31.1
Center for Autism and Related Disorders, LLC (15) Autism treatment and services provider specializing in applied behavior analysis therapy First lien senior secured revolving loan 11/2018 11/2023 6.8 6.9 3.4 (2)(10)(14)
First lien senior secured revolving loan 1/2022 11/2023 0.2 0.2 0.1 (2)(10)
7.1 3.5
Comprehensive EyeCare Partners, LLC (15) Vision care practice management company First lien senior secured revolving loan 9.30 % LIBOR (Q) 5.75 % 2/2018 2/2024 0.3 0.3 0.3 (2)(11)
First lien senior secured loan 9.30 % LIBOR (Q) 5.75 % 2/2018 2/2024 0.3 0.3 0.3 (2)(11)
0.6 0.6
Convey Health Solutions, Inc. Healthcare workforce management software provider First lien senior secured loan 7.87 % LIBOR (M) 4.75 % 9/2019 9/2026 2.7 2.7 2.7 (2)(6)(11)
First lien senior secured loan 7.87 % LIBOR (M) 4.75 % 2/2022 9/2026 0.1 0.1 0.1 (2)(6)(11)
2.8 2.8
Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC (15) Provider of medical devices and services for the treatment of positional plagiocephaly First lien senior secured loan 8.67 % LIBOR (Q) 5.50 % 3/2022 3/2029 24.6 24.6 24.6 (2)(11)
Class A shares 3/2022 176 1.8 2.0 (2)
Common units 3/2022 28 0.3 0.3 (2)
26.7 26.9
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC (15) Veterinary hospital operator First lien senior secured revolving loan 10/2019 10/2024 (13)
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 10/2019 10/2025 39.0 39.0 39.0 (2)(11)
First lien senior secured loan 8.86 % LIBOR (M) 5.75 % 1/2022 10/2025 26.6 26.6 26.6 (2)(11)
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 4/2021 10/2025 0.1 0.1 0.1 (2)(11)
Common stock 10/2019 36,254 11.9 17.8 (2)
77.6 83.5
Ensemble RCM, LLC Provider of technology-enabled revenue cycle management services to the health care industry First lien senior secured loan 7.81 % LIBOR (Q) 5.00 % 4/2022 8/2026 2.5 2.5 2.5 (11)
Evolent Health LLC Medical technology company focused on value based care services and payment solutions First lien senior secured loan 9.20 % SOFR (Q) 5.50 % 8/2022 8/2027 7.8 7.8 7.7 (2)(6)(11)
18

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Explorer Investor, Inc (15) Provider of outsourced employee staffing services to the life sciences and healthcare industries First lien senior secured loan 9.03 % SOFR (M) 6.00 % 6/2022 6/2029 1.2 1.1 1.1 (2)(11)
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC (15) On-demand supply chain automation solutions provider to the healthcare industry Second lien senior secured loan 9.63 % LIBOR (Q) 6.75 % 5/2021 5/2029 114.1 114.1 110.7 (2)(11)
Class A units 6/2017 14,853,569 15.7 28.5 (2)
129.8 139.2
Global Medical Response, Inc. and GMR Buyer Corp. Emergency air medical services provider First lien senior secured loan 7.37 % LIBOR (M) 4.25 % 6/2022 3/2025 10.8 10.1 9.3 (2)(11)(18)
First lien senior secured loan 6.81 % LIBOR (Q) 4.25 % 6/2022 10/2025 25.2 23.3 21.8 (2)(11)(18)
Second lien senior secured loan 9.76 % LIBOR (M) 6.75 % 12/2021 12/2029 95.4 95.4 83.0 (2)(11)
Warrant to purchase units of common stock 3/2018 3/2028 115,733 0.9 2.2 (2)
Warrant to purchase units of common stock 12/2021 12/2031 1,926.57 0.1 (2)
129.8 116.3
HealthEdge Software, Inc. (15) Provider of financial, administrative and clinical software platforms to the healthcare industry First lien senior secured revolving loan 12/2021 4/2026 (13)
First lien senior secured loan 10.48 % LIBOR (Q) 7.00 % 12/2021 4/2026 84.8 84.8 84.8 (2)(11)
84.8 84.8
Honor Technology, Inc. Nursing and home care provider First lien senior secured loan 12.63 % LIBOR (M) 10.00 % 8/2021 8/2026 2.5 2.4 2.4 (2)(11)
Warrant to purchase units of series D-2 preferred stock 8/2021 8/2031 133,333 0.1 (2)
2.5 2.4
JDC Healthcare Management, LLC (15) Dental services provider First lien senior secured revolving loan 4/2017 4/2024 4.7 3.7 2.6 (2)(10)
First lien senior secured loan 4/2017 4/2024 39.7 31.4 22.2 (2)(10)
35.1 24.8
KBHS Acquisition, LLC (d/b/a Alita Care, LLC) (15) Provider of behavioral health services First lien senior secured revolving loan
7.88 % ( 1.00 % PIK)
LIBOR (M) 5.00 % 3/2017 3/2024 1.8 1.8 1.8 (2)(11)
Lifescan Global Corporation Provider of blood glucose monitoring systems for home and hospital use First lien senior secured loan 8.29 % LIBOR (Q) 6.00 % 5/2022 10/2024 14.7 14.0 12.3 (2)
Second lien senior secured loan 11.79 % LIBOR (Q) 9.50 % 5/2022 10/2025 0.2 0.2 0.2 (2)
14.2 12.5
Medline Borrower, LP (15) Manufacturer and distributor of medical supplies First lien senior secured revolving loan 10/2021 10/2026 (13)
Napa Management Services Corporation and ASP NAPA Holdings, LLC Anesthesia management services provider Senior preferred units
8.00 % PIK
6/2020 5,320 0.3 0.3 (2)
Preferred units
15.00 % PIK
6/2020 1,842 0.2 0.2 (2)
Class A units 4/2016 25,277 2.5 4.4 (2)
3.0 4.9
National Spine and Pain Centers, LLC Acute and chronic pain treatment provider First lien senior secured loan 7.31 % LIBOR (Q) 4.50 % 5/2022 6/2024 (2)(11)
19

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
NMN Holdings III Corp. and NMN Holdings LP (15) Provider of complex rehabilitation technology solutions for patients with mobility loss First lien senior secured revolving loan 9.00 % Base Rate (Q) 2.75 % 11/2018 11/2023 2.0 2.0 1.9 (2)(14)
Partnership units 11/2018 30,000 3.0 2.5 (2)
5.0 4.4
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC (5)(15) Behavioral health and special education platform provider First lien senior secured loan
12.13 % PIK
SOFR (M) 9.00 % 9/2019 2/2027 49.3 49.3 45.3 (11)
First lien senior secured loan
12.13 % PIK
SOFR (M) 9.00 % 2/2022 2/2027 3.5 3.5 3.3 (2)(11)
Preferred stock 2/2022 7,983 3.1
Preferred units 7/2021 4/2024 417,189 0.3
Common units 2/2022 7,584
Class A common units 9/2019 9,549,000 9.5
65.7 48.6
OMH-HealthEdge Holdings, LLC Revenue cycle management provider to the healthcare industry First lien senior secured loan 10.02 % LIBOR (S) 5.25 % 10/2019 10/2025 25.9 25.9 25.9 (2)(11)
First lien senior secured loan 10.02 % LIBOR (S) 5.25 % 3/2021 10/2025 15.3 15.3 15.3 (2)(11)
First lien senior secured loan 9.42 % LIBOR (Q) 5.25 % 3/2022 10/2025 0.1 0.1 0.1 (2)(11)
41.3 41.3
Pathway Vet Alliance LLC and Jedi Group Holdings LLC (15) Veterinary hospital operator First lien senior secured revolving loan 3/2020 3/2025 (13)
Second lien senior secured loan 10.87 % LIBOR (M) 7.75 % 3/2020 3/2028 76.3 76.3 72.5 (2)(11)
Class R common units 3/2020 6,004,768 6.0 6.5 (2)
82.3 79.0
PetVet Care Centers, LLC Veterinary hospital operator First lien senior secured loan 8.13 % SOFR (M) 5.00 % 6/2022 2/2025 5.3 5.1 5.3 (2)(11)
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP (15) Provider of employer-sponsored onsite health and wellness clinics and pharmacies First lien senior secured revolving loan 7/2018 4/2025 (13)
First lien senior secured loan 7.92 % LIBOR (Q) 3.75 % 7/2018 7/2025 8.6 8.6 8.2 (2)(11)
Second lien senior secured loan 11.67 % LIBOR (Q) 7.50 % 7/2018 7/2026 67.1 66.8 65.1 (2)
Class A units 7/2018 9,775 9.8 13.8 (2)
85.2 87.1
Project Ruby Ultimate Parent Corp. Provider of care coordination and transition management software solutions Second lien senior secured loan 9.62 % LIBOR (M) 6.50 % 3/2021 3/2029 193.1 193.1 185.3 (2)(11)
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc. (15) Manufacturer of biologic, metal and synthetic implants/devices First lien senior secured revolving loan 9.57 % LIBOR (M) 6.75 % 7/2020 7/2026 9.8 9.8 9.6 (2)(11)
First lien senior secured loan 10.02 % LIBOR (Q) 6.75 % 7/2020 7/2026 22.6 22.6 22.1 (2)(11)
32.4 31.7
SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC (15) Outsourced anesthesia provider First lien senior secured loan 8.43 % LIBOR (Q) 4.75 % 3/2018 3/2024 10.3 10.3 10.3 (2)(11)
Common units 3/2018 684,854 4.8 1.1 (2)
15.1 11.4
20

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
SM Wellness Holdings, Inc. and SM Holdco, Inc. (15) Breast cancer screening provider Series A units 8/2018 8,041 8.0 0.1 (2)
Series B units 8/2018 804,142 9.7 (2)
8.0 9.8
SOC Telemed, Inc. and PSC Spark Holdings, LP (15) Provider of acute care telemedicine First lien senior secured loan
11.31 % PIK
SOFR (M) 7.50 % 8/2022 8/2027 59.4 54.8 54.7 (2)(11)
Class A-2 units 8/2022 4,812 4.9 4.8 (2)
Warrant to purchase Class A-2 units 8/2022 8/2028 6,118 4.7 4.7 (2)
64.4 64.2
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. (15) SaaS based healthcare compliance platform provider First lien senior secured revolving loan 9.00 % Base Rate (Q) 2.75 % 12/2020 12/2025 3.0 3.0 2.9 (2)
First lien senior secured loan 7.63 % SOFR (M) 4.50 % 2/2022 12/2027 12.4 12.4 11.8 (2)(11)
Second lien senior secured loan 9.93 % LIBOR (Q) 7.88 % 12/2020 12/2028 76.2 76.2 72.4 (2)(11)
Series C-1 preferred shares
11.00 %PIK
6/2021 75,939 92.3 84.0 (2)
Series C-2 preferred shares
11.00 % PIK
6/2021 40,115 46.2 42.0 (2)
Series C-3 preferred shares
11.00 % PIK
10/2021 16,201 18.0 16.4 (2)
248.1 229.5
Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC (15) Franchisor of private-pay home care for the elderly First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 4/2018 4/2026 13.1 13.1 13.1 (2)(11)
Common units 4/2018 550 0.5 0.9
13.6 14.0
Tempus Labs, Inc. Provider of technology enabled precision medicine solutions First lien senior secured loan 10.49 % LIBOR (Q) 7.00 % 9/2022 9/2027 71.4 71.4 69.6 (2)(11)
Therapy Brands Holdings LLC (15) Provider of software solutions for the mental and behavioral health market segments Second lien senior secured loan 9.74 % LIBOR (M) 6.75 % 6/2021 5/2029 20.5 20.3 19.4 (2)(11)
Touchstone Acquisition, Inc. and Touchstone Holding, L.P. Manufacturer of consumable products in the dental, medical, cosmetic and consumer/industrial end-markets Class A preferred units
8.00 % PIK
11/2018 2,149 2.9 2.1 (2)
U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc. Anesthesiology service provider Second lien senior secured loan 10.06 % LIBOR (M) 7.50 % 10/2021 10/2029 147.8 147.8 143.3 (2)(11)
Common stock 12/2021 3,671,429 12.9 14.4 (2)
160.7 157.7
United Digestive MSO Parent, LLC (15) Gastroenterology physician group First lien senior secured loan 8.07 % LIBOR (Q) 5.00 % 2/2022 12/2024 1.0 1.0 1.0 (2)(11)
Viant Medical Holdings, Inc. Manufacturer of plastic and rubber components for health care equipment First lien senior secured loan 6.87 % LIBOR (M) 3.75 % 5/2022 7/2025 0.3 0.3 0.3 (2)(18)
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. (15) Veterinary hospital operator First lien senior secured revolving loan 11.50 % Base Rate (Q) 5.25 % 12/2021 12/2027 0.1 0.1 0.1 (11)(14)
First lien senior secured loan 9.13 % LIBOR (M) 6.25 % 12/2021 10/2022 3.3 3.3 3.3 (2)(11)
21

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 9.37 % LIBOR (M) 6.25 % 12/2021 12/2027 2.5 2.5 2.5 (2)(11)
First lien senior secured loan 8.57 % LIBOR (M) 6.50 % 8/2022 12/2027 0.5 0.5 0.5 (11)
Class A-2 units 12/2021 7,524 7.5 7.4 (2)
13.9 13.8
WSHP FC Acquisition LLC and WSHP FC Holdings LLC (15) Provider of biospecimen products for pharma research First lien senior secured revolving loan 9.55 % SOFR (Q) 6.25 % 3/2018 3/2028 4.5 4.5 4.4 (2)(11)(14)
First lien senior secured loan 9.95 % SOFR (Q) 6.25 % 3/2018 3/2028 33.2 33.2 32.8 (2)(11)
First lien senior secured loan 9.95 % SOFR (Q) 6.25 % 7/2022 3/2028 14.6 14.6 14.4 (2)(11)
First lien senior secured loan 9.95 % SOFR (Q) 6.25 % 10/2019 3/2028 10.7 10.7 10.6 (2)(11)
First lien senior secured loan 9.95 % SOFR (Q) 6.25 % 8/2019 3/2028 11.3 11.3 11.2 (2)(11)
First lien senior secured loan 9.95 % SOFR (Q) 6.25 % 2/2019 3/2028 4.5 4.5 4.5 (2)(11)
First lien senior secured loan 9.80 % LIBOR (Q) 6.25 % 10/2021 3/2028 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 9.80 % LIBOR (Q) 6.25 % 11/2021 3/2028 0.1 0.1 0.1 (2)(11)
Common units 7/2022 33,293 4.7 4.8
83.7 82.9
2,231.9 2,155.8 22.85 %
Commercial & Professional Services
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC (15) Provider of outsourced crew accommodations and logistics management solutions to the airline industry First lien senior secured revolving loan 12.17 % LIBOR (Q) 8.50 % 5/2018 5/2023 4.1 4.1 4.1 (2)(11)
Class A common units 5/2018 236,358 4.3 5.1
8.4 9.2
Aero Operating LLC Provider of snow removal and melting service for airports and marine terminals First lien senior secured loan 9.57 % LIBOR (M) 7.00 % 2/2020 2/2026 36.3 36.3 34.1 (2)(11)
First lien senior secured loan 9.57 % LIBOR (M) 7.00 % 12/2021 2/2026 1.2 1.2 1.1 (2)(11)
37.5 35.2
AI Fire Buyer, Inc. and AI Fire Parent LLC (15) Provider of fire safety and life safety services First lien senior secured revolving loan 9.17 % LIBOR (Q) 6.00 % 3/2021 3/2027 0.4 0.4 0.4 (2)(11)
First lien senior secured loan 8.67 % LIBOR (Q) 6.00 % 3/2021 3/2027 26.9 26.9 26.9 (2)(11)
Second lien senior secured loan
14.70 % PIK
SOFR (Q) 11.00 % 3/2021 9/2027 44.0 44.0 44.0 (2)(11)
Second lien senior secured loan
14.70 % PIK
SOFR (Q) 11.00 % 5/2022 9/2027 9.9 9.9 9.9 (2)(11)
Second lien senior secured loan
14.70 % PIK
SOFR (Q) 11.00 % 6/2022 9/2027 9.6 9.6 9.6 (2)(11)
Common units 3/2021 46,990 4.7 5.0 (2)
95.5 95.8
Applied Technical Services, LLC (15) Provider engineering, testing, and inspection services to various industrial, commercial and consumer customers First lien senior secured revolving loan 11.00 % Base Rate (Q) 4.75 % 5/2022 12/2026 0.7 0.6 0.7 (11)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 5/2022 12/2026 0.8 0.8 0.8 (2)(11)
22

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
1.4 1.5
Argenbright Holdings V, LLC and Amberstone Security Group Limited (15) Provider of outsourced security guard services, outsourced facilities management and outsourced aviation services First lien senior secured loan 9.98 % LIBOR (Q) 7.25 % 11/2021 11/2026 21.0 21.0 21.0 (2)(6)(11)
First lien senior secured loan 9.98 % SONIA (Q) 7.25 % 8/2022 11/2026 4.4 4.8 4.4 (2)(6)(11)
25.8 25.4
BH-Sharp Holdings LP Provider of commercial knife sharpening and cutlery services in the restaurant industry Common units 3/2017 2,950,000 3.0 1.2 (2)
Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP (15) Outsourced supply chain solutions provider to operators of distribution centers First lien senior secured revolving loan 11/2020 11/2025 (13)
First lien senior secured loan 7.87 % LIBOR (M) 4.75 % 11/2020 11/2027 0.3 0.3 0.3 (2)(11)
Second lien senior secured loan 11.87 % LIBOR (M) 8.75 % 11/2020 11/2028 68.3 68.3 68.3 (2)(11)
Class A units 11/2020 10,581 10.6 19.8 (2)
79.2 88.4
Compex Legal Services, Inc. (15) Provider of outsourced litigated and non-litigated medical records retrieval services First lien senior secured revolving loan 8.92 % LIBOR (Q) 5.25 % 5/2022 2/2025 2.0 1.8 2.0 (2)(11)
DTI Holdco, Inc. and OPE DTI Holdings, Inc. Provider of legal process outsourcing and managed services Class A common stock 8/2014 7,500 7.5 6.5 (2)
Class B common stock 8/2014 7,500 (2)
7.5 6.5
Elevation Services Parent Holdings, LLC (15) Elevator service platform First lien senior secured revolving loan 9.16 % LIBOR (S) 6.00 % 12/2020 12/2026 1.4 1.4 1.4 (2)(11)(14)
First lien senior secured loan 9.43 % LIBOR (Q) 6.00 % 5/2022 12/2026 8.8 8.8 8.8 (2)(11)
First lien senior secured loan 8.84 % LIBOR (Q) 6.00 % 12/2020 12/2026 10.3 10.3 10.3 (2)(11)
20.5 20.5
HAI Acquisition Corporation and Aloha Topco, LLC (15) Professional employer organization offering human resources, compliance and risk management services First lien senior secured loan 8.37 % LIBOR (M) 5.25 % 11/2017 11/2025 60.7 60.7 60.7 (2)(11)
First lien senior secured loan 8.37 % LIBOR (M) 5.25 % 9/2021 11/2025 0.1 0.1 0.1 (2)(11)
Class A units 11/2017 16,980 1.7 2.5 (2)
62.5 63.3
HH-Stella, Inc. and Bedrock Parent Holdings, LP (15) Provider of municipal solid waste transfer management services First lien senior secured revolving loan 8.63 % LIBOR (M) 5.50 % 4/2021 4/2027 2.3 2.3 2.2 (2)(11)
First lien senior secured loan 9.00 % LIBOR (Q) 5.50 % 4/2021 4/2028 4.7 4.7 4.6 (2)(11)
Class A units 4/2021 25,490 2.5 2.3 (2)
9.5 9.1
ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, LLC (15) Provider of commercial and industrial waste processing and disposal services First lien senior secured loan 9.31 % SOFR (M) 6.25 % 8/2022 8/2029 12.5 12.5 12.3 (2)(11)
Class A units 9/2022 10,000 10.0 10.0 (2)
22.5 22.3
23

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Kellermeyer Bergensons Services, LLC Provider of janitorial and facilities management services First lien senior secured loan 8.81 % LIBOR (Q) 6.00 % 11/2019 11/2026 81.9 81.7 78.6 (2)(11)
First lien senior secured loan 8.81 % LIBOR (Q) 6.00 % 7/2021 11/2026 0.1 0.1 0.1 (2)(11)
81.8 78.7
KPS Global LLC and Cool Group LLC Manufacturer of walk-in cooler and freezer systems First lien senior secured loan 8.53 % LIBOR (M) 5.50 % 4/2017 10/2022 12.6 12.6 12.6 (2)(11)
First lien senior secured loan 8.53 % LIBOR (M) 5.50 % 11/2018 4/2024 3.4 3.4 3.4 (2)(11)
Class A units 9/2018 13,292 1.1 3.3
17.1 19.3
Laboratories Bidco LLC and Laboratories Topco LLC (15) Lab testing services for nicotine containing products First lien senior secured revolving loan 11.00 % Base Rate (Q) 4.75 % 7/2021 7/2027 3.9 3.9 3.8 (2)(11)
First lien senior secured loan 8.49 % LIBOR (Q) 5.75 % 10/2019 7/2027 23.2 24.1 22.5 (2)(11)
First lien senior secured loan 8.70 % LIBOR (Q) 5.75 % 10/2019 7/2027 16.7 16.7 16.2 (11)
First lien senior secured loan 8.81 % LIBOR (Q) 5.75 % 7/2021 7/2027 4.4 4.4 4.3 (2)(11)
First lien senior secured loan 8.70 % LIBOR (Q) 5.75 % 10/2020 7/2027 0.1 0.1 0.1 (2)(11)
Class A units 7/2021 3,099,335 4.6 4.7 (2)
53.8 51.6
LJP Purchaser, Inc. and LJP Topco, LP (15) Provider of non-hazardous solid waste and recycling services First lien senior secured loan 9.16 % SOFR (M) 6.25 % 9/2022 9/2028 8.5 8.5 8.3 (2)(11)
Class A units
8.00 % PIK
9/2022 5,098,000 5.1 5.1 (2)
13.6 13.4
Management Consulting & Research LLC (15) Provider of systems engineering and technical assistance to the US DoD First lien senior secured loan 8.73 % SOFR (S) 6.00 % 5/2022 8/2027 1.0 1.0 1.0 (2)(11)
Marmic Purchaser, LLC and Marmic Topco, L.P. (15) Provider of recurring fire protection services First lien senior secured loan 9.55 % LIBOR (Q) 6.00 % 3/2021 3/2027 28.2 28.2 27.9 (2)(11)
First lien senior secured loan 9.70 % LIBOR (Q) 6.00 % 2/2022 3/2027 0.4 0.4 0.4 (2)(11)
First lien senior secured loan 8.33 % LIBOR (Q) 5.75 % 2/2022 3/2027 0.2 0.2 0.2 (2)(11)
Limited partnership units
8.00 % PIK
3/2021 1,929,237 2.2 2.5 (2)
31.0 31.0
Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc. Keg management solutions provider Second lien senior secured loan
12.67 % PIK
LIBOR (Q) 9.00 % 8/2020 7/2023 153.5 153.5 153.5 (11)
Series A preferred stock 8/2020 1,507 1.5 2.6 (2)
Common stock 12/2012 54,710 4.9 6.1 (2)
159.9 162.2
NAS, LLC and Nationwide Marketing Group, LLC (15) Buying and marketing services organization for appliance, furniture and consumer electronics dealers First lien senior secured revolving loan 9.53 % LIBOR (M) 6.50 % 11/2020 6/2024 0.6 0.6 0.6 (2)(11)
First lien senior secured loan 10.20 % SOFR (Q) 6.50 % 11/2020 6/2024 6.3 6.3 6.3 (2)(11)
First lien senior secured loan 10.20 % SOFR (Q) 6.50 % 12/2021 6/2024 2.3 2.3 2.3 (2)(11)
First lien senior secured loan 10.20 % SOFR (Q) 6.50 % 5/2022 6/2024 1.3 1.3 1.3 (2)(11)
10.5 10.5
24

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1 (15) Operator of multiple franchise concepts primarily related to home maintenance or repairs Senior subordinated loan 11.58 % LIBOR (Q) 8.50 % 9/2021 8/2029 119.1 119.1 117.9 (2)(11)
Limited partner interest 9/2021 9,725,000 9.7 9.5 (2)
128.8 127.4
North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC (15) Provider of fire safety and life safety services First lien senior secured loan 9.45 % SOFR (Q) 5.75 % 5/2021 5/2027 20.0 20.0 20.0 (2)(11)
First lien senior secured loan 8.91 % SOFR (Q) 5.75 % 3/2022 5/2027 2.9 2.9 2.9 (2)(11)
Common units 5/2021 884,916 0.9 2.7 (2)
23.8 25.6
North Haven Stack Buyer, LLC (15) Provider of environmental testing services First lien senior secured revolving loan 7.96 % LIBOR (M) 5.50 % 7/2021 7/2027 0.4 0.4 0.4 (2)(11)
First lien senior secured revolving loan 10.75 % Base Rate (M) 4.50 % 7/2021 7/2027 0.2 0.2 0.2 (2)(11)
First lien senior secured loan 8.63 % SOFR (M) 5.50 % 7/2021 7/2027 4.8 4.7 4.6 (2)(11)
First lien senior secured loan 8.63 % SOFR (M) 5.50 % 7/2021 7/2027 1.7 1.7 1.7 (2)(11)
7.0 6.9
Petroleum Service Group LLC (15) Provider of operational services for US petrochemical and refining companies First lien senior secured revolving loan 8.76 % LIBOR (Q) 6.00 % 7/2019 7/2025 1.8 1.8 1.8 (2)(11)(14)
First lien senior secured loan 8.82 % LIBOR (Q) 6.00 % 7/2019 7/2025 34.6 34.6 34.6 (2)(11)
First lien senior secured loan 9.14 % LIBOR (Q) 6.00 % 12/2021 7/2025 8.0 8.0 8.0 (2)(11)
First lien senior secured loan 9.50 % LIBOR (Q) 6.00 % 12/2021 7/2025 3.5 3.5 3.5 (2)(11)
47.9 47.9
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC (15) Provider of janitorial and facilities management services First lien senior secured loan 9.13 % LIBOR (Q) 5.50 % 10/2021 10/2027 97.6 97.6 95.7 (2)(11)
Class A units 10/2021 7,900,000 7.9 9.0 (2)
105.5 104.7
PS Operating Company LLC and PS Op Holdings LLC (5)(15) Specialty distributor and solutions provider to the swine and poultry markets First lien senior secured revolving loan 9.67 % LIBOR (Q) 6.00 % 12/2021 12/2024 4.3 4.3 4.3 (2)(11)
First lien senior secured loan 9.67 % LIBOR (Q) 6.00 % 12/2021 12/2024 14.9 14.9 14.9 (2)(11)
Common unit 12/2021 279,199 7.5 6.2 (2)
26.7 25.4
R2 Acquisition Corp. Marketing services Common stock 5/2007 250,000 0.2 0.2 (2)
RC V Tecmo Investor LLC Technology based aggregator for facility maintenance services Common member units 8/2020 9,624,000 8.3 22.6 (2)
RE Community Holdings GP, LLC and RE Community Holdings, LP Operator of municipal recycling facilities Limited partnership interest 3/2011 2.86 %
Limited partnership interest 3/2011 2.49 %
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. (15) Provider of FDA registration and consulting services First lien senior secured loan 8.12 % LIBOR (M) 5.00 % 8/2021 8/2027 8.7 8.7 8.7 (2)(11)
25

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Limited partner interests 8/2021 1.13 % 2.7 2.8 (2)
11.4 11.5
Rodeo AcquisitionCo LLC (15) Provider of food inspection and recovery services First lien senior secured revolving loan 8.82 % LIBOR (Q) 6.00 % 7/2021 7/2027 0.9 0.9 0.9 (2)(11)
First lien senior secured loan 8.81 % LIBOR (M) 6.00 % 7/2021 7/2027 17.0 17.0 16.5 (2)(11)
17.9 17.4
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. (15) Provider of landscape design and planning, and snow removal services First lien senior secured revolving loan 8.83 % LIBOR (M) 5.75 % 12/2021 12/2027 0.5 0.5 0.5 (2)(11)
First lien senior secured loan 8.83 % LIBOR (M) 5.75 % 12/2021 12/2027 0.6 0.6 0.6 (2)(11)
Class A units 12/2021 4,502 11.1 14.9 (2)
12.2 16.0
Shermco Intermediate Holdings, Inc. (15) Provider of electrician services First lien senior secured revolving loan 9.75 % Base Rate (Q) 3.50 % 5/2022 6/2024 3.1 2.9 3.1 (2)
SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP Manufacturer and distributor of personal protection equipment, commercial cleaning, maintenance and safety products First lien senior secured loan 12.89 % LIBOR (Q) 9.22 % 6/2020 6/2026 20.9 20.9 17.9 (2)(11)
Limited partnership class A-1 units 6/2020 2,173 1.1 0.2 (2)
Limited partnership class A-2 units 6/2020 2,173 1.1 0.2 (2)
23.1 18.3
Startec Equity, LLC (5) Communication services Member interest 4/2010
Stealth Holding LLC and UCIT Online Security Inc. (15) Live video monitoring solutions provider First lien senior secured loan 9.10 % LIBOR (Q) 6.75 % 3/2021 3/2026 52.3 52.3 52.3 (2)(6)(11)
First lien senior secured loan 9.85 % SOFR (Q) 6.75 % 3/2022 3/2026 4.0 4.0 4.0 (2)(6)(11)
First lien senior secured loan 9.96 % SOFR (Q) 6.75 % 3/2021 3/2026 1.7 1.7 1.7 (2)(6)(11)
58.0 58.0
The NPD Group, L.P., IRI Group Holdings, Inc., Information Resources, Inc. and IRI-NPD Co-Invest Aggregator, L.P. (15) Market research company focused on the consumer packaged goods industry First lien senior secured loan
8.76 % ( 2.51 % PIK)
SOFR (M) 6.25 % 8/2022 12/2028 212.0 212.0 207.7 (2)(11)
Class A units 8/2022 10,744 11.3 11.3 (2)
223.3 219.0
Thermostat Purchaser III, Inc. (15) Provider of commercial HVAC equipment maintenance and repair services Second lien senior secured loan 10.32 % LIBOR (Q) 7.25 % 8/2021 8/2029 23.0 23.0 21.8 (2)(11)
Visual Edge Technology, Inc. Provider of outsourced office solutions with a focus on printer and copier equipment and other parts and supplies First lien senior secured loan
10.07 % ( 1.25 % PIK)
LIBOR (Q) 7.00 % 8/2017 8/2022 32.6 32.6 30.0 (2)(11)
Senior subordinated loan 8/2017 9/2024 99.8 87.5 62.4 (2)(10)
Warrant to purchase units of common stock 8/2017 8/2027 10,358,572 3.9
124.0 92.4
26

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
VRC Companies, LLC (15) Provider of records and information management services First lien senior secured revolving loan 10.75 % Base Rate (Q) 4.50 % 5/2022 6/2027 0.8 0.6 0.8 (11)
First lien senior secured loan 8.42 % LIBOR (Q) 5.50 % 5/2022 6/2027 0.1 0.1 0.1 (2)(11)
Senior subordinated loan
12.00 % ( 2.00 % PIK)
5/2022 6/2028 5.0 5.1 5.0 (2)
5.8 5.9
Wash Encore Holdings, LLC Provider of outsourced healthcare linen management solutions First lien senior secured loan 8.78 % LIBOR (Q) 5.75 % 7/2021 7/2027 134.6 134.6 131.9 (2)(11)
XIFIN, Inc. and ACP Charger Co-Invest LLC (15) Revenue cycle management provider to labs First lien senior secured revolving loan 11.00 % Base Rate (Q) 4.75 % 2/2020 2/2026 0.2 0.2 0.2 (11)
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 12/2021 10/2022 37.1 37.1 36.7 (11)
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 7/2021 2/2026 0.1 0.1 0.1 (2)(11)
Class A units 2/2020 180,000 1.8 4.5 (2)
Class B units 12/2021 46,363 0.9 1.2 (2)
40.1 42.7
1,768.3 1,746.8 18.52 %
Investment Funds and Vehicles
ACAS Equity Holdings Corporation (5) Investment company Common stock 1/2017 589 0.4 0.4 (6)
ARES 2007-3R Investment vehicle Subordinated notes 1/2017 4/2021 20.0 0.1 (6)
Blue Wolf Capital Fund II, L.P. (4) Investment partnership Limited partnership interest 1/2017 8.50 % 0.1 (6)(18)
CoLTs 2005-1 Ltd. (5) Investment vehicle Preferred shares 1/2017 3/2015 360 (6)
CREST Exeter Street Solar 2004-1 Investment vehicle Preferred shares 1/2017 6/2039 3,500,000 (6)
European Capital UK SME Debt LP (4)(16) Investment partnership Limited partnership interest 1/2017 45.00 % 18.0 23.7 (6)
HCI Equity, LLC (5) Investment company Member interest 4/2010 100.00 % (6)(18)
Partnership Capital Growth Investors III, L.P. Investment partnership Limited partnership interest 10/2011 2.50 % 1.8 3.9 (2)(6)(18)
PCG-Ares Sidecar Investment II, L.P. (4)(16) Investment partnership Limited partnership interest 10/2014 100.00 % 7.1 15.3 (2)(6)
PCG-Ares Sidecar Investment, L.P. (16) Investment partnership Limited partnership interest 5/2014 100.00 % 4.3 0.7 (6)
Piper Jaffray Merchant Banking Fund I, L.P. Investment partnership Limited partnership interest 8/2012 2.00 % 0.1 0.5 (6)(18)
Senior Direct Lending Program, LLC (5)(17) Co-investment vehicle Subordinated certificates 11.75 % LIBOR (Q) 8.00 % 7/2016 12/2036 269,806.0 1,121.0 1,121.0 (6)(13)
Membership interest 87.50 % (6)
1,121.0 1,121.0
VSC Investors LLC Investment company Membership interest 1/2008 1.95 % 0.2 0.5 (2)(6)(18)
1,152.9 1,166.2 12.36 %
Insurance Services
Acrisure, LLC and Acrisure Finance , Inc. Independent property and casualty insurance brokerage Senior subordinated loan 7.00 % 7/2022 11/2025 0.5 0.5 0.5 (2)(18)
27

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Alera Group, Inc. Insurance service provider First lien senior secured loan 9.05 % LIBOR (Q) 6.00 % 9/2021 10/2028 75.8 75.8 75.0 (2)(11)
Amynta Agency Borrower Inc. and Amynta Warranty Borrower Inc. Insurance service provider First lien senior secured loan 7.62 % LIBOR (M) 4.50 % 12/2018 2/2025 2.3 2.3 2.2 (2)
AQ Sunshine, Inc. (15) Specialized insurance broker First lien senior secured revolving loan 10.42 % LIBOR (Q) 6.25 % 4/2019 4/2024 1.4 1.4 1.4 (2)(11)(14)
First lien senior secured loan 10.20 % LIBOR (Q) 6.25 % 1/2022 4/2025 19.3 19.3 19.3 (2)(11)
First lien senior secured loan 10.42 % LIBOR (Q) 6.25 % 6/2021 4/2025 14.8 14.8 14.8 (2)(11)
First lien senior secured loan 10.42 % LIBOR (Q) 6.25 % 4/2019 4/2025 8.5 8.5 8.5 (2)(11)
First lien senior secured loan 10.42 % LIBOR (S) 6.25 % 10/2020 4/2025 5.6 5.6 5.6 (2)(11)
49.6 49.6
Ardonagh Midco 2 plc and Ardonagh Midco 3 plc (15) Insurance broker and underwriting servicer First lien senior secured loan 8.81 % LIBOR (S) 5.75 % 8/2021 7/2026 90.0 90.0 89.1 (2)(6)(11)
First lien senior secured loan 8.46 % SONIA (S) 7.00 % 6/2020 7/2026 69.4 79.5 69.4 (2)(6)(11)
First lien senior secured loan 8.00 % Euribor (S) 7.00 % 6/2020 7/2026 6.4 7.5 6.4 (2)(6)(11)
Senior subordinated loan
11.50 % PIK
6/2020 1/2027 1.4 1.4 1.4 (2)(6)(18)
178.4 166.3
Benecon Midco II LLC and Locutus Holdco LLC (15) Employee benefits provider for small and mid-size employers Common units 12/2020 9,803,682 10.0 19.7
Benefytt Technologies, Inc. (15) Health insurance sales platform provider First lien senior secured loan
12.09 % ( 11.09 % PIK)
SOFR (Q) 8.75 % 8/2021 8/2027 23.8 23.8 19.5 (2)(11)
First lien senior secured loan 10.58 % SOFR (S) 7.50 % 8/2021 8/2027 5.0 5.0 4.1 (2)(11)
28.8 23.6
Captive Resources Midco, LLC (15) Provider of independent consulting services to member-owned group captives First lien senior secured loan 8.53 % SOFR (M) 5.50 % 7/2022 7/2029 14.1 14.1 13.8 (2)(11)
Foundation Risk Partners, Corp. (15) Full service independent insurance agency First lien senior secured revolving loan 8.74 % LIBOR (M) 5.75 % 10/2021 10/2027 1.1 1.1 1.1 (11)
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 10/2021 10/2028 133.0 133.0 133.0 (2)(11)
First lien senior secured loan 8.75 % LIBOR (Q) 5.50 % 4/2022 10/2028 33.2 33.2 33.2 (2)(11)
167.3 167.3
Galway Borrower LLC (15) Insurance service provider First lien senior secured revolving loan 9/2021 9/2027 (13)
First lien senior secured loan
8.92 % ( 1.00 % PIK)
LIBOR (Q) 5.25 % 9/2021 9/2028 31.7 31.7 31.0 (2)(11)
First lien senior secured loan
8.92 % ( 1.00 % PIK)
LIBOR (Q) 5.25 % 9/2021 9/2028 4.2 4.2 4.1 (11)
35.9 35.1
High Street Buyer, Inc. and High Street Holdco LLC (15) Insurance brokerage platform First lien senior secured loan 8.81 % LIBOR (Q) 6.00 % 4/2021 4/2028 34.6 34.6 34.2 (2)(11)
First lien senior secured loan 8.83 % LIBOR (Q) 6.00 % 8/2021 10/2022 12.3 12.3 12.2 (2)(11)
First lien senior secured loan 8.21 % LIBOR (Q) 5.75 % 2/2022 4/2028 6.9 6.9 6.8 (2)(11)
Series A preferred units
10.00 % PIK
4/2021 96,763,324 108.8 102.5 (2)
Series A common units
10.00 % PIK
4/2021 4,649,000 5.0 7.0 (2)
28

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Series C common units
10.00 %PIK
4/2021 4,979,318 0.2 7.5 (2)
167.8 170.2
K2 Insurance Services, LLC and K2 Holdco LP (15) Specialty insurance and managing general agency First lien senior secured revolving loan 7/2019 7/2026 (13)
First lien senior secured loan 8.67 % LIBOR (Q) 5.00 % 7/2019 7/2026 50.6 50.6 50.6 (2)(11)
First lien senior secured loan 8.67 % LIBOR (Q) 5.00 % 12/2021 7/2026 2.3 2.3 2.3 (2)(11)
First lien senior secured loan 8.27 % LIBOR (Q) 5.00 % 8/2021 7/2026 0.2 0.2 0.2 (2)(11)
Common units 7/2019 799,000 0.8 2.8 (2)
53.9 55.9
OneDigital Borrower LLC (15) Benefits broker and outsourced workflow automation platform provider for brokers First lien senior secured revolving loan 11/2020 11/2025 (13)
Patriot Growth Insurance Services, LLC (15) National retail insurance agency First lien senior secured loan 8.65 % LIBOR (Q) 5.50 % 10/2021 10/2028 13.7 13.5 13.3 (2)(11)
First lien senior secured loan 9.31 % LIBOR (S) 5.50 % 10/2021 10/2028 0.9 0.9 0.9 (11)
14.4 14.2
People Corporation (15) Provider of group benefits, group retirement and human resources services First lien senior secured revolving loan 9.92 % LIBOR (Q) 6.25 % 2/2021 2/2027 5.1 5.5 5.1 (2)(6)(11)
First lien senior secured loan 9.87 % LIBOR (Q) 6.25 % 2/2021 2/2028 40.2 43.8 39.8 (2)(6)(11)
First lien senior secured loan 9.87 % CDOR (Q) 6.25 % 2/2021 2/2028 12.6 14.0 12.4 (2)(6)(11)
First lien senior secured loan 9.13 % LIBOR (Q) 5.50 % 9/2021 2/2028 6.2 6.7 6.0 (2)(6)(11)
70.0 63.3
Riser Merger Sub, Inc. (15) Insurance program administrator First lien senior secured loan 8.62 % SOFR (Q) 5.75 % 8/2022 8/2028 5.9 5.9 5.8 (2)(11)
RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc. (15) Insurance broker First lien senior secured loan 8.30 % LIBOR (Q) 5.50 % 11/2019 10/2026 32.9 32.9 31.9 (2)(11)
SageSure Holdings, LLC & Insight Catastrophe Group, LLC (15) Insurance service provider First lien senior secured loan
8.87 % ( 1.63 % PIK)
LIBOR (M) 5.75 % 1/2022 1/2028 14.1 14.1 14.1 (2)(11)
Series A units 2/2022 732 15.6 18.2
29.7 32.3
SCM Insurance Services Inc. (15) Provider of claims management, claims investigation & support and risk management solutions for the Canadian property and casualty insurance industry First lien senior secured loan 10.45 % CDOR (Q) 6.25 % 6/2022 8/2024 60.0 64.4 60.0 (2)(6)(11)
SelectQuote, Inc. Direct to consumer insurance distribution platform First lien senior secured loan
11.03 % ( 2.00 % PIK)
LIBOR (M) 8.00 % 11/2019 11/2024 22.2 22.2 19.6 (2)(11)
SG Acquisition, Inc. Provider of insurance solutions for car sales First lien senior secured loan 9.17 % LIBOR (S) 5.00 % 1/2020 1/2027 33.8 33.8 33.8 (2)(11)
Spring Insurance Solutions, LLC Technology-based direct to consumer sales and marketing platform for insurance products First lien senior secured loan 10.05 % LIBOR (Q) 6.50 % 11/2020 11/2025 22.1 22.1 19.7 (2)(11)
THG Acquisition, LLC (15) Multi-line insurance broker First lien senior secured revolving loan 12/2019 12/2025 (13)
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 12/2020 12/2026 14.9 14.9 14.9 (2)(11)
29

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 8.62 % LIBOR (M) 5.50 % 12/2021 12/2026 6.5 6.5 6.5 (2)(11)
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 12/2019 12/2026 0.1 0.1 0.1 (2)(11)
21.5 21.5
1,101.3 1,081.3 11.46 %
Power Generation
Apex Clean Energy TopCo, LLC (4) Developer, builder and owner of utility-scale wind and solar power facilities Class A common units 11/2021 1,335,610 89.6 134.9
Ferrellgas, L.P. and Ferrellgas Partners, L.P. Distributor of propane and related accessories Senior preferred units 8.96 % 3/2021 59,422 59.5 60.0
Class B units 9/2022 59,428 14.9 14.9
74.4 74.9
Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC (5)(15) Developer of utility scale solar systems First lien senior secured loan 10.75 % LIBOR (Q) 7.00 % 4/2021 4/2024 106.5 106.5 106.5 (2)(11)
Class A1 units 4/2021 100 47.7 81.0
Class A2 units 3/2022 3,296,184 3.8 4.0
158.0 191.5
Opal Fuels LLC and Opal Fuels Inc. Owner of natural gas facilities Senior subordinated loan
8.00 % PIK
7/2022 12/2026 28.0 24.0 28.0 (6)
Class A common stock 7/2022 3,059,533 23.3 25.3 (6)(18)
47.3 53.3
PosiGen, Inc. Seller and leaser of solar power systems for residential and commercial customers Warrant to purchase units of series D-1 preferred stock 6/2021 6/2028 101,555
Warrant to purchase units of common stock 1/2020 1/2027 1,112,022
Potomac Intermediate Holdings II LLC (5) Gas turbine power generation facilities operator Series A units 11/2021 220,884,442 179.7 163.8
Riverview Power LLC Operator of natural gas and oil fired power generation facilities First lien senior secured loan 12.68 % LIBOR (Q) 9.00 % 8/2021 6/2024 50.1 49.8 50.1 (2)(11)
SE1 Generation, LLC Solar power developer Senior subordinated loan
10.25 % ( 5.50 % PIK)
12/2019 12/2022 61.6 61.6 60.4 (2)
Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC Residential solar energy provider First lien senior secured loan 3.61 % 10/2019 2/2055 0.1 0.1 0.1 (2)
Senior subordinated loan
9.53 % ( 4.00 % PIK)
LIBOR (Q) 6.75 % 11/2019 11/2025 146.3 146.3 136.1 (2)(11)
146.4 136.2
Sunrun Luna Holdco 2021, LLC (15) Residential solar energy provider Senior subordinated revolving loan 6.29 % SOFR (Q) 3.50 % 3/2022 4/2024 44.9 44.9 44.9 (2)(6)
Senior subordinated revolving loan 10.66 % SOFR (Q) 7.88 % 3/2022 4/2024 29.8 29.8 29.8 (2)(6)
74.7 74.7
Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC Residential solar energy provider First lien senior secured loan 3.98 % 6/2019 6/2054 0.4 0.4 0.3 (2)
30

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Senior subordinated loan
10.43 % ( 2.77 % PIK)
LIBOR (Q) 6.75 % 6/2019 7/2030 71.3 71.3 67.1 (2)(11)
71.7 67.4
953.2 1,007.2 10.68 %
Consumer Services
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. (5) Restaurant owner and operator First lien senior secured loan 12/2016 8/2022 7.6 (2)(10)
Aimbridge Acquisition Co., Inc. Hotel operator Second lien senior secured loan 10.06 % LIBOR (M) 7.50 % 2/2019 2/2027 22.5 22.3 21.6 (2)
American Residential Services L.L.C. and Aragorn Parent Holdings LP (15) Heating, ventilation and air conditioning services provider Second lien senior secured loan 12.17 % LIBOR (Q) 8.50 % 10/2020 10/2028 56.4 56.4 56.4 (2)(11)
Series A preferred units
10.00 % PIK
10/2020 2,531,500 2.8 5.5 (2)
59.2 61.9
ATI Restoration, LLC (15) Provider of disaster recovery services First lien senior secured revolving loan 10.25 % Base Rate (Q) 4.00 % 7/2020 7/2026 1.1 1.1 1.1 (2)(11)(14)
First lien senior secured loan 7.79 % LIBOR (Q) 5.00 % 7/2020 7/2026 33.1 33.1 33.1 (2)(11)
First lien senior secured loan 8.37 % SOFR (Q) 5.00 % 5/2022 7/2026 3.2 3.2 3.2 (2)(11)
37.4 37.4
Belfor Holdings, Inc. (15) Disaster recovery services provider First lien senior secured revolving loan 4.44 % Euribor (Q) 3.75 % 4/2019 4/2024 4.3 4.4 4.3 (2)(14)
First lien senior secured revolving loan 9.00 % Base Rate (Q) 2.75 % 4/2019 4/2024 2.8 2.8 2.8 (2)(14)
7.2 7.1
Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L. Manager and operator of banquet facilities, restaurants, hotels and other leisure properties First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 5/2018 5/2023 68.2 67.8 65.5 (2)(11)
First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 12/2020 5/2023 30.0 29.4 28.8 (2)(11)
First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 12/2019 5/2023 20.0 19.5 19.2 (2)(11)
First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 7/2019 5/2023 15.5 15.4 14.8 (2)(11)
First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 11/2018 5/2023 15.2 15.2 14.6 (2)(11)
First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 6/2020 5/2023 4.9 4.9 4.7 (2)(11)
First lien senior secured loan 14.43 % LIBOR (Q) 10.75 % 8/2018 5/2023 3.0 3.0 2.9 (2)(11)
Warrant to purchase units of shares 3/2021 3/2041 718.66 2.1 6.9 (2)(6)
157.3 157.4
CMG HoldCo, LLC and CMG Buyer Holdings, Inc. (15) Provider of commercial HVAC equipment maintenance and repair services First lien senior secured revolving loan 8.31 % SOFR (Q) 5.25 % 5/2022 5/2028 0.9 0.9 0.9 (11)
First lien senior secured loan 8.02 % SOFR (Q) 5.25 % 5/2022 5/2028 24.6 24.6 24.1 (2)(11)
Common stock 5/2022 289 2.9 2.9 (2)
28.4 27.9
Concert Golf Partners Holdco LLC (15) Golf club owner and operator First lien senior secured revolving loan 9.30 % SOFR (Q) 5.75 % 3/2022 3/2028 0.4 0.4 0.4 (2)(11)
31

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC (15) Provider of plumbing and HVAC services First lien senior secured revolving loan 11/2020 11/2025 (13)
First lien senior secured loan 8.03 % LIBOR (Q) 5.75 % 4/2021 10/2022 78.3 78.3 77.5 (2)(11)
First lien senior secured loan 8.03 % LIBOR (Q) 5.75 % 11/2020 11/2026 48.3 48.3 47.8 (2)(11)
First lien senior secured loan 8.07 % LIBOR (Q) 5.75 % 11/2021 11/2026 13.8 13.8 13.7 (2)(11)
Class A units 11/2020 6,447 22.9 37.8 (2)
163.3 176.8
Jenny C Acquisition, Inc. Health club franchisor Senior subordinated loan
8.00 % PIK
4/2019 4/2025 1.5 1.5 1.5 (2)
KeyStone Sub-debt HoldCo, LLC Planet Fitness franchisee Senior subordinated loan
10.00 % PIK
1/2021 1/2027 58.5 55.9 58.5 (2)
Senior subordinated loan
10.00 % PIK
9/2021 1/2027 7.8 7.8 7.8 (2)
Warrant to purchase units of Class C interests 1/2021 1/2027 24.7581 3.6 8.6 (2)
67.3 74.9
LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC (15) Provider of residential HVAC and plumbing services First lien senior secured loan 8.80 % LIBOR (Q) 6.00 % 10/2021 11/2022 12.7 12.7 12.5 (2)(11)
First lien senior secured loan 8.26 % LIBOR (Q) 6.00 % 10/2021 10/2026 6.3 6.3 6.2 (2)(11)
First lien senior secured loan 8.81 % SOFR (Q) 6.00 % 4/2022 10/2026 5.0 5.0 4.9 (2)(11)
Membership interest 10/2021 2,771,000 2.8 14.4
26.8 38.0
ME Equity LLC Franchisor in the massage industry Common stock 9/2012 3,000,000 3.0 4.3 (2)
Movati Athletic (Group) Inc. Premier health club operator First lien senior secured loan
8.76 % ( 0.50 % PIK)
CDOR (Q) 6.00 % 10/2017 10/2024 4.6 5.0 4.5 (2)(6)(11)
OTG Management, LLC Airport restaurant operator Class A preferred units 8/2016 3,000,000 25.3 13.1 (2)
Common units 1/2011 3,000,000 3.0
Warrant to purchase a percentage of common units 6/2008 6/2028 7.73 % 0.1
28.4 13.1
Pueblo Mechanical and Controls, LLC and OMERS PMC Investment Holdings LLC (15) Provider of commercial HVAC services First lien senior secured loan 8.78 % SOFR (Q) 6.00 % 8/2022 8/2028 4.9 4.9 4.8 (2)(11)
Class A units 8/2022 1,001 9.7 9.7 (2)
14.6 14.5
Pyramid Management Advisors, LLC and Pyramid Investors, LLC (15) Hotel operator First lien senior secured revolving loan
9.99 % ( 1.25 %PIK)
LIBOR (M) 7.00 % 4/2018 7/2023 9.7 9.7 9.7 (2)(11)(14)
First lien senior secured loan
10.12 % ( 1.25 % PIK)
LIBOR (M) 7.00 % 4/2018 7/2023 18.3 18.3 18.3 (2)(11)
First lien senior secured loan
10.12 % ( 1.25 % PIK)
LIBOR (M) 7.00 % 12/2019 7/2023 6.4 6.4 6.4 (2)(11)
Preferred membership units 7/2016 996,833 1.0 0.9
35.4 35.3
Redwood Services, LLC and Redwood Services Holdco, LLC (15) Provider of residential HVAC and plumbing services First lien senior secured loan 9.87 % LIBOR (M) 6.75 % 12/2021 12/2025 5.6 5.6 5.6 (2)(11)
32

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 9.78 % SOFR (M) 6.75 % 9/2022 12/2025 0.8 0.8 0.8 (2)(11)
First lien senior secured loan 9.87 % LIBOR (M) 6.75 % 12/2020 12/2025 0.2 0.2 0.2 (2)(11)
Series D units
8.00 % PIK
12/2020 9,210,087 9.6 20.4
16.2 27.0
Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc. Provider of safety systems for business and residential customers First lien senior secured loan 10.37 % LIBOR (M) 7.25 % 8/2020 8/2024 48.0 48.0 48.0 (2)(11)
SV-Burton Holdings, LLC and LBC Breeze Holdings LLC (15) Provider of HVAC and plumbing services to residential and commercial customers First lien senior secured loan 8.31 % LIBOR (M) 5.50 % 12/2021 12/2027 9.0 9.0 8.9 (2)(11)
Class A units 12/2021 4,296 4.3 4.7
13.3 13.6
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. (15) Planet Fitness franchisee First lien senior secured revolving loan
8.92 % ( 0.50 % PIK)
LIBOR (S) 4.75 % 7/2018 7/2024 0.8 0.8 0.8 (2)(11)
First lien senior secured loan
8.92 % ( 0.50 % PIK)
LIBOR (Q) 4.75 % 3/2020 7/2025 1.4 1.4 1.4 (2)(11)
Class A units 7/2018 37,020 3.8 3.4
6.0 5.6
The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc. (15) Premier health club operator First lien senior secured loan
12.75 % ( 2.00 % PIK)
Base Rate (Q) 6.50 % 12/2019 12/2024 12.6 12.6 12.6 (2)(11)
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP (15) Refrigeration, heating, ventilation and air conditioning services provider First lien senior secured revolving loan 11.25 % Base Rate (Q) 5.00 % 12/2021 12/2027 5.4 5.4 5.4 (2)(11)
First lien senior secured revolving loan 9.15 % LIBOR (Q) 6.00 % 12/2021 12/2027 4.6 4.6 4.6 (2)(11)
First lien senior secured loan 8.49 % LIBOR (S) 6.00 % 12/2021 12/2027 28.9 28.9 28.6 (2)(11)
First lien senior secured loan 9.57 % LIBOR (Q) 6.00 % 8/2022 12/2027 11.5 11.5 11.4 (2)(11)
Class A units 12/2021 5,667,160 5.7 8.3
56.1 58.3
YE Brands Holdings, LLC (15) Sports camp operator First lien senior secured loan 7.96 % SOFR (Q) 5.75 % 6/2022 10/2022 8.2 8.2 8.1 (2)(11)
First lien senior secured loan 8.97 % LIBOR (Q) 5.50 % 10/2021 10/2027 8.0 8.0 7.8 (2)(11)
16.2 15.9
825.9 857.6 9.09 %
Capital Goods
AI Aqua Merger Sub, Inc. End to end provider of water solutions to a wide range of customer bases First lien senior secured loan 6.35 % LIBOR (M) 3.75 % 6/2021 7/2028 1.0 1.0 0.9 (2)(11)(18)
API Commercial Inc., API Military Inc., and API Space Intermediate, Inc. Provider of military aircraft aftermarket parts and distribution, repair and logistics services First lien senior secured loan 5/2022 8/2025 7.4 3.6 3.7 (2)(10)
33

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Arrowhead Holdco Company and Arrowhead GS Holdings, Inc. (15) Distributor of non-discretionary, mission-critical aftermarket replacement parts First lien senior secured revolving loan 7.62 % LIBOR (M) 4.50 % 8/2021 8/2027 13.7 13.8 13.4 (2)(11)(14)
First lien senior secured loan 7.29 % LIBOR (Q) 4.50 % 8/2021 8/2028 0.1 0.1 0.1 (2)(11)
Common stock 8/2021 5,054 5.1 7.0 (2)
19.0 20.5
BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC (15) Provides products and services to the Department of Defense and Intelligence Community First lien senior secured revolving loan 8.55 % LIBOR (M) 6.00 % 5/2022 10/2025 1.7 1.5 1.6 (2)(11)
First lien senior secured loan 8.34 % LIBOR (Q) 6.00 % 5/2022 10/2025 1.0 1.0 1.0 (2)(11)
2.5 2.6
Burgess Point Purchaser Corporation Remanufacturer of mission-critical and non-discretionary aftermarket vehicle, industrial, energy storage, and solar replacement parts First lien senior secured loan 8.41 % SOFR (M) 5.25 % 7/2022 7/2029 4.8 4.4 4.4 (2)(11)(18)
Cadence Aerospace, LLC (15) Aerospace precision components manufacturer First lien senior secured revolving loan
11.31 % ( 2.00 % PIK)
SOFR (Q) 8.50 % 11/2017 11/2022 11.6 11.6 11.4 (2)(11)(14)
First lien senior secured revolving loan
11.31 % ( 2.00 % PIK)
LIBOR (Q) 8.50 % 7/2020 11/2023 0.9 0.9 0.9 (2)(11)
First lien senior secured loan
11.31 % ( 2.00 % PIK)
LIBOR (Q) 8.50 % 11/2017 11/2023 31.2 31.1 30.6 (2)(11)
First lien senior secured loan
11.74 % ( 2.00 % PIK)
LIBOR (Q) 8.50 % 10/2019 11/2023 11.9 11.9 11.6 (2)(11)
First lien senior secured loan
11.31 % ( 2.00 % PIK)
LIBOR (Q) 8.50 % 7/2018 11/2023 9.7 9.7 9.5 (2)(11)
First lien senior secured loan
12.18 % ( 2.00 % PIK)
LIBOR (Q) 8.50 % 2/2020 11/2023 7.8 7.8 7.6 (2)(11)
First lien senior secured loan
11.31 % ( 2.00 % PIK)
LIBOR (Q) 8.50 % 7/2020 11/2023 5.0 4.8 4.9 (2)(11)
77.8 76.5
DFS Holding Company, Inc. Distributor of maintenance, repair, and operations parts, supplies, and equipment to the foodservice industry First lien senior secured loan
10.62 % ( 1.50 % PIK)
LIBOR (M) 7.50 % 7/2017 8/2023 165.3 165.3 165.3 (11)
First lien senior secured loan
10.62 % ( 1.50 % PIK)
LIBOR (M) 7.50 % 5/2020 8/2023 6.5 6.5 6.5 (2)(11)
First lien senior secured loan
10.62 % ( 1.50 % PIK)
LIBOR (M) 7.50 % 3/2017 8/2023 4.3 4.3 4.3 (2)(11)
176.1 176.1
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP (15) Provider of aerospace technology and equipment First lien senior secured revolving loan 9.06 % LIBOR (M) 6.50 % 12/2020 12/2025 1.4 1.4 1.4 (2)(11)
First lien senior secured loan 10.17 % LIBOR (Q) 6.50 % 12/2020 12/2026 25.7 25.7 25.4 (2)(11)
Common units 12/2020 9,773,000 9.8 8.3
36.9 35.1
EPS NASS Parent, Inc. (15) Provider of maintenance and engineering services for electrical infrastructure First lien senior secured revolving loan 9.40 % LIBOR (Q) 5.75 % 4/2021 4/2026 0.6 0.6 0.6 (2)(11)(14)
First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 4/2021 4/2028 0.2 0.2 0.2 (2)(11)
34

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
0.8 0.8
ESCP PPG Holdings, LLC (4) Distributor of new equipment and aftermarket parts to the heavy-duty truck industry Class A-1 units 8/2022 96,897 2.3 2.3 (2)
Class A-2 units 12/2016 3,500 3.5 0.1
5.8 2.4
Harvey Tool Company, LLC (15) Manufacturer of cutting tools used in the metalworking industry First lien senior secured revolving loan 10/2021 10/2027 (13)
First lien senior secured loan 9.11 % LIBOR (Q) 5.50 % 10/2021 10/2027 23.5 23.5 23.3 (2)(11)
23.5 23.3
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation (5) Provider of high-speed intelligent document scanning hardware and software Senior subordinated loan 14.00 % 1/2017 12/2023 16.6 16.5 16.6 (2)
Series A preferred stock
8.00 % PIK
1/2017 73,804,135 1.3 39.1
Class A common stock 1/2017 48,082 0.2
Class B common stock 1/2017 431,055 0.1 1.9
17.9 57.8
Kene Acquisition, Inc. and Kene Holdings, L.P. (15) National utility services firm providing engineering and consulting services to natural gas, electric power and other energy and industrial end markets First lien senior secured revolving loan 8/2019 8/2024 (13)
First lien senior secured loan 7.92 % LIBOR (Q) 4.25 % 8/2019 8/2026 40.7 40.7 40.3 (2)(11)
Class A units 8/2019 4,549,000 4.5 5.7 (2)
45.2 46.0
Lower ACS, Inc. (15) Provider of commercial HVAC equipment and services First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 1/2022 1/2028 5.4 5.4 5.4 (2)(11)
LTG Acquisition, Inc. Designer and manufacturer of display, lighting and passenger communication systems for mass transportation markets Class A membership units 1/2017 5,000 5.1
Maverick Acquisition, Inc. (15) Manufacturer of precision machined components for defense and high-tech industrial platforms First lien senior secured loan 9.92 % LIBOR (Q) 6.25 % 6/2021 6/2027 27.7 27.7 25.7 (2)(11)
MB Aerospace Holdings II Corp. Aerospace engine components manufacturer First lien senior secured loan 7.17 % LIBOR (Q) 3.50 % 6/2021 1/2025 12.1 11.5 11.1 (2)(11)
Second lien senior secured loan 12.67 % LIBOR (Q) 9.00 % 1/2018 1/2026 68.4 68.4 65.7 (2)(11)
Second lien senior secured loan 12.67 % LIBOR (Q) 9.00 % 5/2019 1/2026 23.6 23.6 22.7 (2)(11)
103.5 99.5
NCWS Intermediate, Inc. and NCWS Holdings LP (15) Manufacturer and supplier of car wash equipment, parts and supplies to the conveyorized car wash market First lien senior secured loan 9.12 % LIBOR (M) 6.00 % 11/2021 12/2026 147.2 147.2 145.8 (2)(11)
First lien senior secured loan 9.12 % LIBOR (M) 6.00 % 12/2020 12/2026 0.2 0.2 0.2 (2)(11)
35

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Class A-2 common units 12/2020 12,296,000 12.9 17.5 (2)
160.3 163.5
Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC Provider of structural integrity management services to transmission and distribution infrastructure Second lien senior secured loan 9.87 % LIBOR (M) 6.75 % 6/2021 6/2029 55.3 55.3 51.9 (2)(11)
Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP. Manufacturer of high-tolerance precision machined components and assemblies for the aerospace and defense industry First lien senior secured loan 9.03 % LIBOR (M) 6.00 % 8/2021 8/2027 13.8 13.8 13.6 (2)(6)(11)
First lien senior secured loan 9.03 % SOFR (M) 6.00 % 4/2022 8/2027 4.0 4.0 4.0 (2)(6)(11)
First lien senior secured loan 9.03 % LIBOR (M) 6.00 % 8/2021 10/2022 13.8 13.8 13.7 (2)(6)(11)
Class A units 8/2021 88,420 13.4 23.8 (2)
45.0 55.1
Prime Buyer, L.L.C. (15) Provider of track systems, cabs, hulls, doors, and various armored components for defense/military vehicle applications First lien senior secured revolving loan 10.50 % Base Rate (Q) 4.25 % 5/2022 12/2026 1.3 0.8 1.3 (2)(11)
First lien senior secured revolving loan 7.40 % SOFR (Q) 5.25 % 5/2022 12/2026 0.7 0.4 0.6 (2)(11)
1.2 1.9
Radius Aerospace, Inc. and Radius Aerospace Europe Limited (15) Metal fabricator in the aerospace industry First lien senior secured revolving loan 7.94 % LIBOR (M) 5.75 % 11/2019 3/2025 0.2 0.2 0.2 (2)(6)(11)
First lien senior secured revolving loan 8.80 % LIBOR (M) 5.75 % 3/2019 3/2025 0.7 0.7 0.7 (2)(6)(11)
0.9 0.9
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon (15) Manufacturer of metal castings, precision machined components and sub-assemblies in the electrical products, power transmission and distribution and general industrial markets First lien senior secured revolving loan 10/2017 10/2022 (13)
818.9 854.0 9.05 %
Consumer Durables & Apparel
Badger Sportswear Acquisition, Inc. Provider of team uniforms and athletic wear Second lien senior secured loan 12.12 % LIBOR (M) 9.00 % 9/2016 3/2024 56.8 56.8 56.8 (2)(11)
Bowhunter Holdings, LLC Provider of branded archery and bowhunting accessories Common units 4/2014 421 4.2
Centric Brands LLC and Centric Brands GP LLC (15) Designer, marketer and distributor of licensed and owned apparel First lien senior secured revolving loan 8.63 % LIBOR (Q) 5.75 % 5/2020 10/2024 7.4 7.4 7.1 (2)(11)
First lien senior secured loan
11.80 % PIK
SOFR (Q) 9.00 % 10/2018 10/2025 74.2 74.1 71.2 (2)(11)
Membership interests 10/2018 279,392 2.9 6.1 (2)
84.4 84.4
DRS Holdings III, Inc. and DRS Holdings I, Inc. (15) Footwear and orthopedic foot-care brand First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 11/2019 11/2025 28.9 28.9 28.1 (2)(11)
36

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 6/2021 11/2025 26.7 26.7 25.9 (2)(11)
Common stock 11/2019 8,549 8.5 8.4 (2)
64.1 62.4
Implus Footcare, LLC Provider of footwear and other accessories First lien senior secured loan
11.67 % ( 0.25 % PIK)
LIBOR (Q) 8.00 % 6/2017 4/2024 117.0 117.0 105.3 (2)(11)
First lien senior secured loan
11.67 % ( 0.25 % PIK)
LIBOR (Q) 8.00 % 7/2018 4/2024 5.0 5.0 4.5 (2)(11)
First lien senior secured loan
11.67 % ( 0.25 % PIK)
LIBOR (Q) 8.00 % 6/2016 4/2024 1.3 1.3 1.1 (2)(11)
123.3 110.9
Johnnie-O Inc. and Johnnie-O Holdings Inc. Apparel retailer First lien senior secured loan
9.99 % ( 4.50 % PIK)
SOFR (Q) 6.50 % 3/2022 3/2027 19.2 18.3 18.6 (2)(11)
Series A convertible preferred stock 3/2022 144,211 4.2 4.5 (2)
Warrant to purchase units of common stock 3/2022 3/2032 76,491 1.0 2.2 (2)
23.5 25.3
Lew's Intermediate Holdings, LLC (15) Outdoor brand holding company First lien senior secured revolving loan 7.13 % LIBOR (M) 4.25 % 2/2021 2/2026 1.3 1.3 1.2 (2)
First lien senior secured loan 7.90 % LIBOR (Q) 5.00 % 2/2021 2/2028 1.0 1.0 0.9 (2)(11)
2.3 2.1
New Era Cap, LLC Sports apparel manufacturing company First lien senior secured loan 8.46 % LIBOR (Q) 6.00 % 1/2022 7/2027 28.1 28.1 28.1 (2)(11)
Pelican Products, Inc. (15) Flashlights manufacturer Second lien senior secured loan 11.92 % LIBOR (S) 7.75 % 12/2021 12/2029 60.0 60.0 56.4 (2)(11)
Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC Sports equipment manufacturing company First lien senior secured loan 10.42 % LIBOR (Q) 6.75 % 12/2020 12/2026 49.8 49.8 49.8 (2)(11)
First lien senior secured loan 10.42 % LIBOR (Q) 6.75 % 11/2021 12/2026 0.1 0.1 0.1 (2)(11)
49.9 49.9
Reef Lifestyle, LLC (15) Apparel retailer First lien senior secured revolving loan
9.48 % ( 2.00 % PIK)
LIBOR (M) 6.50 % 10/2018 9/2022 33.4 33.4 32.8 (2)(11)(14)
First lien senior secured revolving loan
9.62 % ( 2.00 % PIK)
LIBOR (M) 6.50 % 7/2020 10/2024 0.8 0.7 0.8 (2)(11)
First lien senior secured loan
9.57 % ( 2.00 % PIK)
LIBOR (Q) 6.50 % 10/2018 10/2024 24.0 24.0 23.5 (2)(11)
First lien senior secured loan
9.62 % ( 2.00 % PIK)
LIBOR (Q) 6.50 % 7/2020 10/2024 1.2 1.2 1.2 (2)(11)
59.3 58.3
S Toys Holdings LLC (fka The Step2 Company, LLC) (5) Toy manufacturer Class B common units 10/2014 126,278,000 0.2
Common units 4/2011 1,116,879
Warrant to purchase units 4/2010 12/2050 3,157,895
0.2
SHO Holding I Corporation Manufacturer and distributor of slip resistant footwear Second lien senior secured loan 10/2015 10/2024 124.9 124.3 82.4 (2)(10)
Shock Doctor, Inc. and Shock Doctor Holdings, LLC (4)(15) Developer, marketer and distributor of sports protection equipment and accessories First lien senior secured revolving loan 10.25 % Base Rate (Q) 4.00 % 5/2019 5/2024 0.2 0.2 0.2 (2)(11)(14)
First lien senior secured loan 8.55 % LIBOR (Q) 5.00 % 5/2019 5/2024 0.1 0.1 0.1 (2)(11)
37

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Class A preferred units 3/2014 50,000 5.0 3.1 (2)
Class C preferred units 4/2015 50,000 5.0 3.1 (2)
Preferred units 5/2019 14,591 1.6 2.3
11.9 8.8
SVP-Singer Holdings Inc. and SVP-Singer Holdings LP Manufacturer of consumer sewing machines First lien senior secured loan 10.42 % LIBOR (Q) 6.75 % 7/2021 7/2028 44.6 43.5 39.2 (2)(11)
Class A common units 7/2021 6,264,706 26.1 17.8 (2)
69.6 57.0
Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. (4) Designer, marketer, and distributor of rain and cold weather products First lien senior secured loan 9.12 % LIBOR (M) 6.00 % 12/2019 12/2024 2.2 2.2 1.8 (2)(11)
First lien senior secured loan 7.12 % LIBOR (M) 4.00 % 12/2019 6/2024 1.6 1.6 1.5 (2)(11)
Common stock 12/2019 861,000 6.0
9.8 3.3
Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP Leading manufacturer and distributor of textiles, apparel & luxury goods First lien senior secured loan 6.62 % LIBOR (M) 3.50 % 4/2020 12/2024 9.7 9.1 9.0 (2)(11)(18)
Second lien senior secured loan 11.37 % LIBOR (M) 8.25 % 12/2017 12/2025 122.7 122.7 121.5 (2)(11)
Second lien senior secured loan 11.37 % LIBOR (M) 8.25 % 7/2018 12/2025 21.1 21.1 20.9 (2)(11)
Class A units 7/2018 1,400 1.4 1.1 (2)
154.3 152.5
925.8 838.8 8.89 %
Automobiles & Components
Automotive Keys Group, LLC and Automotive Keys Investor, LLC Provider of replacement wireless keys for automotive market First lien senior secured loan 8.67 % LIBOR (Q) 5.00 % 12/2021 12/2022 0.1 0.1 0.1 (2)(11)
Preferred units
9.00 % PIK
11/2020 4,113,113 4.9 3.2 (2)
Class A common units 11/2020 4,113,113
5.0 3.3
Continental Acquisition Holdings, Inc. Distributor of aftermarket batteries to the electric utility vehicle, automotive, commercial, marine and industrial markets First lien senior secured loan 10.42 % LIBOR (Q) 6.75 % 1/2021 1/2027 36.2 36.2 35.5 (2)(11)
First lien senior secured loan 10.42 % LIBOR (Q) 6.75 % 12/2021 1/2027 5.4 5.4 5.3 (2)(11)
41.6 40.8
Eckler Industries, Inc. and Eckler Purchaser LLC (5)(15) Restoration parts and accessories provider for classic automobiles First lien senior secured revolving loan 7/2012 11/2022 15.9 14.5 0.8 (2)(10)
First lien senior secured loan 7/2012 11/2022 28.8 25.5 1.5 (2)(10)
Class A common units 7/2012 67,972 16.4
56.4 2.3
Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc. Electric vehicle manufacturer Warrant to purchase units of Class A common stock 8/2021 8/2027 633,008 2.3 0.2 (2)
38

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC (15) Manufacturer and distributor of automotive fluids First lien senior secured revolving loan 6.87 % LIBOR (M) 3.75 % 11/2020 11/2025 1.0 1.0 0.9 (2)(14)
First lien senior secured loan 7.62 % LIBOR (M) 4.50 % 3/2022 11/2027 12.0 11.3 10.7 (2)(11)(18)
Second lien senior secured loan 10.24 % LIBOR (Q) 8.00 % 11/2020 11/2028 70.4 70.4 62.6 (2)(11)
Co-invest units 11/2020 59,230 5.9 3.6 (2)
88.6 77.8
Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C. Manufacturer and supplier for the power utility and automotive markets worldwide First lien senior secured loan 7.87 % LIBOR (M) 4.75 % 12/2018 12/2025 84.9 84.8 84.9 (2)(11)
Preferred units
13.75 % ( 9.25 % PIK)
10/2015 59,453 77.1 77.1 (2)
161.9 162.0
Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP (15) Auto parts retailer First lien senior secured revolving loan 5/2021 5/2026 (13)
Series A preferred stock
7.00 % PIK
5/2021 68,601 75.6 75.6 (2)
Class A-1 units 5/2021 24,586 24.6 37.1 (2)
100.2 112.7
McLaren Group Limited Automobile manufacturer and retailer Senior preference shares
12.50 % PIK
8/2021 8/2028 200,000 23.7 25.0 (2)(6)
Warrant to purchase units of ordinary shares 8/2021 8/2100 49,181 5.5 3.4 (2)(6)
Warrant to purchase units of ordinary shares 8/2021 8/2100 13,776 1.6 0.9 (2)(6)
30.8 29.3
SK SPV IV, LLC Collision repair site operator Series A common stock 8/2014 12,500 0.6
Series B common stock 8/2014 12,500 0.6
1.2
Sun Acquirer Corp. and Sun TopCo, LP (15) Automotive parts and repair services retailer First lien senior secured revolving loan 11.00 % Base Rate (Q) 4.75 % 9/2021 9/2027 1.0 1.0 1.0 (2)(11)(14)
First lien senior secured loan 8.57 % LIBOR (Q) 5.75 % 9/2021 9/2028 43.3 43.3 42.0 (2)(11)
First lien senior secured loan 8.56 % LIBOR (Q) 5.75 % 11/2021 9/2028 15.3 15.3 14.9 (2)(11)
Class A units 9/2021 79,687 8.0 9.3 (2)
67.6 67.2
Wand Newco 3, Inc. Collision repair company Second lien senior secured loan 10.37 % LIBOR (M) 7.25 % 2/2019 2/2027 182.6 180.8 178.9 (2)
736.4 674.5 7.15 %
Food & Beverage
American Seafoods Group LLC and American Seafoods Partners LLC Harvester and processor of seafood Class A units 8/2015 77,922 0.1 0.2 (2)
Warrant to purchase units of Class A units 8/2015 8/2035 7,422,078 7.4 23.6 (2)
7.5 23.8
39

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Berner Food & Beverage, LLC (15) Supplier of dairy-based food and beverage products First lien senior secured revolving loan 10.75 % Base Rate (Q) 4.50 % 7/2021 9/2023 0.9 0.9 0.9 (2)(11)
Bragg Live Food Products, LLC and SPC Investment Co., L.P. (4)(15) Health food company First lien senior secured revolving loan 9.74 % LIBOR (Q) 7.00 % 3/2019 12/2025 2.3 2.3 2.3 (2)(11)
First lien senior secured loan 10.67 % LIBOR (Q) 7.00 % 12/2020 12/2025 38.9 38.9 38.2 (2)(11)
Common units 3/2019 14,850 11.5 9.9 (2)
52.7 50.4
CHG PPC Parent LLC & PPC CHG Blocker LLC Diversified food products manufacturer Second lien senior secured loan 9.87 % LIBOR (M) 6.75 % 12/2021 12/2029 94.6 94.6 89.9 (2)(11)
Common units 12/2021 59 3.0 2.9 (2)
97.6 92.8
Florida Food Products, LLC Provider of plant extracts and juices First lien senior secured loan 8.12 % LIBOR (M) 5.00 % 10/2021 10/2028 14.3 14.0 13.8 (2)(11)
First lien senior secured loan 8.03 % SOFR (M) 5.00 % 6/2022 10/2028 0.4 0.4 0.4 (2)(11)
Second lien senior secured loan 11.12 % LIBOR (M) 8.00 % 10/2021 10/2029 71.8 71.8 69.6 (2)(11)
86.2 83.8
GF Parent LLC Producer of low-acid, aseptic food and beverage products Class A preferred units 5/2015 2,940 2.9
Class A common units 5/2015 60,000 0.1
Class B common units 5/2015 0.26
3.0
Gotham Greens Holdings, PBC (15) Producer of vegetables and culinary herbs for restaurants and retailers First lien senior secured loan 10.18 % SOFR (Q) 7.38 % 6/2022 12/2026 17.7 17.7 17.5 (2)(11)
Series E-1 preferred stock
6.00 % PIK
6/2022 166,059 14.2 14.2 (2)
Warrant to purchase shares of Series E-1 preferred stock 6/2022 6/2032 43,154
31.9 31.7
Hometown Food Company (15) Food distributor First lien senior secured revolving loan 8.12 % LIBOR (M) 5.00 % 8/2018 8/2023 0.7 0.7 0.7 (2)(11)(14)
KC Culinarte Intermediate, LLC Manufacturer of fresh refrigerated and frozen food products First lien senior secured loan 6.87 % LIBOR (M) 3.75 % 1/2020 8/2025 28.9 28.7 27.4 (11)
Second lien senior secured loan 10.87 % LIBOR (M) 7.75 % 8/2018 8/2026 35.7 35.7 32.8 (2)(11)
64.4 60.2
KNPC HoldCo, LLC Producer of trail mix and mixed nut snack products First lien senior secured loan 8.47 % SOFR (Q) 5.50 % 4/2022 4/2028 5.6 5.6 5.5 (11)
Manna Pro Products, LLC (15) Manufacturer and supplier of specialty nutrition and care products for animals First lien senior secured revolving loan 9.02 % LIBOR (M) 6.00 % 12/2020 12/2026 5.1 5.1 4.9 (2)(11)
RB Holdings InterCo, LLC (15) Manufacturer of pet food and treats First lien senior secured revolving loan 7.83 % SOFR (Q) 5.00 % 5/2022 5/2028 1.4 1.4 1.4 (2)(11)
First lien senior secured loan 7.71 % SOFR (Q) 5.00 % 5/2022 5/2028 11.5 11.5 11.3 (2)(11)
12.9 12.7
RF HP SCF Investor, LLC Branded specialty food company Membership interest 12/2016 10.08 % 12.5 25.3 (2)(6)
40

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Teasdale Foods, Inc. and Familia Group Holdings Inc. Provider of beans, sauces and hominy to the retail, foodservice and wholesale channels First lien senior secured loan
9.88 % ( 0.40 % PIK)
LIBOR (Q) 7.00 % 12/2020 12/2025 75.8 75.8 65.1 (2)(11)
Warrant to purchase units of common stock 2/2019 2/2034 57,827
75.8 65.1
Triton Water Holdings, Inc. Producer and provider of bottled water brands First lien senior secured loan 7.17 % LIBOR (Q) 3.50 % 3/2021 3/2028 1.0 1.0 0.9 (2)(11)(18)
Senior subordinated loan 6.25 % 3/2021 4/2029 0.1 0.1 0.1 (2)(18)
1.1 1.0
Watermill Express, LLC and Watermill Express Holdings, LLC (15) Owner and operator of self-service water and ice stations First lien senior secured revolving loan 4/2021 4/2027 (13)
First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 4/2021 4/2027 19.3 19.3 19.3 (2)(11)
Class A units
8.00 % PIK
4/2021 282,200 3.2 2.9
22.5 22.2
Winebow Holdings, Inc. and The Vintner Group, Inc. Importer and distributor of wine First lien senior secured loan 9.37 % LIBOR (M) 6.25 % 4/2021 7/2025 28.1 28.1 27.8 (2)(11)
508.5 508.8 5.39 %
Pharmaceuticals, Biotechnology & Life Sciences
Abzena Holdings, Inc. and Astro Group Holdings Ltd. (15) Organization providing discovery, development and manufacturing services to the pharmaceutical and biotechnology industries First lien senior secured loan
13.69 % ( 5.75 % PIK)
LIBOR (Q) 10.50 % 5/2021 5/2026 46.2 46.2 46.2 (2)(6)(11)
First lien senior secured loan
11.01 % ( 5.51 % PIK)
LIBOR (Q) 9.50 % 5/2021 5/2026 13.9 13.9 13.9 (2)(6)(11)
A ordinary shares 5/2021 2,476,744 5.7 6.5 (2)(6)
65.8 66.6
Alcami Corporation and ACM Holdings I, LLC (15) Outsourced drug development services provider First lien senior secured loan 7.37 % LIBOR (M) 4.25 % 7/2018 7/2025 29.0 28.9 29.0 (2)
Second lien senior secured loan 11.12 % LIBOR (M) 8.00 % 7/2018 7/2026 77.5 77.1 77.5 (2)
Common units 7/2018 4,347,590 41.3 44.9 (2)
147.3 151.4
Amryt Pharmaceuticals, Inc. Biopharmaceutical company dedicated to acquiring, developing and commercializing novel therapeutics First lien senior secured loan 8.98 % SOFR (Q) 6.75 % 2/2022 2/2027 12.7 12.7 12.7 (2)(6)(11)
Athyrium Buffalo LP Biotechnology company engaging in the development, manufacture, and commercialization of novel neuromodulators Limited partnership interests 6/2022 7,628,966 7.7 7.7 (2)(6)
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. (15) Provider of biological products to life science and pharmaceutical companies First lien senior secured revolving loan 8.37 % LIBOR (M) 5.25 % 10/2021 10/2027 2.5 2.5 2.4 (2)(11)
First lien senior secured loan 8.37 % LIBOR (M) 5.25 % 10/2021 10/2028 15.8 15.8 15.3 (11)
First lien senior secured loan 8.37 % LIBOR (M) 5.25 % 10/2021 10/2028 14.5 14.5 14.1 (2)(11)
41

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Preferred units
8.00 % PIK
10/2021 10/2051 3,020 3.3 0.3 (2)
Series A preferred shares
13.75 % PIK
LIBOR (Q) 10.00 % 10/2021 60,236 67.3 67.3 (2)
Class A common units 10/2021 30,500 3.5 (2)
103.4 102.9
Covaris Intermediate 3, LLC & Covaris Parent, LLC (15) Provider of advanced pre-analytical sample preparation technologies for life and analytical science First lien senior secured revolving loan 8.37 % LIBOR (M) 5.25 % 1/2022 1/2028 1.5 1.5 1.5 (2)(11)
First lien senior secured loan 7.56 % LIBOR (Q) 4.75 % 1/2022 1/2028 8.7 8.7 8.7 (2)(11)
Class A-2 units 1/2022 4,772 4.8 5.8
15.0 16.0
NMC Skincare Intermediate Holdings II, LLC (15) Developer, manufacturer and marketer of skincare products First lien senior secured loan 7.81 % LIBOR (Q) 5.00 % 10/2018 10/2024 32.0 32.0 31.1 (2)(11)
First lien senior secured loan 7.07 % LIBOR (Q) 5.00 % 5/2022 11/2022 4.7 4.7 4.6 (2)(11)
36.7 35.7
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P. Contract research organization providing research and development and testing of medical devices First lien senior secured loan 9.11 % LIBOR (Q) 5.75 % 9/2020 9/2027 47.7 47.7 47.7 (2)(11)
First lien senior secured loan 9.11 % LIBOR (Q) 5.75 % 2/2021 9/2027 2.5 2.5 2.5 (2)(11)
First lien senior secured loan 9.11 % LIBOR (Q) 5.75 % 12/2020 9/2027 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 9.11 % LIBOR (Q) 5.75 % 9/2021 9/2027 0.1 0.1 0.1 (2)(11)
Class A preferred units
8.00 % PIK
9/2020 13,528 15.9 35.9 (2)
66.3 86.3
TerSera Therapeutics LLC (15) Acquirer and developer of specialty therapeutic pharmaceutical products First lien senior secured loan 9.27 % LIBOR (Q) 5.60 % 5/2017 3/2025 5.0 5.0 5.0 (2)(11)
First lien senior secured loan 7.85 % LIBOR (Q) 5.60 % 9/2018 3/2025 2.1 2.1 2.1 (2)(11)
First lien senior secured loan 9.27 % LIBOR (Q) 5.60 % 4/2019 3/2025 1.8 1.8 1.8 (2)(11)
8.9 8.9
Verista, Inc. (15) Provides systems consulting for compliance, automation, validation, and packaging solutions to the healthcare sector First lien senior secured revolving loan 9.24 % LIBOR (Q) 6.00 % 5/2022 2/2027 1.1 0.7 1.1 (2)(11)
First lien senior secured loan 8.74 % LIBOR (Q) 6.00 % 5/2022 2/2027 0.8 0.8 0.8 (2)(11)
1.5 1.9
Vertice Pharma UK Parent Limited Manufacturer and distributor of generic pharmaceutical products Preferred shares 12/2015 40,662 (6)
465.3 490.1 5.19 %
Retailing and Distribution
Atlas Intermediate III, L.L.C. (15) Specialty chemicals distributor First lien senior secured revolving loan 8.49 % LIBOR (M) 5.50 % 4/2019 4/2025 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 8.57 % LIBOR (Q) 5.50 % 3/2022 4/2025 0.1 0.1 0.1 (2)(11)
42

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 8.57 % LIBOR (Q) 5.50 % 11/2021 4/2025 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 8.57 % LIBOR (Q) 5.50 % 3/2021 4/2025 0.2 0.2 0.2 (2)(11)
0.5 0.5
Bamboo Purchaser, Inc. Provider of nursery, garden, and greenhouse products First lien senior secured loan 9.50 % LIBOR (Q) 6.00 % 11/2021 11/2027 42.9 42.9 42.5 (2)(11)
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. (15) Provider of visual communications solutions First lien senior secured loan 8.77 % LIBOR (M) 5.65 % 3/2019 3/2025 15.9 15.9 15.9 (2)(11)
First lien senior secured loan 8.77 % LIBOR (M) 5.65 % 6/2021 3/2025 0.1 0.1 0.1 (2)(11)
First lien senior secured loan 8.77 % LIBOR (M) 5.65 % 8/2019 3/2025 0.1 0.1 0.1 (2)(11)
Common units 3/2019 600 0.6 1.1 (2)
16.7 17.2
GPM Investments, LLC and ARKO Corp. Convenience store operator Common stock 12/2020 2,088,478 19.8 25.5
Warrant to purchase units of common stock 12/2020 12/2025 1,088,780 1.6 1.9 (2)
21.4 27.4
Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC (15) Distributor of OEM appliance aftermarket parts First lien senior secured loan 9.08 % LIBOR (Q) 5.50 % 6/2021 6/2028 30.9 30.9 30.5 (2)(11)
First lien senior secured loan 9.14 % LIBOR (Q) 5.50 % 12/2021 6/2028 7.4 7.4 7.3 (2)(11)
Class A common units 6/2021 5,578 5.8 11.8 (2)
44.1 49.6
McKenzie Creative Brands, LLC (15) Designer, manufacturer and distributor of hunting-related supplies First lien senior secured revolving loan 8.79 % LIBOR (M) 5.75 % 9/2014 9/2023 1.9 1.9 1.9 (2)(11)
First lien senior secured loan 9.43 % LIBOR (Q) 5.75 % 9/2014 9/2023 84.5 84.5 83.7 (2)(8)(11)
First lien senior secured loan 9.43 % LIBOR (Q) 5.75 % 9/2014 9/2023 5.5 5.5 5.4 (2)(11)
91.9 91.0
Monolith Brands Group, Inc. E-commerce platform focused on consolidating DTC branded businesses Series A-1 preferred stock 4/2022 701,255 15.5 15.5 (2)
Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP (15) Operator of retail and wholesale tree and plant nurseries First lien senior secured loan 8.87 % LIBOR (M) 5.75 % 10/2021 10/2027 77.4 77.4 77.4 (2)(11)
Limited partnership interests 10/2021 21,939,151 21.1 24.0
98.5 101.4
North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC (15) Manufacturer of aftermarket golf cart parts and accessories First lien senior secured loan 8.01 % LIBOR (S) 6.00 % 5/2021 5/2027 21.7 21.7 20.9 (2)(11)
First lien senior secured loan 8.67 % LIBOR (Q) 6.50 % 5/2021 5/2027 3.6 3.6 3.5 (2)(11)
Class A units 5/2021 50,000 5.0 3.0
30.3 27.4
43

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Reddy Ice LLC (15) Packaged ice manufacturer and distributor First lien senior secured revolving loan 7/2019 7/2024 (13)
First lien senior secured loan 8.79 % LIBOR (Q) 6.50 % 7/2019 7/2025 61.4 61.4 60.8 (2)(11)
First lien senior secured loan 8.79 % LIBOR (Q) 6.50 % 10/2021 7/2025 12.9 12.9 12.8 (2)(11)
First lien senior secured loan 8.79 % LIBOR (Q) 6.50 % 11/2020 7/2025 4.3 4.3 4.2 (2)(11)
78.6 77.8
SCIH Salt Holdings Inc. (15) Salt and packaged ice melt manufacturer and distributor First lien senior secured revolving loan 3/2020 3/2025 (13)
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. (15) Producer and packager of compressed, household, and packaged salt First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 7/2021 7/2028 26.4 26.4 25.4 (2)(11)
Limited partner interests 7/2021 0.40 % 0.8 0.5 (2)
27.2 25.9
467.6 476.2 5.05 %
Media & Entertainment
Aventine Intermediate LLC & Aventine Holdings II LLC (15) Media and production company First lien senior secured loan
9.04 % ( 4.00 % PIK)
LIBOR (M) 6.00 % 12/2021 6/2027 9.3 9.3 9.2 (2)(11)
Senior subordinated loan
10.25 % PIK
12/2021 12/2030 37.5 37.5 36.4 (2)
46.8 45.6
Axiomatic, LLC Premiere e-sports and video game investment platform Class A-1 units 5/2022 500,000 5.0 5.0
CMW Parent LLC (fka Black Arrow, Inc.) Multiplatform media firm Series A units 9/2015 32
Global Music Rights, LLC (15) Music right management company First lien senior secured loan 9.17 % LIBOR (Q) 5.50 % 8/2021 8/2028 0.1 0.1 0.1 (2)(11)
MailSouth, Inc. Provider of shared mail marketing services First lien senior secured loan 5/2022 4/2024 8.8 5.9 4.5 (2)(10)
Miami Beckham United LLC American professional soccer club Class A preferred units
8.50 % PIK
9/2021 85,000 92.7 92.7
OUTFRONT Media Inc. Provider of out-of-home advertising Series A convertible perpetual preferred stock 7.00 % 4/2020 25,000 25.1 32.6 (2)(6)
Padres L.P. (15) Sports and entertainment First lien senior secured loan 8.06 % LIBOR (M) 5.00 % 3/2021 3/2027 92.8 92.8 92.8 (2)(11)
Production Resource Group, L.L.C. and PRG III, LLC (4) Provider of rental equipment, labor, production management, scenery, and other products to various entertainment end-markets First lien senior secured loan
11.49 % ( 6.50 % PIK)
LIBOR (M) 8.50 % 8/2018 8/2024 38.3 38.3 38.3 (2)(11)
First lien senior secured loan
10.49 % ( 6.04 % PIK)
LIBOR (M) 7.50 % 7/2020 8/2024 15.3 15.2 15.3 (2)(11)
First lien senior secured loan
11.10 % ( 6.00 % PIK)
LIBOR (Q) 7.50 % 8/2021 8/2024 7.5 7.5 7.5 (2)(11)
First lien senior secured loan
11.17 % ( 2.50 % PIK)
LIBOR (Q) 7.50 % 6/2021 8/2024 0.8 0.8 0.8 (2)(11)
Class A units 10/2020 113,617 4.9 34.6 (2)
66.7 96.5
44

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Professional Fighters League, LLC and PFL MMA, Inc. Mixed martial arts league First lien senior secured loan
12.00 % PIK
1/2021 1/2026 16.6 15.5 15.8 (2)
Series E preferred stock 4/2022 219,035 0.7 0.7 (2)
Warrant to purchase shares of common stock 1/2021 1/2027 3,223,122 1.8 2.7 (2)
18.0 19.2
Storm Investment S.a.r.l. Spanish futbol club First lien senior secured loan 3.75 % 6/2021 6/2029 60.5 73.6 60.5 (2)(6)
Class A redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class B redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class C redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class D redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class E redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class F redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class G redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class H redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Class I redeemable shares 6/2021 3,297,791 1.6 1.8 (2)(6)
Ordinary shares 6/2021 3,958 (2)(6)
88.0 76.7
The Teaching Company Holdings, Inc. Education publications provider Preferred stock 9/2006 10,663 1.1 3.1 (2)
Common stock 9/2006 15,393
1.1 3.1
442.2 468.8 4.97 %
Energy
Calyx Energy III, LLC Oil and gas exploration company First lien senior secured loan 11.15 % SOFR (M) 8.11 % 8/2022 1/2027 60.6 60.6 60.6 (2)(11)
Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC Private oil exploration and production company Second lien senior secured loan 12.67 % LIBOR (Q) 9.00 % 7/2019 1/2024 63.1 63.1 63.1 (2)(11)
GNZ Energy Bidco Limited and Galileo Co-investment Trust I (15) Independent fuel provider in New Zealand First lien senior secured loan 10.65 % BBSY (Q) 6.75 % 5/2022 7/2027 27.3 30.5 26.8 (2)(6)(11)
Common units 7/2022 17,616,667 10.9 9.9 (2)(6)
41.4 36.7
Halcon Holdings, LLC (15) Operator of development, exploration, and production oil company First lien senior secured loan 10.67 % LIBOR (Q) 7.00 % 11/2021 11/2025 10.5 10.2 10.5 (2)
Murchison Oil and Gas, LLC and Murchison Holdings, LLC (15) Exploration and production company First lien senior secured loan 12.20 % SOFR (Q) 8.50 % 6/2022 6/2026 75.5 75.5 75.5 (2)(11)
Preferred units
8.00 % PIK
6/2022 41,000 41.0 45.1
45

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
116.5 120.6
Offen, Inc. (15) Distributor of fuel, lubricants, diesel exhaust fluid, and premium additives First lien senior secured loan 8.50 % LIBOR (S) 5.00 % 5/2022 6/2026 1.4 1.5 1.4 (2)
SilverBow Resources, Inc. Oil and gas producer Common stock 6/2022 1,015,215 28.8 27.3 (2)(6)(18)
VPROP Operating, LLC and V SandCo, LLC (5) Sand-based proppant producer and distributor to the oil and natural gas industry First lien senior secured loan
12.06 % PIK
LIBOR (M) 9.50 % 3/2017 11/2024 27.3 27.3 27.3 (2)(11)
First lien senior secured loan
12.06 % PIK
LIBOR (M) 9.50 % 11/2020 11/2024 9.4 9.4 9.4 (2)(11)
First lien senior secured loan
12.06 % PIK
LIBOR (M) 9.50 % 6/2020 11/2024 6.0 6.0 6.0 (2)(11)
Class A units 11/2020 347,900 32.8 64.3 (2)
75.5 107.0
397.6 427.2 4.53 %
Food & Staples Retailing
Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P. Manufacturer and distributor of specialty bakery ingredients Second lien senior secured loan 10.07 % LIBOR (Q) 7.00 % 9/2021 9/2029 29.5 29.5 28.9 (2)(11)
Class A preferred units
8.00 % PIK
9/2021 8/2051 5,484 6.0 8.0 (2)
Series A preferred shares
11.00 % PIK
9/2021 8/2051 21,921 24.7 23.2 (2)
60.2 60.1
Continental Café, LLC and Infinity Ovation Yacht Charters, LLC (15) Diversified contract food service provider First lien senior secured loan 10.12 % LIBOR (M) 7.00 % 11/2021 11/2027 0.1 0.1 0.1 (2)(11)
DecoPac, Inc. and KCAKE Holdings Inc. (15) Supplier of cake decorating solutions and products to in-store bakeries First lien senior secured revolving loan 9.67 % LIBOR (Q) 6.00 % 5/2021 5/2026 14.1 14.1 14.0 (2)(11)
First lien senior secured loan
10.17 % ( 0.50 % PIK)
LIBOR (Q) 6.50 % 5/2021 5/2028 148.9 148.9 147.3 (2)(11)
Common stock 5/2021 9,599 9.6 9.3 (2)
172.6 170.6
FS Squared Holding Corp. and FS Squared, LLC (15) Provider of on-site vending and micro market solutions First lien senior secured revolving loan 3/2019 3/2024 (13)
First lien senior secured loan 8.28 % LIBOR (M) 5.25 % 3/2019 3/2025 0.1 0.1 0.1 (2)(11)
Class A units 3/2019 113,219 11.1 28.2 (2)
11.2 28.3
JWC/KI Holdings, LLC Foodservice sales and marketing agency Membership units 11/2015 5,000 5.0 7.7 (2)
SFE Intermediate Holdco LLC (15) Provider of outsourced foodservice to K-12 school districts First lien senior secured revolving loan 7.90 % SOFR (M) 4.75 % 7/2017 7/2025 6.4 6.4 6.4 (11)
First lien senior secured loan 8.45 % SOFR (Q) 4.75 % 9/2018 7/2026 10.1 10.1 10.1 (2)(11)
First lien senior secured loan 8.45 % SOFR (Q) 4.75 % 7/2017 7/2026 6.2 6.2 6.2 (2)(11)
First lien senior secured loan 8.30 % SOFR (Q) 4.75 % 3/2022 7/2026 0.4 0.4 0.4 (2)(11)
23.1 23.1
VCP-EDC Co-Invest, LLC Distributor of foodservice equipment and supplies Membership units 6/2017 2,970,000 2.8 3.5
46

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
ZB Holdco LLC & ZB Parent LLC (15) Distributor of Mediterranean food and beverages First lien senior secured revolving loan 2/2022 2/2028 (13)
First lien senior secured loan 7.63 % LIBOR (Q) 4.75 % 2/2022 2/2028 1.4 1.4 1.4 (2)(11)
Series A units 2/2022 4,699 4.7 5.3
6.1 6.7
281.1 300.1 3.18 %
Materials
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP (15) Manufacturer and supplier of printed packaging and trimmings First lien senior secured loan 9.67 % LIBOR (Q) 6.00 % 12/2021 12/2027 0.1 0.1 0.1 (2)(11)
Class A units 12/2021 195,990 19.6 18.6 (2)
19.7 18.7
Coyote Buyer, LLC (15) Provider of specialty chemicals used in solid rocket motors for space launch and military missiles First lien senior secured loan 8.81 % LIBOR (Q) 6.00 % 5/2022 2/2026 0.8 0.8 0.7 (2)(11)
First lien senior secured loan 11.67 % LIBOR (Q) 8.00 % 5/2022 8/2026 0.2 0.2 0.2 (2)(11)
1.0 0.9
Genomatica, Inc. Developer of a biotechnology platform for the production of chemical products Warrant to purchase units of Series D preferred stock 3/2013 3/2023 322,422
Halex Holdings, Inc. (5) Manufacturer of flooring installation products Common stock 1/2017 51,853
H-Food Holdings, LLC and Matterhorn Parent, LLC Food contract manufacturer First lien senior secured loan 6.21 % LIBOR (M) 3.69 % 6/2022 5/2025 26.4 23.7 20.5 (2)(18)
First lien senior secured loan 6.52 % LIBOR (M) 4.00 % 7/2022 5/2025 3.3 3.0 2.6 (2)(18)
First lien senior secured loan 7.52 % LIBOR (M) 5.00 % 12/2021 5/2025 0.1 0.1 0.1 (2)(11)(18)
Second lien senior secured loan 10.12 % LIBOR (M) 7.00 % 11/2018 3/2026 73.0 73.0 61.3 (2)
Common units 11/2018 5,827 5.8 3.9
105.6 88.4
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. (15) Manufacturer of thermoformed packaging for medical devices First lien senior secured revolving loan 7.33 % LIBOR (M) 4.25 % 7/2019 7/2024 0.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan 4.50 % Euribor (Q) 4.50 % 7/2019 7/2026 4.4 5.1 4.3 (2)(6)
First lien senior secured loan 7.37 % LIBOR (M) 4.25 % 7/2019 7/2026 14.9 14.9 14.6 (2)(6)(11)
First lien senior secured loan 4.50 % Euribor (Q) 4.50 % 8/2019 7/2026 1.4 1.6 1.4 (2)(6)
Class A preferred units 7/2019 6,762,668 6.8 7.6 (2)(6)
28.5 28.0
Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C. Developer and manufacturer of absorbent pads for food products First lien senior secured loan 8.37 % LIBOR (Q) 5.25 % 12/2020 12/2026 23.5 23.5 23.5 (2)(11)
Class A preferred units
10.00 % PIK
12/2020 4,772 5.2 9.9 (2)
Class C units 12/2020 4,772
28.7 33.4
47

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC Manufacturer of specialized acrylic and polycarbonate sheets First lien senior secured loan 6.81 % SOFR (Q) 4.00 % 12/2018 12/2025 22.7 21.4 21.3 (2)(11)
Second lien senior secured loan 10.16 % LIBOR (Q) 7.25 % 12/2018 12/2026 55.0 55.0 51.7 (2)(11)
Co-Invest units 12/2018 5,969 0.6 0.6 (2)
77.0 73.6
Precision Concepts International LLC and Precision Concepts Canada Corporation (15) Manufacturer of diversified packaging solutions and plastic injection molded products First lien senior secured revolving loan 9.15 % LIBOR (Q) 5.50 % 1/2019 1/2025 6.2 6.2 6.2 (2)(6)(11)
First lien senior secured loan 9.15 % LIBOR (Q) 5.50 % 1/2019 1/2026 14.7 14.7 14.7 (2)(6)(11)
First lien senior secured loan 8.78 % SOFR (M) 5.75 % 5/2022 1/2026 0.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan 9.05 % LIBOR (Q) 5.50 % 6/2021 1/2026 0.1 0.1 0.1 (2)(6)(11)
21.1 21.1
SCI PH Parent, Inc. Industrial container manufacturer, reconditioner and servicer Series B shares 8/2018 11.4764 1.1 3.7 (2)
282.7 267.8 2.84 %
Technology Hardware & Equipment
Chariot Buyer LLC (15) Provider of smart access solutions across residential and commercial properties First lien senior secured revolving loan 6.62 % LIBOR (M) 3.50 % 11/2021 11/2026 3.5 3.5 3.1 (2)
Second lien senior secured loan 10.42 % LIBOR (Q) 6.75 % 11/2021 11/2029 134.4 134.4 126.3 (2)(11)
137.9 129.4
Everspin Technologies, Inc. Designer and manufacturer of computer memory solutions Warrant to purchase units of common stock 10/2016 10/2026 18,461 0.4
ITI Holdings, Inc. (15) Provider of innovative software and equipment for motor vehicle agencies First lien senior secured revolving loan 8.25 % SOFR (M) 5.50 % 3/2022 3/2028 1.1 1.1 1.1 (2)(11)
First lien senior secured revolving loan 10.75 % Base Rate (Q) 4.50 % 3/2022 3/2028 0.7 0.7 0.7 (11)
First lien senior secured loan 8.52 % SOFR (Q) 5.50 % 3/2022 3/2028 38.2 38.2 37.9 (2)(11)
40.0 39.7
Micromeritics Instrument Corp. (15) Scientific instrument manufacturer First lien senior secured revolving loan 12/2019 12/2025 (13)
First lien senior secured loan 7.38 % LIBOR (Q) 4.50 % 12/2019 12/2025 24.0 24.0 24.0 (2)(11)
24.0 24.0
Repairify, Inc. and Repairify Holdings, LLC (15) Provider of automotive diagnostics scans and solutions Class A common units 6/2021 163,820 4.9 4.5 (2)
Wildcat BuyerCo, Inc. and Wildcat Parent, LP (15) Provider and supplier of electrical components for commercial and industrial applications First lien senior secured revolving loan 2/2020 2/2026 (13)
First lien senior secured loan 9.30 % LIBOR (Q) 5.75 % 2/2020 2/2026 18.0 18.0 18.0 (2)(11)
First lien senior secured loan 8.91 % LIBOR (Q) 5.75 % 5/2022 2/2026 0.2 0.2 0.2 (2)(11)
48

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
First lien senior secured loan 9.38 % LIBOR (Q) 5.75 % 11/2021 2/2026 0.2 0.2 0.2 (2)(11)
Limited partnership interests 2/2020 17,655 1.8 4.7 (2)
20.2 23.1
227.4 220.7 2.34 %
Transportation
Commercial Trailer Leasing, Inc. (15) Trailer leasing company First lien senior secured loan 8.90 % SOFR (Q) 6.25 % 1/2021 1/2026 66.0 66.0 66.0 (2)(11)
Second lien senior secured loan 13.00 % 1/2021 1/2027 19.9 19.9 19.7 (2)
85.9 85.7
Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc. (15) Provider of tarp systems and accessories for trucks, trailers, carts, and specialty equipment used in the agriculture, construction and flatbed markets First lien senior secured revolving loan 9.63 % LIBOR (Q) 6.00 % 6/2021 6/2027 2.8 2.8 2.8 (11)
First lien senior secured loan 9.68 % LIBOR (Q) 6.00 % 6/2021 6/2027 26.8 26.8 26.8 (2)(11)
First lien senior secured loan 9.68 % LIBOR (Q) 6.00 % 6/2022 6/2027 0.1 0.1 0.1 (2)(11)
Common stock 6/2021 7,599,000 7.6 12.7 (2)
37.3 42.4
123.2 128.1 1.36 %
Education
ASP Dream Acquisition Co LLC Provider of academic intervention and behavioral health services for children First lien senior secured loan 7.38 % SOFR (M) 4.25 % 5/2022 12/2028 (2)(11)
Excelligence Holdings Corp. Developer, manufacturer and retailer of educational products First lien senior secured loan
9.67 % ( 4.50 % PIK)
LIBOR (Q) 6.00 % 4/2017 4/2023 9.1 9.1 9.1 (2)(11)
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. (15) Distributor of instructional products, services and resources First lien senior secured revolving loan 8.30 % LIBOR (M) 5.50 % 8/2018 8/2024 6.1 6.1 6.1 (2)(11)(14)
First lien senior secured loan 8.02 % LIBOR (M) 5.50 % 7/2017 8/2024 29.7 29.7 29.7 (2)(11)
First lien senior secured loan 8.02 % LIBOR (M) 5.50 % 8/2018 8/2024 1.1 1.1 1.1 (2)(11)
Series A preferred stock 10/2014 1,272 0.7 1.4 (2)
37.6 38.3
National College of Business and Technology Inc. & Leeds IV Advisors, Inc. Private school operator Senior preferred series A-1 shares 10/2015 151,056 98.1 40.9 (2)
Series B preferred stock 8/2010 348,615 1.0
Series B preferred stock 8/2010 1,401,385 4.0
Series C preferred stock 6/2010 517,942 0.1
Series C preferred stock 6/2010 1,994,644 0.5
Common stock 6/2010 16
103.7 40.9
150.4 88.3 0.94 %
49

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of September 30, 2022
(dollar amounts in millions)
(unaudited)

Company (1) Business Description Investment Coupon (3) Reference (7) Spread (3) Acquisition Date Maturity Date Shares/Units Principal Amortized Cost Fair Value % of Net Assets
Household & Personal Products
CDI Holdings III Corp. and CDI Holdings I Corp. (15) Provider of personal care appliances First lien senior secured loan 9.42 % LIBOR (Q) 5.75 % 12/2021 12/2027 3.8 3.8 3.7 (2)(11)
Common stock 12/2021 6,149 6.1 4.6 (2)
9.9 8.3
Foundation Consumer Brands, LLC Pharmaceutical holding company of over the counter brands First lien senior secured loan 8.43 % LIBOR (Q) 5.50 % 2/2021 10/2026 13.0 12.8 13.0 (2)(11)
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. (15) Manufacturer and supplier of natural fragrance materials and cosmeceuticals First lien senior secured revolving loan 9.12 % LIBOR (M) 6.00 % 8/2021 8/2027 1.4 1.4 1.3 (2)(11)
First lien senior secured loan 9.12 % LIBOR (M) 6.00 % 8/2021 8/2027 27.3 27.3 25.7 (2)(11)
Limited partner interests 8/2021 4.58 % 4.7 2.4 (2)
33.4 29.4
Rug Doctor, LLC and RD Holdco Inc. (5) Manufacturer and marketer of carpet cleaning machines Second lien senior secured loan 1/2017 10/2026 23.9 22.1 9.9 (2)(10)
Common stock 1/2017 458,596 14.0
Warrant to purchase units of common stock 1/2017 12/2023 56,372
36.1 9.9
Walnut Parent, Inc. Manufacturer of natural solution pest and animal control products First lien senior secured loan 8.56 % LIBOR (M) 5.50 % 11/2020 11/2027 14.7 14.7 14.5 (2)(11)
First lien senior secured loan 8.56 % LIBOR (M) 5.50 % 4/2022 11/2027 0.1 0.1 0.1 (2)(11)
14.8 14.6
107.0 75.2 0.80 %
Telecommunication Services
Aventiv Technologies, LLC and Securus Technologies Holdings, Inc. Provider of inmate telecom solutions to corrections and law enforcement agencies First lien senior secured loan 8.17 % LIBOR (Q) 4.50 % 5/2022 11/2024 9.2 8.8 8.0 (2)(11)(18)
Second lien senior secured loan 11.06 % LIBOR (Q) 8.25 % 5/2022 11/2025 0.2 0.2 0.2 (2)(11)
9.0 8.2
Emergency Communications Network, LLC (15) Provider of mission critical emergency mass notification solutions First lien senior secured revolving loan
10.70 % ( 5.13 % PIK)
SOFR (Q) 7.75 % 6/2017 6/2024 6.7 6.7 6.1 (2)(11)
First lien senior secured loan
10.33 % ( 5.13 % PIK)
LIBOR (Q) 7.75 % 6/2017 6/2024 47.8 47.7 43.0 (2)(11)
54.4 49.1
63.4 57.3 0.61 %
Total Investments $ 21,468.5 $ 21,338.5 226.18 %

50


Derivative Instruments

Forward currency contracts
Description Notional Amount to be Purchased Notional Amount to be Sold Counterparty Settlement Date Unrealized Appreciation / (Depreciation)
Forward currency contract $ 203 CAD 262 Royal Bank of Canada October 28, 2022 $ 13
Forward currency contract $ 178 CAD 237 Royal Bank of Canada October 19, 2022 7
Forward currency contract $ 148 £ 123 Royal Bank of Canada October 28, 2022 11
Forward currency contract $ 137 135 Royal Bank of Canada October 28, 2022 5
Forward currency contract $ 45 NZD 72 Royal Bank of Canada October 28, 2022 4
Forward currency contract $ 2 CAD 2 Royal Bank of Canada October 28, 2022
Forward currency contract $ 1 1 Royal Bank of Canada October 28, 2022
Total $ 40
______________________________________________

(1) Other than the Company’s investments listed in footnote 5 below (subject to the limitations set forth therein), the Company does not “Control” any of its portfolio companies, for the purposes of the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”). In general, under the Investment Company Act, the Company would “Control” a portfolio company if the Company owned more than 25% of its outstanding voting securities (i.e., securities with the right to elect directors) and/or had the power to exercise control over the management or policies of such portfolio company. All of the Company’s portfolio company investments, which as of September 30, 2022 represented 226 % of the Company’s net assets or 97 % of the Company’s total assets, are subject to legal restrictions on sales.

(2) These assets are pledged as collateral under the Company’s or the Company’s consolidated subsidiaries’ various revolving credit facilities and, as a result, are not directly available to the creditors of the Company to satisfy any obligations of the Company other than the obligations under each of the respective facility (see Note 5).

(3) Investments without an interest rate are non-income producing.
51




(4) As defined in the Investment Company Act, the Company is deemed to be an “Affiliated Person” because it owns 5% or more of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the nine months ended September 30, 2022 in which the issuer was an Affiliated Person of the Company (but not a portfolio company that the Company is deemed to Control) are as follows:
For the Nine Months Ended September 30, 2022
As of September 30, 2022
(in millions)
Company
Purchases (cost) Redemptions (cost) Sales (cost) Interest income Capital
structuring service fees
Dividend income Other income Net realized gains (losses) Net
unrealized gains (losses)
Fair Value
Apex Clean Energy TopCo, LLC $ 9.1 $ $ $ $ $ $ $ $ 46.7 $ 134.9
APG Intermediate Holdings Corporation and APG Holdings, LLC 0.1 0.7 ( 3.2 ) 21.6
Blue Wolf Capital Fund II, L.P. ( 0.2 ) 0.1
Bragg Live Food Products, LLC and SPC Investment Co., L.P. 3.3 3.0 2.4 0.2 2.4 50.4
ESCP PPG Holdings, LLC 2.3 ( 2.6 ) 2.4
European Capital UK SME Debt LP 0.8 0.8 ( 2.4 ) 23.7
PCG-Ares Sidecar Investment, L.P. ( 0.6 ) 0.7
PCG-Ares Sidecar Investment II, L.P. 4.2 15.3
Primrose Holding Corporation 4.6 28.9 ( 22.4 )
Production Resource Group, L.L.C. and PRG III, LLC 2.5 0.2 4.5 0.1 33.8 96.5
Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2.7 3.9 18.9 0.7 0.1 5.6 8.8
Sundance Energy Inc. 40.9 ( 22.6 ) 1.2
Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 0.1 ( 0.6 ) 3.3
$ 19.9 $ 48.9 $ 23.5 $ 8.4 $ 0.1 $ 0.8 $ 0.3 $ 6.3 $ 61.9 $ 357.7

52



(5) As defined in the Investment Company Act, the Company is deemed to be both an “Affiliated Person” and “Control” this portfolio company because it owns more than 25% of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the nine months ended September 30, 2022 in which the issuer was both an Affiliated Person and a portfolio company that the Company is deemed to Control are as follows:
For the Nine Months Ended September 30, 2022
As of September 30, 2022
(in millions)
Company
Purchases (cost) Redemptions (cost) Sales (cost) Interest income Capital
structuring service fees
Dividend income Other income Net realized gains (losses) Net
unrealized gains (losses)
Fair Value
Absolute Dental Group LLC and Absolute Dental Equity, LLC $ 0.5 $ 3.0 $ $ 4.3 $ $ $ $ $ 4.0 $ 67.4
ACAS Equity Holdings Corporation 0.4
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.
CoLTs 2005-1 Ltd.
Eckler Industries, Inc. and Eckler Purchaser LLC 8.2 0.1 ( 29.1 ) 2.3
Halex Holdings, Inc.
HCI Equity, LLC
Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 95.4 5.0 1.7 32.6 191.5
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation 3.9 1.8 0.6 22.9 0.4 4.7 57.8
Ivy Hill Asset Management, L.P. 1,260.9 233.2 11.0 150.0 ( 5.2 ) 1,958.2
Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 0.3 0.1
Navisun LLC and Navisun Holdings LLC 131.0 0.4 0.1 19.0 ( 10.8 )
Olympia Acquisition, Inc., Olympia TopCo, L.P. and Asclepius Holdings LLC 3.3 3.2 0.1 0.1 ( 3.4 ) 48.6
Potomac Intermediate Holdings II LLC ( 15.9 ) 163.8
PS Operating Company LLC and PS Op Holdings LLC 4.3 2.7 1.0 0.1 ( 1.2 ) 25.4
Rug Doctor, LLC and RD Holdco Inc. ( 11.2 ) 9.9
S Toys Holdings LLC (fka The Step2 Company, LLC) 0.7 0.2
Senior Direct Lending Program, LLC 163.0 29.3 104.5 10.3 4.5 1,121.0
Startec Equity, LLC
VPROP Operating, LLC and V SandCo, LLC 6.0 4.5 3.6 0.2 24.4 107.0
$ 1,541.6 $ 407.9 $ $ 134.9 $ 12.9 $ 173.0 $ 5.1 $ 19.1 $ ( 10.4 ) $ 3,753.5
______________________________________________________________________

*    Together with Varagon Capital Partners (“Varagon”) and its clients, the Company has co-invested through the Senior Direct Lending Program LLC (d/b/a the “Senior Direct Lending Program” or the “SDLP”). The SDLP has been capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of the Company and Varagon (with approval from a representative of each required); therefore, although the Company owns more than 25 % of the voting securities of the SDLP, the Company does not believe that it has control over the SDLP (for purposes of the Investment Company Act or otherwise) because, among other things, these “voting securities” do not afford the Company the right to elect directors of the SDLP or any other special rights (see Note 4 to the consolidated financial statements).

(6) This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act. Under the Investment Company Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Company's total assets. Pursuant to Section 55(a) of the
53


Investment Company Act, 23 % of the Company's total assets are represented by investments at fair value and other assets that are considered "non-qualifying assets" as of September 30, 2022.

(7) Variable rate loans to the Company’s portfolio companies bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (“LIBOR”), the Secured Overnight Financing Rate (“SOFR”), or an alternate base rate (commonly based on the Federal Funds Rate or the Prime Rate), at the borrower’s option, which reset annually (A), semi-annually (S), quarterly (Q), bi-monthly (B), monthly (M) or daily (D). For each such loan, the Company has provided the interest rate in effect on the date presented. SOFR based contracts may include a credit spread adjustment that is charged in addition to the base rate and the stated spread.

(8) In addition to the interest earned based on the stated interest rate of this security, the Company is entitled to receive an additional interest amount of 2.00 % on $ 40.9 in aggregate principal amount of a “first out” tranche of the portfolio company’s senior term debt previously syndicated by the Company into “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any other amounts due thereunder.

(9) The Company sold a participating interest of approximately $ 79.3 in aggregate principal amount outstanding of the portfolio company’s first lien senior secured revolving loan. As the transaction did not qualify as a “true sale” in accordance with GAAP, the Company recorded a corresponding $ 79.3 secured borrowing, at fair value, included in “secured borrowings” in the accompanying consolidated balance sheet. As of September 30, 2022, the interest rate in effect for the secured borrowing was 10.06 %.

(10) Loan was on non-accrual status as of September 30, 2022.

(11) Loan includes interest rate floor feature.

(12) In addition to the interest earned based on the stated contractual interest rate of this security, the certificates entitle the holders thereof to receive a portion of the excess cash flow from the SDLP’s loan portfolio, after expenses, which may result in a return to the Company greater than the contractual stated interest rate.

(13) As of September 30, 2022, no amounts were funded by the Company under this first lien senior secured revolving loan; however, there were letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(14) As of September 30, 2022, in addition to the amounts funded by the Company under this first lien senior secured revolving loan, there were also letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(15) As of September 30, 2022, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to issue letters of credit through a financial intermediary on behalf of certain portfolio companies. Such commitments are subject to the satisfaction of certain conditions set forth in the documents governing these loans and letters of credit and there can be no assurance that such conditions will be satisfied. See Note 7 for further information on revolving and delayed draw loan commitments, including commitments to issue letters of credit, related to certain portfolio companies.
54




(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Absolute Dental Group LLC and Absolute Dental Equity, LLC $ 7.1 $ ( 1.6 ) $ 5.5 $ $ $ 5.5
Abzena Holdings, Inc. and Astro Group Holdings Ltd. 0.1 0.1 0.1
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC 4.1 ( 4.1 )
ADG, LLC and RC IV GEDC Investor LLC 13.7 ( 12.8 ) 0.9 0.9
Advarra Holdings, Inc. 0.4 0.4 0.4
AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC 45.6 45.6 45.6
AI Fire Buyer, Inc. and AI Fire Parent LLC 28.9 ( 0.4 ) 28.5 28.5
AIM Acquisition, LLC 1.8 1.8 1.8
Alcami Corporation and ACM Holdings I, LLC 29.0 29.0 29.0
American Residential Services L.L.C. and Aragorn Parent Holdings LP 4.5 4.5 4.5
Anaplan, Inc. 1.4 1.4 1.4
Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua 3.4 3.4 3.4
APG Intermediate Holdings Corporation and APG Holdings, LLC 0.1 0.1 0.1
Applied Technical Services, LLC 3.8 ( 0.7 ) 3.1 3.1
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. 0.1 0.1 0.1
Apptio, Inc. 4.2 ( 1.7 ) 2.5 2.5
AQ Sage Buyer, LLC 8.2 8.2 8.2
AQ Sunshine, Inc. 15.0 ( 1.4 ) 13.6 13.6
Ardonagh Midco 2 plc and Ardonagh Midco 3 plc 61.3 61.3 61.3
Argenbright Holdings V, LLC and Amberstone Security Group Limited 3.7 3.7 3.7
Arrowhead Holdco Company and Arrowhead GS Holdings, Inc. 20.0 ( 15.0 ) 5.0 5.0
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP 6.2 6.2 6.2
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP 9.0 9.0 9.0
ATI Restoration, LLC 88.8 ( 1.9 ) 86.9 86.9
Atlas Intermediate III, L.L.C. 0.4 ( 0.1 ) 0.3 0.3
Aventine Intermediate LLC & Aventine Holdings II LLC 0.2 0.2 0.2
Avetta, LLC 4.2 4.2 4.2
AxiomSL Group, Inc. and Calypso Group, Inc. 3.9 3.9 3.9
BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP 2.2 2.2 2.2
Banyan Software Holdings, LLC and Banyan Software, LP 19.3 ( 0.9 ) 18.4 18.4
Beacon Pointe Harmony, LLC 6.8 6.8 6.8
Belfor Holdings, Inc. 25.0 ( 11.1 ) 13.9 13.9
Benecon Midco II LLC and Locutus Holdco LLC 4.5 4.5 4.5
Benefytt Technologies, Inc. 0.9 0.9 0.9
Berner Food & Beverage, LLC 1.7 ( 0.9 ) 0.8 0.8
BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC 3.0 ( 1.7 ) 1.3 1.3
Borrower R365 Holdings LLC 2.9 2.9 2.9
Bottomline Technologies, Inc. 2.3 2.3 2.3
Bragg Live Food Products, LLC and SPC Investment Co., L.P. 4.4 ( 2.3 ) 2.1 2.1
Businessolver.com, Inc. 3.9 3.9 3.9
Cadence Aerospace, LLC 15.3 ( 12.6 ) 2.7 2.7
Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP 15.3 ( 8.8 ) 6.5 6.5
Captive Resources Midco, LLC 1.2 1.2 1.2
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. 5.0 ( 2.2 ) 2.8 2.8
55


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
CCS-CMGC Holdings, Inc. 12.0 ( 3.7 ) 8.3 8.3
CDI Holdings III Corp. and CDI Holdings I Corp. 0.9 0.9 0.9
Center for Autism and Related Disorders, LLC 8.7 ( 8.7 )
Centric Brands LLC and Centric Brands GP LLC 8.6 ( 7.4 ) 1.2 1.2
Chariot Buyer LLC 12.3 ( 3.5 ) 8.8 8.8
CMG HoldCo, LLC and CMG Buyer Holdings, Inc. 11.2 ( 0.9 ) 10.3 10.3
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. 7.8 ( 2.5 ) 5.3 5.3
Commercial Trailer Leasing, Inc. 0.6 0.6 0.6
Community Brands ParentCo, LLC 7.2 7.2 7.2
Compex Legal Services, Inc. 3.6 ( 2.0 ) 1.6 1.6
Comprehensive EyeCare Partners, LLC 1.9 ( 0.3 ) 1.6 1.6
Concert Golf Partners Holdco LLC 3.1 ( 0.4 ) 2.7 2.7
Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P. 13.9 13.9 13.9
Continental Café, LLC and Infinity Ovation Yacht Charters, LLC 8.0 8.0 8.0
Convera International Holdings Limited and Convera International Financial S.A R.L. 2.3 2.3 2.3
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP 38.9 38.9 38.9
Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc. 6.2 6.2 6.2
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. 38.7 ( 22.7 ) 16.0 16.0
Covaris Intermediate 3, LLC & Covaris Parent, LLC 22.2 ( 1.5 ) 20.7 20.7
Coyote Buyer, LLC 8.3 8.3 8.3
CrossCountry Mortgage, LLC 56.3 56.3 56.3
Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC 3.2 3.2 3.2
CST Buyer Company (d/b/a Intoxalock) 6.1 6.1 6.1
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC 30.5 30.5 30.5
DecoPac, Inc. and KCAKE Holdings Inc. 16.5 ( 14.1 ) 2.4 2.4
Denali Holdco LLC and Denali Apexco LP 11.4 11.4 11.4
DFC Global Facility Borrower III LLC 94.7 ( 76.0 ) 18.7 18.7
Diligent Corporation and Diligent Preferred Issuer, Inc. 2.2 ( 1.2 ) 1.0 1.0
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. 2.3 2.3 2.3
DRS Holdings III, Inc. and DRS Holdings I, Inc. 10.8 10.8 10.8
DS Admiral Bidco, LLC 0.1 0.1 0.1
Dye & Durham Corporation 17.8 17.8 17.8
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP 7.1 ( 1.4 ) 5.7 5.7
Eckler Industries, Inc. and Eckler Purchaser LLC 16.4 ( 15.9 ) 0.5 0.5
Elemica Parent, Inc. & EZ Elemica Holdings, Inc. 8.1 ( 4.1 ) 4.0 4.0
Elevation Services Parent Holdings, LLC 17.4 ( 1.4 ) 16.0 16.0
Emergency Communications Network, LLC 6.7 ( 6.7 )
EP Wealth Advisors, LLC 1.6 ( 0.7 ) 0.9 0.9
EpiServer Inc. and Episerver Sweden Holdings AB 14.5 14.5 14.5
EPS NASS Parent, Inc. 1.5 ( 0.6 ) 0.9 0.9
eResearch Technology, Inc. and Astorg VII Co-Invest ERT 2.5 2.5 2.5
ESHA Research, LLC and RMCF VI CIV XLVIII, L.P. 1.1 1.1 1.1
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC 39.4 ( 6.2 ) 33.2 33.2
Explorer Investor, Inc 0.3 0.3 0.3
Extrahop Networks, Inc. 6.6 6.6 6.6
FL Hawk Intermediate Holdings, Inc. 0.5 0.5 0.5
56


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. 14.5 ( 6.2 ) 8.3 8.3
FM:Systems Group, LLC 1.5 1.5 1.5
Forescout Technologies, Inc. 14.2 14.2 14.2
Foundation Risk Partners, Corp. 48.7 ( 1.1 ) 47.6 47.6
FS Squared Holding Corp. and FS Squared, LLC 9.6 ( 0.5 ) 9.1 9.1
Galway Borrower LLC 14.2 ( 0.4 ) 13.8 13.8
Genesis Acquisition Co. and Genesis Ultimate Holding Co. 1.5 ( 1.5 )
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC 47.5 47.5 47.5
GI Ranger Intermediate LLC 11.0 ( 0.4 ) 10.6 10.6
Global Music Rights, LLC 4.3 4.3 4.3
GNZ Energy Bidco Limited and Galileo Co-investment Trust I 2.8 2.8 2.8
Gotham Greens Holdings, PBC 33.8 33.8 33.8
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC 5.0 5.0 5.0
Green Street Parent, LLC and Green Street Intermediate Holdings, LLC 0.3 0.3 0.3
HAI Acquisition Corporation and Aloha Topco, LLC 19.0 19.0 19.0
Halcon Holdings, LLC 2.9 2.9 2.9
Harvey Tool Company, LLC 28.5 28.5 28.5
HealthEdge Software, Inc. 36.7 ( 0.3 ) 36.4 36.4
Heavy Construction Systems Specialists, LLC 4.0 4.0 4.0
Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 8.5 8.5 8.5
Help/Systems Holdings, Inc. 7.5 7.5 7.5
HGC Holdings, LLC 7.5 7.5 7.5
HH-Stella, Inc. and Bedrock Parent Holdings, LP 15.9 ( 2.3 ) 13.6 13.6
High Street Buyer, Inc. and High Street Holdco LLC 33.3 33.3 33.3
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC 9.5 ( 1.2 ) 8.3 8.3
Hometown Food Company 3.9 ( 0.7 ) 3.2 3.2
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP 22.6 ( 7.0 ) 15.6 15.6
IQN Holding Corp. 7.2 7.2 7.2
ISQ Hawkeye Holdco, Inc. 12.8 12.8 12.8
ITI Holdings, Inc. 5.7 ( 1.8 ) 3.9 3.9
JDC Healthcare Management, LLC 4.7 ( 4.7 )
K2 Insurance Services, LLC and K2 Holdco LP 9.1 9.1 9.1
Kaseya Inc. and Knockout Intermediate Holdings I Inc. 31.2 31.2 31.2
KBHS Acquisition, LLC (d/b/a Alita Care, LLC) 5.0 ( 1.8 ) 3.2 3.2
Kene Acquisition, Inc. and Kene Holdings, L.P. 8.9 ( 0.2 ) 8.7 8.7
Laboratories Bidco LLC and Laboratories Topco LLC 41.3 ( 3.9 ) 37.4 37.4
LeanTaaS Holdings, Inc. 55.3 55.3 55.3
Lew's Intermediate Holdings, LLC 2.3 ( 1.3 ) 1.0 1.0
Lido Advisors, LLC 0.8 ( 0.2 ) 0.6 0.6
LJP Purchaser, Inc. and LJP Topco, LP 4.4 4.4 4.4
Lower ACS, Inc. 25.9 25.9 25.9
LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC 19.1 19.1 19.1
Magnesium BorrowerCo, Inc. and Magnesium Co-Invest SCSp 15.1 15.1 15.1
Majesco and Magic Topco, L.P. 2.0 2.0 2.0
Management Consulting & Research LLC 4.0 4.0 4.0
Manna Pro Products, LLC 7.0 ( 5.1 ) 1.9 1.9
Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC 1.2 1.2 1.2
Marmic Purchaser, LLC and Marmic Topco, L.P. 7.0 7.0 7.0
57


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Maverick Acquisition, Inc. 17.2 17.2 17.2
Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP 32.9 ( 7.3 ) 25.6 25.6
McKenzie Creative Brands, LLC 4.5 ( 1.9 ) 2.6 2.6
Medline Borrower, LP 6.9 ( 0.2 ) 6.7 6.7
Micromeritics Instrument Corp. 4.1 4.1 4.1
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. 31.3 31.3 31.3
MMIT Holdings, LLC 4.6 ( 0.8 ) 3.8 3.8
Monica Holdco (US) Inc. 3.6 3.6 3.6
Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP 15.2 15.2 15.2
Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC 19.0 19.0 19.0
MRI Software LLC 12.7 12.7 12.7
Murchison Oil and Gas, LLC and Murchison Holdings, LLC 27.5 27.5 27.5
n2y Holding, LLC 0.1 0.1 0.1
NAS, LLC and Nationwide Marketing Group, LLC 3.0 ( 0.6 ) 2.4 2.4
National Intergovernmental Purchasing Alliance Company 9.0 9.0 9.0
NCWS Intermediate, Inc. and NCWS Holdings LP 28.3 28.3 28.3
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. 0.6 ( 0.1 ) 0.5 0.5
Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1 119.1 119.1 119.1
NMC Skincare Intermediate Holdings II, LLC 12.7 12.7 12.7
NMN Holdings III Corp. and NMN Holdings LP 12.5 ( 2.8 ) 9.7 9.7
Noble Aerospace, LLC 5.6 5.6 5.6
North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC 8.1 8.1 8.1
North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC 3.5 3.5 3.5
North Haven Stack Buyer, LLC 5.5 ( 0.6 ) 4.9 4.9
Offen, Inc. 5.6 5.6 5.6
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC 6.6 6.6 6.6
OneDigital Borrower LLC 7.5 ( 0.4 ) 7.1 7.1
Padres L.P. 64.2 64.2 64.2
Pathway Vet Alliance LLC and Jedi Group Holdings LLC 1.9 1.9 1.9
Patriot Growth Insurance Services, LLC 3.6 3.6 3.6
Paya, Inc and GTCR-Ultra Holdings LLC 4.5 4.5 4.5
PDDS HoldCo, Inc. 2.6 2.6 2.6
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC 7.6 ( 4.7 ) 2.9 2.9
Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC 34.0 34.0 34.0
Pelican Products, Inc. 2.3 2.3 2.3
People Corporation 21.9 ( 5.1 ) 16.8 16.8
Perforce Software, Inc. 0.5 0.5 0.5
Petroleum Service Group LLC 17.6 ( 3.2 ) 14.4 14.4
Petvisor Holdings, LLC 40.1 40.1 40.1
Pluralsight, Inc. 0.3 0.3 0.3
Precision Concepts International LLC and Precision Concepts Canada Corporation 19.2 ( 6.2 ) 13.0 13.0
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. 11.0 ( 1.4 ) 9.6 9.6
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP 36.0 ( 0.6 ) 35.4 35.4
Prime Buyer, L.L.C. 15.9 ( 2.0 ) 13.9 13.9
58


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC 5.9 5.9 5.9
ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P. 13.3 13.3 13.3
Project Essential Bidco, Inc. and Project Essential Super Parent, Inc. 1.1 1.1 1.1
Project Potter Buyer, LLC and Project Potter Parent, L.P. 5.5 ( 2.1 ) 3.4 3.4
Proofpoint, Inc. 3.1 3.1 3.1
PS Operating Company LLC and PS Op Holdings LLC 5.9 ( 4.3 ) 1.6 1.6
Pueblo Mechanical and Controls, LLC and OMERS PMC Investment Holdings LLC 4.9 4.9 4.9
Pyramid Management Advisors, LLC and Pyramid Investors, LLC 9.7 ( 9.7 )
QF Holdings, Inc. 6.0 6.0 6.0
Radius Aerospace, Inc. and Radius Aerospace Europe Limited 2.7 ( 0.9 ) 1.8 1.8
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC 4.4 4.4 4.4
RB Holdings InterCo, LLC 5.6 ( 1.4 ) 4.2 4.2
Reddy Ice LLC 0.2 0.2 0.2
Redwood Services, LLC and Redwood Services Holdco, LLC 9.5 9.5 9.5
Reef Lifestyle, LLC 44.1 ( 34.6 ) 9.5 9.5
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. 28.0 28.0 28.0
Relativity ODA LLC 3.8 3.8 3.8
Repairify, Inc. and Repairify Holdings, LLC 7.3 7.3 7.3
Revalize, Inc. 1.2 ( 0.9 ) 0.3 0.3
Rialto Management Group, LLC 1.3 ( 0.2 ) 1.1 1.1
Riser Merger Sub, Inc. 2.8 2.8 2.8
RMS HoldCo II, LLC & RMS Group Holdings, Inc. 2.9 2.9 2.9
Rodeo AcquisitionCo LLC 6.2 ( 0.9 ) 5.3 5.3
RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc. 0.6 0.6 0.6
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc. 15.9 ( 9.8 ) 6.1 6.1
SageSure Holdings, LLC & Insight Catastrophe Group, LLC 10.5 10.5 10.5
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. 4.6 ( 0.5 ) 4.1 4.1
SCIH Salt Holdings Inc. 7.5 ( 0.3 ) 7.2 7.2
SCM Insurance Services Inc. 3.9 3.9 3.9
SFE Intermediate Holdco LLC 15.2 ( 6.4 ) 8.8 8.8
Shermco Intermediate Holdings, Inc. 4.0 ( 3.1 ) 0.9 0.9
Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2.5 ( 0.3 ) 2.2 2.2
Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc. 5.0 ( 2.8 ) 2.2 2.2
SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC 7.1 7.1 7.1
SM Wellness Holdings, Inc. and SM Holdco, Inc. 3.8 3.8 3.8
Smarsh Inc. and Skywalker TopCo, LLC 3.3 3.3 3.3
SOC Telemed, Inc. and PSC Spark Holdings, LP 22.7 22.7 22.7
Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp 10.2 10.2 10.2
Star US Bidco LLC 8.5 8.5 8.5
Stealth Holding LLC and UCIT Online Security Inc. 1.2 1.2 1.2
Sun Acquirer Corp. and Sun TopCo, LP 30.4 ( 1.2 ) 29.2 29.2
Sundance Group Holdings, Inc. 7.6 ( 2.0 ) 5.6 5.6
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon 7.5 ( 0.6 ) 6.9 6.9
Sunrun Luna Holdco 2021, LLC 75.0 ( 74.7 ) 0.3 0.3
59


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
SV-Burton Holdings, LLC and LBC Breeze Holdings LLC 4.6 4.6 4.6
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. 7.0 ( 3.0 ) 4.0 4.0
Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC 4.2 4.2 4.2
TA/WEG Holdings, LLC 2.0 2.0 2.0
Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C. 7.5 7.5 7.5
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. 1.7 ( 0.8 ) 0.9 0.9
TCP Hawker Intermediate LLC 0.3 ( 0.1 ) 0.2 0.2
TerSera Therapeutics LLC 0.1 0.1 0.1
The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc. 1.1 1.1 1.1
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP 12.6 ( 10.1 ) 2.5 2.5
The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC 1.9 1.9 1.9
The NPD Group, L.P., IRI Group Holdings, Inc., Information Resources, Inc. and IRI-NPD Co-Invest Aggregator, L.P. 14.4 14.4 14.4
The Ultimate Software Group, Inc. and H&F Unite Partners, L.P. 10.0 ( 1.0 ) 9.0 9.0
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP 6.9 6.9 6.9
Therapy Brands Holdings LLC 8.6 8.6 8.6
Thermostat Purchaser III, Inc. 11.7 11.7 11.7
THG Acquisition, LLC 28.8 28.8 28.8
TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. 19.0 19.0 19.0
Two Six Labs, LLC 10.3 10.3 10.3
United Digestive MSO Parent, LLC 18.4 18.4 18.4
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. 9.9 9.9 9.9
Verista, Inc. 8.2 ( 1.1 ) 7.1 7.1
Verscend Holding Corp. 22.5 22.5 22.5
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. 11.7 ( 0.2 ) 11.5 11.5
VRC Companies, LLC 5.4 ( 0.8 ) 4.6 4.6
VS Buyer, LLC 8.1 8.1 8.1
WA Asset Management, LLC 0.8 0.8 0.8
Watermill Express, LLC and Watermill Express Holdings, LLC 1.9 1.9 1.9
WebPT, Inc. 0.9 ( 0.2 ) 0.7 0.7
Wellness AcquisitionCo, Inc. 3.9 3.9 3.9
Wildcat BuyerCo, Inc. and Wildcat Parent, LP 4.1 ( 0.2 ) 3.9 3.9
WorkWave Intermediate II, LLC 22.6 22.6 22.6
WSHP FC Acquisition LLC and WSHP FC Holdings LLC 35.4 ( 5.2 ) 30.2 30.2
XIFIN, Inc. and ACP Charger Co-Invest LLC 8.9 ( 0.2 ) 8.7 8.7
YE Brands Holdings, LLC 2.2 2.2 2.2
ZB Holdco LLC & ZB Parent LLC 21.5 ( 0.1 ) 21.4 21.4
$ 3,205.4 $ ( 520.3 ) $ 2,685.1 $ $ $ 2,685.1

(16) As of September 30, 2022, the Company was party to subscription agreements to fund equity investments in private equity investment partnerships as follows:
60


(in millions)
Company
Total private equity commitments Less: funded private equity commitments Total unfunded private equity commitments Less: private equity commitments substantially at the discretion of the Company Total net adjusted unfunded private equity commitments
Athyrium Buffalo LP $ 15.5 $ ( 7.6 ) $ 7.9 $ ( 7.9 ) $
European Capital UK SME Debt LP 50.3 ( 45.5 ) 4.8 ( 4.8 )
PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P. 50.0 ( 12.5 ) 37.5 ( 37.5 )
$ 115.8 $ ( 65.6 ) $ 50.2 $ ( 50.2 ) $

(17) As of September 30, 2022, the Company had commitments to co-invest in the SDLP for its portion of the SDLP’s commitment to fund delayed draw loans of up to $ 73 . See Note 4 to the consolidated financial statements for more information on the SDLP.

(18) Other than the investments noted by this footnote, the fair value of the Company’s investments is determined using unobservable inputs that are significant to the overall fair value measurement. See Note 8 to the consolidated financial statements for more information regarding the fair value of the Company’s investments.

(19) As of September 30, 2022, the estimated net unrealized loss for federal tax purposes was $ 0.5 billion based on a tax cost basis of $ 21.3 billion. As of September 30, 2022, the estimated aggregate gross unrealized loss for federal income tax purposes was $ 1.3 billion and the estimated aggregate gross unrealized gain for federal income tax purposes was $ 0.8 billion.
61

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Software & Services
2U, Inc. Provider of course design and learning management system to educational institutions First lien senior secured loan 6.50 % Libor (M) 5.75 % 06/2021 12/2024 $ 55.0 $ 54.1 $ 55.0 (2)(6)(12)
AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC (16) Payment processing solution provider First lien senior secured loan 6.25 % Libor (Q) 5.00 % 02/2020 03/2026 64.0 64.0 64.0 (12)
Senior subordinated loan
12.75 % PIK
02/2020 02/2028 27.5 27.5 27.5 (2)
91.5 91.5
Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua (16) Provider of intellectual property management lifecycle software First lien senior secured loan 6.25 % Euribor (Q) 6.25 % 04/2019 04/2026 4.7 4.6 4.7
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 06/2021 04/2026 16.0 16.0 16.0 (2)(12)
Limited partnership units 06/2019 4,400,000 4.2 7.6 (2)(6)
24.8 28.3
APG Intermediate Holdings Corporation and APG Holdings, LLC (4)(16) Aircraft performance software provider First lien senior secured loan 6.75 % Libor (Q) 5.25 % 01/2020 01/2025 13.5 13.5 13.5 (2)(12)
Class A membership units 01/2020 9,750,000 9.8 11.5 (2)
23.3 25.0
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. (16) Software platform for identification, prevention and management of substance use disorder First lien senior secured loan 8.25 % Libor (Q) 7.25 % 05/2021 05/2027 13.4 13.4 13.4 (2)(12)
Series A preferred shares
11.00 % PIK
05/2021 32,236 34.6 34.6 (2)
48.0 48.0
Apptio, Inc. (16) Provider of cloud-based technology business management solutions First lien senior secured revolving loan 8.25 % Libor (Q) 7.25 % 01/2019 01/2025 1.7 1.7 1.7 (2)(12)
First lien senior secured loan 8.25 % Libor (Q) 7.25 % 01/2019 01/2025 62.2 62.2 62.2 (12)
63.9 63.9
Avetta, LLC (16) Supply chain risk management SaaS platform for global enterprise clients First lien senior secured loan 7.25 % Libor (Q) 6.25 % 07/2021 04/2024 11.8 11.8 11.8 (2)(12)
AxiomSL Group, Inc. and Calypso Group, Inc. (16) Provider of risk data management and regulatory reporting software First lien senior secured loan 7.00 % Libor (Q) 6.00 % 07/2021 12/2027 21.4 21.0 21.2 (2)(12)
Banyan Software Holdings, LLC and Banyan Software, LP (16) Vertical software businesses holding company First lien senior secured loan 7.75 % Libor (Q) 6.75 % 12/2021 10/2026 6.7 6.7 6.7 (2)(12)
First lien senior secured loan 7.75 % Libor (Q) 6.75 % 10/2020 10/2026 7.7 7.7 7.7 (2)(12)
First lien senior secured loan 8.50 % Libor (Q) 7.50 % 10/2020 10/2026 5.0 5.0 5.0 (2)(12)
19.4 19.4
Borrower R365 Holdings LLC (16) Provider of restaurant ERP systems First lien senior secured loan
7.50 % ( 3.00 % PIK)
Libor (Q) 6.50 % 06/2021 06/2027 15.5 15.2 15.5 (2)(12)
Businessolver.com, Inc. (16) Provider of SaaS-based benefits solutions for employers and employees First lien senior secured loan 6.50 % Libor (M) 5.75 % 12/2021 12/2027 70.2 70.2 69.5 (2)(12)
CallMiner, Inc. Provider of cloud-based conversational analytics solutions Warrant to purchase shares of Series 1 preferred stock 07/2014 07/2024 2,350,636 (2)
F-62

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. (16) Provider of software and technology-enabled content and analytical solutions to insurance brokers First lien senior secured revolving loan 6.75 % Base Rate (Q) 3.50 % 11/2020 11/2025 0.6 0.6 0.6 (2)(12)
Second lien senior secured loan 8.50 % Libor (Q) 7.75 % 11/2020 11/2028 59.9 59.9 59.9 (2)(12)
Series A-2 preferred shares
11.25 %PIK
Libor (Q) 11.00 % 12/2020 8,963 10.0 10.1 (2)
Series A-3 preferred shares
11.00 %PIK
11/2021 11,952 12.1 13.4 (2)
Series A preferred shares
11.21 %PIK
Libor (Q) 11.00 % 11/2020 24,898 28.3 28.0 (2)
110.9 112.0
Consilio Midco Limited and Consilio Investment Holdings, L.P. (16) Provider of sales software for the interior design industry First lien senior secured loan 6.25 % Euribor (Q) 6.25 % 11/2021 05/2028 27.8 27.7 27.5 (2)(6)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 05/2021 05/2028 32.9 32.9 32.6 (2)(6)(12)
First lien senior secured loan 8.00 % Base Rate (Q) 4.75 % 05/2021 05/2028 3.9 3.9 3.8 (2)(6)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 05/2021 05/2028 11.3 11.3 11.2 (2)(6)(12)
Common units 05/2021 4,799,000 4.8 6.0 (2)(6)
80.6 81.1
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP (16) Provider of information, insight, analytics, software and other outsourced services primarily to the mortgage, real estate and insurance sectors Second lien senior secured loan 7.00 % Libor (M) 6.50 % 06/2021 06/2029 155.7 155.7 155.7 (2)(12)
Limited partnership units 04/2021 59,665,989 59.7 77.9 (2)
215.4 233.6
Cority Software Inc., IQS, Inc. and Cority Parent, Inc. (16) Provider of environmental, health and safety software to track compliance data First lien senior secured loan 6.00 % Libor (Q) 5.00 % 07/2019 07/2026 6.3 6.3 6.3 (6)(12)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 10/2019 07/2026 4.4 4.4 4.4 (6)(12)
First lien senior secured loan 8.00 % Libor (Q) 7.00 % 09/2020 07/2026 1.1 1.1 1.1 (2)(6)(12)
Preferred equity
9.00 % PIK
07/2019 198 0.2 0.6 (2)(6)
Common equity 07/2019 190,143 (2)(6)
12.0 12.4
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. (16) Provider of a cloud-based, SaaS platform for talent management First lien senior secured revolving loan % 10/2021 (14)
Second lien senior secured loan 7.00 % Libor (Q) 6.50 % 10/2021 10/2029 137.5 137.5 135.4 (12)
Series A preferred shares
10.50 % PIK
10/2021 116,413 119.0 119.0 (2)
Class A-1 common stock 10/2021 1,360,100 13.6 13.3 (2)
270.1 267.7
Datix Bidco Limited Global healthcare software company that provides software solutions for patient safety and risk management First lien senior secured loan 4.18 % Libor (Q) 4.00 % 10/2019 04/2025 0.1 0.1 (2)(6)
DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P. Provider of internet security tools and solutions Series A preferred shares
10.50 % PIK
05/2021 129,822 138.1 138.1 (2)
Series A units 05/2021 817,194 13.3 13.4 (2)
151.4 151.5
63

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Denali Holdco LLC and Denali Topco LLC (16) Provider of cybersecurity audit and assessment services First lien senior secured loan 7.00 % Libor (Q) 6.00 % 09/2021 09/2027 37.3 37.3 36.9 (2)(12)
Class A units 09/2021 2,549,000 2.5 2.5 (2)
39.8 39.4
Diligent Corporation and Diligent Preferred Issuer, Inc. (16) Provider of secure SaaS solutions for board and leadership team documents First lien senior secured revolving loan % 08/2020 (14)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 08/2020 08/2025 33.0 32.4 33.0 (12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 03/2021 08/2025 8.9 8.9 8.9 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 04/2021 08/2025 11.4 11.3 11.4 (2)(12)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 07/2021 08/2025 2.0 2.0 2.0 (2)(12)
Preferred stock
10.50 %PIK
04/2021 13,140 13.5 13.8 (2)
68.1 69.1
Drilling Info Holdings, Inc. and Titan DI Preferred Holdings, Inc. SaaS based business analytics company focused on oil and gas industry Second lien senior secured loan 8.35 % Libor (M) 8.25 % 02/2020 07/2026 25.0 25.0 25.0
Preferred stock
13.50 %PIK
02/2020 29.53 37.0 37.9 (2)
62.0 62.9
DS Admiral Bidco, LLC (16) Tax return software provider for government institutions First lien senior secured loan 6.75 % Libor (Q) 5.75 % 03/2021 03/2028 11.9 11.6 11.9 (2)(12)
Dye & Durham Corporation (16) Provider of cloud-based software and technology solutions for the legal industry First lien senior secured loan 6.50 % CDOR (Q) 5.75 % 12/2021 12/2027 72.0 70.9 70.9 (2)(6)(12)
Elemica Parent, Inc. & EZ Elemica Holdings, Inc. (16) SaaS based supply chain management software provider focused on chemical markets First lien senior secured revolving loan 6.50 % Libor (Q) 5.50 % 09/2019 09/2025 2.3 2.3 2.3 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 09/2019 09/2025 62.0 61.9 61.9 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 12/2020 09/2025 20.5 20.5 20.5 (2)(12)
Preferred equity 09/2019 4,599 4.6 5.5
89.3 90.2
EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P. Provider of entertainment workforce and production management solutions Second lien senior secured loan 7.00 % Libor (Q) 6.50 % 11/2021 11/2029 177.9 177.9 176.1 (2)(12)
Partnership units 05/2019 5,034,483 3.2 9.8 (2)(6)
181.1 185.9
EpiServer Inc. and Episerver Sweden Holdings AB (16) Provider of web content management and digital commerce solutions First lien senior secured loan 6.50 % Libor (Q) 5.50 % 12/2021 04/2026 4.6 4.6 4.6 (2)(12)
First lien senior secured loan 5.75 % Euribor (Q) 5.75 % 03/2019 04/2026 6.0 6.0 6.0 (2)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 10/2018 04/2026 0.1 0.1 0.1 (2)(12)
10.7 10.7
eResearch Technology, Inc. and Astorg VII Co-Invest ERT (16) Provider of mission-critical, software-enabled clinical research solutions Second lien senior secured loan 8.50 % Libor (M) 8.00 % 02/2020 02/2028 22.5 22.0 22.4 (12)
Second lien senior secured loan 8.50 % Libor (M) 8.00 % 04/2021 02/2028 30.6 29.6 30.6 (2)(12)
Limited partnership interest 01/2020 3,988,000 4.5 5.4 (2)(6)
56.1 58.4
64

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
ExtraHop Networks, Inc. (16) Provider of real-time wire data analytics solutions for application and infrastructure monitoring First lien senior secured loan 8.50 % Libor (Q) 7.50 % 07/2021 07/2027 16.6 16.6 16.4 (2)(12)
First lien senior secured loan 8.50 % Libor (Q) 7.50 % 07/2021 07/2027 1.1 1.1 1.0 (2)(12)
17.7 17.4
First Insight, Inc. Software company providing merchandising and pricing solutions to companies worldwide Warrant to purchase units of Series C preferred stock 03/2014 03/2024 122,827 (2)
FM:Systems Group, LLC (16) Provider of facilities and space management software solutions First lien senior secured revolving loan 7.50 % Libor (Q) 6.50 % 02/2018 12/2024 1.5 1.5 1.5 (2)(12)
First lien senior secured loan 7.50 % Libor (Q) 6.50 % 12/2019 12/2024 3.2 3.2 3.2 (2)(12)
First lien senior secured loan 7.50 % Libor (Q) 6.50 % 06/2021 12/2024 1.4 1.4 1.4 (2)(12)
6.1 6.1
Forescout Technologies, Inc. (16) Network access control solutions provider First lien senior secured loan
10.50 %PIK
Libor (Q) 9.50 % 08/2020 08/2026 18.7 18.4 18.5 (2)(12)
Frontline Technologies Group Holding LLC, Frontline Technologies Blocker Buyer, Inc., Frontline Technologies Holdings, LLC and Frontline Technologies Parent, LLC Provider of human capital management and SaaS-based software solutions to employees and administrators of K-12 school organizations First lien senior secured loan 6.25 % Libor (Q) 5.25 % 12/2020 09/2023 14.9 14.9 14.9 (12)
First lien senior secured loan 6.25 % Libor (Q) 5.25 % 06/2021 09/2023 0.1 0.1 0.1 (2)(12)
Class A preferred units
9.00 % PIK
09/2017 4,574 6.2 6.7
Class B common units 09/2017 499,050 7.9
21.2 29.6
Genesis Acquisition Co. and Genesis Ultimate Holding Co. (16) Child care management software and services provider First lien senior secured revolving loan 4.22 % Libor (Q) 4.00 % 07/2018 07/2024 1.5 1.5 1.5 (2)
First lien senior secured loan 5.25 % Libor (Q) 4.50 % 11/2021 07/2024 9.1 9.1 9.0 (2)(12)
First lien senior secured loan 4.22 % Libor (Q) 4.00 % 07/2018 07/2024 0.2 0.2 0.2 (2)
Second lien senior secured loan 8.25 % Libor (Q) 7.50 % 11/2021 07/2025 21.1 21.1 20.7 (2)(12)
Second lien senior secured loan 7.63 % Libor (Q) 7.50 % 07/2018 07/2025 32.4 32.4 31.4 (2)
Second lien senior secured loan 7.70 % Libor (Q) 7.50 % 06/2021 07/2025 7.5 7.5 7.3 (2)
Class A common stock 07/2018 8.39 0.8 0.9 (2)
72.6 71.0
GI Ranger Intermediate LLC (16) Provider of payment processing services and software to healthcare providers First lien senior secured loan 6.75 % Libor (Q) 6.00 % 10/2021 10/2028 35.1 35.1 34.8 (2)(12)
Heavy Construction Systems Specialists, LLC (16) Provider of construction software First lien senior secured loan 6.50 % Libor (Q) 5.75 % 11/2021 11/2028 40.9 40.9 40.5 (2)(12)
65

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Huskies Parent, Inc., GI Insurity Parent LLC, and GI Insurity Topco LP (16) Insurance software provider First lien senior secured revolving loan 6.25 % Libor (Q) 5.50 % 11/2021 11/2027 1.6 1.6 1.4 (2)(12)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 11/2021 11/2028 105.8 105.8 104.8 (2)(12)
Senior subordinated loan
10.00 %PIK
11/2021 11/2031 90.2 90.2 88.8 (2)
Company units 11/2021 4,243,657 8.8 8.8 (2)
206.4 203.8
IfByPhone Inc. Voice-based marketing automation software provider Warrant to purchase shares of Series C preferred stock 10/2012 10/2022 124,300 0.1 (2)
Inmar Technology-driven solutions provider for retailers, wholesalers and manufacturers Second lien senior secured loan 9.00 % Libor (Q) 8.00 % 04/2017 05/2025 28.3 28.1 28.3 (2)(12)
Insightful Science Provider of data analysis, statistics, and visualization software solutions for scientific research applications First lien senior secured loan 7.00 % Libor (Q) 6.00 % 12/2017 04/2027 0.5 0.5 0.5 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 04/2021 04/2027 16.2 16.2 16.0 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 10/2021 04/2027 7.9 7.9 7.9 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 11/2021 04/2027 7.6 7.6 7.5 (2)(12)
Senior subordinated loan
10.50 %PIK
04/2021 04/2032 39.2 39.2 38.8 (2)
Preferred units
14.00 % PIK
04/2021 1,828,645 50.5 50.5
121.9 121.2
IV Rollover Holdings, LLC Provider of cloud based IT solutions, infrastructure and services Class B units 05/2017 170,490 0.1 (2)
Class X units 05/2017 5,000,000 2.1 2.2 (2)
2.1 2.3
Majesco and Magic Topco, L.P. (16) Insurance software provider First lien senior secured loan 8.25 % Libor (Q) 7.25 % 09/2020 09/2027 42.2 42.2 42.2 (2)(12)
Class A units
9.00 % PIK
09/2020 2,539 2.8 4.0 (2)
Class B units 09/2020 570,625 (2)
45.0 46.2
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. (16) Software and payment services provider to faith-based institutions First lien senior secured loan 6.25 % Libor (Q) 5.50 % 12/2021 12/2028 72.7 72.7 72.0 (2)(12)
Limited partner interests 12/2021 9,574,000 9.6 9.6 (2)
82.3 81.6
Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands) (16) Software and payment services provider to non-profit institutions First lien senior secured revolving loan 7.25 % Base Rate (Q) 4.00 % 12/2016 12/2022 5.0 5.0 5.0 (12)
First lien senior secured loan 5.00 % Libor (M) 4.00 % 04/2017 12/2022 9.2 9.2 9.2 (12)
First lien senior secured loan 5.00 % Libor (M) 4.00 % 08/2017 12/2022 4.7 4.7 4.7 (12)
Second lien senior secured loan 10.25 % Libor (M) 9.25 % 12/2016 06/2023 106.6 106.4 106.6 (12)
Second lien senior secured loan 10.25 % Libor (M) 9.25 % 04/2017 06/2023 13.9 13.9 13.9 (2)(12)
Second lien senior secured loan 10.25 % Libor (M) 9.25 % 08/2017 06/2023 17.9 17.9 17.9 (2)(12)
66

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Second lien senior secured loan 9.00 % Libor (M) 8.00 % 04/2018 06/2023 48.9 48.9 48.9 (2)(12)
Class A units 12/2016 500,000 5.0 7.2 (2)
211.0 213.4
Mitchell International, Inc. Provider of technology, connectivity, and information solutions to the property and casualty insurance industry Second lien senior secured loan 7.00 % Libor (M) 6.50 % 10/2021 10/2029 91.2 90.3 91.6 (2)(12)(19)
MMIT Holdings, LLC (16) Provider of market intelligence and analysis for the pharmaceutical industry First lien senior secured revolving loan 7.25 % Libor (Q) 6.25 % 09/2021 09/2027 0.6 0.6 0.6 (2)(12)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 09/2021 09/2027 18.2 18.2 18.0 (2)(12)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 10/2021 09/2027 13.7 13.7 13.6 (2)(12)
32.5 32.2
MRI Software LLC (16) Provider of real estate and investment management software First lien senior secured loan 6.50 % Libor (Q) 5.50 % 02/2020 02/2026 51.5 51.5 51.5 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 08/2020 02/2026 4.5 4.5 4.5 (2)(12)
56.0 56.0
OpenMarket Inc. Provider of cloud-based mobile engagement platform First lien senior secured loan 7.00 % Libor (Q) 6.25 % 09/2021 09/2026 50.7 50.7 50.1 (2)(6)(12)
Paya, Inc and GTCR-Ultra Holdings LLC (16) Provider of payment processing and merchant acquiring solutions Class B units 08/2017 2,878,372 2.1 (2)
PayNearMe, Inc. Electronic cash payment system provider Warrant to purchase shares of Series E preferred stock 03/2016 03/2023 195,726 0.2 (2)
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC (16) Provider of enterprise management software for the convenience retail and petroleum wholesale market First lien senior secured loan 5.50 % Libor (Q) 4.50 % 03/2019 10/2024 53.5 53.5 53.5 (12)
Second lien senior secured loan 9.50 % Libor (Q) 8.50 % 12/2021 10/2025 7.2 7.2 7.2 (2)(12)
Second lien senior secured loan 9.50 % Libor (Q) 8.50 % 03/2019 10/2025 70.1 70.1 70.1 (2)(12)
Second lien senior secured loan 9.50 % Libor (Q) 8.50 % 12/2020 10/2025 8.3 8.3 8.3 (2)(12)
Second lien senior secured loan 9.50 % Libor (B) 8.50 % 04/2021 10/2025 8.7 8.7 8.7 (2)(12)
Series A preferred stock
13.25 % PIK
03/2019 13,656 19.5 19.7 (2)
Class A units 03/2019 2,062,493 2.1 2.9 (2)
169.4 170.4
Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC (16) Provider of plant maintenance and scheduling software First lien senior secured loan 6.25 % Libor (Q) 5.25 % 05/2019 05/2025 0.2 0.2 0.2 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 06/2020 05/2025 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 10/2020 05/2025 29.9 29.9 29.9 (2)(12)
Class A units 05/2019 5,000 5.0 12.3
35.2 42.5
Pluralsight, Inc. (16) Online education learning platform First lien senior secured loan 9.00 % Libor (Q) 8.00 % 04/2021 04/2027 117.7 117.7 117.7 (2)(12)
67

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Poplicus Incorporated Business intelligence and market analytics platform for companies that sell to the public sector Warrant to purchase shares of Series C preferred stock 06/2015 06/2025 2,402,991 0.1 (2)
PracticeTek Purchaser, LLC and GSV PracticeTek Holdings, LLC Software provider for medical practitioners Class A units
8.00 % PIK
03/2021 11,804,000 8.2 (2)
ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P. (16) Provider of practice management software to law firms First lien senior secured loan 6.25 % Libor (M) 5.25 % 03/2021 03/2027 3.9 3.9 3.9 (2)(12)
Limited partnership units 03/2021 1,624,000 1.6 1.6 (2)
5.5 5.5
Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc. Provider of data visualization software for data analytics Class A common stock 08/2016 7,445 7.4 16.8 (2)
Class B common stock 08/2016 1,841,609 0.1 0.2 (2)
7.5 17.0
Project Essential Bidco, Inc. and Project Essential Super Parent, Inc. (16) Saas provider of automated crew callout and scheduling software for the utility industry First lien senior secured loan 6.75 % Libor (Q) 5.75 % 04/2021 04/2028 36.6 36.6 35.8 (2)(12)
Preferred shares
10.50 %PIK
Libor (Q) 9.50 % 04/2021 26,436 28.5 28.5 (2)(12)
65.1 64.3
Project Potter Buyer, LLC and Project Potter Parent, L.P. (16) Software solutions provider to the ready-mix concrete industry First lien senior secured revolving loan 10.50 % Base Rate (Q) 7.25 % 04/2020 04/2026 0.8 0.7 0.8 (2)(12)(15)
First lien senior secured loan 9.25 % Libor (M) 8.25 % 04/2020 04/2027 44.1 44.1 44.1 (12)
First lien senior secured loan 9.25 % Libor (M) 8.25 % 10/2020 04/2027 12.9 12.9 12.9 (2)(12)
First lien senior secured loan 9.25 % Libor (M) 8.25 % 11/2020 04/2027 19.4 19.4 19.4 (2)(12)
Class A units
9.00 % PIK
04/2020 1,599 1.9 1.9 (2)
Class B units 04/2020 588,636 0.8 (2)
79.0 79.9
Proofpoint, Inc. (16) Cybersecurity solutions provider First lien senior secured loan 3.75 % Libor (Q) 3.25 % 06/2021 08/2028 1.0 1.0 1.0 (2)(12)(19)
Second lien senior secured loan 6.75 % Libor (Q) 6.25 % 06/2021 08/2029 34.6 34.4 34.6 (2)(12)
35.4 35.6
QF Holdings, Inc. (16) SaaS based electronic health record software provider First lien senior secured loan 7.25 % Libor (Q) 6.25 % 12/2021 12/2027 8.1 8.1 8.1 (2)(12)
First lien senior secured loan 7.50 % Libor (Q) 6.50 % 09/2019 12/2027 15.5 15.5 15.5 (2)(12)
23.6 23.6
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC (16) Provider of SaaS-based safety and security software to the K-12 school market First lien senior secured loan 7.00 % Libor (Q) 6.00 % 10/2021 10/2028 28.5 28.5 28.2 (2)(6)(12)
Class A common units 12/2018 2,880,582 3.5 4.8
32.0 33.0
RealPage, Inc. Provider of enterprise software solutions to the residential real estate industry Second lien senior secured loan 7.25 % Libor (M) 6.50 % 04/2021 04/2029 84.1 82.9 84.1 (2)(12)
Regent Education, Inc. Provider of software solutions designed to optimize the financial aid and enrollment processes Warrant to purchase shares of common stock 12/2016 12/2026 5,393,194 (2)
68

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Warrant to purchase shares of common stock 12/2016 12/2026 987 (2)
Relativity ODA LLC (16) Electronic discovery document review software platform for use in litigations and investigations First lien senior secured loan
8.50 % PIK
Libor (M) 7.50 % 05/2021 05/2027 59.8 59.8 59.8 (2)(12)
RMS Holdco II, LLC & RMS Group Holdings, Inc. (16) Developer of revenue cycle management solutions, process automation, analytics and integration for the healthcare industry First lien senior secured loan 6.50 % Libor (Q) 5.75 % 12/2021 12/2027 23.5 23.5 23.3 (2)(12)
Class A common stock 12/2021 464.9 4.6 4.6 (2)
28.1 27.9
Smarsh Inc., MobileGuard, LLC, Actiance, Inc. and Skywalker TopCo, LLC SaaS based communication archival service provider First lien senior secured loan 9.25 % Libor (M) 8.25 % 11/2020 11/2025 13.3 13.3 13.3 (2)(12)
Common units 11/2020 1,432,835 4.8 5.1 (2)
18.1 18.4
SocialFlow, Inc. Social media optimization platform provider Warrant to purchase shares of Series C preferred stock 01/2016 01/2026 215,331 (2)
Sophia, L.P. Provider of ERP software and services for higher education institutions Second lien senior secured loan 9.00 % Libor (Q) 8.00 % 10/2020 10/2028 105.9 105.9 105.9 (2)(12)
SoundCloud Limited Platform for receiving, sending, and distributing music Common stock 08/2017 73,422 0.4 0.7 (2)(6)
Stamps.com Inc. Provider of mailing and shipping solutions First lien senior secured loan 6.50 % Libor (Q) 5.75 % 10/2021 10/2028 197.9 197.9 193.9 (2)(12)
Storable, Inc. and EQT IX Co-Investment (E) SCSP PMS solutions and web services for the self-storage industry Second lien senior secured loan 7.50 % Libor (Q) 6.75 % 04/2021 04/2029 42.8 42.8 42.8 (2)(12)
Limited partnership interests 04/2021 614,950 6.2 6.8 (2)(6)
49.0 49.6
Sundance Group Holdings, Inc. (16) Provider of cloud-based document management and collaboration solutions First lien senior secured revolving loan 7.75 % Libor (Q) 6.75 % 07/2021 07/2027 0.9 0.8 0.9 (2)(12)
First lien senior secured loan 7.75 % Libor (Q) 6.75 % 07/2021 07/2027 15.4 15.2 15.3 (2)(12)
16.0 16.2
TCP Hawker Intermediate LLC (16) Workforce management solutions provider First lien senior secured loan 6.50 % Libor (Q) 5.50 % 12/2020 08/2026 6.6 6.6 6.6 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 10/2021 08/2026 4.0 4.0 4.0 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 08/2019 08/2026 34.8 34.8 34.8 (12)
45.4 45.4
The Ultimate Software Group, Inc. and H&F Unite Partners, L.P. (16) Provider of cloud based HCM solutions for businesses First lien senior secured revolving loan % 05/2019 (6)(14)
Limited partnership interests 05/2019 12,583,556 12.6 15.1 (2)(6)
12.6 15.1
Verscend Holding Corp. (16) Healthcare analytics solutions provider First lien senior secured revolving loan % 08/2018 (14)
WebPT, Inc. (16) Electronic medical record software provider First lien senior secured loan 7.75 % Libor (Q) 6.75 % 08/2019 08/2024 48.1 48.1 48.1 (2)(12)
69

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Wellness AcquisitionCo, Inc. (16) Provider of retail consumer insights and analytics for manufacturers and retailers in the natural, organic and specialty products industry First lien senior secured loan 6.50 % Libor (Q) 5.50 % 01/2021 01/2027 0.1 0.1 0.1 (2)(12)
WorkWave Intermediate II, LLC (16) Provider of cloud-based field services and fleet management solutions First lien senior secured loan
8.00 % PIK
Libor (Q) 7.25 % 06/2021 06/2027 61.6 61.6 61.6 (2)(12)
4,308.2 4,378.1 49.37 %
Health Care Services
Absolute Dental Group LLC and Absolute Dental Equity, LLC (5)(16) Dental services provider First lien senior secured revolving loan
11.25 % ( 5.00 % PIK)
Base rate (Q) 8.00 % 06/2021 06/2024 4.0 4.0 4.0 (2)(12)
First lien senior secured loan
10.00 % ( 5.00 % PIK)
Libor (Q) 9.00 % 06/2021 06/2024 49.5 49.5 49.5 (2)(12)
Class A common units 06/2021 7,617,280 4.7 10.4 (2)
58.2 63.9
ADG, LLC and RC IV GEDC Investor LLC (16) Dental services provider First lien senior secured revolving loan
7.50 % ( 0.50 %PIK)
Base rate (A) 4.25 % 09/2016 09/2022 9.6 9.6 9.5 (2)(12)
First lien senior secured revolving loan
5.75 % ( 0.50 %PIK)
Libor (Q) 4.75 % 09/2016 09/2022 2.3 2.3 2.3 (2)(12)
Second lien senior secured loan
11.00 % PIK
Libor (Q) 10.00 % 09/2016 03/2024 115.3 95.2 103.7 (2)(12)
Membership units 09/2016 3,000,000 3.0 (2)
110.1 115.5
Alteon Health, LLC Provider of physician management services First lien senior secured loan 7.50 % Libor (Q) 6.50 % 05/2017 09/2023 2.8 2.8 2.8 (2)(12)
Athenahealth, Inc., VVC Holding Corp., Virence Intermediate Holding Corp., and Virence Holdings LLC (16) Revenue cycle management provider to the physician practices and acute care hospitals Class A interests 02/2019 0.39 % 9.0 49.3 (2)
Bambino Group Holdings, LLC Dental services provider Class A preferred units 12/2016 1,000,000 1.0 1.1 (2)
Bearcat Buyer, Inc. and Bearcat Parent, Inc. (16) Provider of central institutional review boards over clinical trials Second lien senior secured loan 9.25 % Libor (Q) 8.25 % 07/2019 07/2027 69.5 69.5 69.5 (2)(12)
Second lien senior secured loan 9.25 % Libor (Q) 8.25 % 09/2019 07/2027 12.7 12.7 12.7 (2)(12)
Class B common units 07/2019 4,211 4.2 10.8 (2)
86.4 93.0
CCS-CMGC Holdings, Inc. (16) Correctional facility healthcare operator First lien senior secured revolving loan % 10/2018 (14)
First lien senior secured loan 5.63 % Libor (Q) 5.50 % 09/2018 10/2025 34.0 33.8 33.3
33.8 33.3
Center for Autism and Related Disorders, LLC (16) Autism treatment and services provider specializing in applied behavior analysis therapy First lien senior secured revolving loan 5.65 % Libor (Q) 5.50 % 11/2018 11/2023 6.8 6.8 6.2 (2)(15)
Comprehensive EyeCare Partners, LLC (16) Vision care practice management company First lien senior secured revolving loan 7.00 % Libor (Q) 5.75 % 02/2018 02/2024 0.3 0.3 0.3 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 5.75 % 02/2018 02/2024 2.6 2.6 2.6 (2)(12)
First lien senior secured loan 8.00 % Base Rate (Q) 4.75 % 04/2021 02/2024 0.1 0.1 0.1 (2)(12)
70

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
First lien senior secured loan 7.00 % Libor (Q) 5.75 % 04/2021 02/2024 0.6 0.6 0.6 (2)(12)
3.6 3.6
Convey Health Solutions, Inc. Healthcare workforce management software provider First lien senior secured loan 5.50 % Libor (M) 4.75 % 09/2019 09/2026 2.7 2.7 2.7 (12)
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC (16) Veterinary hospital operator First lien senior secured revolving loan 8.00 % Base Rate (Q) 4.75 % 10/2019 10/2024 0.4 0.4 0.4 (2)(12)(15)
First lien senior secured loan 6.25 % Libor (Q) 5.25 % 10/2019 10/2025 39.4 39.4 39.4 (12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 04/2021 10/2025 49.2 49.2 49.2 (2)(12)
Common stock 10/2019 32,429 10.0 15.9 (2)
99.0 104.9
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC On-demand supply chain automation solutions provider to the healthcare industry Second lien senior secured loan 7.50 % Libor (Q) 6.75 % 05/2021 05/2029 114.0 114.0 114.0 (2)(12)
Class A units 06/2017 14,013,303 14.0 32.2 (2)
128.0 146.2
Global Medical Response, Inc. and GMR Buyer Corp. Emergency air medical services provider Second lien senior secured loan 7.50 % Libor (Q) 6.75 % 12/2021 12/2029 95.4 95.4 94.5 (2)(12)
Warrant to purchase units of common stock 03/2018 03/2028 115,733 0.9 3.0 (2)
Warrant to purchase units of common stock 12/2021 12/2031 1,926.57 0.1 (2)
96.4 97.5
HealthEdge Software, Inc. (16) Provider of financial, administrative and clinical software platforms to the healthcare industry First lien senior secured revolving loan % 12/2021 (14)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 12/2021 04/2026 79.2 79.2 79.2 (2)(12)
79.2 79.2
Honor Technology, Inc. Nursing and home care provider First lien senior secured loan 11.00 % Libor (M) 10.00 % 08/2021 08/2026 2.5 2.4 2.5 (2)(12)
Warrant to purchase shares of series D-2 preferred stock 08/2021 08/2031 133,333 0.1 0.1 (2)
2.5 2.6
JDC Healthcare Management, LLC (16) Dental services provider First lien senior secured revolving loan 04/2017 04/2022 4.4 3.8 3.1 (2)(11)
First lien senior secured loan 04/2017 04/2023 37.2 31.7 26.5 (2)(11)
35.5 29.6
KBHS Acquisition, LLC (d/b/a Alita Care, LLC) (16) Provider of behavioral health services First lien senior secured revolving loan
6.00 % ( 1.00 % PIK)
Libor (M) 5.00 % 03/2017 03/2024 0.8 0.8 0.8 (2)(12)
MCH Holdings, Inc., MC Acquisition Holdings I, LLC and Privia Health Group, Inc. Healthcare professional provider First lien senior secured loan 8.50 % Libor (M) 7.00 % 07/2017 07/2022 110.2 110.2 110.2 (12)
Class A units 01/2014 1,438,643 0.6 (2)
110.2 110.8
Napa Management Services Corporation and ASP NAPA Holdings, LLC Anesthesia management services provider Second lien senior secured loan 11.00 % Libor (Q) 10.00 % 04/2016 10/2023 72.8 72.8 72.8 (2)(12)
Preferred units
15.00 % PIK
06/2020 1,842 0.1 0.1 (2)
Senior preferred units
8.00 % PIK
06/2020 5,320 0.3 0.3 (2)
71

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Class A units 04/2016 25,277 2.5 4.1 (2)
75.7 77.3
NMN Holdings III Corp. and NMN Holdings LP (16) Provider of complex rehabilitation technology solutions for patients with mobility loss First lien senior secured revolving loan % 11/2018 (14)
Partnership units 11/2018 30,000 3.0 2.8 (2)
3.0 2.8
NueHealth Performance, LLC (16) Developer, builder and manager of specialty surgical hospitals and ambulatory surgery centers First lien senior secured revolving loan 8.25 % Libor (M) 7.25 % 09/2018 09/2023 3.3 3.3 3.3 (2)(12)
First lien senior secured loan 8.25 % Libor (M) 7.25 % 09/2018 09/2023 12.4 12.4 12.4 (12)
First lien senior secured loan 8.25 % Libor (M) 7.25 % 02/2020 09/2023 3.0 3.0 3.0 (2)(12)
18.7 18.7
Olympia Acquisition, Inc. and Olympia TopCo, L.P. (16) Behavioral health and special education platform provider First lien senior secured revolving loan
8.50 % ( 2.00 %PIK)
Libor (M) 7.50 % 09/2019 09/2024 10.1 10.1 8.3 (2)(12)
First lien senior secured revolving loan
8.50 % ( 2.00 % PIK)
Libor (M) 7.50 % 12/2020 09/2024 0.2 0.2 0.2 (2)(12)
First lien senior secured loan
8.50 % ( 2.00 % PIK)
Libor (M) 7.50 % 09/2019 09/2026 42.1 42.1 34.5 (12)
First lien senior secured loan
8.50 % ( 2.00 % PIK)
Libor (M) 7.50 % 12/2020 09/2026 0.9 0.9 0.8 (12)
Preferred units
15.00 % PIK
07/2021 417,189 0.3 0.3 (2)
Class A common units 09/2019 9,549,000 9.5 (2)
63.1 44.1
OMH-HealthEdge Holdings, LLC Revenue cycle management provider to the healthcare industry First lien senior secured loan 6.50 % Libor (Q) 5.50 % 10/2019 10/2025 26.1 26.1 26.1 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 03/2021 10/2025 15.4 15.4 15.4 (12)
41.5 41.5
Pathway Vet Alliance LLC and Jedi Group Holdings LLC (16) Veterinary hospital operator First lien senior secured revolving loan % 03/2020 (14)
Second lien senior secured loan 8.75 % Libor (M) 7.75 % 03/2020 03/2028 76.3 76.3 76.3 (2)(12)
Class R common units 03/2020 6,004,768 6.0 7.9 (2)
82.3 84.2
PhyMED Management LLC Provider of anesthesia services Second lien senior secured loan
15.00 % ( 10.49 % PIK)
Libor (Q) 14.00 % 12/2015 09/2022 55.7 55.6 52.4 (2)(12)
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP (16) Provider of employer-sponsored onsite health and wellness clinics and pharmacies First lien senior secured revolving loan 3.41 % Libor (Q) 3.25 % 07/2018 07/2023 12.0 12.0 12.0 (2)(15)
First lien senior secured loan 3.72 % Libor (Q) 3.50 % 07/2018 07/2025 8.6 8.6 8.6
Second lien senior secured loan 7.72 % Libor (Q) 7.50 % 07/2018 07/2026 67.1 66.7 67.1 (2)
Class A units 07/2018 9,775 9.8 17.5 (2)
97.1 105.2
Project Ruby Ultimate Parent
Corp. (dba Wellsky)
Provider of care coordination and transition management software solutions Second lien senior secured loan 7.25 % Libor (M) 6.50 % 03/2021 03/2029 193.1 193.1 193.1 (2)(12)
72

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Respicardia, Inc. Developer of implantable therapies to improve cardiovascular health Warrant to purchase shares of Series C preferred stock 06/2012 06/2022 99,094 (2)
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc. (16) Manufacturer of biologic, metal and synthetic implants/devices First lien senior secured revolving loan 8.25 % Libor (M) 6.75 % 07/2020 07/2026 5.0 5.0 5.0 (2)(12)
First lien senior secured loan 8.25 % Libor (Q) 6.75 % 07/2020 07/2026 28.5 28.5 28.5 (12)
33.5 33.5
SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC (16) Outsourced anesthesia provider First lien senior secured loan 5.75 % Libor (M) 4.75 % 03/2018 03/2024 11.5 11.5 9.9 (12)
Common units 03/2018 684,854 4.8 0.7 (2)
16.3 10.6
SM Wellness Holdings, Inc. and SM Holdco, Inc. (16) Breast cancer screening provider Series A units 08/2018 8,041 8.0 9.6 (2)
Series B units 08/2018 804,142 (2)
8.0 9.6
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. (16) SaaS based healthcare compliance platform provider Second lien senior secured loan 8.63 % Libor (Q) 7.88 % 12/2020 12/2028 69.9 69.9 69.9 (2)(12)
Series C-1 preferred shares
11.00 % PIK
06/2021 75,939 85.0 85.0 (2)
Series C-2 preferred shares
11.00 % PIK
06/2021 40,115 42.6 42.6 (2)
Series C-3 preferred shares
11.00 %PIK
10/2021 16,201 16.6 16.6 (2)
214.1 214.1
Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC (16) Franchisor of private pay home care for the elderly First lien senior secured loan 6.75 % Libor (Q) 5.75 % 04/2018 04/2024 15.3 15.3 15.3 (12)
Common units 04/2018 550 0.5 1.0
15.8 16.3
Teligent, Inc (16) Pharmaceutical company that develops, manufactures and markets injectable pharmaceutical products Second lien senior secured loan 10/2021 01/2022 8.8 8.1 8.8 (2)(11)
Second lien senior secured loan 01/2021 12/2022 1.4 1.3 0.5 (2)(11)
Second lien senior secured loan 12/2018 12/2022 77.8 67.6 29.5 (2)(11)
Series D preferred stock 01/2021 77,725 (2)
Warrant to purchase shares of common stock 04/2020 04/2025 490,492 (2)
Warrant to purchase shares of common stock 07/2020 07/2025 122,548 (2)
77.0 38.8
Therapy Brands Holdings LLC (16) Provider of software solutions for the mental and behavioral health market segments Second lien senior secured loan 7.50 % Libor (Q) 6.75 % 06/2021 05/2029 20.5 20.3 20.5 (2)(12)
Touchstone Acquisition, Inc. and Touchstone Holding, L.P. Manufacturer of consumable products in the dental, medical, cosmetic and consumer/industrial end-markets Class A preferred units
8.00 % PIK
11/2018 2,149 2.7 2.8 (2)
73

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc. Anesthesiology service provider Second lien senior secured loan 8.00 % Libor (Q) 7.50 % 10/2021 10/2029 147.8 147.8 146.3 (2)(12)
Common stock 12/2021 3,671,429 12.9 12.9 (2)
160.7 159.2
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. (16) Veterinary hospital operator First lien senior secured loan 6.75 % Libor (Q) 5.75 % 12/2021 12/2027 6.4 6.4 6.4 (2)(12)
Class A-2 units 12/2021 7,524 7.5 7.5 (2)
13.9 13.9
WSHP FC Acquisition LLC (16) Provider of biospecimen products for pharma research First lien senior secured revolving loan 7.00 % Libor (Q) 6.00 % 03/2018 03/2027 1.5 1.5 1.5 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 10/2021 03/2027 4.9 4.9 4.9 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 03/2018 03/2027 33.4 33.4 33.4 (12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 02/2019 03/2027 4.5 4.5 4.5 (12)
First lien senior secured loan 7.00 % Libor (M) 6.00 % 08/2019 03/2027 11.4 11.4 11.4 (12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 10/2019 03/2027 10.8 10.8 10.8 (12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 11/2021 03/2027 9.0 9.0 9.0 (2)(12)
75.5 75.5
2,133.9 2,157.1 24.33 %
Commercial & Professional Services
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC (16) Provider of outsourced crew accommodations and logistics management solutions to the airline industry First lien senior secured revolving loan 10.00 % Libor (Q) 9.00 % 05/2018 05/2023 4.1 4.1 3.9 (2)(12)
Class A common units 05/2018 236,358 4.3 4.0
8.4 7.9
Aero Operating LLC Provider of snow removal and melting service for airports and marine terminals First lien senior secured loan 8.00 % Libor (M) 6.50 % 02/2020 02/2026 36.6 36.6 36.6 (12)
First lien senior secured loan 8.00 % Libor (Q) 6.50 % 12/2021 02/2026 1.2 1.2 1.2 (2)(12)
37.8 37.8
Argenbright Holdings V, LLC Provider of outsourced security guard services, outsourced facilities management and outsourced aviation services First lien senior secured loan 7.00 % Libor (M) 6.00 % 11/2021 11/2026 21.1 21.1 20.9 (2)(12)
Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP (16) Outsourced supply chain solutions provider to operators of distribution centers First lien senior secured revolving loan 7.00 % Base Rate (Q) 3.75 % 11/2020 11/2025 2.3 2.3 2.3 (2)(12)(15)
First lien senior secured loan 5.75 % Libor (M) 4.75 % 11/2020 11/2027 0.3 0.3 0.3 (2)(12)
Second lien senior secured loan 9.75 % Libor (M) 8.75 % 11/2020 11/2028 68.3 68.3 68.3 (2)(12)
Class A units 11/2020 10,581 10.6 14.4 (2)
81.5 85.3
Cozzini Bros., Inc. and BH-Sharp Holdings LP (16) Provider of commercial knife sharpening and cutlery services in the restaurant industry First lien senior secured loan
8.50 % ( 4.50 % PIK)
Libor (Q) 7.50 % 03/2017 03/2023 12.4 12.4 11.4 (2)(12)
Common units 03/2017 2,950,000 3.0 1.4 (2)
15.4 12.8
74

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
DTI Holdco, Inc. and OPE DTI Holdings, Inc. (16) Provider of legal process outsourcing and managed services First lien senior secured revolving loan 6.75 % Base Rate (Q) 3.50 % 09/2016 06/2023 0.3 0.3 0.3 (2)(15)
First lien senior secured revolving loan 4.65 % Libor (Q) 4.50 % 09/2016 06/2023 4.8 4.8 4.8 (2)(15)
Class A common stock 08/2014 7,500 7.5 4.2 (2)
Class B common stock 08/2014 7,500 (2)
12.6 9.3
Elevation Services Parent Holdings, LLC Elevator service platform First lien senior secured loan 7.00 % Libor (Q) 6.00 % 12/2020 12/2026 8.7 8.7 8.7 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 12/2020 12/2026 0.3 0.3 0.3 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 12/2020 12/2026 5.2 5.2 5.2 (2)(12)
14.2 14.2
HAI Acquisition Corporation and Aloha Topco, LLC (16) Professional employer organization offering human resources, compliance and risk management services First lien senior secured loan 6.00 % Libor (M) 5.25 % 11/2017 11/2025 61.0 61.0 61.0 (12)
First lien senior secured loan 6.00 % Libor (Q) 5.25 % 09/2021 11/2025 0.1 0.1 0.1 (2)(12)
Class A units 11/2017 16,980 1.7 2.3 (2)
62.8 63.4
HH-Stella, Inc. and Bedrock Parent Holdings, LP (16) Provider of municipal solid waste transfer management services First lien senior secured revolving loan 6.50 % Libor (M) 5.50 % 04/2021 04/2027 0.5 0.5 0.5 (2)(12)
First lien senior secured loan 6.50 % Libor (M) 5.50 % 04/2021 04/2028 2.6 2.6 2.6 (2)(12)
Class A units 04/2021 25,490 2.5 2.9 (2)
5.6 6.0
IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P. Market research company focused on the consumer packaged goods industry First lien senior secured loan 4.35 % Libor (M) 4.25 % 11/2018 12/2025 42.3 41.9 42.3
Second lien senior secured loan 8.10 % Libor (M) 8.00 % 11/2018 11/2026 86.8 85.9 86.8 (2)
Series A-1 preferred shares
11.50 % PIK
Libor (M) 10.50 % 11/2018 46,900 65.3 66.0 (2)(12)
Class A-1 common units 11/2018 90,500 9.1 26.1 (2)
202.2 221.2
Kellermeyer Bergensons Services, LLC (16) Provider of janitorial and facilities management services First lien senior secured loan 6.75 % Libor (A) 5.75 % 11/2019 11/2026 60.8 60.5 60.8 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 07/2021 11/2026 21.1 21.1 21.1 (2)(12)
81.6 81.9
KPS Global LLC and Cool Group LLC Manufacturer of walk-in cooler and freezer systems First lien senior secured loan 7.00 % Libor (M) 6.00 % 04/2017 04/2024 12.6 12.6 12.3 (12)
First lien senior secured loan 7.00 % Libor (M) 6.00 % 11/2018 04/2024 3.4 3.4 3.3 (12)
Class A units 09/2018 13,292 1.1 0.9
17.1 16.5
Laboratories Bidco LLC and Laboratories Topco LLC (16) Lab testing services for nicotine containing products First lien senior secured loan 6.75 % Libor (Q) 5.75 % 10/2019 07/2027 21.6 21.6 21.6 (12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 10/2019 07/2027 25.5 24.3 25.5 (12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 10/2020 07/2027 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 07/2021 07/2027 10.7 10.7 10.7 (2)(12)
Class A units 07/2021 3,099,335 4.6 4.1 (2)
61.3 62.0
75

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Lakers Buyer, Inc. and Lakers Parent LLC (16) Provider of fire safety and life safety services First lien senior secured revolving loan 6.75 % Libor (Q) 5.75 % 03/2021 03/2027 3.6 3.6 3.6 (2)(12)
First lien senior secured loan
6.75 % PIK
Libor (Q) 5.75 % 03/2021 03/2027 51.2 51.2 51.2 (2)(12)
Second lien senior secured loan
11.75 % PIK
Libor (Q) 10.75 % 03/2021 09/2027 40.1 40.1 40.1 (2)(12)
Common units 03/2021 46,990 4.7 6.2 (2)
99.6 101.1
Marmic Purchaser, LLC and Marmic Topco, L.P. Provider of recurring fire protection services First lien senior secured loan 7.00 % Libor (Q) 6.00 % 03/2021 03/2027 34.4 34.4 34.4 (2)(12)
Limited partnership units
8.00 % PIK
03/2021 1,929,237 2.1 2.4 (2)
36.5 36.8
Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc. Keg management solutions provider Second lien senior secured loan
10.00 %PIK
Libor (Q) 9.00 % 08/2020 07/2023 153.5 153.5 150.4 (12)
Series A preferred stock 08/2020 1,507 1.5 2.0 (2)
Common stock 12/2012 54,710 4.9 4.5 (2)
159.9 156.9
NAS, LLC and Nationwide Marketing Group, LLC (16) Buying and marketing services organization for appliance, furniture and consumer electronics dealers First lien senior secured revolving loan 8.75 % Base Rate (Q) 5.50 % 11/2020 06/2024 0.6 0.6 0.6 (2)(12)
First lien senior secured loan 7.50 % Libor (Q) 6.50 % 12/2021 06/2024 2.4 2.4 2.4 (2)(12)
First lien senior secured loan 7.00 % Libor (B) 6.00 % 11/2020 06/2024 6.4 6.4 6.4 (2)(12)
9.4 9.4
Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1 (16) Operator of multiple franchise concepts primarily related to home maintenance or repairs Senior subordinated loan 9.00 % Libor (Q) 8.50 % 09/2021 08/2029 119.1 119.1 117.9 (2)(12)
Limited partner interest 09/2021 9,725,000 9.7 9.7 (2)
128.8 127.6
NM GRC Holdco, LLC Regulatory compliance services provider to financial institutions First lien senior secured loan
8.50 % ( 1.50 % PIK)
Libor (M) 7.50 % 02/2018 02/2024 45.4 45.2 45.4 (12)
North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC (16) Provider of fire safety and life safety services First lien senior secured loan 7.00 % Libor (Q) 6.00 % 05/2021 05/2027 20.1 20.1 20.1 (12)
Common units 05/2021 884,916 0.9 1.2 (2)
21.0 21.3
North Haven Stack Buyer, LLC (16) Provider of environmental testing services First lien senior secured loan 6.50 % Libor (Q) 5.50 % 07/2021 07/2027 11.1 10.8 11.0 (2)(12)
Petroleum Service Group LLC (16) Provider of operational services for US petrochemical and refining companies First lien senior secured revolving loan 7.00 % Libor (Q) 6.00 % 07/2019 07/2025 2.2 2.2 2.2 (2)(12)(15)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 12/2021 07/2025 8.1 8.1 8.1 (2)(12)
First lien senior secured loan 1.00 % Libor (Q) % 12/2021 07/2025 0.2 0.2 0.2 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 07/2019 07/2025 34.2 34.2 34.2 (12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 07/2019 07/2025 0.7 0.7 0.7 (2)(12)
45.4 45.4
76

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC Provider of janitorial and facilities management services First lien senior secured loan 6.25 % Libor (Q) 5.50 % 10/2021 10/2027 93.8 93.8 92.8 (2)(12)
Class A units 10/2021 7,900,000 7.9 7.9 (2)
101.7 100.7
PS Operating Company LLC and PS OP Holdings LLC (fka QC Supply, LLC) (5)(16) Specialty distributor and solutions provider to the swine and poultry markets First lien senior secured revolving loan 7.00 % Libor (Q) 6.00 % 12/2021 12/2024 2.8 2.8 2.8 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 12/2021 12/2024 14.9 14.9 14.9 (2)(12)
Common unit 12/2021 279,200 7.4 7.4 (2)
25.1 25.1
R2 Acquisition Corp. Marketing services Common stock 05/2007 250,000 0.2 0.5 (2)
RC V Tecmo Investor LLC Technology based aggregator for facility maintenance services Common member units 08/2020 9,624,000 8.3 19.3 (2)
RE Community Holdings GP, LLC and RE Community Holdings, LP Operator of municipal recycling facilities Limited partnership interest 03/2011 2.86 % (2)
Limited partnership interest 03/2011 2.49 % (2)
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. (16) Provider of FDA registration and consulting services First lien senior secured loan 6.50 % Libor (Q) 5.50 % 08/2021 08/2027 37.9 37.9 37.5 (2)(12)
Limited partner interests 08/2021 1.13 % 2.7 2.6 (2)
40.6 40.1
Rodeo AcquisitionCo LLC (16) Provider of food inspection and recovery services First lien senior secured revolving loan 7.00 % Libor (Q) 6.00 % 07/2021 07/2027 0.4 0.4 0.3 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 07/2021 07/2027 17.1 17.1 16.9 (2)(12)
17.5 17.2
Schill Landscaping and Lawn Care Services LLC and Landscape Parallel Partners, L.P. (16) Provider of landscape design and planning, and snow removal services First lien senior secured loan 6.75 % Libor (Q) 5.75 % 12/2021 12/2027 5.8 5.8 5.8 (2)(12)
Class A units 12/2021 3,841 9.5 9.5 (2)
15.3 15.3
SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP Manufacturer and distributor of personal protection equipment, commercial cleaning, maintenance and safety products First lien senior secured loan 10.22 % Libor (Q) 9.22 % 06/2020 06/2026 21.4 21.4 19.9 (2)(12)
Limited partnership class A-1 units 06/2020 2,173 1.1 0.6 (2)
Limited partnership class A-2 units 06/2020 2,173 1.1 0.6 (2)
23.6 21.1
Startec Equity, LLC (5) Communication services Member interest 04/2010
Stealth Holding LLC and UCIT Online Security Inc. (16) Live video monitoring solutions provider First lien senior secured loan 7.75 % Libor (Q) 6.75 % 03/2021 03/2026 50.5 50.5 50.5 (6)(12)
First lien senior secured loan 9.00 % Base Rate (Q) 5.75 % 03/2021 03/2026 0.8 0.8 0.8 (2)(6)(12)
51.3 51.3
77

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Thermostat Purchaser III, Inc. (16) Provider of commercial HVAC equipment maintenance and repair services Second lien senior secured loan 8.00 % Libor (M) 7.25 % 08/2021 08/2029 23.0 23.0 22.8 (2)(12)
Tyden Group Holding Corp. Producer and marketer of global cargo security, product identification and traceability products and utility meter products Preferred stock 01/2017 46,276 0.4 0.4 (6)
Common stock 01/2017 5,521,203 2.0 3.9 (6)
2.4 4.3
Visual Edge Technology, Inc. Provider of outsourced office solutions with a focus on printer and copier equipment and other parts and supplies First lien senior secured loan
9.75 % ( 1.25 % PIK)
Libor (Q) 8.25 % 08/2017 08/2022 32.5 32.5 30.9 (2)(12)
Senior subordinated loan
12.50 % PIK
08/2017 09/2024 88.6 86.1 79.7 (2)
Warrant to purchase shares of common stock 08/2017 08/2027 10,358,572 3.9 (2)
122.5 110.6
VLS Recovery Services, LLC (16) Provider of commercial and industrial waste processing and disposal services First lien senior secured revolving loan 6.50 % Libor (M) 5.50 % 10/2017 10/2024 1.3 1.3 1.3 (2)(12)(15)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 07/2019 10/2024 8.8 8.8 8.8 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 08/2021 10/2024 5.2 5.2 5.2 (2)(12)
15.3 15.3
Wash Encore Holdings, LLC Provider of outsourced healthcare linen management solutions First lien senior secured loan 6.75 % Libor (Q) 5.75 % 07/2021 07/2027 135.6 135.6 134.2 (2)(12)
XIFIN, Inc. and ACP Charger Co-Invest LLC (16) Revenue cycle management provider to labs First lien senior secured revolving loan 6.75 % Libor (M) 5.75 % 02/2020 02/2026 1.1 1.1 1.1 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 07/2021 02/2026 16.3 16.3 16.1 (2)(12)
First lien senior secured loan 6.75 % Libor (M) 5.75 % 12/2021 02/2026 39.3 39.3 39.0 (2)(12)
Class A units 02/2020 180,000 1.8 4.2 (2)
Class B units 12/2021 46,363.16 0.9 1.1 (2)
59.4 61.5
1,820.0 1,833.4 20.68 %
Diversified Financials
BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC Provider of comprehensive suite of investment management and wealth planning solutions First lien senior secured loan 7.00 % Libor (Q) 6.25 % 09/2021 09/2027 0.2 0.2 0.2 (2)(12)
Senior subordinated loan
9.30 % PIK
09/2021 09/2026 4.5 4.5 4.5 (2)
Common units 09/2021 4,220,159 4.2 4.1 (2)
8.9 8.8
Beacon Pointe Harmony, LLC (16) Provider of comprehensive wealth management services First lien senior secured loan 6.00 % Libor (Q) 5.25 % 12/2021 12/2028 14.5 14.5 14.4 (6)(12)
CrossCountry Mortgage, LLC (16) Mortgage company originating loans in the retail and consumer direct channels First lien senior secured loan 7.50 % Libor (Q) 7.00 % 11/2021 11/2027 93.8 93.8 92.8 (2)(12)
DFC Global Facility Borrower III LLC (16) Non-bank provider of alternative financial services First lien senior secured revolving loan 8.50 % CDOR (B) 8.00 % 06/2021 06/2026 146.4 149.9 146.4 (2)(6)(10)(12)
78

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
eCapital Finance Corp. Consolidator of commercial finance businesses Senior subordinated loan 9.00 % Libor (M) 7.50 % 01/2020 01/2025 56.0 56.0 56.0 (2)(12)
Senior subordinated loan 9.00 % Libor (M) 7.50 % 11/2020 01/2025 5.4 5.4 5.4 (2)(12)
61.4 61.4
EP Wealth Advisors, LLC (16) Wealth management and financial planning firm First lien senior secured revolving loan 5.50 % Libor (Q) 4.50 % 09/2020 09/2026 0.2 0.2 0.2 (2)(12)
First lien senior secured loan 5.50 % Libor (Q) 4.50 % 09/2020 09/2026 0.2 0.2 0.2 (2)(12)
First lien senior secured loan 6.25 % Libor (Q) 5.25 % 11/2021 09/2026 0.3 0.3 0.3 (2)(12)
0.7 0.7
Green Street Parent, LLC and Green Street Intermediate Holdings, LLC (16) Provider of REIT research data and analytics First lien senior secured loan 6.50 % Libor (Q) 5.75 % 12/2021 08/2026 23.7 23.7 23.7 (2)(12)
Ivy Hill Asset Management, L.P. (5) Asset management services Senior subordinated loan 7.25 % Libor (M) 6.50 % 02/2018 05/2023 16.0 16.0 16.0 (6)(12)
Member interest 06/2009 100.00 % 765.0 919.8 (6)
781.0 935.8
Javlin Three LLC, Javlin Four LLC, and Javlin Five LLC Asset-backed financial services company First lien senior secured loan 06/2014 06/2017 15.7 12.6 0.4 (2)(6)(11)
Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) (5)(16) Specialty finance company First lien senior secured loan 4.13 % Libor (Q) 4.00 % 12/2018 12/2022 0.3 0.3 0.3 (2)(6)
Equity interests 11/2010 (2)(6)
0.3 0.3
LS DE LLC and LM LSQ Investors LLC Asset based lender Senior subordinated loan 10.50 % 06/2015 03/2024 37.0 37.0 37.0 (2)(6)
Senior subordinated loan 10.50 % 06/2017 06/2021 3.0 3.0 3.0 (2)(6)
Membership units 06/2015 3,275,000 3.3 3.5 (6)
43.3 43.5
Monica Holdco (US) Inc. (16) Investment technology and advisory firm First lien senior secured revolving loan % 01/2021 (14)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 01/2021 01/2028 2.6 2.6 2.6 (2)(12)
2.6 2.6
Priority Holdings, LLC and Priority Technology Holdings, Inc. Provider of merchant acquiring and payment processing solutions First lien senior secured loan 6.75 % Libor (M) 5.75 % 04/2021 04/2027 35.8 35.8 35.8 (2)(6)(12)
Senior preferred stock
13.00 % PIK
Libor (Q) 12.00 % 04/2021 65,761 64.4 68.3 (2)(6)(12)
Warrant to purchase shares of common stock 04/2021 04/2031 527,226 4.0 3.4 (2)(6)
104.2 107.5
Rialto Management Group, LLC (16) Investment and asset management platform focused on real estate First lien senior secured revolving loan % 11/2018 (6)(14)
First lien senior secured loan 6.50 % Libor (Q) 5.75 % 12/2021 12/2025 9.5 9.5 9.5 (2)(6)(12)
First lien senior secured loan 4.34 % Libor (M) 4.25 % 11/2018 12/2025 0.7 0.7 0.7 (6)
First lien senior secured loan 4.35 % Libor (M) 4.25 % 04/2021 12/2025 7.7 7.7 7.7 (2)(6)
17.9 17.9
TA/WEG Holdings, LLC (16) Wealth management and financial planning firm First lien senior secured revolving loan 6.75 % Libor (Q) 5.75 % 10/2019 10/2027 0.8 0.8 0.8 (2)(12)(15)
79

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 10/2019 10/2027 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 11/2020 10/2027 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.75 % Libor (B) 5.75 % 06/2021 10/2027 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 08/2021 10/2027 8.3 8.3 8.3 (2)(12)
9.4 9.4
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP (16) Provider of asset-servicing capabilities for fund managers First lien senior secured loan 5.75 % Libor (Q) 4.75 % 02/2019 02/2026 37.8 37.8 37.8 (12)
Class A units 09/2019 1,443 1.6 1.9
Class A units 02/2019 245 0.2
Class B units 02/2019 2,167,424
Class B units 02/2019 245,194
39.6 39.7
1,363.8 1,505.3 16.98 %
Insurance Services
Alera Group, Inc. (16) Insurance service provider First lien senior secured loan 6.25 % Libor (M) 5.50 % 09/2021 10/2028 96.6 96.6 95.6 (2)(12)
Amynta Agency Borrower Inc. and Amynta Warranty Borrower Inc. Insurance service provider First lien senior secured loan 4.60 % Libor (M) 4.50 % 12/2018 02/2025 1.0 1.0 1.0 (2)
AQ Sunshine, Inc. (16) Specialized insurance broker First lien senior secured revolving loan 7.00 % Libor (Q) 6.00 % 04/2019 04/2024 0.3 0.3 0.3 (2)(12)(15)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 04/2019 04/2025 8.6 8.6 8.6 (12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 10/2020 04/2025 13.3 13.3 13.3 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 06/2021 04/2025 20.2 20.2 20.2 (2)(12)
42.4 42.4
Ardonagh Midco 2 plc and Ardonagh Midco 3 plc Insurance broker and underwriting servicer First lien senior secured loan 8.21 % GBP Libor (Q) 7.46 % 06/2020 07/2026 69.5 64.8 69.5 (2)(6)(12)
First lien senior secured loan 7.50 % GBP Libor (Q) 6.75 % 06/2020 07/2026 14.5 14.8 14.5 (2)(6)(12)
First lien senior secured loan 7.75 % Euribor (Q) 6.75 % 06/2020 07/2026 7.5 7.5 7.5 (2)(6)(12)
First lien senior secured loan 6.75 % Libor (Q) 6.00 % 08/2021 07/2026 111.2 111.2 111.2 (2)(6)(12)
Senior subordinated loan
11.50 % PIK
06/2020 01/2027 1.3 1.2 1.4 (2)(6)(19)
199.5 204.1
Benecon Midco II LLC and Locutus Holdco LLC (16) Employee benefits provider for small and mid-size employers Common units 12/2020 9,803,682 10.0 15.5
Benefytt Technologies, Inc. Health insurance sales platform provider First lien senior secured loan 6.75 % Libor (Q) 6.00 % 08/2021 08/2027 23.4 23.4 23.2 (2)(12)
Foundation Risk Partners, Corp. (16) Full service independent insurance agency First lien senior secured loan 6.50 % Libor (Q) 5.75 % 10/2021 10/2028 169.5 169.5 167.7 (2)(12)
Galway Borrower LLC (16) Insurance service provider First lien senior secured revolving loan % 09/2021 (14)
First lien senior secured loan 6.00 % Libor (Q) 5.25 % 09/2021 09/2028 59.1 59.1 58.5 (2)(12)
59.1 58.5
High Street Buyer, Inc. and High Street Holdco LLC (16) Insurance brokerage platform First lien senior secured loan 6.75 % Libor (Q) 6.00 % 04/2021 04/2028 55.0 55.0 54.5 (2)(12)
80

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
First lien senior secured loan 6.75 % Libor (Q) 6.00 % 08/2021 04/2028 10.4 10.4 10.3 (2)(12)
Series A preferred units
10.00 % PIK
04/2021 96,763,329 101.1 101.2 (2)
Series A common units
10.00 % PIK
04/2021 4,649,000 5.0 11.1 (2)
Series C common units
10.00 % PIK
04/2021 4,979,318 0.2 11.9 (2)
171.7 189.0
K2 Insurance Services, LLC and K2 Holdco LP (16) Specialty insurance and managing general agency First lien senior secured revolving loan % 07/2019 (14)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 12/2021 07/2026 0.6 0.6 0.6 (2)(12)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 07/2019 07/2026 51.0 51.0 51.0 (12)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 08/2021 07/2026 0.2 0.2 0.2 (2)(12)
Common units 07/2019 799,000 0.8 1.6 (2)
52.6 53.4
NSM Insurance Group, LLC (16) Insurance program administrator First lien senior secured revolving loan 7.00 % Base Rate (Q) 3.75 % 06/2021 11/2025 0.5 0.5 0.5 (2)(12)(15)
First lien senior secured loan 6.00 % Libor (M) 4.75 % 05/2018 05/2026 12.8 12.8 12.8 (12)
13.3 13.3
OneDigital Holdings, Achilles Holdco (16) Benefits broker and outsourced workflow automation platform provider for brokers First lien senior secured revolving loan % 11/2020 (14)
Patriot Growth Insurance Services, LLC (16) National retail insurance agency First lien senior secured loan 6.25 % Libor (Q) 5.50 % 10/2021 10/2028 11.6 11.4 11.5 (2)(12)
People Corporation (16) Provider of group benefits, group retirement and human resources services First lien senior secured revolving loan 7.25 % CDOR (Q) 6.25 % 02/2021 02/2027 2.9 2.8 2.9 (2)(6)(12)
First lien senior secured loan 6.25 % CDOR (B) 5.50 % 09/2021 02/2028 1.4 1.3 1.4 (2)(6)(12)
First lien senior secured loan 7.25 % CDOR (Q) 6.25 % 02/2021 02/2028 44.3 44.1 44.3 (2)(6)(12)
First lien senior secured loan 7.25 % CDOR (Q) 6.25 % 02/2021 02/2028 13.8 14.1 13.8 (6)(12)
62.3 62.4
RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc. (16) Insurance broker First lien senior secured revolving loan 7.75 % Base Rate (Q) 4.50 % 11/2019 10/2026 0.3 0.3 0.3 (2)(12)(15)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 11/2019 10/2026 33.1 33.1 33.1 (12)
33.4 33.4
SCM Insurance Services Inc. (16) Provider of claims management, claims investigation & support and risk management solutions for the Canadian property and casualty insurance industry First lien senior secured loan 6.00 % CDOR (M) 5.00 % 08/2017 08/2024 20.4 20.6 20.4 (2)(6)(12)
Second lien senior secured loan 10.00 % CDOR (M) 9.00 % 08/2017 03/2025 60.0 60.5 60.0 (2)(6)(12)
81.1 80.4
SelectQuote, Inc. Direct to consumer insurance distribution platform First lien senior secured loan 5.75 % Libor (M) 5.00 % 11/2019 11/2024 22.6 22.6 22.6 (2)(12)
SG Acquisition, Inc. Provider of insurance solutions for car sales First lien senior secured loan 5.50 % Libor (M) 5.00 % 01/2020 01/2027 35.6 35.6 35.6 (12)
Spring Insurance Solutions, LLC (16) Technology-based direct to consumer sales and marketing platform for insurance products First lien senior secured loan 7.50 % Libor (Q) 6.50 % 11/2020 11/2025 19.7 19.7 18.9 (12)
81

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
THG Acquisition, LLC (16) Multi-line insurance broker First lien senior secured revolving loan % 12/2019 (14)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 12/2021 12/2026 0.6 0.6 0.6 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 12/2019 12/2026 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.75 % 12/2020 12/2026 23.2 23.2 23.2 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.75 % 12/2020 12/2026 14.9 14.9 14.9 (12)
38.8 38.8
1,144.0 1,167.3 13.16 %
Investment Funds and Vehicles
ACAS Equity Holdings Corporation (5) Investment company Common stock 01/2017 589 0.4 0.4 (6)
Ares IIIR/IVR CLO Ltd. Investment vehicle Subordinated notes 01/2017 04/2021 20.0 (6)
Blue Wolf Capital Fund II, L.P. (4) Investment partnership Limited partnership interest 01/2017 8.50 % 0.2 (6)(19)
CoLTs 2005-1 Ltd. (5) Investment vehicle Preferred shares 01/2017 360 (6)
CREST Exeter Street Solar 2004-1 Investment vehicle Preferred shares 01/2017 3,500,000 (6)
European Capital UK SME Debt LP (4) Investment partnership Limited partnership interest 01/2017 45.00 % 18.8 26.9 (6)(17)
HCI Equity, LLC (5) Investment company Member interest 04/2010 100.00 % (6)(19)
Partnership Capital Growth Investors III, L.P. Investment partnership Limited partnership interest 10/2011 2.50 % 1.8 3.6 (6)(19)
PCG-Ares Sidecar Investment II, L.P. (4) Investment partnership Limited partnership interest 10/2014 100.00 % 7.0 11.1 (2)(6)(17)
PCG-Ares Sidecar Investment, L.P. (4) Investment partnership Limited partnership interest 05/2014 100.00 % 4.3 1.3 (6)(17)
Piper Jaffray Merchant Banking Fund I, L.P. Investment partnership Limited partnership interest 08/2012 2.00 % 0.1 1.0 (6)(19)
Senior Direct Lending Program, LLC (5)(18) Co-investment vehicle Subordinated certificates 8.21 % Libor (Q) 8.00 % 07/2016 12/2036 987.3 987.3 987.3 (6)
Member interest 07/2016 87.50 % (6)
987.3 987.3
VSC Investors LLC Investment company Membership interest 01/2008 1.95 % 0.3 0.6 (2)(6)(19)
1,020.0 1,032.4 11.64 %
Capital Goods
AI Aqua Merger Sub, Inc. End to end provider of water solutions to a wide range of customer bases First lien senior secured loan 4.50 % Libor (M) 4.00 % 06/2021 07/2028 0.9 0.9 0.9 (2)(12)(19)
Arrowhead Holdco Company and Arrowhead GS Holdings, Inc. (16) Distributor of non-discretionary, mission-critical aftermarket replacement parts First lien senior secured revolving loan 5.25 % Libor (Q) 4.50 % 08/2021 08/2027 3.7 3.7 3.6 (2)(12)(15)
First lien senior secured loan 5.25 % Libor (M) 4.50 % 08/2021 08/2028 27.6 27.6 27.2 (2)(12)
Common stock 08/2021 4,900 4.9 6.7 (2)
36.2 37.5
Cadence Aerospace, LLC (16) Aerospace precision components manufacturer First lien senior secured revolving loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 11/2017 11/2022 7.9 7.9 7.6 (2)(12)(15)
82

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
First lien senior secured revolving loan 8.75 % Base Rate (Q) 5.50 % 11/2017 11/2022 3.0 3.0 2.9 (12)
First lien senior secured revolving loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 07/2020 11/2023 0.7 0.7 0.7 (2)(12)
First lien senior secured loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 11/2017 11/2023 31.4 31.3 30.5 (12)
First lien senior secured loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 07/2018 11/2023 9.8 9.8 9.5 (2)(12)
First lien senior secured loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 10/2019 11/2023 12.0 12.0 11.6 (2)(12)
First lien senior secured loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 02/2020 11/2023 7.9 7.9 7.6 (2)(12)
First lien senior secured loan
9.50 % ( 5.25 % PIK)
Libor (Q) 8.50 % 07/2020 11/2023 4.0 3.7 3.9 (12)
76.3 74.3
DFS Holding Company, Inc. Distributor of maintenance, repair, and operations parts, supplies, and equipment to the foodservice industry First lien senior secured loan
8.50 % ( 1.50 % PIK)
Libor (M) 7.50 % 07/2017 08/2023 166.7 166.7 158.4 (12)
First lien senior secured loan
8.50 % ( 1.50 % PIK)
Libor (M) 7.50 % 03/2017 08/2023 4.3 4.3 4.1 (2)(12)
First lien senior secured loan
8.50 % ( 1.50 % PIK)
Libor (M) 7.50 % 05/2020 08/2023 5.0 5.0 4.7 (12)
First lien senior secured loan
8.50 % ( 1.50 % PIK)
Libor (M) 7.50 % 05/2020 02/2022 0.7 0.7 0.6 (12)
176.7 167.8
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP (16) Provider of aerospace technology and equipment First lien senior secured loan 7.50 % Libor (Q) 6.50 % 12/2020 12/2026 25.7 25.7 25.4 (12)
Common units 12/2020 9,773,000 9.8 8.6
35.5 34.0
EPS NASS Parent, Inc. (16) Provider of maintenance and engineering services for electrical infrastructure First lien senior secured revolving loan 6.75 % Libor (M) 5.75 % 04/2021 04/2026 0.9 0.9 0.9 (2)(12)(15)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 04/2021 04/2028 30.5 30.5 30.5 (2)(12)
31.4 31.4
ESCP PPG Holdings, LLC (4) Distributor of new equipment and aftermarket parts to the heavy-duty truck industry Class A units 12/2016 3,500,000 3.5 2.8 (2)
Flow Control Solutions, Inc. (16) Distributor and manufacturer of flow control systems components First lien senior secured loan 6.50 % Libor (Q) 5.50 % 11/2018 11/2024 10.8 10.8 10.8 (12)
Harvey Tool Company, LLC (16) Manufacturer of cutting tools used in the metalworking industry First lien senior secured revolving loan 6.25 % Libor (Q) 5.50 % 10/2021 10/2027 5.9 5.9 5.8 (2)(12)(15)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 10/2021 10/2027 22.7 22.7 22.5 (2)(12)
28.6 28.3
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation (5) Provider of high-speed intelligent document scanning hardware and software Senior subordinated loan 14.00 % 01/2017 06/2022 16.6 16.6 16.6 (2)
Series A preferred stock 01/2017 73,804,135 1.2 34.8
83

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Class A common stock 01/2017 48,082 0.2
Class B common stock 01/2017 431,055 0.1 1.4
17.9 53.0
Kene Acquisition, Inc. and Kene Holdings, L.P. (16) National utility services firm providing engineering and consulting services to natural gas, electric power and other energy and industrial end markets First lien senior secured revolving loan % 08/2019 (14)
First lien senior secured loan 5.25 % Libor (Q) 4.25 % 08/2019 08/2026 41.1 41.1 41.1 (12)
Class A units 08/2019 4,549,000 4.5 5.3 (2)
45.6 46.4
LTG Acquisition, Inc. Designer and manufacturer of display, lighting and passenger communication systems for mass transportation markets Class A membership units 01/2017 5,000 5.1
Maverick Acquisition, Inc. (16) Manufacturer of precision machined components for defense and high-tech industrial platforms First lien senior secured loan 7.00 % Libor (Q) 6.00 % 06/2021 06/2027 57.8 57.8 57.3 (2)(12)
MB Aerospace Holdings II Corp. Aerospace engine components manufacturer First lien senior secured loan 4.50 % Libor (Q) 3.50 % 06/2021 01/2025 11.7 11.0 10.9 (2)(12)
Second lien senior secured loan 10.00 % Libor (Q) 9.00 % 01/2018 01/2026 68.5 68.5 61.6 (2)(12)
Second lien senior secured loan 10.00 % Libor (Q) 9.00 % 05/2019 01/2026 23.6 23.6 21.3 (2)(12)
103.1 93.8
NCWS Intermediate, Inc. and NCWS Holdings LP (16) Manufacturer and supplier of car wash equipment, parts and supplies to the conveyorized car wash market First lien senior secured loan 6.75 % Libor (Q) 6.00 % 12/2020 12/2026 12.1 12.1 12.0 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 6.00 % 11/2021 12/2026 176.4 176.4 174.7 (2)(12)
Class A-2 common units 12/2020 12,296,000 12.9 18.5 (2)
201.4 205.2
Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC Provider of structural integrity management services to transmission and distribution infrastructure Second lien senior secured loan 7.25 % Libor (M) 6.75 % 06/2021 06/2029 55.3 55.3 54.7 (2)(12)
Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP. (16) Manufacturer of high-tolerance precision machined components and assemblies for the aerospace and defense industry First lien senior secured loan 7.00 % Libor (M) 6.00 % 08/2021 08/2027 45.8 45.8 45.4 (2)(6)(12)
Class A units 08/2021 88,420 13.4 13.4 (2)
59.2 58.8
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon (16) Manufacturer of metal castings, precision machined components and sub-assemblies in the electrical products, power transmission and distribution and general industrial markets First lien senior secured revolving loan % 10/2017 (14)
945.3 957.0 10.79 %
84

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Automobiles & Components
Automotive Keys Group, LLC and Automotive Keys Investor, LLC Provider of replacement wireless keys for automotive market First lien senior secured loan 6.00 % Libor (Q) 5.00 % 12/2021 11/2025 10.0 10.0 10.0 (2)(12)
Preferred units
9.00 % PIK
11/2020 4,113,113 4.5 4.5
Class A common units 11/2020 4,113,113 0.6 (2)
14.5 15.1
Continental Acquisition Holdings, Inc. Distributor of aftermarket batteries to the electric utility vehicle, automotive, commercial, marine and industrial markets First lien senior secured loan 7.75 % Libor (Q) 6.75 % 01/2021 01/2027 36.5 36.5 36.5 (2)(12)
First lien senior secured loan 7.75 % Libor (Q) 6.75 % 12/2021 01/2027 33.2 33.2 33.2 (2)(12)
69.7 69.7
Eckler Industries, Inc. and Eckler Purchaser LLC (5)(16) Restoration parts and accessories provider for classic automobiles First lien senior secured revolving loan 07/2012 05/2022 6.7 6.5 4.7 (2)(11)
First lien senior secured loan 07/2012 05/2022 26.3 25.5 18.4 (2)(11)
Class A common units 07/2012 67,972 16.4 (2)
48.4 23.1
Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc. Electric vehicle manufacturer Second lien senior secured loan
14.00 %PIK
03/2021 03/2022 80.3 79.9 80.3 (2)
Warrant to purchase shares of Class A common stock 08/2021 08/2027 633,008 2.3 1.2 (2)
82.2 81.5
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC (16) Manufacturer and distributor of automotive fluids First lien senior secured revolving loan 3.85 % Libor (M) 3.75 % 11/2020 11/2025 5.9 5.9 5.8 (2)(15)
Second lien senior secured loan 8.75 % Libor (Q) 8.00 % 11/2020 11/2028 70.4 70.4 66.1 (2)(12)
Co-invest units 11/2020 59,230 5.9 3.5 (2)
82.2 75.4
Mac Lean-Fogg Company and MacLean-Fogg Holdings, L.L.C. Manufacturer and supplier for the power utility and automotive markets worldwide First lien senior secured loan 5.88 % Libor (M) 5.25 % 12/2018 12/2025 123.8 123.5 123.8 (12)
First lien senior secured loan 5.88 % Libor (M) 5.25 % 12/2018 12/2025 19.1 19.1 19.1 (2)(12)
Preferred units
13.75 % ( 9.25 % PIK)
10/2015 59,453 75.0 75.0
217.6 217.9
Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP (16) Auto parts retailer First lien senior secured revolving loan 3.85 % Libor (M) 3.75 % 05/2021 05/2026 15.6 15.6 15.3 (2)(15)
Series A preferred stock
7.00 % PIK
05/2021 68,601 71.8 71.8 (2)
Class A-1 units 05/2021 24,586 24.6 26.8 (2)
112.0 113.9
McLaren Group Limited Automobile manufacturer and retailer Senior preference shares
12.50 %PIK
08/2021 200,000 20.7 27.1 (2)(6)
85

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Warrant to purchase ordinary shares 08/2021 08/2028 49,181 5.5 5.1 (2)(6)
Warrant to purchase ordinary shares 08/2021 08/2028 13,776 1.6 1.4 (2)(6)
27.8 33.6
SK SPV IV, LLC Collision repair site operator Series A common stock 08/2014 12,500 0.6 (2)
Series B common stock 08/2014 12,500 0.6 (2)
1.2
Sun Acquirer Corp. and Sun TopCo, LP (16) Automotive parts and repair services retailer First lien senior secured loan 6.50 % Libor (Q) 5.75 % 11/2021 09/2028 17.4 17.4 17.2 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.75 % 09/2021 09/2028 74.4 74.4 73.7 (2)(12)
Class A units 09/2021 74,896 7.5 9.2 (2)
99.3 100.1
Wand Newco 3, Inc. Collision repair company Second lien senior secured loan 7.43 % Libor (Q) 7.25 % 02/2019 02/2027 180.2 178.2 180.2 (2)
933.1 910.5 10.27 %
Power Generation
Apex Clean Energy TopCo, LLC (4) Developer, builder and owner of utility-scale wind and solar power facilities Class A common units 11/2021 1,335,610 80.5 79.1
Ferrellgas, L.P. Distributor of propane and related accessories Senior preferred units 8.96 % 03/2021 55,708 55.7 55.7
Heelstone Renewable Energy, LLC (5) Provider of cloud based IT solutions, infrastructure and services First lien senior secured loan 8.00 % Libor (Q) 7.00 % 04/2021 04/2024 39.0 39.0 39.0 (2)(12)
Class A1 units 04/2021 100 23.5 30.4
62.5 69.4
Navisun LLC and Navisun Holdings LLC (5) Owner and operator of commercial and industrial solar projects First lien senior secured loan
8.00 % PIK
11/2017 11/2023 54.4 54.4 54.4 (2)
First lien senior secured loan
9.00 % PIK
03/2019 11/2023 15.2 15.2 15.2 (2)
First lien senior secured loan
8.00 % ( 3.00 % PIK)
08/2019 11/2023 46.5 46.5 46.5 (2)
Series A preferred units
10.50 % PIK
11/2017 1,000 14.7 15.8
Class A units 11/2017 550 11.8
130.8 143.7
Opal Fuels LLC Owner of natural gas facilities Senior subordinated loan
8.00 % PIK
05/2021 12/2026 52.7 43.8 47.8
PosiGen, Inc. Seller and leaser of solar power systems for residential and commercial customers Warrant to purchase shares of series D-1 preferred stock 06/2021 06/2028 101,555 (2)
Warrant to purchase shares of common stock 01/2020 01/2027 1,112,022 (2)
Potomac Intermediate Holdings II LLC (5) Gas turbine power generation facilities operator Series A units 11/2021 220,884,442 179.7 179.7
Riverview Power LLC Operator of natural gas and oil fired power generation facilities First lien senior secured loan 10.00 % Libor (Q) 9.00 % 08/2021 06/2024 54.2 53.7 54.2 (2)(12)
SE1 Generation, LLC Solar power developer Senior subordinated loan
10.25 % ( 5.50 % PIK)
12/2019 12/2022 58.8 58.8 57.0 (2)
86

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC Residential solar energy provider First lien senior secured loan 3.61 % 10/2019 02/2055 0.1 0.1 0.1 (2)
Senior subordinated loan
8.75 % ( 4.00 % PIK)
Libor (Q) 6.75 % 11/2019 11/2025 142.5 142.5 142.5 (2)(12)
142.6 142.6
Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC Residential solar energy provider First lien senior secured loan 3.98 % 06/2019 06/2054 0.4 0.4 0.4 (2)
Senior subordinated loan
8.75 % ( 2.77 % PIK)
Libor (Q) 6.75 % 06/2019 07/2030 69.3 69.3 69.3 (12)
69.7 69.7
877.8 898.9 10.14 %
Consumer Durables & Apparel
Badger Sportswear Acquisition, Inc. Provider of team uniforms and athletic wear Second lien senior secured loan 10.25 % Libor (Q) 9.00 % 09/2016 03/2024 56.8 56.8 56.8 (2)(12)
Bowhunter Holdings, LLC Provider of branded archery and bowhunting accessories Common units 04/2014 421 4.2
Centric Brands LLC and Centric Brands GP LLC (16) Designer, marketer and distributor of licensed and owned apparel First lien senior secured revolving loan 6.50 % Libor (Q) 5.50 % 05/2020 10/2024 2.3 2.3 2.3 (2)(12)
First lien senior secured loan
10.00 % PIK
Libor (Q) 9.00 % 10/2018 10/2025 67.9 67.8 67.3 (2)(12)
Membership interests 10/2018 279,392 2.9 11.5 (2)
73.0 81.1
DRS Holdings III, Inc. and DRS Holdings I, Inc. (16) Footwear and orthopedic foot-care brand First lien senior secured loan 6.75 % Libor (Q) 5.75 % 11/2019 11/2025 29.8 29.8 29.8 (12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 06/2021 11/2025 46.7 46.7 46.7 (12)
Common stock 11/2019 8,549 8.5 11.3 (2)
85.0 87.8
Implus Footcare, LLC Provider of footwear and other accessories First lien senior secured loan 8.75 % Libor (Q) 7.75 % 06/2017 04/2024 103.3 103.3 95.1 (2)(12)
First lien senior secured loan 8.75 % Libor (Q) 7.75 % 06/2017 04/2024 14.1 14.1 13.0 (2)(12)
First lien senior secured loan 8.75 % Libor (Q) 7.75 % 06/2016 04/2024 1.3 1.3 1.2 (2)(12)
First lien senior secured loan 8.75 % Libor (Q) 7.75 % 07/2018 04/2024 5.0 5.0 4.6 (2)(12)
123.7 113.9
Lew's Intermediate Holdings, LLC (16) Outdoor brand holding company First lien senior secured revolving loan 4.14 % Libor (Q) 4.00 % 02/2021 02/2026 1.8 1.8 1.8 (2)
First lien senior secured loan 5.75 % Libor (Q) 5.00 % 02/2021 02/2028 1.0 1.0 1.0 (2)(12)
2.8 2.8
Pelican Products, Inc. (16) Flashlights manufacturer Second lien senior secured loan 8.25 % Libor (Q) 7.75 % 12/2021 12/2029 60.0 60.0 59.4 (2)(12)
Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC Sports equipment manufacturing company First lien senior secured loan 7.75 % Libor (Q) 6.75 % 12/2020 12/2026 93.2 93.2 93.2 (2)(12)
First lien senior secured loan 7.75 % Libor (Q) 6.75 % 11/2021 12/2026 8.8 8.8 8.8 (2)(12)
102.0 102.0
87

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Reef Lifestyle, LLC (16) Apparel retailer First lien senior secured revolving loan
8.50 % ( 2.00 % PIK)
Libor (M) 7.50 % 10/2018 10/2024 12.1 12.1 12.1 (2)(12)(15)
First lien senior secured revolving loan
8.50 % ( 2.00 % PIK)
Libor (M) 7.50 % 07/2020 10/2024 0.6 0.6 0.6 (2)(12)
First lien senior secured loan
8.50 % ( 2.00 % PIK)
Libor (Q) 7.50 % 10/2018 10/2024 25.0 25.0 25.0 (12)
First lien senior secured loan 8.50 % Libor (Q) 7.50 % 07/2020 10/2024 1.1 1.1 1.1 (12)
38.8 38.8
S Toys Holdings LLC (fka The Step2 Company, LLC) (5) Toy manufacturer Class B common units 10/2014 126,278,000 0.2
Common units 04/2011 1,116,879
Warrant to purchase units 04/2010 3,157,895
0.2
SHO Holding I Corporation Manufacturer and distributor of slip resistant footwear Second lien senior secured loan
9.54 % PIK
Libor (M) 8.54 % 10/2015 10/2024 116.2 115.6 98.9 (2)(12)
Shock Doctor, Inc. and Shock Doctor Holdings, LLC (4)(16) Developer, marketer and distributor of sports protection equipment and accessories First lien senior secured revolving loan 7.25 % Base Rate (M) 4.00 % 05/2019 05/2024 1.1 1.1 1.1 (2)(12)(15)
First lien senior secured revolving loan 6.50 % Libor (M) 5.50 % 05/2019 05/2024 0.1 0.1 0.1 (2)(12)(15)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 05/2019 05/2024 19.2 19.1 19.1 (2)(12)
Class A preferred units 03/2014 50,000 5.0 0.4 (2)
Class C preferred units 04/2015 50,000 5.0 0.4 (2)
Preferred units 05/2019 14,591 1.6 2.0 (2)
31.9 23.1
SVP-Singer Holdings Inc. and SVP-Singer Holdings LP Manufacturer of consumer sewing machines First lien senior secured loan 7.50 % Libor (Q) 6.75 % 07/2021 07/2028 44.9 43.7 42.3 (2)(12)
Class A common units 07/2021 6,264,706 26.1 24.5 (2)
69.8 66.8
Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. (4) Designer, marketer, and distributor of rain and cold weather products First lien senior secured loan 7.00 % Libor (Q) 6.00 % 12/2019 12/2024 2.2 2.2 1.9 (2)(12)
First lien senior secured loan 5.00 % Libor (Q) 4.00 % 12/2019 06/2024 1.6 1.6 1.6 (2)(12)
Common stock 12/2019 861,000 6.0 0.4 (2)
9.8 3.9
Varsity Brands Holding Co., Inc. and BCPE Hercules Holdings, LP Leading manufacturer and distributor of textiles, apparel & luxury goods Second lien senior secured loan 9.25 % Libor (M) 8.25 % 07/2018 12/2025 21.1 21.1 20.3 (2)(12)
Second lien senior secured loan 9.25 % Libor (M) 8.25 % 12/2017 12/2025 122.7 122.8 117.9 (12)
Class A units 07/2018 1,400 1.4 0.7 (2)
145.3 138.9
918.7 874.4 9.86 %
Consumer Services
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. (5) Restaurant owner and operator First lien senior secured loan 11/2006 12/2022 111.4 (2)(11)
88

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Aimbridge Acquisition Co., Inc. Hotel operator Second lien senior secured loan 7.60 % Libor (M) 7.50 % 02/2019 02/2027 22.5 22.2 21.4 (2)
American Residential Services L.L.C. and Aragorn Parent Holdings LP (16) Heating, ventilation and air conditioning services provider Second lien senior secured loan 9.50 % Libor (Q) 8.50 % 10/2020 10/2028 56.4 56.4 56.4 (2)(12)
Series A preferred units
10.00 % PIK
10/2020 2,531,500 2.8 3.7 (2)
59.2 60.1
ATI Restoration, LLC (16) Provider of disaster recovery services First lien senior secured revolving loan 6.00 % Libor (Q) 5.00 % 07/2020 07/2026 8.1 8.1 8.1 (2)(12)(15)
First lien senior secured revolving loan 7.25 % Base Rate (Q) 4.00 % 07/2020 07/2026 2.5 2.5 2.5 (12)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 07/2020 07/2026 33.3 33.3 33.3 (12)
43.9 43.9
Belfor Holdings, Inc. (16) Disaster recovery services provider First lien senior secured revolving loan 5.50 % Base Rate (Q) 2.25 % 04/2019 04/2024 (2)(15)
Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L. Manager and operator of banquet facilities, restaurants, hotels and other leisure properties First lien senior secured loan 11.75 % Libor (Q) 10.75 % 05/2018 05/2023 68.2 67.4 61.4 (2)(12)
First lien senior secured loan 11.75 % Libor (Q) 10.75 % 11/2018 05/2023 15.2 15.2 13.6 (2)(12)
First lien senior secured loan
11.75 % PIK
Libor (M) 10.75 % 07/2019 05/2023 15.5 15.3 13.9 (2)(12)
First lien senior secured loan 11.75 % Libor (Q) 10.75 % 12/2019 05/2023 20.0 18.9 18.0 (2)(12)
First lien senior secured loan 11.75 % Libor (Q) 10.75 % 08/2018 05/2023 3.0 3.0 2.7 (2)(12)
First lien senior secured loan 11.75 % Libor (Q) 10.75 % 06/2020 05/2023 4.9 4.9 4.4 (2)(12)
First lien senior secured loan
11.75 % PIK
Libor (Q) 10.75 % 12/2020 05/2023 30.0 28.8 27.0 (2)(12)
Warrant 03/2021 03/2041 718.66 2.1 3.4 (2)(6)
155.6 144.4
Concert Golf Partners Holdco LLC (16) Golf club owner and operator First lien senior secured revolving loan 5.50 % Libor (Q) 4.50 % 08/2019 08/2025 0.1 0.1 0.1 (2)(12)
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC (16) Provider of plumbing and HVAC services First lien senior secured revolving loan % 11/2020 (14)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 11/2020 11/2026 72.7 72.7 72.7 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 04/2021 11/2026 80.4 80.4 80.4 (2)(12)
Class A units 11/2020 6,099 20.9 34.4 (2)
174.0 187.5
Garden Fresh Restaurant Corp. and GFRC Holdings LLC (16) Restaurant owner and operator First lien senior secured revolving loan 02/2017 02/2022 7.5 (2)(11)
First lien senior secured loan 02/2017 02/2022 21.6 (2)(11)
Jenny C Acquisition, Inc. Health club franchisor Senior subordinated loan
8.00 % PIK
04/2019 04/2025 1.4 1.4 1.4 (2)
Jim N Nicks Management, LLC (16) Restaurant owner and operator First lien senior secured revolving loan 6.25 % Libor (Q) 5.25 % 07/2017 07/2023 2.8 2.8 2.8 (2)(12)
First lien senior secured loan 6.25 % Libor (Q) 5.25 % 07/2017 07/2023 14.7 14.7 14.7 (12)
17.5 17.5
KeyStone Sub-debt HoldCo, LLC Planet Fitness franchisee Senior subordinated loan
10.00 % PIK
01/2021 01/2027 54.3 51.2 52.7 (2)
89

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Senior subordinated loan
10.00 % PIK
09/2021 01/2027 7.2 7.2 7.0 (2)
Warrant to purchase Class C interests 01/2021 01/2027 24.7581 3.6 4.2 (2)
62.0 63.9
Len the Plumber, LLC, LTP Neffsville, LLC, LTP of NJ, LLC, and LTP LSI, LLC Provider of plumbing services First lien senior secured loan 7.00 % Libor (Q) 6.00 % 10/2021 02/2026 9.1 9.1 9.0 (2)(12)
LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC (16) Provider of residential HVAC and plumbing services First lien senior secured loan 7.00 % Libor (Q) 6.00 % 10/2021 10/2026 6.9 6.9 6.8 (2)(12)
Membership interest 10/2021 2,771,000 2.8 2.8
9.7 9.6
ME Equity LLC Franchisor in the massage industry Common stock 09/2012 3,000,000 3.0 3.1 (2)
Movati Athletic (Group) Inc. Premier health club operator First lien senior secured loan
7.45 % ( 0.50 % PIK)
Base rate (Q) 4.20 % 10/2017 10/2024 0.2 0.2 0.2 (2)(6)(12)
First lien senior secured loan
7.50 % ( 0.50 % PIK)
CDOR (Q) 6.00 % 10/2017 10/2024 2.9 3.0 2.7 (2)(6)(12)
First lien senior secured loan
7.50 % ( 0.50 % PIK)
CDOR (Q) 6.00 % 10/2017 10/2024 2.3 2.2 2.1 (6)(12)
5.4 5.0
OTG Management, LLC Airport restaurant operator Class A preferred units 08/2016 3,000,000 25.3 15.8
Common units 01/2011 3,000,000 3.0
Warrant to purchase common units 06/2008 7.73 % 0.1
28.4 15.8
Pyramid Management Advisors, LLC and Pyramid Investors, LLC (16) Hotel operator First lien senior secured revolving loan
8.00 % ( 1.25 % PIK)
Libor (Q) 7.00 % 04/2018 07/2023 9.6 9.6 8.8 (2)(12)(15)
First lien senior secured loan
8.00 % ( 1.25 % PIK)
Libor (Q) 7.00 % 04/2018 07/2023 18.2 18.2 16.8 (12)
First lien senior secured loan
8.00 % ( 1.25 % PIK)
Libor (Q) 7.00 % 12/2019 07/2023 6.4 6.4 5.8 (2)(12)
Preferred membership units 07/2016 996,833 1.0 0.5
35.2 31.9
Redwood Services, LLC and Redwood Services Holdco, LLC (16) Provider of residential HVAC and plumbing services First lien senior secured loan 8.00 % Libor (Q) 7.00 % 12/2021 12/2025 1.0 1.0 1.0 (2)(12)
First lien senior secured loan 8.00 % Libor (Q) 7.00 % 12/2020 12/2025 12.5 12.5 12.5 (2)(12)
Series D units
8.00 % PIK
12/2020 5,291,723 5.7 11.6
19.2 25.1
Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc. Provider of safety systems for business and residential customers First lien senior secured loan 8.25 % Libor (M) 7.25 % 08/2020 08/2024 46.2 46.2 46.2 (2)(12)
SV-Burton Holdings, LLC & LBC Breeze Holdings LLC (16) Provider of HVAC and plumbing services to residential and commercial customers First lien senior secured loan 6.50 % Libor (Q) 5.50 % 12/2021 12/2027 11.0 11.0 10.9 (2)(12)
90

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Class A units 12/2021 4,296 4.3 4.3
15.3 15.2
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. (16) Planet Fitness franchisee First lien senior secured revolving loan
6.75 % ( 0.50 % PIK)
Libor (Q) 5.75 % 07/2018 07/2024 0.5 0.5 0.5 (2)(12)
First lien senior secured loan
6.25 % ( 0.50 % PIK)
Libor (Q) 5.25 % 03/2020 07/2025 1.1 1.1 1.1 (2)(12)
Class A units 07/2018 37,020 3.8 2.0
5.4 3.6
The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc. (16) Premier health club operator First lien senior secured loan
10.25 % ( 2.00 % PIK)
Base rate (Q) 7.00 % 12/2019 12/2024 15.5 15.5 14.1 (2)(12)
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP (16) Refrigeration, heating, ventilation and air conditioning services provider First lien senior secured revolving loan 8.25 % Base Rate (Q) 5.00 % 12/2021 12/2027 2.0 2.0 2.0 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 6.00 % 12/2021 12/2027 47.2 47.2 46.7 (2)(12)
Class A units 12/2021 4,897,000 4.9 4.9
54.1 53.6
YE Brands Holdings, LLC (16) Sports camp operator First lien senior secured loan 6.25 % Libor (Q) 5.50 % 10/2021 10/2027 8.0 8.0 7.9 (2)(12)
790.4 780.3 8.80 %
Retailing and Distribution
Atlas Intermediate III, L.L.C. (16) Specialty chemicals distributor First lien senior secured loan 6.50 % Libor (Q) 5.50 % 03/2021 04/2025 0.2 0.2 0.2 (2)(12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 11/2021 04/2025 2.1 2.1 2.1 (2)(12)
2.3 2.3
Bamboo Purchaser, Inc. (16) Provider of nursery, garden, and greenhouse products First lien senior secured loan 6.75 % Libor (Q) 6.00 % 11/2021 11/2027 39.1 39.1 38.6 (2)(12)
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. (16) Provider of visual communications solutions First lien senior secured loan 6.65 % Libor (M) 5.65 % 03/2019 03/2025 16.0 16.0 16.0 (12)
First lien senior secured loan 6.65 % Libor (M) 5.65 % 08/2019 03/2025 0.1 0.1 0.1 (2)(12)
First lien senior secured loan 6.65 % Libor (M) 5.65 % 06/2021 03/2025 0.1 0.1 0.1 (2)(12)
Common units 03/2019 600.0 0.6 1.0 (2)
16.8 17.2
GPM Investments, LLC and ARKO Corp. Convenience store operator Common stock 12/2020 2,088,478 19.8 18.3
Warrant to purchase common stock 12/2020 12/2025 1,088,780 1.6 1.9 (2)
21.4 20.2
Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC Distributor of OEM appliance aftermarket parts First lien senior secured loan 6.25 % Libor (Q) 5.50 % 06/2021 06/2028 18.7 18.7 18.5 (2)(12)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 12/2021 06/2028 2.1 2.1 2.1 (12)
First lien senior secured loan 6.00 % Libor (Q) 5.25 % 12/2021 06/2028 6.6 6.6 6.5 (12)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 06/2021 06/2028 35.0 35.0 34.6 (2)(12)
Class A common units 06/2021 5,578 5.8 9.3 (2)
91

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
68.2 71.0
McKenzie Creative Brands, LLC (16) Designer, manufacturer and distributor of hunting-related supplies First lien senior secured loan 6.75 % Libor (Q) 5.75 % 09/2014 09/2023 84.5 84.5 84.5 (8)(12)
First lien senior secured loan 6.75 % Libor (A) 5.75 % 09/2014 09/2023 5.5 5.5 5.5 (12)
90.0 90.0
Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP (16) Operator of retail and wholesale tree and plant nurseries First lien senior secured loan 6.75 % Libor (Q) 5.75 % 10/2021 10/2027 79.0 79.0 78.2 (12)
Limited partnership interests 10/2021 96,939,152 96.9 96.9
175.9 175.1
North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC (16) Manufacturer of aftermarket golf cart parts and accessories First lien senior secured loan 7.00 % Libor (Q) 6.00 % 05/2021 05/2027 22.3 22.3 22.1 (2)(12)
Class A units 05/2021 50,000 5.0 4.1
27.3 26.2
Reddy Ice LLC (16) Packaged ice manufacturer and distributor First lien senior secured revolving loan % 07/2019 (14)
First lien senior secured loan 7.50 % Libor (Q) 6.50 % 07/2019 07/2025 61.9 61.9 61.9 (12)
First lien senior secured loan 7.50 % Libor (B) 6.50 % 11/2020 07/2025 4.3 4.3 4.3 (2)(12)
First lien senior secured loan 7.50 % Libor (B) 6.50 % 10/2021 07/2025 13.0 13.0 13.0 (2)(12)
79.2 79.2
SCIH Salt Holdings Inc. (16) Salt and packaged ice melt manufacturer and distributor First lien senior secured revolving loan 5.00 % Libor (M) 4.00 % 03/2020 03/2025 2.1 2.0 1.9 (2)(12)(15)
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. (16) Producer and packager of compressed, household, and packaged salt First lien senior secured loan 6.25 % Libor (Q) 5.50 % 07/2021 07/2028 40.1 40.1 39.7 (2)(12)
Limited partner interests 07/2021 0.40 % 0.8 0.8 (2)
40.9 40.5
563.1 562.2 6.34 %
Media & Entertainment
Aventine Intermediate LLC & Aventine Holdings II LLC (16) Media and production company First lien senior secured loan 6.75 % Libor (Q) 6.00 % 12/2021 06/2027 6.6 6.6 6.5 (2)(12)
Senior subordinated loan 10.25 % 12/2021 12/2030 35.6 35.6 35.3 (2)
42.2 41.8
CMW Parent LLC (fka Black Arrow, Inc.) Multiplatform media firm Series A units 09/2015 32 (2)
Global Music Rights, LLC (16) Music right management company First lien senior secured loan 6.50 % Libor (Q) 5.75 % 08/2021 08/2028 22.3 22.3 22.1 (2)(12)
Miami Beckham United LLC American professional soccer club Class A preferred units
8.50 % PIK
09/2021 85,000 87.1 87.1
92

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
MMax Investment Partners, Inc. (d/b/a Professional Fighters League) and PFL MMA, Inc. Mixed martial arts league First lien senior secured loan
10.00 % PIK
01/2021 01/2026 15.4 14.0 13.9 (2)
Warrant to purchase shares of common stock 01/2021 01/2027 3,223,122 1.7 1.9 (2)
15.7 15.8
OUTFRONT Media Inc. Provider of out-of-home advertising Series A convertible perpetual preferred stock 7.00 % 04/2020 25,000 25.0 44.4 (2)(6)
Padres L.P. (16) Sports and entertainment First lien senior secured loan 6.00 % Libor (M) 5.00 % 03/2021 03/2027 92.8 92.8 92.8 (2)(12)
Production Resource Group, L.L.C. and PRG III, LLC (4) Provider of rental equipment, labor, production management, scenery, and other products to various entertainment end-markets First lien senior secured loan
6.00 % ( 3.10 % PIK)
Libor (Q) 5.00 % 07/2020 08/2024 15.0 14.9 15.0 (2)(12)
First lien senior secured loan
9.75 % PIK
Libor (Q) 8.50 % 08/2018 08/2024 34.9 34.9 34.9 (2)(12)
First lien senior secured loan
8.50 % ( 2.50 % PIK)
Libor (Q) 7.50 % 06/2021 08/2024 0.8 0.8 0.8 (2)(12)
First lien senior secured loan
6.00 % PIK
Libor (Q) 5.00 % 08/2021 08/2024 5.0 5.0 5.0 (2)(12)
Class A units 10/2020 113,617 4.9 0.6 (2)
60.5 56.3
Storm Investment S.a.r.l. Spanish soccer club First lien senior secured loan 3.88 % Euribor (A) 3.75 % 06/2021 06/2029 70.2 73.6 70.3 (2)(6)
Class A redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class B redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class C redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class D redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class E redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class F redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class G redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class H redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Class I redeemable shares 06/2021 3,297,791 1.6 1.5 (2)(6)
Ordinary shares 06/2021 3,958 (2)(6)
88.0 83.8
The Teaching Company Holdings, Inc. Education publications provider Preferred stock 09/2006 10,663 1.1 2.9 (2)
Common stock 09/2006 15,393 1.2 (2)
1.1 4.1
434.7 448.2 5.05 %
Food and Beverage
93

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
American Seafoods Group LLC and American Seafoods Partners LLC Harvester and processor of seafood Class A units 08/2015 77,922 0.1 0.2 (2)
Warrant to purchase Class A units 08/2015 08/2035 7,422,078 7.4 18.9 (2)
7.5 19.1
Berner Food & Beverage, LLC (16) Supplier of dairy-based food and beverage products First lien senior secured revolving loan 8.75 % Base Rate (Q) 5.50 % 07/2021 07/2026 0.4 0.4 0.4 (2)(12)
First lien senior secured revolving loan 7.50 % Libor (Q) 6.50 % 07/2021 07/2026 0.3 0.3 0.3 (2)(12)
0.7 0.7
Bragg Live Food Products, LLC and SPC Investment Co., L.P. (4)(16) Health food company First lien senior secured revolving loan 7.25 % Libor (Q) 6.25 % 03/2019 12/2025 1.7 1.7 1.6 (2)(12)
First lien senior secured loan 7.25 % Libor (Q) 6.25 % 12/2020 12/2025 39.4 39.4 37.4 (12)
Common units 03/2019 14,850 11.5 8.8 (2)
52.6 47.8
CHG PPC Parent LLC & PPC CHG Blocker LLC Diversified food products manufacturer Second lien senior secured loan 7.25 % Libor (M) 6.75 % 12/2021 12/2029 94.6 94.6 93.7 (2)(12)
Common units 12/2021 58.56 3.0 3.0 (2)
97.6 96.7
Florida Food Products, LLC Provider of plant extracts and juices First lien senior secured loan 5.75 % Libor (M) 5.00 % 10/2021 10/2028 4.3 4.3 4.3 (2)(12)
Second lien senior secured loan 8.75 % Libor (Q) 8.00 % 10/2021 10/2029 71.8 71.8 71.1 (2)(12)
76.1 75.4
Gehl Foods, LLC and GF Parent LLC Producer of low-acid, aseptic food and beverage products Class A preferred units 05/2015 2,940 2.9 (2)
Class A common units 05/2015 60,000 0.1 (2)
Class B common units 05/2015 0.26 (2)
3.0
KC Culinarte Intermediate, LLC Manufacturer of fresh refrigerated and frozen food products First lien senior secured loan 4.75 % Libor (M) 3.75 % 01/2020 08/2025 29.1 28.9 27.6 (12)
Second lien senior secured loan 8.75 % Libor (M) 7.75 % 08/2018 08/2026 35.7 35.7 32.0 (2)(12)
64.6 59.6
Manna Pro Products, LLC (16) Manufacturer and supplier of specialty nutrition and care products for animals First lien senior secured revolving loan 7.00 % Libor (M) 6.00 % 12/2020 12/2026 1.9 1.9 1.9 (2)(12)
RF HP SCF Investor, LLC Branded specialty food company Membership interest 12/2016 10.08 % 12.5 19.0 (2)(6)
Teasdale Foods, Inc. and Familia Group Holdings Inc. Provider of beans, sauces and hominy to the retail, foodservice and wholesale channels First lien senior secured loan
8.00 % ( 0.40 % PIK)
Libor (Q) 7.00 % 12/2020 12/2025 78.3 78.3 73.6 (2)(12)
Warrant to purchase shares of common stock 02/2019 02/2034 57,827 (2)
78.3 73.6
Triton Water Holdings, Inc. Producer and provider of bottled water brands First lien senior secured loan 4.00 % Libor (Q) 3.50 % 03/2021 03/2028 1.0 1.0 1.0 (2)(12)(19)
Senior subordinated loan 6.25 % 03/2021 04/2029 0.1 0.1 0.1 (2)(19)
1.1 1.1
Watermill Express, LLC and Watermill Express Holdings, LLC (16) Owner and operator of self-service water and ice stations First lien senior secured revolving loan % 04/2021 (14)
94

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
First lien senior secured loan 6.25 % Libor (Q) 5.25 % 04/2021 04/2027 19.4 19.4 19.4 (12)
Class A units
8.00 % PIK
04/2021 282,200 3.0 2.7
22.4 22.1
Winebow Holdings, Inc. and The Vintner Group, Inc. Importer and distributor of wine First lien senior secured loan 7.25 % Libor (M) 6.25 % 04/2021 07/2025 28.3 28.3 28.3 (12)
446.6 445.3 5.02 %
Materials
ASP-r-pac Acquisition Co LLC and ASP-r-pac Holdings LP (16) Manufacturer and supplier of printed packaging and trimmings First lien senior secured revolving loan 6.75 % Libor (Q) 6.00 % 12/2021 12/2027 1.2 1.2 1.2 (2)(12)
First lien senior secured loan 6.75 % Libor (Q) 6.00 % 12/2021 12/2027 46.3 46.3 45.8 (2)(12)
Class A units 12/2021 195,990 19.6 19.6 (2)
67.1 66.6
Genomatica, Inc. Developer of a biotechnology platform for the production of chemical products Warrant to purchase shares of Series D preferred stock 03/2013 03/2023 322,422
Halex Holdings, Inc. (5) Manufacturer of flooring installation products Common stock 01/2017 51,853
H-Food Holdings, LLC and Matterhorn Parent, LLC Food contract manufacturer First lien senior secured loan 6.00 % Libor (M) 5.00 % 12/2021 05/2025 75.0 74.6 75.0 (2)(12)
Second lien senior secured loan 7.10 % Libor (M) 7.00 % 11/2018 03/2026 73.0 73.0 73.0 (2)
Common units 11/2018 5,827 5.8 6.8
153.4 154.8
IntraPac International LLC and IntraPac Canada Corporation (16) Manufacturer of diversified packaging solutions and plastic injection molded products First lien senior secured revolving loan 6.25 % Libor (Q) 5.50 % 01/2019 01/2025 6.2 6.2 6.2 (2)(6)(12)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 01/2019 01/2026 14.8 14.8 14.8 (6)(12)
First lien senior secured loan 6.25 % Libor (Q) 5.50 % 06/2021 01/2026 10.8 10.8 10.8 (2)(6)(12)
31.8 31.8
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. (16) Manufacturer of thermoformed packaging for medical devices First lien senior secured revolving loan 5.25 % Libor (Q) 4.25 % 07/2019 07/2024 0.2 0.2 0.2 (2)(6)(12)
First lien senior secured loan 5.25 % Libor (Q) 4.25 % 07/2019 07/2026 15.0 15.0 15.0 (6)(12)
First lien senior secured loan 4.50 % Euribor (Q) 4.50 % 07/2019 07/2026 5.2 5.1 5.2 (2)(6)
First lien senior secured loan 4.50 % Euribor (Q) 4.50 % 08/2019 07/2026 24.4 24.0 24.4 (2)(6)
Class A units 07/2019 6,762,668 6.8 7.1 (2)(6)
51.1 51.9
Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C. Developer and manufacturer of absorbent pads for food products First lien senior secured loan 6.75 % Libor (Q) 5.75 % 12/2020 12/2026 23.9 23.9 23.9 (12)
Class A preferred units
10.00 % PIK
12/2020 4,772 5.2 6.3 (2)
Class C units 12/2020 4,772 (2)
29.1 30.2
95

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC Manufacturer of specialized acrylic and polycarbonate sheets Second lien senior secured loan 8.00 % Libor (Q) 7.00 % 12/2018 12/2026 55.0 55.0 55.0 (2)(12)
Co-Invest units 12/2018 5,969 0.6 0.9 (2)
55.6 55.9
SCI PH Parent, Inc. Industrial container manufacturer, reconditioner and servicer Series B shares 08/2018 11.4764 1.1 1.2 (2)
389.2 392.4 4.43 %
Pharmaceuticals, Biotechnology & Life Sciences
Abzena Holdings, Inc. and Astro Group Holdings Ltd. (16) Organization providing discovery, development and manufacturing services to the pharmaceutical and biotechnology industries First lien senior secured loan 10.50 % Libor (Q) 9.50 % 05/2021 05/2026 13.7 13.7 13.7 (2)(12)
First lien senior secured loan
11.50 % ( 5.75 % PIK)
Libor (Q) 10.50 % 05/2021 05/2026 30.5 30.5 30.5 (2)(12)
Class A ordinary shares 05/2021 1,237,500 2.5 2.8 (2)
46.7 47.0
Alcami Corporation and ACM Holdings I, LLC (16) Outsourced drug development services provider First lien senior secured loan 4.39 % Libor (B) 4.25 % 07/2018 07/2025 29.2 29.1 28.0
Second lien senior secured loan 8.14 % Libor (B) 8.00 % 07/2018 07/2026 77.5 77.1 69.0 (2)
Common units 07/2018 3,663,533 35.0 19.5 (2)
141.2 116.5
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. (16) Provider of biological products to life science and pharmaceutical companies First lien senior secured revolving loan 6.00 % Libor (M) 5.25 % 10/2021 10/2027 0.6 0.6 0.6 (2)(12)
First lien senior secured loan 6.00 % Libor (Q) 5.25 % 10/2021 10/2028 29.1 29.1 28.8 (2)(12)
Series A preferred shares 10.75 % Libor (Q) 10.00 % 10/2021 60,236 60.2 60.2 (2)(12)
Preferred units
8.00 % PIK
10/2021 3,020 3.1 0.3 (2)
Class A common units 10/2021 30,500 2.8 (2)
93.0 92.7
NMC Skincare Intermediate Holdings II, LLC (16) Developer, manufacturer and marketer of skincare products First lien senior secured revolving loan 6.00 % Libor (M) 5.00 % 10/2018 10/2024 6.2 6.2 6.1 (2)(12)
First lien senior secured loan 6.00 % Libor (M) 5.00 % 10/2018 10/2024 24.2 24.2 23.9 (12)
First lien senior secured loan 6.00 % Libor (M) 5.00 % 10/2018 10/2024 8.1 8.1 8.1 (12)
38.5 38.1
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P. (16) Contract research organization providing research and development and testing of medical devices First lien senior secured loan 6.50 % Libor (Q) 5.75 % 09/2020 09/2027 48.0 48.0 48.0 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.75 % 02/2021 09/2027 2.6 2.6 2.6 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.75 % 09/2021 09/2027 0.1 0.1 0.1 (2)(12)
Class A preferred units
8.00 % PIK
09/2020 13,528 14.9 32.8 (2)
65.6 83.5
96

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
TerSera Therapeutics LLC (16) Acquirer and developer of specialty therapeutic pharmaceutical products First lien senior secured revolving loan % 11/2019 (14)
First lien senior secured loan 6.60 % Libor (Q) 5.60 % 05/2017 03/2025 5.1 5.0 5.1 (12)
First lien senior secured loan 6.60 % Libor (Q) 5.60 % 09/2018 03/2025 2.1 2.1 2.1 (12)
First lien senior secured loan 6.60 % Libor (Q) 5.60 % 04/2019 03/2025 1.8 1.8 1.8 (12)
8.9 9.0
Vertice Pharma UK Parent Limited Manufacturer and distributor of generic pharmaceutical products Preferred shares 12/2015 40,662 0.3 (6)
394.2 386.8 4.36 %
Energy
Birch Permian, LLC Operator of private exploration oil and production company Second lien senior secured loan 9.50 % Libor (Q) 8.00 % 04/2019 04/2023 75.7 75.5 75.7 (2)(12)
Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC Private oil exploration and production company Second lien senior secured loan 10.00 % Libor (Q) 9.00 % 07/2019 01/2024 63.1 63.1 63.1 (2)(12)
Halcon Holdings, LLC (16) Operator of development, exploration, and production oil company First lien senior secured loan 7.17 % Libor (M) 7.00 % 11/2021 11/2025 19.0 18.7 18.9 (2)
Murchison Oil and Gas, LLC and Murchison Holdings, LLC Exploration and production company First lien senior secured loan 11.00 % Libor (Q) 9.00 % 09/2019 10/2023 2.7 2.7 2.7 (2)(12)
First lien senior secured loan 10.00 % Libor (Q) 8.00 % 09/2019 10/2023 38.3 38.3 38.3 (2)(12)
Preferred units 8.00 % 10/2018 21,667 24.9 27.4
65.9 68.4
Sundance Energy Inc. (4) Oil and gas producer Common stock 04/2021 157,970 69.8 68.6 (2)
VPROP Operating, LLC and V SandCo, LLC (5)(16) Sand-based proppant producer and distributor to the oil and natural gas industry First lien senior secured loan
11.00 % PIK
Libor (M) 9.50 % 11/2020 11/2024 7.0 7.0 7.0 (2)(12)
First lien senior secured loan
11.00 % PIK
Libor (M) 9.50 % 06/2020 11/2024 5.5 5.5 5.5 (2)(12)
First lien senior secured loan
11.00 % PIK
Libor (M) 9.50 % 03/2017 11/2024 25.1 25.1 25.1 (2)(12)
Class A units 11/2020 347,900 32.8 39.9 (2)
70.4 77.5
363.4 372.2 4.20 %
Food & Staples Retailing
Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P. Manufacturer and distributor of specialty bakery ingredients Second lien senior secured loan 7.50 % Libor (Q) 7.00 % 09/2021 09/2029 29.5 29.5 29.4 (2)(12)
Class A preferred units
8.00 % PIK
09/2021 5,484 5.6 5.5 (2)
Series A preferred shares
11.00 % PIK
09/2021 21,921 22.7 22.7 (2)
57.8 57.6
Continental Cafe, LLC and Infinity Ovation Yacht Charters, LLC (16) Diversified contract food service provider First lien senior secured loan 8.00 % Libor (Q) 7.00 % 11/2021 11/2027 15.7 15.7 15.5 (2)(12)
DecoPac, Inc. and KCAKE Holdings Inc. (16) Supplier of cake decorating solutions and products to in-store bakeries First lien senior secured revolving loan 7.00 % Libor (M) 6.00 % 05/2021 05/2026 2.4 2.4 2.4 (2)(12)
97

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
First lien senior secured loan
9.00 % ( 2.00 % PIK)
Libor (Q) 8.00 % 05/2021 05/2028 148.5 148.5 148.5 (2)(12)
Common stock 05/2021 9,599 9.6 10.0 (2)
160.5 160.9
FS Squared Holding Corp. and FS Squared, LLC (16) Provider of on-site vending and micro market solutions First lien senior secured revolving loan % 03/2019 (14)
First lien senior secured loan 5.36 % Libor (M) 5.25 % 03/2019 03/2025 0.1 0.1 0.1 (2)
Class A units 03/2019 113,219 11.1 19.2 (2)
11.2 19.3
JWC/KI Holdings, LLC Foodservice sales and marketing agency Membership units 11/2015 5,000 5.0 7.7 (2)
SFE Intermediate Holdco LLC (16) Provider of outsourced foodservice to K-12 school districts First lien senior secured loan 5.75 % Libor (Q) 4.75 % 09/2018 07/2024 10.1 10.1 10.1 (12)
First lien senior secured loan 5.75 % Libor (Q) 4.75 % 07/2017 07/2024 6.3 6.3 6.3 (12)
16.4 16.4
VCP-EDC Co-Invest, LLC Distributor of foodservice equipment and supplies Membership units 06/2017 2,970,000 2.8 0.4
269.4 277.8 3.13 %
Technology Hardware & Equipment
Chariot Buyer LLC (16) Provider of smart access solutions across residential and commercial properties First lien senior secured revolving loan 5.75 % Base Rate (M) 2.50 % 11/2021 11/2026 0.2 0.2 0.2 (2)
First lien senior secured revolving loan 3.60 % Libor (M) 3.50 % 11/2021 11/2026 2.5 2.5 2.5 (2)
Second lien senior secured loan 7.50 % Libor (M) 6.75 % 11/2021 11/2029 134.4 134.4 133.0 (2)(12)
137.1 135.7
Everspin Technologies, Inc. Designer and manufacturer of computer memory solutions Warrant to purchase shares of common stock 10/2016 10/2026 18,461 0.4 (2)
Micromeritics Instrument Corp. (16) Scientific instrument manufacturer First lien senior secured revolving loan % 12/2019 (14)
First lien senior secured loan 6.00 % Libor (Q) 5.00 % 12/2019 12/2025 32.0 32.0 32.0 (12)
32.0 32.0
Repairify, Inc. and Repairify Holdings, LLC (16) Provider of automotive diagnostics scans and solutions Class A common units 06/2021 163,820 4.9 4.8 (2)
Wildcat BuyerCo, Inc. and Wildcat Parent, LP (16) Provider and supplier of electrical components for commercial and industrial applications First lien senior secured loan 6.75 % Libor (Q) 5.75 % 02/2020 02/2026 18.2 18.2 18.2 (12)
First lien senior secured loan 6.75 % Libor (Q) 5.75 % 11/2021 02/2026 9.5 9.5 9.5 (2)(12)
Limited partnership interests 02/2020 17,655 1.8 2.8 (2)
29.5 30.5
203.9 203.0 2.29 %
Transportation
Commercial Trailer Leasing, Inc. (16) Trailer leasing company First lien senior secured loan 7.25 % Libor (Q) 6.25 % 01/2021 01/2026 92.8 92.8 92.8 (2)(12)
98

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Second lien senior secured loan 13.00 % 01/2021 01/2027 19.9 19.9 19.9 (2)
112.7 112.7
Shur-Co Acquisition, Inc. and Shur-Co HoldCo, Inc. (16) Provider of tarp systems and accessories for trucks, trailers, carts, and specialty equipment used in the agriculture, construction and flatbed markets First lien senior secured revolving loan 7.00 % Libor (Q) 6.00 % 06/2021 06/2027 1.0 1.0 1.0 (2)(12)
First lien senior secured loan 7.00 % Libor (Q) 6.00 % 06/2021 06/2027 27.0 27.0 27.0 (12)
Common stock 06/2021 7,598,999 7.6 8.9 (2)
35.6 36.9
148.3 149.6 1.69 %
Household & Personal Products
CDI Holdings III Corp. and CDI Holdings I Corp. (16) Provider of personal care appliances First lien senior secured loan 6.75 % Libor (Q) 5.75 % 12/2021 12/2027 3.8 3.8 3.8 (2)(12)
Common stock 12/2021 6,149 6.1 6.1 (2)
9.9 9.9
Foundation Consumer Brands, LLC Pharmaceutical holding company of over the counter brands First lien senior secured loan 7.38 % Libor (Q) 6.38 % 02/2021 10/2026 24.9 24.4 24.8 (12)
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. (16) Manufacturer and supplier of natural fragrance materials and cosmeceuticals First lien senior secured loan 6.75 % Libor (M) 5.75 % 08/2021 08/2027 27.5 27.5 27.3 (2)(12)
Limited partner interests 08/2021 4.58 % 4.7 4.1 (2)
32.2 31.4
Rug Doctor, LLC and RD Holdco Inc. (5) Manufacturer and marketer of carpet cleaning machines Second lien senior secured loan
11.25 % PIK
Libor (M) 9.75 % 01/2017 05/2023 22.0 22.0 21.0 (2)(12)
Common stock 01/2017 458,596 14.0
Warrant to purchase shares of common stock 01/2017 12/2023 56,372
36.0 21.0
Walnut Parent, Inc. Manufacturer of natural solution pest and animal control products First lien senior secured loan 6.50 % Libor (M) 5.50 % 11/2020 11/2027 14.9 14.9 14.9 (12)
First lien senior secured loan 6.50 % Libor (Q) 5.50 % 11/2021 11/2027 19.9 19.9 19.9 (2)(12)
34.8 34.8
137.3 121.9 1.37 %
Education
Excelligence Holdings Corp. Developer, manufacturer and retailer of educational products First lien senior secured loan
7.00 % ( 4.50 % PIK)
Libor (Q) 6.00 % 04/2017 04/2023 9.6 9.6 9.3 (2)(12)
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. (16) Distributor of instructional products, services and resources First lien senior secured revolving loan 5.50 % Libor (A) 4.75 % 08/2018 08/2023 4.9 4.9 4.8 (2)(12)
First lien senior secured loan 5.50 % Libor (Q) 4.75 % 07/2017 08/2023 30.0 30.0 29.3 (12)
First lien senior secured loan 5.50 % Libor (Q) 4.75 % 08/2018 08/2023 1.1 1.1 1.1 (12)
Series A preferred stock 10/2014 1,272 0.7 1.1 (2)
36.7 36.3
99

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2021
(dollar amounts in millions)

Company(1) Business Description Investment Coupon(3) Reference(7) Spread(3) Acquisition
Date
Maturity Date Shares Principal Amortized
Cost
Fair
Value
%
of Net
Assets
Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc. Private school operator First lien senior secured loan 10.50 % Libor (Q) 9.00 % 03/2020 10/2022 4.0 4.0 4.0 (2)(12)
Senior preferred series A-1 shares 10/2015 151,056 98.2 36.4 (2)
Series B preferred stock 08/2010 348,615 1.0 (2)
Series B preferred stock 08/2010 1,401,385 4.0 (2)
Series C preferred stock 06/2010 517,942 0.1 (2)
Series C preferred stock 06/2010 1,994,644 0.5 (2)
Common stock 06/2010 4 (2)
Common stock 06/2010 16 (2)
107.8 40.4
Primrose Holding Corporation (4) Franchisor of education-based early childhood centers Common stock 01/2017 7,227 4.6 27.0
158.7 113.0 1.27 %
Telecommunication Services
Emergency Communications Network, LLC (16) Provider of mission critical emergency mass notification solutions First lien senior secured loan
8.75 % ( 5.12 % PIK)
Libor (Q) 7.75 % 06/2017 06/2023 46.0 46.0 42.4 (2)(12)
46.0 42.4 0.48 %
Total Investments $ 19,810.0 $ 20,009.5 225.65 %
100


Derivative Instruments

Forward currency contracts
Description Notional Amount to be Purchased Notional Amount to be sold Counterparty Settlement Date Unrealized Appreciation / (Depreciation)
Forward currency contract $ 240 CAD 309 Truist Financial Corporation January 28, 2022 $ ( 5 )
Forward currency contract $ 163 CAD 209 Truist Financial Corporation January 19, 2022 ( 2 )
Forward currency contract $ 172 153 Truist Financial Corporation January 28, 2022 ( 2 )
Forward currency contract $ 126 £ 95 Truist Financial Corporation January 28, 2022 ( 3 )
Forward currency contract $ 1 CAD 2 Truist Financial Corporation January 28, 2022
Total $ ( 12 )
______________________________________________

(1) Other than the Company’s investments listed in footnote 5 below (subject to the limitations set forth therein), the Company does not “Control” any of its portfolio companies, for the purposes of the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”). In general, under the Investment Company Act, the Company would “Control” a portfolio company if the Company owned more than 25% of its outstanding voting securities (i.e., securities with the right to elect directors) and/or had the power to exercise control over the management or policies of such portfolio company. All of the Company’s portfolio company investments, which as of December 31, 2021 represented 226 % of the Company’s net assets or 96 % of the Company’s total assets, are subject to legal restrictions on sales.

(2) These assets are pledged as collateral under the Company’s or the Company’s consolidated subsidiaries’ various revolving credit facilities and, as a result, are not directly available to the creditors of the Company to satisfy any obligations of the Company other than the obligations under each of the respective facility (see Note 5).

(3) Investments without an interest rate are non-income producing.

101




(4) As defined in the Investment Company Act, the Company is deemed to be an “Affiliated Person” because it owns 5% or more of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the year ended December 31, 2021 in which the issuer was an Affiliated Person of the Company (but not a portfolio company that the Company is deemed to Control) are as follows:
For the Year Ended December 31, 2021
As of December 31, 2021
(in millions)
Company
Purchases (cost) Redemptions (cost) Sales (cost) Interest income Capital
structuring service fees
Dividend income Other income Net realized gains (losses) Net
unrealized gains (losses)
Fair Value
Apex Clean Energy TopCo, LLC $ 80.5 $ $ $ $ $ $ $ $ ( 1.4 ) $ 79.1
APG Intermediate Holdings Corporation and APG Holdings, LLC 0.1 1.0 ( 1.1 ) 25.0
Blue Angel Buyer 1, LLC and Blue Angel Holdco, LLC 9.7 46.3 ( 18.4 )
Blue Wolf Capital Fund II, L.P. 0.5 0.2
Bragg Live Food Products, LLC and SPC Investment Co., L.P. 4.6 7.8 3.1 0.2 0.1 ( 4.4 ) 47.8
Crown Health Care Laundry Services, LLC and Crown Laundry Holdings, LLC 27.2 4.5 ( 0.5 ) 0.9 10.7 ( 8.0 )
ESCP PPG Holdings, LLC ( 0.3 ) 2.8
European Capital UK SME Debt LP 7.7 0.4 4.9 26.9
Panda Temple Power, LLC and T1 Power Holdings LLC 19.6 0.2 9.8 0.9
PCG-Ares Sidecar Investment II, L.P. 0.1 0.8 11.1
PCG-Ares Sidecar Investment, L.P. 0.6 1.5 1.3
Primrose Holding Corporation 12.9 27.0
Production Resource Group, L.L.C. and PRG III, LLC 11.5 0.1 4.8 0.3 0.1 ( 4.3 ) 56.3
Shock Doctor, Inc. and Shock Doctor Holdings, LLC 0.8 1.4 1.4 0.1 4.3 23.1
Sundance Energy Inc. ( 1.1 ) 68.6
Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 0.3 ( 1.5 ) 3.9
$ 97.5 $ 64.5 $ 14.2 $ 10.3 $ 0.3 $ 0.6 $ 1.0 $ 67.5 $ ( 15.2 ) $ 373.1

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(5) As defined in the Investment Company Act, the Company is deemed to be both an “Affiliated Person” and “Control” this portfolio company because it owns more than 25% of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the year ended December 31, 2021 in which the issuer was both an Affiliated Person and a portfolio company that the Company is deemed to Control are as follows:
For the Year Ended December 31, 2021 As of December 31, 2021
(in millions)
Company
Purchases (cost) Redemptions (cost) Sales (cost) Interest income Capital
structuring service fees
Dividend income Other income Net realized gains (losses) Net
unrealized gains (losses)
Fair Value
Absolute Dental Group LLC and Absolute Dental Equity, LLC $ 50.5 $ 26.4 $ $ 4.1 $ 1.6 $ $ 0.1 $ $ 5.0 $ 63.9
ACAS Equity Holdings Corporation 0.4 0.4
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. 58.4 ( 57.2 ) 58.4
BW Landco LLC 20.9 20.8 ( 16.0 )
CoLTs 2005-1 Ltd.
CoLTs 2005-2 Ltd. 0.2
Eckler Industries, Inc. and Eckler Purchaser LLC 3.5 2.5 ( 8.1 ) 23.1
Halex Holdings, Inc.
HCI Equity, LLC ( 0.1 )
Heelstone Renewable Energy, LLC 41.7 8.5 1.5 0.7 0.4 0.2 9.3 69.4
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation 2.4 0.6 8.4 53.0
Ivy Hill Asset Management, L.P. 347.5 70.5 37.0 2.9 93.0 67.3 935.8
Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 0.3 0.3
Navisun LLC and Navisun Holdings LLC 6.6 8.9 0.1 0.4 0.1 12.6 143.7
NECCO Holdings, Inc. and New England Confectionery Company, Inc. 1.9 14.5 ( 12.4 ) 8.0
NECCO Realty Investments LLC
Potomac Intermediate Holdings II LLC 68.4 179.7
PS Operating Company LLC and PS Op Holdings LLC 3.9 1.2 25.1
Rug Doctor, LLC and RD Holdco Inc. 2.4 ( 1.1 ) 21.0
S Toys Holdings LLC (fka The Step2 Company, LLC) ( 0.3 ) 0.2
Senior Direct Lending Program, LLC 232.2 367.7 138.0 18.6 3.8 987.3
Singer Sewing Company, SVP-Singer Holdings, LLC and SVP-Singer Holdings LP 234.2 25.4 1.9 6.7 0.5 109.7 ( 87.8 )
Startec Equity, LLC
VPROP Operating, LLC and V SandCo, LLC 0.9 4.0 5.4 77.5
$ 757.1 $ 781.7 $ 57.9 $ 192.1 $ 22.9 $ 100.5 $ 5.1 $ 61.3 $ 61.4 $ 2,580.4
______________________________________________________________________

*    Together with Varagon Capital Partners (“Varagon”) and its clients, the Company has co-invested through the Senior Direct Lending Program LLC (d/b/a the “Senior Direct Lending Program” or the “SDLP”). The SDLP has been capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of the Company and Varagon (with approval from a representative of each required); therefore, although the Company owns more than 25 % of the voting securities of the SDLP, the Company does not believe that it has control over the
103


SDLP (for purposes of the Investment Company Act or otherwise) because, among other things, these “voting securities” do not afford the Company the right to elect directors of the SDLP or any other special rights (see Note 4 to the consolidated financial statements).

(6) This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act. Under the Investment Company Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Company's total assets. Pursuant to Section 55(a) of the Investment Company Act, 16 % of the Company's total assets are represented by investments at fair value and other assets that are considered "non-qualifying assets" as of December 31, 2021.

(7) Variable rate loans to the Company’s portfolio companies bear interest at a rate that may be determined by reference to either the London Interbank Offered Rate (“LIBOR”) or an alternate base rate (commonly based on the Federal Funds Rate or the Prime Rate), at the borrower’s option, which reset annually (A), semi-annually (S), quarterly (Q), bi-monthly (B), monthly (M) or daily (D). For each such loan, the Company has provided the interest rate in effect on the date presented.

(8) In addition to the interest earned based on the stated interest rate of this security, the Company is entitled to receive an additional interest amount of 2.00 % on $ 46.9 in aggregate principal amount of a “first out” tranche of the portfolio company’s senior term debt previously syndicated by the Company into “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any other amounts due thereunder.

(9) The Company sold a participating interest of approximately $ 0.6 in aggregate principal amount of the portfolio company’s first lien senior secured delayed draw term loan. As the transaction did not qualify as a “true sale” in accordance with U.S. generally accepted accounting principles (“GAAP”), the Company recorded a corresponding $ 0.2 secured borrowing, at fair value, included in “secured borrowings” in the accompanying consolidated balance sheet. As of December 31, 2021, the interest rate in effect for the secured borrowing was 14.50 %.

(10) The Company sold a participating interest of approximately $ 75.0 in aggregate principal amount outstanding of the portfolio company’s first lien senior secured revolving loan. As the transaction did not qualify as a “true sale” in accordance with GAAP, the Company recorded a corresponding $ 73.2 secured borrowing, at fair value, included in “secured borrowings” in the accompanying consolidated balance sheet. As of December 31, 2021, the interest rate in effect for the secured borrowing was 8.50 %.

(11) Loan was on non-accrual status as of December 31, 2021.

(12) Loan includes interest rate floor feature.

(13) In addition to the interest earned based on the stated contractual interest rate of this security, the certificates entitle the holders thereof to receive a portion of the excess cash flow from the SDLP’s loan portfolio, after expenses, which may result in a return to the Company greater than the contractual stated interest rate.

(14) As of December 31, 2021, no amounts were funded by the Company under this first lien senior secured revolving loan; however, there were letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(15) As of December 31, 2021, in addition to the amounts funded by the Company under this first lien senior secured revolving loan, there were also letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(16) As of December 31, 2021, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to issue letters of credit through a financial intermediary on behalf of certain portfolio companies. Such commitments are subject to the satisfaction of certain conditions set forth in the documents governing these loans and letters of credit and there can be no assurance that such conditions will be satisfied. See Note 7 for further information on revolving and delayed draw loan commitments, including commitments to issue letters of credit, related to certain portfolio companies.
104



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
A.U.L. Corp. $ 1.2 $ $ 1.2 $ $ $ 1.2
Absolute Dental Group LLC and Absolute Dental Equity, LLC 7.0 ( 4.0 ) 3.0 3.0
Abzena Holdings, Inc. and Astro Group Holdings Ltd. 13.7 13.7 13.7
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC 4.1 ( 4.1 )
ADG, LLC and RC IV GEDC Investor LLC 13.7 ( 11.9 ) 1.8 1.8
AffiniPay Midco, LLC and AffiniPay Intermediate Holdings, LLC 9.0 9.0 9.0
AI Aqua Merger Sub, Inc. 0.1 0.1 0.1
Alcami Corporation and ACM Holdings I, LLC 29.0 29.0 29.0
Alera Group, Inc. 1.0 1.0 1.0
American Residential Services L.L.C. and Aragorn Parent Holdings LP 4.5 4.5 4.5
Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua 4.3 4.3 4.3
APG Intermediate Holdings Corporation and APG Holdings, LLC 0.1 0.1 0.1
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. 0.1 0.1 0.1
Apptio, Inc. 4.2 ( 1.7 ) 2.5 2.5
AQ Sunshine, Inc. 1.8 ( 0.3 ) 1.5 1.5
Argenbright Holdings V, LLC 1.3 1.3 1.3
Arrowhead Holdco Company and Arrowhead GS Holdings, Inc. 20.0 ( 5.0 ) 15.0 15.0
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP 6.2 ( 1.2 ) 5.0 5.0
Athenahealth, Inc., VVC Holding Corp., Virence Intermediate Holding Corp., and Virence Holdings LLC 33.1 33.1 33.1
ATI Restoration, LLC 12.5 ( 11.4 ) 1.1 1.1
Atlas Intermediate III, L.L.C. 0.4 0.4 0.4
Aventine Intermediate LLC and Aventine Holdings II LLC 2.6 2.6 2.6
Avetta, LLC 4.2 4.2 4.2
AxiomSL Group, Inc. and Calypso Group, Inc. 3.9 3.9 3.9
Bamboo Purchaser, Inc. 4.1 4.1 4.1
Banyan Software Holdings, LLC 33.8 33.8 33.8
Beacon Pointe Harmony, LLC 9.0 9.0 9.0
Bearcat Buyer, Inc. and Bearcat Parent, Inc. 32.8 32.8 32.8
Belfor Holdings, Inc. 25.0 ( 4.0 ) 21.0 21.0
Benecon Midco II LLC and Locutus Holdco LLC 4.5 4.5 4.5
Benefytt Technologies, Inc. 5.9 5.9 5.9
Berner Food & Beverage, LLC 1.7 ( 0.7 ) 1.0 1.0
Borrower R365 Holdings LLC 1.5 1.5 1.5
Bragg Live Food Products, LLC and SPC Investment Co., L.P. 4.4 ( 1.7 ) 2.7 2.7
Businessolver.com, Inc. 18.9 18.9 18.9
Cadence Aerospace, LLC 15.1 ( 11.7 ) 3.4 3.4
Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP 27.3 ( 11.2 ) 16.1 16.1
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. 5.0 ( 0.6 ) 4.4 4.4
CCS-CMGC Holdings, Inc. 12.0 ( 3.0 ) 9.0 9.0
CDI Holdings III Corp. and CDI Holdings I Corp. 0.9 0.9 0.9
Center for Autism and Related Disorders, LLC 8.5 ( 8.3 ) 0.2 0.2
Centric Brands LLC and Centric Brands GP LLC 7.9 ( 2.3 ) 5.6 5.6
Chariot Buyer LLC 12.3 ( 2.8 ) 9.5 9.5
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. 23.7 ( 0.6 ) 23.1 23.1
Commercial Trailer Leasing, Inc. 3.3 3.3 3.3
Comprehensive EyeCare Partners, LLC 1.9 ( 0.3 ) 1.6 1.6
105


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Concert Golf Partners Holdco LLC 0.6 ( 0.1 ) 0.5 0.5
Consilio Midco Limited and Consilio Investment Holdings, L.P. 20.0 20.0 0 20.0
Continental Café, LLC and Infinity Ovation Yacht Charters, LLC 8.0 8.0 8.0
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP 38.9 38.9 38.9
Cority Software Inc., IQS, Inc. and Cority Parent, Inc. 0.1 0.1 0.1
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. 38.7 ( 0.1 ) 38.6 38.6
Cozzini Bros., Inc. and BH-Sharp Holdings LP 15.0 15.0 15.0
CrossCountry Mortgage, LLC 56.3 56.3 56.3
CST Buyer Company (d/b/a Intoxalock) 6.1 6.1 6.1
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC 19.7 ( 0.4 ) 19.3 19.3
DecoPac, Inc. and KCAKE Holdings Inc. 16.5 ( 2.4 ) 14.1 14.1
Denali Holdco LLC and Denali Topco LLC 5.4 5.4 5.4
DFC Global Facility Borrower III LLC 103.5 ( 73.2 ) 30.3 30.3
Diligent Corporation and Diligent Preferred Issuer, Inc. 9.7 9.7 9.7
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. 2.3 2.3 2.3
DRS Holdings III, Inc. and DRS Holdings I, Inc. 10.8 10.8 10.8
DS Admiral Bidco, LLC 0.1 0.1 0.1
DTI Holdco, Inc. and OPE DTI Holdings, Inc. 6.6 ( 5.2 ) 1.4 1.4
Dye & Durham Corporation 19.5 19.5 19.5
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP 7.1 7.1 7.1
Eckler Industries, Inc. and Eckler Purchaser LLC 6.9 ( 6.7 ) 0.2 ( 0.2 )
Elemica Parent, Inc. & EZ Elemica Holdings, Inc. 4.1 ( 2.3 ) 1.8 1.8
Emergency Communications Network, LLC 6.5 6.5 6.5
EP Wealth Advisors, LLC 2.8 ( 0.2 ) 2.6 2.6
EpiServer Inc. and Episerver Sweden Holdings AB 14.5 14.5 14.5
EPS NASS Parent, Inc. 6.6 ( 0.9 ) 5.7 5.7
eResearch Technology, Inc. and Astorg VII Co-Invest ERT 2.5 2.5 2.5
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC 53.3 ( 1.0 ) 52.3 52.3
Extrahop Networks, Inc. 8.5 8.5 8.5
FL Hawk Intermediate Holdings, Inc. 0.5 0.5 0.5
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. 10.0 ( 4.9 ) 5.1 5.1
Flow Control Solutions, Inc. 6.0 6.0 6.0
FM:Systems Group, LLC 1.5 ( 1.5 )
Forescout Technologies, Inc. 0.1 0.1 0.1
Foundation Risk Partners, Corp. 38.1 38.1 38.1
FS Squared Holding Corp. and FS Squared, LLC 9.6 ( 0.5 ) 9.1 9.1
Galway Borrower LLC 23.3 ( 0.4 ) 22.9 22.9
Garden Fresh Restaurant Corp. and GFRC Holdings LLC 7.5 ( 7.5 )
Genesis Acquisition Co. and Genesis Ultimate Holding Co. 1.5 ( 1.5 )
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC 47.5 47.5 47.5
GI Ranger Intermediate LLC 9.0 9.0 9.0
Global Music Rights, LLC 4.3 4.3 4.3
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC 5.0 5.0 5.0
Green Street Parent, LLC and Green Street Intermediate Holdings, LLC 0.3 0.3 0.3
HAI Acquisition Corporation and Aloha Topco, LLC 19.0 19.0 19.0
Halcon Holdings, LLC 6.8 6.8 6.8
106


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Harvey Tool Company, LLC 29.5 ( 5.9 ) 23.6 23.6
HealthEdge Software, Inc. 42.3 ( 0.3 ) 42.0 42.0
Heavy Construction Systems Specialists, LLC 4.0 4.0 4.0
Heelstone Renewable Energy, LLC 51.0 51.0 51.0
Help/Systems Holdings, Inc. 7.5 7.5 7.5
HH-Stella, Inc. and Bedrock Parent Holdings, LP 18.1 ( 0.5 ) 17.6 17.6
High Street Buyer, Inc. and High Street Holdco LLC 8.0 8.0 8.0
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC 9.5 ( 5.9 ) 3.6 3.6
Hometown Food Company 3.9 3.9 3.9
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP 22.6 ( 1.6 ) 21.0 21.0
IntraPac International LLC and IntraPac Canada Corporation 19.2 ( 6.2 ) 13.0 13.0
JDC Healthcare Management, LLC 4.4 ( 4.4 )
Jim N Nicks Management, LLC 4.8 ( 2.8 ) 2.0 2.0
Joyce Lane Capital LLC and Joyce Lane Financing SPV LLC (fka Ciena Capital LLC) 1.4 1.4 1.4
K2 Insurance Services, LLC and K2 Holdco LP 10.9 10.9 10.9
KBHS Acquisition, LLC (d/b/a Alita Care, LLC) 5.0 ( 0.8 ) 4.2 4.2
Kellermeyer Bergensons Services, LLC 23.0 23.0 23.0
Kene Acquisition, Inc. and Kene Holdings, L.P. 8.9 ( 0.2 ) 8.7 8.7
Laboratories Bidco LLC and Laboratories Topco LLC 44.6 44.6 44.6
Lakers Buyer, Inc. and Lakers Parent LLC 11.1 ( 3.6 ) 7.5 7.5
Lew's Intermediate Holdings, LLC 2.3 ( 1.8 ) 0.5 0.5
Lido Advisors, LLC 0.8 0.8 0.8
LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC 16.2 16.2 16.2
Majesco and Magic Topco, L.P. 2.0 2.0 2.0
Manna Pro Products, LLC 7.0 ( 1.9 ) 5.1 5.1
Maverick Acquisition, Inc. 17.2 17.2 17.2
Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP 32.9 ( 23.4 ) 9.5 9.5
McKenzie Creative Brands, LLC 4.5 4.5 4.5
Medline Borrower, LP 6.9 6.9 6.9
Micromeritics Instrument Corp. 4.1 ( 0.1 ) 4.0 4.0
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. 31.3 31.3 31.3
Ministry Brands, LLC and MB Parent HoldCo, L.P. (dba Community Brands) 10.9 ( 5.0 ) 5.9 5.9
MMIT Holdings, LLC 4.6 ( 0.6 ) 4.0 4.0
Monica Holdco (US) Inc. 3.6 3.6 3.6
Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP 15.2 15.2 15.2
MRI Software LLC 10.2 10.2 10.2
n2y Holding, LLC 0.1 0.1 0.1
NAS, LLC and Nationwide Marketing Group, LLC 3.0 ( 0.6 ) 2.4 2.4
National Intergovernmental Purchasing Alliance Company 9.0 9.0 9.0
NCWS Intermediate, Inc. and NCWS Holdings LP 28.3 28.3 28.3
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. 0.6 ( 0.2 ) 0.4 0.4
Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1 119.1 119.1 119.1
NMC Skincare Intermediate Holdings II, LLC 9.1 ( 6.2 ) 2.9 2.9
NMN Holdings III Corp. and NMN Holdings LP 12.5 ( 1.1 ) 11.4 11.4
North American Fire Holdings, LLC and North American Fire Ultimate Holdings, LLC 23.9 23.9 23.9
107


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P. 6.0 6.0 6.0
North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC 6.7 6.7 6.7
North Haven Stack Buyer, LLC 10.0 10.0 10.0
NSM Insurance Group, LLC 6.0 ( 0.7 ) 5.3 5.3
NueHealth Performance, LLC 6.2 ( 3.3 ) 2.9 2.9
Olympia Acquisition, Inc. and Olympia TopCo, L.P. 11.0 ( 10.3 ) 0.7 0.7
OneDigital Borrower LLC 7.5 7.5 7.5
Padres L.P. 64.2 64.2 64.2
Pathway Vet Alliance LLC and Jedi Group Holdings LLC 1.9 1.9 1.9
Patriot Growth Insurance Services, LLC 6.7 6.7 6.7
Paya, Inc and GTCR-Ultra Holdings LLC 4.5 4.5 4.5
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC 7.6 7.6 7.6
Pegasus Global Enterprise Holdings, LLC, Mekone Blocker Acquisition, Inc. and Mekone Parent, LLC 45.9 45.9 45.9
Pelican Products, Inc. 2.3 2.3 2.3
People Corporation 29.4 ( 2.9 ) 26.5 26.5
Perforce Software, Inc. 0.5 0.5 0.5
Petroleum Service Group LLC 16.9 ( 3.8 ) 13.1 13.1
Pluralsight, Inc. 0.3 0.3 0 0.3
Precinmac (US) Holdings Inc., Trimaster Manufacturing Inc. and Blade Group Holdings, LP. 15.5 15.5 15.5
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. 11.0 11.0 11.0
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP 36.0 ( 12.6 ) 23.4 23.4
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC 29.7 29.7 29.7
Production Resource Group, L.L.C. and PRG III, LLC 2.5 2.5 2.5
ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P. 15.0 15.0 15.0
Project Essential Bidco, Inc. and Project Essential Super Parent, Inc. 1.1 1.1 1.1
Project Potter Buyer, LLC and Project Potter Parent, L.P. 43.8 ( 0.9 ) 42.9 42.9
Proofpoint, Inc. 3.1 3.1 3.1
PS Operating Company LLC and PS Op Holdings LLC 5.9 ( 2.8 ) 3.1 3.1
Pyramid Management Advisors, LLC and Pyramid Investors, LLC 9.7 ( 9.7 ) 0
QF Holdings, Inc. 6.0 6.0 6.0
Radius Aerospace, Inc. and Radius Aerospace Europe Limited 2.9 2.9 2.9
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC 4.4 4.4 4.4
Reddy Ice LLC 0.3 0.3 0.3
Redwood Services, LLC and Redwood Services Holdco, LLC 4.7 4.7 4.7
Reef Lifestyle, LLC 32.8 ( 13.2 ) 19.6 19.6
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. 28.0 28.0 28.0
Relativity ODA LLC 3.8 3.8 3.8
Repairify, Inc. and Repairify Holdings, LLC 7.3 7.3 7.3
Rialto Management Group, LLC 1.3 ( 0.2 ) 1.1 1.1
RMS HoldCo II, LLC and RMS Group Holdings, Inc. 2.9 2.9 2.9
Rodeo AcquisitionCo LLC 6.2 ( 0.4 ) 5.8 5.8
RSC Acquisition, Inc. and RSC Insurance Brokerage, Inc. 0.6 ( 0.3 ) 0.3 0.3
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc. 15.9 ( 5.0 ) 10.9 10.9
108


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc. 8.5 8.5 8.5
Schill Landscaping and Lawn Care Services, LLC and Landscape Parallel Partners, LP 5.1 5.1 5.1
SCIH Salt Holdings Inc. 7.5 ( 6.2 ) 1.3 1.3
SCM Insurance Services Inc. 4.3 4.3 4.3
SFE Intermediate Holdco LLC 10.2 10.2 10.2
Shock Doctor, Inc. and Shock Doctor Holdings, LLC 2.5 ( 1.2 ) 1.3 1.3
Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc. 5.0 ( 1.0 ) 4.0 4.0
SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC 7.1 7.1 7.1
SM Wellness Holdings, Inc. and SM Holdco, Inc. 3.8 3.8 3.8
Spring Insurance Solutions, LLC 5.6 5.6 5.6
Star US Bidco LLC 8.5 8.5 8.5
Stealth Holding LLC and UCIT Online Security Inc. 2.9 2.9 2.9
Sun Acquirer Corp. and Sun TopCo, LP 26.8 26.8 26.8
Sundance Group Holdings, Inc. 7.6 ( 0.9 ) 6.7 6.7
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon 7.5 ( 0.6 ) 6.9 6.9
Sunshine Sub, LLC 5.8 5.8 5.8
SV-Burton Holdings, LLC and LBC Breeze Holdings LLC 7.3 7.3 7.3
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. 7.0 7.0 7.0
Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC 4.2 4.2 4.2
TA/WEG Holdings, LLC 9.3 ( 0.8 ) 8.5 8.5
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. 1.9 ( 0.5 ) 1.4 ( 0.3 ) 1.1
TCP Hawker Intermediate LLC 5.3 5.3 5.3
Teligent, Inc. 3.4 3.4 ( 3.4 )
TerSera Therapeutics LLC 0.1 0.1 0.1
The Alaska Club Partners, LLC, Athletic Club Partners LLC and The Alaska Club, Inc. 1.1 1.1 1.1
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP 29.5 ( 2.0 ) 27.5 27.5
The Ultimate Software Group, Inc. and H&F Unite Partners, L.P. 10.0 ( 0.1 ) 9.9 9.9
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP 6.9 6.9 6.9
Therapy Brands Holdings LLC 8.6 8.6 8.6
Thermostat Purchaser III, Inc. 11.7 11.7 11.7
THG Acquisition, LLC 34.8 34.8 34.8
United Digestive MSO Parent, LLC 8.4 8.4 8.4
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. 9.9 9.9 9.9
Verscend Holding Corp. 22.5 ( 0.1 ) 22.4 22.4
VLS Recovery Services, LLC 23.8 ( 1.5 ) 22.3 22.3
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. 6.2 6.2 6.2
VPROP Operating, LLC and V SandCo, LLC 7.1 7.1 7.1
VS Buyer, LLC 8.1 8.1 8.1
Watchfire Enterprises, Inc. 2.0 2.0 2.0
Watermill Express, LLC and Watermill Express Holdings, LLC 1.9 1.9 1.9
WebPT, Inc. 0.1 0.1 0.1
Wellness AcquisitionCo, Inc. 0.1 0.1 0.1
Wildcat BuyerCo, Inc. and Wildcat Parent, LP 9.9 9.9 0 9.9
WorkWave Intermediate II, LLC 5.2 5.2 5.2
WSHP FC Acquisition LLC 10.3 ( 1.5 ) 8.8 8.8
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(in millions)
Portfolio Company
Total revolving and delayed draw loan commitments Less: funded commitments Total unfunded commitments Less: commitments substantially at discretion of the Company Less: unavailable commitments due to borrowing base or other covenant restrictions Total net adjusted unfunded revolving and delayed draw commitments
XIFIN, Inc. and ACP Charger Co-Invest LLC 8.9 ( 1.1 ) 7.8 7.8
YE Brands Holdings, LLC 1.2 1.2 1.2
$ 2,732.5 $ ( 352.3 ) $ 2,380.2 $ $ ( 3.9 ) $ 2,376.3

(17) As of December 31, 2021, the Company was party to subscription agreements to fund equity investments in private equity investment partnerships as follows:
(in millions)
Company
Total private equity commitments Less: funded private equity commitments Total unfunded private equity commitments Less: private equity commitments substantially at the discretion of the Company Total net adjusted unfunded private equity commitments
PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P. $ 50.0 $ ( 12.5 ) $ 37.5 $ ( 37.5 ) $
European Capital UK SME Debt LP 60.9 ( 55.1 ) 5.8 ( 5.8 )
$ 110.9 $ ( 67.6 ) $ 43.3 $ ( 43.3 ) $

(18) As of December 31, 2021, the Company had commitments to co-invest in the SDLP for its portion of the SDLP’s commitment to fund delayed draw loans of up to $ 62 . See Note 4 to the consolidated financial statements for more information on the SDLP.

(19) Other than the investments noted by this footnote, the fair value of the Company’s investments is determined using unobservable inputs that are significant to the overall fair value measurement. See Note 8 to the consolidated financial statements for more information regarding the fair value of the Company’s investments.

(20) As of December 31, 2021, the estimated net unrealized gain for federal tax purposes was $ 0.1 billion based on a tax cost basis of $ 19.9 billion. As of December 31, 2021, the estimated aggregate gross unrealized loss for federal income tax purposes was $ 0.7 billion and the estimated aggregate gross unrealized gain for federal income tax purposes was $ 0.8 billion.


























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ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED STATEMENT OF STOCKHOLDERS’ EQUITY
(in millions, except per share data)
(unaudited)
Common Stock Capital in
Excess of
Par Value
Accumulated Undistributed (Overdistributed) Earnings Total
Stockholders’
Equity
Shares Amount
Balance at December 31, 2020 423 $ $ 7,656 $ ( 480 ) $ 7,176
Issuances of common stock (net of offering and underwriting costs) 14 249 249
Shares issued in connection with dividend reinvestment plan 9 9
Net investment income 144 144
Net realized gains on investments, foreign currency, extinguishment of debt and other transactions 16 16
Net unrealized gains on investments, foreign currency and other transactions 213 213
Dividends declared and payable ($ 0.40 per share)
( 175 ) ( 175 )
Balance at March 31, 2021 437 $ $ 7,914 $ ( 282 ) $ 7,632
Issuances of common stock (net of offering and underwriting costs) 7 135 135
Shares issued in connection with dividend reinvestment plan 1 10 10
Net investment income 171 171
Net realized gains on investments, foreign currency, extinguishment of debt and other transactions 59 59
Net unrealized gains on investments, foreign currency and other transactions 248 248
Dividends declared and payable ($ 0.40 per share)
( 177 ) ( 177 )
Balance at June 30, 2021 445 $ $ 8,059 $ 19 $ 8,078
Issuances of common stock (net of offering and underwriting costs) 15 304 304
Shares issued in connection with dividend reinvestment plan 1 10 10
Net investment income 184 184
Net realized gains on investments, foreign currency, extinguishment of debt and other transactions 149 149
Net unrealized gains on investments, foreign currency and other transactions 1 1
Dividends declared and payable ($ 0.41 per share)
( 189 ) ( 189 )
Balance at September 30, 2021 461 $ $ 8,373 $ 164 $ 8,537
Issuances of common stock (net of offering and underwriting costs) 6 131 131
Shares issued in connection with dividend reinvestment plan 1 9 9
Net investment income 242 242
Net realized gains on investments, foreign currency, extinguishment of debt and other transactions 16 16
Net unrealized gains on investments, foreign currency and other transactions 124 124
Dividends declared and payable ($ 0.41 per share)
( 191 ) ( 191 )
Tax reclassification of stockholders’ equity in accordance with GAAP 40 ( 40 )
Balance at December 31, 2021 468 $ $ 8,553 $ 315 $ 8,868
Issuances of common stock (net of offering and underwriting costs) 25 510 510
Shares issued in connection with dividend reinvestment plan 12 12
Net investment income 198 198
Net realized gains on investments, foreign currency, extinguishment of debt and other transactions 10 10
Net unrealized gains on investments, foreign currency and other transactions 3 3
Dividends declared and payable ($ 0.45 per share)
( 220 ) ( 220 )
Cumulative effect of adjustment for the adoption of ASU 2020-06 (Note 2) ( 4 ) 2 ( 2 )
Balance at March 31, 2022 493 $ $ 9,071 $ 308 $ 9,379
Issuances of common stock (net of offering and underwriting costs) 3 68 68
Net investment income 257 257
Net realized losses on investments, foreign currency, extinguishment of debt and other transactions ( 3 ) ( 3 )
Net unrealized losses on investments, foreign currency and other transactions ( 143 ) ( 143 )
Dividends declared and payable ($ 0.45 per share)
( 223 ) ( 223 )
Balance at June 30, 2022 496 $ $ 9,139 $ 196 $ 9,335
Issuances of common stock (net of offering and underwriting costs) 12 231 231
Net investment income 288 288
Net realized gains on investments, foreign currency, extinguishment of debt and other transactions
Net unrealized losses on investments, foreign currency and other transactions ( 184 ) ( 184 )
Dividends declared and payable ($ 0.46 per share)
( 234 ) ( 234 )
Balance at September 30, 2022
508 $ $ 9,370 $ 66 $ 9,436

See accompanying notes to consolidated financial statements.
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ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED STATEMENT OF CASH FLOWS
(in millions)
(unaudited)
For the Nine Months Ended September 30,
2022 2021
OPERATING ACTIVITIES:
Net increase in stockholders’ equity resulting from operations $ 426 $ 1,185
Adjustments to reconcile net increase in stockholders’ equity resulting from operations:
Net realized gains on investments, foreign currency and other transactions ( 55 ) ( 267 )
Net unrealized losses (gains) on investments, foreign currency and other transactions 324 ( 462 )
Realized loss on extinguishment of debt 48 43
Net accretion of discount on investments ( 8 ) ( 11 )
PIK interest ( 97 ) ( 121 )
Collections of PIK interest 30 101
PIK dividends ( 126 ) ( 61 )
Collections of PIK dividends 27 122
Amortization of debt issuance costs 22 19
Net amortization of discount (premium) on notes payable ( 3 ) 3
Proceeds from sales and repayments of investments and other transactions 5,565 6,738
Purchases of investments ( 7,048 ) ( 8,026 )
Changes in operating assets and liabilities:
Interest receivable ( 12 ) 3
Receivable from participants 38
Other assets 48 14
Operating lease right-of-use asset 6 8
Base management fees payable 9 9
Income based fees payable ( 4 ) ( 87 )
Capital gains incentive fees payable ( 89 ) 133
Interest and facility fees payable ( 24 ) ( 17 )
Payable to participants ( 9 ) ( 52 )
Accounts payable and other liabilities ( 19 ) 7
Operating lease liabilities ( 10 ) ( 11 )
Net cash used in operating activities ( 999 ) ( 692 )
FINANCING ACTIVITIES:
Borrowings on debt 4,990 12,131
Repayments and repurchases of debt ( 4,248 ) ( 10,752 )
Debt issuance costs ( 15 ) ( 49 )
Net proceeds from issuance of common stock 808 687
Dividends paid ( 665 ) ( 512 )
Secured borrowings, net 5 74
Net cash provided by financing activities 875 1,579
CHANGE IN CASH, CASH EQUIVALENTS AND RESTRICTED CASH ( 124 ) 887
CASH, CASH EQUIVALENTS AND RESTRICTED CASH, BEGINNING OF PERIOD 486 326
CASH, CASH EQUIVALENTS AND RESTRICTED CASH, END OF PERIOD $ 362 $ 1,213
Supplemental Information:
Interest paid during the period $ 303 $ 250
Taxes, including excise tax, paid during the period $ 33 $ 23
Dividends declared and payable during the period $ 677 $ 541

See accompanying notes to consolidated financial statements.
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ARES CAPITAL CORPORATION AND SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
As of September 30, 2022
(in millions, except per share data, percentages and as otherwise indicated;
for example, with the word “billion” or otherwise)
(unaudited)

1. ORGANIZATION

Ares Capital Corporation (the “Company”) is a specialty finance company that is a closed-end, non-diversified management investment company incorporated in Maryland. The Company has elected to be regulated as a business development company (“BDC”) under the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”). The Company has elected to be treated as a regulated investment company (“RIC”) under the Internal Revenue Code of 1986, as amended (the “Code”), and operates in a manner so as to qualify for the tax treatment applicable to RICs.
The Company’s investment objective is to generate both current income and capital appreciation through debt and equity investments. The Company invests primarily in first lien senior secured loans (including “unitranche” loans, which are loans that combine both senior and subordinated debt, generally in a first lien position) and second lien senior secured loans. In addition to senior secured loans, the Company also invests in subordinated loans (sometimes referred to as mezzanine debt), which in some cases includes an equity component, and preferred equity. To a lesser extent, the Company also makes common equity investments.
The Company is externally managed by Ares Capital Management LLC (“Ares Capital Management” or the Company’s “investment adviser”), a subsidiary of Ares Management Corporation (“Ares Management”), a publicly traded, leading global alternative investment manager, pursuant to an investment advisory and management agreement. Ares Operations LLC (“Ares Operations” or the Company’s “administrator”), a subsidiary of Ares Management, provides certain administrative and other services necessary for the Company to operate.
2. SIGNIFICANT ACCOUNTING POLICIES

Basis of Presentation
The accompanying consolidated financial statements have been prepared on the accrual basis of accounting in conformity with U.S. generally accepted accounting principles (“GAAP”), and include the accounts of the Company and its consolidated subsidiaries. The Company is an investment company following accounting and reporting guidance in Accounting Standards Codification (“ASC”) 946, Financial Services-Investment Companies . The consolidated financial statements reflect all adjustments and reclassifications that, in the opinion of management, are necessary for the fair presentation of the results of operations and financial condition as of and for the periods presented. All significant intercompany balances and transactions have been eliminated.

Interim financial statements are prepared in accordance with GAAP for interim financial information and pursuant to the requirements for reporting on Form 10-Q and Articles 6 or 10 of Regulation S-X. In the opinion of management, all adjustments, consisting solely of normal recurring accruals considered necessary for the fair presentation of financial statements for the interim period presented, have been included. The current period’s results of operations will not necessarily be indicative of results that ultimately may be achieved for the fiscal year ending December 31, 2022.
Cash, Cash Equivalents and Restricted Cash
Cash and cash equivalents include funds from time to time deposited with financial institutions and short-term, liquid investments in a money market account. Cash and cash equivalents are carried at cost which approximates fair value. As of September 30, 2022 and December 31, 2021, there was $ 29 and $ 62 , respectively, of cash denominated in foreign currencies included within “cash and cash equivalents” or “restricted cash” in the accompanying consolidated balance sheet.

Restricted cash primarily relates to cash received by the Company on behalf of participating lenders as a result of the Company’s role as administrative agent for certain loans. The cash received is generally distributed to participating lenders shortly after the receipt of such cash.

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The following table provides a reconciliation of cash, cash equivalents and restricted cash in the consolidated balance sheet to the total amount shown at the end of the applicable period in the consolidated statement of cash flows:

As of
September 30, 2022 December 31, 2021
Cash and cash equivalents $ 257 $ 372
Restricted cash 105 114
Total cash, cash equivalents and restricted cash shown in the consolidated statement of cash flows $ 362 $ 486
Concentration of Credit Risk
The Company places its cash and cash equivalents with financial institutions and, at times, cash held in money market accounts may exceed the Federal Deposit Insurance Corporation insured limit.
Investments
Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. Unrealized gains or losses primarily reflect the change in investment values, including the reversal of previously recorded unrealized gains or losses when gains or losses are realized.
Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, the Company looks at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available (i.e., substantially all of the Company’s investments) are valued at fair value as determined in good faith by the Company’s board of directors, based on, among other things, the input of the Company’s investment adviser, audit committee and independent third-party valuation firms that have been engaged at the direction of the Company’s board of directors to assist in the valuation of each portfolio investment without a readily available market quotation at least once during a trailing 12-month period (with certain de minimis exceptions) and under a valuation policy and a consistently applied valuation process. The valuation process is conducted at the end of each fiscal quarter, and a portion of the Company’s investment portfolio at fair value is subject to review by an independent third-party valuation firm each quarter. In addition, the Company’s independent registered public accounting firm obtains an understanding of, and performs select procedures relating to, the Company’s investment valuation process within the context of performing the integrated audit.
As part of the valuation process, the Company may take into account the following types of factors, if relevant, in determining the fair value of the Company’s investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company’s securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent sale occurs, the Company considers the pricing indicated by the external event to corroborate its valuation.
Because there is not a readily available market value for most of the investments in its portfolio, the Company values substantially all of its portfolio investments at fair value as determined in good faith by its board of directors, as described herein. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Company’s investments may fluctuate from period to period. Additionally, the fair value of the Company’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Company may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Company was required to liquidate a portfolio investment in a forced or liquidation sale, the Company could realize significantly less than the value at which the Company has recorded it.
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In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.

The Company’s board of directors undertakes a multi-step valuation process each quarter, as described below:

The Company’s quarterly valuation process begins with each portfolio company or investment being initially valued by the investment professionals responsible for the portfolio investment in conjunction with the Company’s portfolio management team.

Preliminary valuations are reviewed and discussed with the Company’s investment adviser’s management and investment professionals, and then valuation recommendations are presented to the Company’s board of directors.

The audit committee of the Company’s board of directors reviews these valuations, as well as the input of third parties, including independent third-party valuation firms who have reviewed a portion of the investments in the Company’s portfolio at fair value.

The Company’s board of directors discusses valuations and ultimately determines the fair value of each investment in the Company’s portfolio without a readily available market quotation in good faith based on, among other things, the input of the Company’s investment adviser, audit committee and, where applicable, independent third-party valuation firms.
See Note 8 for more information on the Company’s valuation process.

Interest Income Recognition
Interest income is recorded on an accrual basis and includes the accretion of discounts, amortization of premiums and payment-in-kind (“PIK”) interest. Discounts from and premiums to par value on investments purchased are accreted/amortized into interest income over the life of the respective security using the effective yield method. To the extent loans contain PIK provisions, PIK interest, computed at the contractual rate specified in each applicable agreement, is accrued and recorded as interest income and added to the principal balance of the loan. PIK interest income added to the principal balance is generally collected upon repayment of the outstanding principal. To maintain the Company’s status as a RIC, this non-cash source of income must be paid out to stockholders in the form of dividends for the year the income was earned, even though the Company has not yet collected the cash. The amortized cost of investments represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest.

Loans are generally placed on non-accrual status when principal or interest payments are past due 30 days or more or when there is reasonable doubt that principal or interest will be collected in full. Accrued and unpaid interest is generally reversed when a loan is placed on non-accrual status. Interest payments received on non-accrual loans may be recognized as income or applied to principal depending upon the Company’s judgment regarding collectability. Non-accrual loans are restored to accrual status when past due principal and interest are paid or there is no longer any reasonable doubt that such principal or interest will be collected in full and, in the Company’s judgment, are likely to remain current. The Company may make exceptions to this policy if the loan has sufficient collateral value (i.e., typically measured as enterprise value of the portfolio company) or is in the process of collection.

Dividend Income Recognition

Dividend income on preferred equity is recorded on an accrual basis to the extent that such amounts are payable by the portfolio company and are expected to be collected. Dividend income on common equity is recorded on the record date for private portfolio companies or on the ex-dividend date for publicly traded portfolio companies. To the extent a preferred equity contains PIK provisions, PIK dividends, computed at the contractual rate specified in each applicable agreement, are accrued and recorded as dividend income and added to the principal balance of the preferred equity. PIK dividends added to the principal balance are generally collected upon redemption of the equity.
Capital Structuring Service Fees and Other Income
In pursuit of the Company’s investment objective, the Company’s investment adviser seeks to provide assistance to its portfolio companies and in return the Company may receive fees for capital structuring services. These fees are fixed based on contractual terms, are generally only available to the Company as a result of the Company’s underlying investments, are
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normally paid at the closing of the investments, are generally non-recurring and non-refundable and are recognized as revenue when earned upon closing of the investment. The services that the Company’s investment adviser provides vary by investment, but generally include reviewing existing credit facilities, arranging bank financing, arranging equity financing, structuring financing from multiple lenders, structuring financing from multiple equity investors, restructuring existing loans, raising equity and debt capital, and providing general financial advice, which concludes upon closing of the investment. Any services of the above nature subsequent to the closing would generally generate a separate fee payable to the Company. In certain instances where the Company is invited to participate as a co-lender in a transaction and does not provide significant services in connection with the investment, a portion of loan fees paid to the Company in such situations will be deferred and amortized over the contractual life of the loan.

Other income includes amendment fees that are fixed based on contractual terms and are generally non-recurring and
non-refundable and are recognized as revenue when earned upon closing of the related transaction. Other income also includes fees for management and consulting services, agency services, loan guarantees, commitments, and other services rendered by the Company to portfolio companies. Such fees are fixed based on contractual terms and are recognized as income as services are rendered.
Foreign Currency Translation
The Company’s books and records are maintained in U.S. dollars. Any foreign currency amounts are translated into U.S. dollars on the following basis:
(1) Fair value of investment securities, other assets and liabilities—at the exchange rates prevailing at the end of the period.

(2) Purchases and sales of investment securities, income and expenses—at the exchange rates prevailing on the respective dates of such transactions, income or expenses.
Results of operations based on changes in foreign exchange rates are separately disclosed in the statement of operations, if any. Foreign security and currency translations may involve certain considerations and risks not typically associated with investing in U.S. companies and U.S. government securities. These risks include, but are not limited to, currency fluctuations and revaluations and future adverse political, social and economic developments, which could cause investments in foreign markets to be less liquid and prices more volatile than those of comparable U.S. companies or U.S. government securities.

Derivative Instruments
The Company does not utilize hedge accounting and as such values its derivatives at fair value with the unrealized gains or losses recorded in “net unrealized gains (losses) from foreign currency and other transactions” in the Company’s consolidated statement of operations.
Equity Offering Expenses
The Company’s offering costs are charged against the proceeds from equity offerings when proceeds are received.
Debt Issuance Costs
Debt issuance costs are amortized over the life of the related debt instrument using the straight line method or the effective yield method, depending on the type of debt instrument.

Secured Borrowings

The Company follows the guidance in ASC Topic 860, Transfers and Servicing , when accounting for participations and other partial loan sales. Certain loan sales do not qualify for sale accounting under ASC Topic 860 because these sales do not meet the definition of a “participating interest,” as defined in the guidance, in order for sale treatment to be allowed. Participations or other partial loan sales which do not meet the definition of a participating interest or which are not eligible for sale accounting remain as an investment on the consolidated balance sheet as required under GAAP and the proceeds are recorded as a secured borrowing. Secured borrowings are carried at fair value.
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Leases

The Company is obligated under a number of operating leases pursuant to which it is leasing office facilities from third parties with remaining terms ranging from approximately one to four years . Such operating leases are included in operating lease right-of-use (“ROU”) assets and operating lease liabilities in the accompanying consolidated balance sheets. The Company does not have any finance leases.

The ROU asset represents the Company’s right to use an underlying asset for the lease term and the operating lease liability represents the Company’s obligation to make lease payments arising from such lease. Operating lease ROU assets and liabilities are recognized at the commencement date based on the present value of lease payments over the remaining lease term. The Company’s leases do not provide an implicit discount rate, and as such the Company uses its weighted average borrowing rate based on the information available at the commencement date in determining the present value of the remaining lease payments. Lease expense is recognized on a straight-line basis over the remaining lease term. The Company has elected as a practical expedient to treat non-lease components as part of the lease as these components are not significant when compared to the lease component.

Income Taxes
The Company has elected to be treated as a RIC under the Code and operates in a manner so as to qualify for the tax treatment applicable to RICs. To qualify as a RIC, the Company must, among other requirements, meet certain source-of- income and asset diversification requirements and timely distribute to its stockholders at least 90% of its investment company taxable income, as defined by the Code, for each year. The Company has made and intends to continue to make the requisite distributions to its stockholders, which will generally relieve the Company from U.S. federal corporate-level income taxes.
Depending on the level of taxable income earned in a tax year, the Company may choose to carry forward taxable income in excess of current year dividend distributions from such current year taxable income into the next tax year and pay a 4% excise tax on such income, as required. To the extent that the Company determines that its estimated current year taxable income will be in excess of estimated dividend distributions for the current year from such income, the Company accrues excise tax, if any, on estimated excess taxable income as such taxable income is earned.
The Company may hold certain portfolio company investments through consolidated taxable subsidiaries. Such subsidiaries may be subject to U.S. federal and state corporate-level income taxes. These consolidated subsidiaries recognize deferred tax assets and liabilities for the estimated future tax effects attributable to temporary differences between the tax basis of certain assets and liabilities and the reported amounts included in the accompanying consolidated balance sheet using the applicable statutory tax rates in effect for the year in which any such temporary differences are expected to reverse.
Dividends to Common Stockholders
Dividends and distributions to common stockholders are recorded on the ex-dividend date. The amount to be paid out as a dividend is determined by the Company’s board of directors each quarter and is generally based upon the earnings estimated by management and considers the level of undistributed taxable income carried forward from the prior year for distribution in the current year. Net realized capital gains, if any, are generally distributed, although the Company may decide to retain such capital gains for investment.
The Company has adopted a dividend reinvestment plan that provides for reinvestment of any distributions the Company declares in cash on behalf of its stockholders, unless a stockholder elects to receive cash. As a result, if the Company’s board of directors authorizes, and the Company declares, a cash dividend, then the Company’s stockholders who have not “opted out” of the Company’s dividend reinvestment plan will have their cash dividends automatically reinvested in additional shares of the Company’s common stock, rather than receiving the cash dividend. The Company may use newly issued shares to implement the dividend reinvestment plan or, if the Company is otherwise permitted under applicable law to purchase such shares, the Company may purchase shares in the open market in connection with the Company’s obligations under the dividend reinvestment plan.
Use of Estimates in the Preparation of Financial Statements
The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of actual and contingent assets and liabilities at the date of the financial statements and the reported amounts of income or loss and expenses during the reporting period. Actual results could differ from those estimates. Significant estimates include the valuation of investments.
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Recent Accounting Pronouncements

The Company considers the applicability and impact of all accounting standard updates (“ASU”) issued by the Financial Accounting Standards Board (“FASB”). ASUs not listed below were assessed and either determined to be not applicable or expected to have minimal impact on its consolidated financial statements.

In August 2020, the FASB issued ASU No. 2020-06, “ Debt-Debt with Conversion and Other Options (Subtopic 470-20) and Derivatives and Hedging-Contracts in Entity’s Own Equity (Subtopic 815-40): Accounting for Convertible Instruments and Contracts in an Entity’s Own Equity,” which simplifies the accounting for convertible instruments by removing the separation models for (1) convertible debt with a cash conversion feature and (2) convertible instruments with a beneficial conversion feature. As a result, after adoption, a convertible debt instrument will be accounted for as a single liability measured at its amortized cost. Additionally, ASU 2020-06 requires the application of the if-converted method to calculate the impact of convertible instruments on diluted earnings per share. ASU 2020-06 is effective for fiscal years beginning after December 15, 2021 and can be adopted on either a fully retrospective or modified retrospective basis. The Company adopted ASU 2020-06 on January 1, 2022, electing the modified retrospective transition method that allows for a cumulative-effect adjustment in the period of adoption. As a result of adopting the guidance, the Company is no longer separating the convertible instruments into debt and equity components, and is instead accounting for convertible instruments as entirely debt.

The impact of the Company’s adoption under the modified retrospective basis required a cumulative effect adjustment to opening net assets for the remaining unamortized discount on the $ 403 in aggregate principal amount of unsecured convertible notes outstanding as of March 31, 2022, and a requirement for the Company to calculate diluted earnings per share using the if-converted method which assumes full share settlement for the aggregate value of the $ 403 in aggregate principal amount of unsecured convertible notes. The Company’s adoption of this guidance did not have a material impact on the Company’s financial position, results of operations or cash flows. See Notes 5 and 10 for additional information on the effects of the adoption of ASU 2020-06.

In March 2020, the FASB issued ASU No. 2020-04, “ Reference Rate Reform (Topic 848), ” which provides optional expedients and exceptions for applying GAAP to contracts, hedging relationships, and other transactions affected by reference rate reform if certain criteria are met. The amendments apply only to contracts, hedging relationships, and other transactions that reference London Interbank Offered Rate (“LIBOR”) or another reference rate expected to be discontinued because of reference rate reform. In January 2021, the FASB issued ASU No. 2021-01, Reference Rate Reform (Topic 848) , which expanded the scope of Topic 848 to include derivative instruments impacted by discounting transition. ASU 2020-04 and ASU 2021-01 are effective for all entities through December 31, 2022. The expedients and exceptions provided by the amendments do not apply to contract modifications and hedging relationships entered into or evaluated after December 31, 2022, except for hedging transactions as of December 31, 2022, that an entity has elected certain optional expedients for and that are retained through the end of the hedging relationship. The Company is currently evaluating the impact of the adoption of ASU 2020-04 and 2021-01 on its consolidated financial statements.

3. AGREEMENTS

Investment Advisory and Management Agreement
The Company is party to an investment advisory and management agreement (the “investment advisory and management agreement”) with Ares Capital Management. Subject to the overall supervision of the Company’s board of directors, Ares Capital Management provides investment advisory and management services to the Company. For providing these services, Ares Capital Management receives fees from the Company consisting of a base management fee, a fee based on the Company’s net investment income (“income based fee”) and a fee based on the Company’s net capital gains (“capital gains incentive fee”). The investment advisory and management agreement may be terminated by either party without penalty upon 60 days’ written notice to the other party.
Effective June 21, 2019, in connection with the Company’s board of directors’ approval of the modification of the asset coverage requirement applicable to senior securities from 200 % to 150 %, the investment advisory and management agreement was amended to reduce the Company’s annual base management fee rate from 1.5 % to 1.0 % on all assets financed using leverage over 1.0 x debt to equity. For all assets financed using leverage up to 1.0 x debt to equity, the annual base management fee rate remains at 1.5 %. The base management fee is based on the average value of the Company’s total assets (other than cash or cash equivalents but including assets purchased with borrowed funds) at the end of the two most recently completed calendar quarters and is calculated by applying the applicable fee rate. The base management fee is payable quarterly in arrears. See Note 5 for additional information.
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The income based fee is calculated and payable quarterly in arrears based on the Company’s pre-incentive fee net investment income, as defined in the investment advisory and management agreement, for the quarter. Pre-incentive fee net investment income means interest income, dividend income and any other income (including any other fees such as commitment, origination, structuring, diligence and consulting fees or other fees that the Company receives from portfolio companies but excluding fees for providing managerial assistance) accrued during the calendar quarter, minus operating expenses for the quarter (including the base management fee, any expenses payable under the administration agreement, and any interest expense and dividends paid on any outstanding preferred stock, but excluding the income based fee and capital gains incentive fee accrued under GAAP). Pre-incentive fee net investment income includes, in the case of investments with a deferred income feature such as market discount, debt instruments with PIK interest, preferred stock with PIK dividends and zero coupon securities, accrued income that the Company has not yet received in cash. The Company’s investment adviser is not under any obligation to reimburse the Company for any part of the income based fees it received that was based on accrued income that the Company never actually received.
Pre-incentive fee net investment income does not include any realized capital gains, realized capital losses, unrealized capital appreciation, unrealized capital depreciation or income tax expense related to realized gains and losses. Because of the structure of the income based fee, it is possible that the Company may pay such fees in a quarter where the Company incurs a loss. For example, if the Company earns pre-incentive fee net investment income in excess of the hurdle rate (as defined below) for a quarter, the Company will pay the applicable income based fee even if the Company has incurred a loss in that quarter due to realized and/or unrealized capital losses.
Pre-incentive fee net investment income, expressed as a rate of return on the value of the Company’s net assets (defined as total assets less indebtedness and before taking into account any income based fees and capital gains incentive fees payable during the period) at the end of the immediately preceding calendar quarter, is compared to a fixed “hurdle rate” of 1.75 % per quarter. If market credit spreads rise, the Company may be able to invest its funds in debt instruments that provide for a higher return, which may increase the Company’s pre-incentive fee net investment income and make it easier for the Company’s investment adviser to surpass the fixed hurdle rate and receive an income based fee based on such net investment income. To the extent the Company has retained pre-incentive fee net investment income that has been used to calculate the income based fee, it is also included in the amount of the Company’s total assets (other than cash and cash equivalents but including assets purchased with borrowed funds) used to calculate the base management fee.

The Company pays its investment adviser an income based fee with respect to the Company’s pre-incentive fee net investment income in each calendar quarter as follows:
No income based fee in any calendar quarter in which the Company’s pre-incentive fee net investment income does not exceed the hurdle rate;

100 % of the Company’s pre-incentive fee net investment income with respect to that portion of such pre-incentive fee net investment income, if any, that exceeds the hurdle rate but is less than 2.1875 % in any calendar quarter. The Company refers to this portion of its pre-incentive fee net investment income (which exceeds the hurdle rate but is less than 2.1875 %) as the “catch-up” provision. The “catch-up” is meant to provide the Company’s investment adviser with 20 % of the pre-incentive fee net investment income as if a hurdle rate did not apply if this net investment income exceeded 2.1875 % in any calendar quarter; and

20 % of the amount of the Company’s pre-incentive fee net investment income, if any, that exceeds 2.1875 % in any calendar quarter.
These calculations are adjusted for any share issuances or repurchases during the quarter.

The capital gains incentive fee is determined and payable in arrears as of the end of each calendar year (or, upon termination of the investment advisory and management agreement, as of the termination date) and is calculated at the end of each applicable year by subtracting (a) the sum of the Company’s cumulative aggregate realized capital losses and aggregate unrealized capital depreciation from (b) the Company’s cumulative aggregate realized capital gains, in each case calculated from October 8, 2004 (the date the Company completed its initial public offering). Realized capital gains and losses include gains and losses on investments and foreign currencies, gains and losses on extinguishment of debt and from other assets, as well as any income tax and other expenses related to cumulative aggregate realized gains and losses. If such amount is positive at the end of such year, then the capital gains incentive fee for such year is equal to 20 % of such amount, less the aggregate amount of capital gains incentive fees paid in all prior years. If such amount is negative, then there is no capital gains incentive fee for such year.
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The cumulative aggregate realized capital gains are calculated as the sum of the differences, if positive, between (a) the net sales price of each investment in the Company’s portfolio when sold and (b) the accreted or amortized cost basis of such investment.
The cumulative aggregate realized capital losses are calculated as the sum of the amounts by which (a) the net sales price of each investment in the Company’s portfolio when sold is less than (b) the accreted or amortized cost basis of such investment.
The aggregate unrealized capital depreciation is calculated as the sum of the differences, if negative, between (a) the valuation of each investment in the Company’s portfolio as of the applicable capital gains incentive fee calculation date and (b) the accreted or amortized cost basis of such investment.
Notwithstanding the foregoing, if the Company is required by GAAP to record an investment at its fair value as of the time of acquisition instead of at the actual amount paid for such investment by the Company (including, for example, as a result of the application of the asset acquisition method of accounting), then solely for the purposes of calculating the capital gains incentive fee, the “accreted or amortized cost basis” of an investment shall be an amount (the “Contractual Cost Basis”) equal to (1) (x) the actual amount paid by the Company for such investment plus (y) any amounts recorded in the Company’s financial statements as required by GAAP that are attributable to the accretion of such investment plus (z) any other adjustments made to the cost basis included in the Company’s financial statements, including PIK interest or additional amounts funded (net of repayments) minus (2) any amounts recorded in the Company’s financial statements as required by GAAP that are attributable to the amortization of such investment, whether such calculated Contractual Cost Basis is higher or lower than the fair value of such investment (as determined in accordance with GAAP) at the time of acquisition.
The base management fees, income based fees and capital gains incentive fees for the three and nine months ended September 30, 2022 and 2021 were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Base management fees $ 78 $ 65 $ 226 $ 184
Income based fees $ 63 $ 53 $ 171 $ 158
Capital gains incentive fees(1) $ ( 37 ) $ 30 $ ( 64 ) $ 133
________________________________________

(1) Calculated in accordance with GAAP as discussed below.

There was no capital gains incentive fee payable to the Company’s investment adviser as calculated under the investment advisory and management agreement for the three and nine months ended September 30, 2022 and 2021. In addition, in accordance with GAAP, the Company had cumulatively accrued a capital gains incentive fee of $ 72 as of September 30, 2022. GAAP requires that the capital gains incentive fee accrual consider the cumulative aggregate unrealized capital appreciation in the calculation, as a capital gains incentive fee would be payable if such unrealized capital appreciation were realized, even though such unrealized capital appreciation is not permitted to be considered in calculating the fee actually payable under the investment advisory and management agreement. This GAAP accrual is calculated using the aggregate cumulative realized capital gains and losses and aggregate cumulative unrealized capital depreciation included in the calculation of the capital gains incentive fee plus the aggregate cumulative unrealized capital appreciation, net of any expense associated with cumulative unrealized capital depreciation or appreciation. If such amount is positive at the end of a period, then GAAP requires the Company to record a capital gains incentive fee equal to 20 % of such cumulative amount, less the aggregate amount of actual capital gains incentive fees paid or capital gains incentive fees accrued under GAAP in all prior periods. As of September 30, 2022, the Company has paid capital gains incentive fees since inception totaling $ 133 . The resulting accrual for any capital gains incentive fee under GAAP in a given period may result in an additional expense if such cumulative amount is greater than in the prior period or a reversal of previously recorded expense if such cumulative amount is less than in the prior period. If such cumulative amount is negative, then there is no accrual. There can be no assurance that such unrealized capital appreciation will be realized in the future.

Cash payment of any income based fees and capital gains incentive fees otherwise earned by the Company’s investment adviser is deferred if during the most recent four full calendar quarter period ending on or prior to the date such payment is to be made the sum of (a) the aggregate distributions to the Company’s stockholders and (b) the change in net assets
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(defined as total assets less indebtedness and before taking into account any income based fees and capital gains incentive fees payable during the period) is less than 7.0 % of the Company’s net assets (defined as total assets less indebtedness) at the beginning of such period. These calculations will be adjusted for any share issuances or repurchases. Any income based fees and capital gains incentive fees deferred for payment are carried over for payment in subsequent calculation periods to the extent such fees are payable under the terms of the investment advisory and management agreement.
The services of all investment professionals and staff of the Company’s investment adviser, when and to the extent engaged in providing investment advisory and management services to the Company, and routine overhead expenses of such personnel allocable to such services, are provided and paid for by the Company’s investment adviser. Under the investment
advisory and management agreement, the Company bears all other costs and expenses of its operations and transactions, including, but not limited to, those relating to: organization; calculation of the Company’s net asset value (including, but not limited to, the cost and expenses of any independent third-party valuation firm); expenses incurred by the Company’s investment adviser payable to third parties, including agents, consultants or other advisers, in monitoring the Company’s financial and legal affairs and in monitoring the Company’s investments (including the cost of consultants hired to develop information technology systems designed to monitor the Company’s investments) and performing due diligence on the Company’s prospective portfolio companies; interest payable on indebtedness, if any, incurred to finance the Company’s investments (including payments to third party vendors for financial information services); offerings of the Company’s common stock and other securities; investment advisory and management fees; administration fees; fees payable to third parties, including agents, consultants or other advisers, relating to, or associated with, evaluating and making investments in portfolio companies, regardless of whether such transactions are ultimately consummated; transfer agent and custodial fees; registration fees; listing fees; taxes; independent directors’ fees and expenses; costs of preparing and filing reports or other documents with the SEC; the costs of any reports, proxy statements or other notices to stockholders, including printing costs; to the extent the Company is covered by any joint insurance policies, the Company’s allocable portion of the insurance premiums for such policies; direct costs and expenses of administration, including auditor and legal costs; and all other expenses incurred by the Company or its administrator in connection with administering the Company’s business as described in more detail under “Administration Agreement” below.

Administration Agreement
The Company is party to an administration agreement, referred to herein as the “administration agreement”, with its administrator, Ares Operations. Pursuant to the administration agreement, Ares Operations furnishes the Company with office equipment and clerical, bookkeeping and record keeping services at the Company’s office facilities. Under the administration agreement, Ares Operations also performs, or oversees the performance of, the Company’s required administrative services, which include, among other things, providing assistance in accounting, legal, compliance, operations, technology and investor relations, being responsible for the financial records that the Company is required to maintain and preparing reports to its stockholders and reports filed with the SEC. In addition, Ares Operations assists the Company in determining and publishing its net asset value, assists the Company in providing managerial assistance to its portfolio companies, oversees the preparation and filing of the Company’s tax returns and the printing and dissemination of reports to its stockholders, and generally oversees the payment of its expenses and the performance of administrative and professional services rendered to the Company by others. Payments under the administration agreement are equal to an amount based upon its allocable portion of Ares Operations’ overhead and other expenses (including travel expenses) incurred by Ares Operations in performing its obligations under the administration agreement, including the Company’s allocable portion of the compensation, rent and other expenses of certain of its officers (including the Company’s chief compliance officer, chief financial officer, chief accounting officer, general counsel, secretary, treasurer and assistant treasurer) and their respective staffs. The administration agreement may be terminated by either party without penalty upon 60 days’ written notice to the other party.
For the three and nine months ended September 30, 2022, the Company incurred $ 3 and $ 9 , respectively, in administrative fees, and $ 4 and $ 11 , respectively, for the comparable periods in 2021. As of September 30, 2022 and December 31, 2021, a total of $ 3 and $ 4 , respectively, in administrative fees were unpaid and included in “accounts payable and other liabilities” in the accompanying consolidated balance sheet.

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4. INVESTMENTS

As of September 30, 2022 and December 31, 2021, investments consisted of the following:

As of
September 30, 2022 December 31, 2021
Amortized Cost(1) Fair Value Amortized Cost(1) Fair Value
First lien senior secured loans(2) $ 9,821 $ 9,509 $ 9,583 $ 9,459
Second lien senior secured loans 4,011 3,797 4,614 4,524
Subordinated certificates of the SDLP(3) 1,121 1,121 987 987
Senior subordinated loans 1,102 1,051 896 890
Preferred equity 2,071 2,052 1,547 1,561
Ivy Hill Asset Management, L.P.(4) 1,809 1,958 781 936
Other equity 1,534 1,851 1,402 1,652
Total $ 21,469 $ 21,339 $ 19,810 $ 20,009
________________________________________

(1) The amortized cost represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest or dividends.
(2) First lien senior secured loans include certain loans that the Company classifies as “unitranche” loans. The total amortized cost and fair value of the loans that the Company classified as “unitranche” loans were $ 5,127 and $ 4,998 , respectively, as of September 30, 2022, and $ 5,210 and $ 5,163 , respectively, as of December 31, 2021.

(3) The proceeds from these certificates were applied to co-investments with Varagon and its clients to fund first lien senior secured loans to 21 and 19 different borrowers as of September 30, 2022 and December 31, 2021, respectively.

(4) Includes the Company’s equity and subordinated loan investments in IHAM, as applicable.
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The Company uses Global Industry Classification Standards for classifying the industry groupings of its portfolio companies. The industrial and geographic compositions of the Company’s portfolio at fair value as of September 30, 2022 and December 31, 2021 were as follows:
As of
September 30, 2022 December 31, 2021
Industry
Software & Services 22.5 % 21.9 %
Diversified Financials(1) 12.3 7.5
Health Care Services 10.1 10.8
Commercial & Professional Services 8.2 9.2
Investment Funds and Vehicles(2) 5.5 5.2
Insurance Services 5.1 5.8
Power Generation 4.7 4.5
Consumer Services 4.0 3.9
Capital Goods 4.0 4.8
Consumer Durables & Apparel 3.9 4.4
Automobiles & Components 3.2 4.6
Food & Beverage 2.4 2.2
Pharmaceuticals, Biotechnology & Life Sciences 2.3 1.9
Retailing and Distribution 2.2 2.8
Media & Entertainment 2.2 2.2
Other 7.4 8.3
Total 100.0 % 100.0 %
________________________________________

(1) Includes the Company’s investment in IHAM.

(2) Includes the Company’s investment in the SDLP, which had made first lien senior secured loans to 21 and 19 different borrowers as of September 30, 2022 and December 31, 2021, respectively. The portfolio companies in the SDLP are in industries similar to the companies in the Company’s portfolio.

As of
September 30, 2022 December 31, 2021
Geographic Region
West(1) 34.5 % 31.2 %
Midwest 25.0 27.9
Southeast 17.8 17.2
Mid-Atlantic 13.1 14.5
Northeast 4.6 4.8
International 5.0 4.4
Total 100.0 % 100.0 %
________________________________________

(1) Includes the Company’s investment in the SDLP, which represented 5.3 % and 4.9 % of the total investment portfolio at fair value as of September 30, 2022 and December 31, 2021, respectively.

As of September 30, 2022 and December 31, 2021, loans on non-accrual status represented 1.6 % of the total investments at amortized cost (or 0.9 % at fair value) and 0.8 % at amortized cost (or 0.5 % at fair value), respectively.
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Senior Direct Lending Program

The Company has established a joint venture with Varagon to make certain first lien senior secured loans, including certain stretch senior and unitranche loans, primarily to U.S. middle-market companies. Varagon was formed in 2013 as a lending platform by American International Group, Inc. and other partners. The joint venture is called the SDLP. In July 2016, the Company and Varagon and its clients completed the initial funding of the SDLP. The SDLP may generally commit and hold individual loans of up to $ 350 . The Company and other accounts managed by the Company’s investment adviser and its affiliates may directly co-invest with the SDLP to accommodate larger transactions. The SDLP is capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of the Company and Varagon (with approval from a representative of each required).

The Company provides capital to the SDLP in the form of subordinated certificates (the “SDLP Certificates”), and Varagon and its clients provide capital to the SDLP in the form of senior notes, intermediate funding notes and SDLP Certificates. As of September 30, 2022 and December 31, 2021, the Company and a client of Varagon owned 87.5 % and 12.5 %, respectively, of the outstanding SDLP Certificates.

As of September 30, 2022 and December 31, 2021, the Company and Varagon and its clients had agreed to make capital available to the SDLP of $ 6,150 and $ 6,150 , respectively, in the aggregate, of which $ 1,444 and $ 1,444 , respectively, is to be made available from the Company. The Company will continue to provide capital to the SDLP in the form of SDLP Certificates, and Varagon and its clients will provide capital to the SDLP in the form of senior notes, intermediate funding notes and SDLP Certificates. This capital will only be committed to the SDLP upon approval of transactions by the investment committee of the SDLP as discussed above. Below is a summary of the funded capital and unfunded capital commitments of the SDLP.

As of
September 30, 2022 December 31, 2021
Total capital funded to the SDLP(1) $ 4,772 $ 4,168
Total capital funded to the SDLP by the Company(1) $ 1,121 $ 987
Total unfunded capital commitments to the SDLP(2) $ 311 $ 262
Total unfunded capital commitments to the SDLP by the Company(2) $ 73 $ 62
___________________________________________________________________________
(1) At principal amount.

(2) These commitments to fund delayed draw loans have been approved by the investment committee of the SDLP and will be funded if and when conditions to funding such delayed draw loans are met.

The SDLP Certificates pay a coupon equal to LIBOR plus 8.0 % and also entitle the holders thereof to receive a portion of the excess cash flow from the loan portfolio, after expenses, which may result in a return to the holders of the SDLP Certificates that is greater than the stated coupon. The SDLP Certificates are junior in right of payment to the senior notes and intermediate funding notes.

The amortized cost and fair value of the SDLP Certificates held by the Company were $ 1,121 and $ 1,121 , respectively, as of September 30, 2022 and $ 987 and $ 987 , respectively, as of December 31, 2021. The Company’s yield on its investment in the SDLP Certificates at amortized cost and fair value was 13.5 % and 13.5 %, respectively, as of September 30, 2022, and 13.5 % and 13.5 %, respectively, as of December 31, 2021. The interest income from the Company’s investment in the SDLP Certificates and capital structuring service and other fees earned for the three and nine months ended September 30, 2022 and 2021 were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Interest income
$ 37 $ 33 $ 105 $ 106
Capital structuring service and other fees
$ 7 $ 7 $ 15 $ 13

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As of September 30, 2022 and December 31, 2021, the SDLP’s portfolio was comprised entirely of first lien senior secured loans to U.S. middle-market companies and were in industries similar to the companies in the Company’s portfolio. As of September 30, 2022, one of the loans was on non-accrual status. As of December 31, 2021, none of the loans were on non-accrual status. Below is a summary of the SDLP’s portfolio.
As of
September 30, 2022 December 31, 2021
Total first lien senior secured loans(1)(2) $ 4,798 $ 4,194
Largest loan to a single borrower(1) $ 380 $ 342
Total of five largest loans to borrowers(1) $ 1,616 $ 1,540
Number of borrowers in the SDLP 21 19
Commitments to fund delayed draw loans(3) $ 311 $ 262
___________________________________________________________________________

(1) At principal amount.

(2) First lien senior secured loans include certain loans that the SDLP classifies as “unitranche” loans. As of September 30, 2022 and December 31, 2021, the total principal amount of loans in the SDLP portfolio that the SDLP classified as “unitranche” loans was $ 3,737 and $ 2,908 , respectively.

(3) As discussed above, these commitments have been approved by the investment committee of the SDLP.

Ivy Hill Asset Management, L.P.

Ivy Hill Asset Management, L.P. (“IHAM”) is an asset management services company and an SEC-registered investment adviser. The Company has made investments in IHAM, its wholly owned portfolio company, and previously made investments in certain vehicles managed by IHAM. As of September 30, 2022, IHAM had assets under management of approximately $ 12.5 billion. As of September 30, 2022, IHAM managed 21 vehicles and served as the sub-manager/sub-servicer for one other vehicle (these vehicles managed or sub-managed/sub-serviced by IHAM are referred to as the “IHAM Vehicles”). IHAM earns fee income from managing the IHAM Vehicles and has also invested in certain of these vehicles as part of its business strategy. The amortized cost of IHAM’s total investments as of September 30, 2022 and December 31, 2021 was 2,133 and $ 966 , respectively. For the three and nine months ended September 30, 2022, IHAM had management and incentive fee income of $ 13 and $ 34 , respectively, and other investment-related income of $ 42 and $ 103 , respectively. For the three and nine months ended September 30, 2021, IHAM had management and incentive fee income of $ 8 and $ 23 , respectively, and other investment-related income of $ 22 and $ 64 , respectively.

The amortized cost and fair value of the Company’s investment in IHAM was $ 1,809 and $ 1,958 , respectively, as of September 30, 2022, which was comprised of an equity investment of $ 1,373 and $ 1,522 , respectively, and a debt investment of $ 436 and $ 436 , respectively. The amortized cost and fair value of the Company’s investment in IHAM was $ 781 and $ 936 , respectively, as of December 31, 2021, which was comprised of an equity investment of $ 765 and $ 920 , respectively, and a debt investment of $ 16 and $ 16 , respectively. The dividend income received and interest income earned from IHAM for the three and nine months ended September 30, 2022 and 2021 were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Dividend income
$ 55 $ 23 $ 150 $ 65
Interest income
$ 8 $ $ 11 $ 2

From time to time, IHAM or certain IHAM Vehicles may purchase investments from, or sell investments to, the Company. For any such sales or purchases by the IHAM Vehicles to or from the Company, the IHAM Vehicle must obtain approval from third parties unaffiliated with the Company or IHAM, as applicable. During the nine months ended September 30, 2022 and 2021, IHAM or certain of the IHAM Vehicles purchased $ 2,415 and $ 1,049 , respectively, of loans from the Company. For the nine months ended September 30, 2022 and 2021, the Company recognized $ 10 and $ 5 , respectively, of net realized losses from these sales. During the nine months ended September 30, 2022 and 2021, $ 233 and $ 108 , respectively, of investment commitments were repaid to the Company by IHAM. During the nine months ended September 30, 2022, the Company purchased $ 27 of investments from certain IHAM Vehicles.
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IHAM is party to an administration agreement, referred to herein as the “IHAM administration agreement,” with Ares Operations. Pursuant to the IHAM administration agreement, Ares Operations provides IHAM with, among other things, office facilities, equipment, clerical, bookkeeping and record keeping services, services relating to the marketing and sale of interests in vehicles managed by IHAM, services of, and oversight of, custodians, depositories, accountants, attorneys, underwriters and such other persons in any other capacity deemed to be necessary. Under the IHAM administration agreement, IHAM reimburses Ares Operations for all of the actual costs associated with such services, including Ares Operations’ allocable portion of the compensation, rent and other expenses of its officers, employees and respective staff in performing its obligations under the IHAM administration agreement.


5. DEBT

In accordance with the Investment Company Act, the Company is allowed to borrow amounts such that its asset coverage, calculated pursuant to the Investment Company Act, is at least 150 % after such borrowing. The Company’s asset coverage requirement applicable to senior securities was reduced from 200 % to 150 % effective June 21, 2019. As of September 30, 2022, the aggregate principal amount outstanding of the senior securities issued by the Company was $ 11,853 and the Company’s asset coverage was 179 %.

The Company’s outstanding debt as of September 30, 2022 and December 31, 2021 was as follows:

As of
September 30, 2022 December 31, 2021
Total Aggregate Principal Amount Committed/ Outstanding (1) Principal Amount Outstanding Carrying Value Total Aggregate Principal Amount Committed/ Outstanding (1) Principal Amount Outstanding Carrying Value
Revolving Credit Facility $ 4,843 (2) $ 1,787 $ 1,787 $ 4,232 (2) $ 1,507 $ 1,507
Revolving Funding Facility 1,775 932 932 1,525 762 762
SMBC Funding Facility 800 (3) 456 456 800 (3) 401 401
BNP Funding Facility 300 175 175 300
2022 Convertible Notes 388 388 388 (4)
2024 Convertible Notes 403 403 399 (4) 403 403 395 (4)
2023 Notes 750 750 750 (5) 750 750 748 (5)
2024 Notes 900 900 898 (6) 900 900 897 (6)
March 2025 Notes 600 600 597 (7) 600 600 596 (7)
July 2025 Notes 1,250 1,250 1,258 (8) 1,250 1,250 1,260 (8)
January 2026 Notes 1,150 1,150 1,144 (9) 1,150 1,150 1,143 (9)
July 2026 Notes 1,000 1,000 990 (10) 1,000 1,000 988 (10)
2027 Notes 500 500 494 (11)
2028 Notes 1,250 1,250 1,246 (12) 1,250 1,250 1,246 (12)
2031 Notes 700 700 690 (13) 700 700 689 (13)
Total $ 16,221 $ 11,853 $ 11,816 $ 15,248 $ 11,061 $ 11,020
________________________________________

(1) Represents the total aggregate amount committed or outstanding, as applicable, under such instrument. Borrowings under the committed Revolving Credit Facility, Revolving Funding Facility, SMBC Funding Facility and BNP Funding Facility (each as defined below) are subject to borrowing base and other restrictions.

(2) Provides for a feature that allows the Company, under certain circumstances, to increase the size of the Revolving Credit Facility (as defined below) to a maximum of $ 7,265 .

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(3) Provides for a feature that allows ACJB (as defined below), under certain circumstances, to increase the size of the SMBC Funding Facility (as defined below) to a maximum of $ 1,000 .

(4) Represents the aggregate principal amount outstanding of the 2024 Convertible Notes (as defined below). As of September 30, 2022, the total unamortized debt issuance costs and the unamortized discount for the 2024 Convertible Notes (as defined below) was $ 4 . As of December 31, 2021, the total unamortized debt issuance costs and the unamortized discount for the 2022 Convertible Notes and the 2024 Convertible Notes (each as defined below) were $ 0 and $ 8 , respectively. In February 2022, the Company repaid in full the 2022 Convertible Notes upon their maturity.

(5) Represents the aggregate principal amount outstanding of the 2023 Notes (as defined below), less unamortized debt issuance costs and the unamortized discount recorded upon the issuance of the 2023 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the unamortized discount was $ 0 and $ 2 , respectively.

(6) Represents the aggregate principal amount outstanding of the 2024 Notes (as defined below), less unamortized debt issuance costs and the net unamortized discount recorded upon the issuance of the 2024 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the net unamortized discount was $ 2 and $ 3 , respectively.

(7) Represents the aggregate principal amount outstanding of the March 2025 Notes (as defined below), less unamortized debt issuance costs and the unamortized discount recorded upon the issuance of the March 2025 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the unamortized discount was $ 3 and $ 4 , respectively.

(8) Represents the aggregate principal amount outstanding of the July 2025 Notes (as defined below), less unamortized debt issuance costs and the net unaccreted premium recorded upon the issuance of the July 2025 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the net unaccreted premium was $ 8 and $ 10 , respectively.

(9) Represents the aggregate principal amount outstanding of the January 2026 Notes (as defined below), less unamortized debt issuance costs and the unamortized discount recorded upon the issuance of the January 2026 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the unamortized discount was $ 6 and $ 7 , respectively.

(10) Represents the aggregate principal amount outstanding of the July 2026 Notes (as defined below), less unamortized debt issuance costs and the unamortized discount recorded upon the issuance of the July 2026 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the unamortized discount was $ 10 and $ 12 , respectively.

(11) Represents the aggregate principal amount outstanding of the 2027 Notes (as defined below), less unamortized debt issuance costs and the net unamortized discount recorded upon the issuance of the 2027 Notes. As of September 30, 2022, the total unamortized debt issuance costs and the net unamortized discount was $ 6 .

(12) Represents the aggregate principal amount outstanding of the 2028 Notes (as defined below), less unamortized debt issuance costs and the net unamortized discount recorded upon the issuance of the 2028 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the net unamortized discount was $ 4 and $ 4 , respectively.

(13) Represents the aggregate principal amount outstanding of the 2031 Notes (as defined below), less unamortized debt issuance costs and the unamortized discount recorded upon the issuance of the 2031 Notes. As of September 30, 2022 and December 31, 2021, the total unamortized debt issuance costs and the unamortized discount was $ 10 and $ 11 , respectively.

The weighted average stated interest rate and weighted average maturity, both on aggregate principal amount outstanding, of all the Company’s outstanding debt as of September 30, 2022 were 3.8 % and 3.8 years, respectively, and as of December 31, 2021 were 3.1 % and 4.2 years, respectively.
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Revolving Credit Facility
The Company is party to a senior secured revolving credit facility (as amended and restated, the “Revolving Credit Facility”), that allows the Company to borrow up to $ 4,843 at any one time outstanding. The Revolving Credit Facility consists of a $ 1,087 term loan tranche and a $ 3,756 revolving tranche. For $ 1,009 of the term loan tranche, the stated maturity date is March 31, 2027. For $ 28 of the term loan tranche, the stated maturity date is March 31, 2026. For the remaining $ 50 of the term loan tranche, the stated maturity date is March 30, 2025. For $ 3,499 of the revolving tranche, the end of the revolving period and the stated maturity date are March 31, 2026 and March 31, 2027, respectively. For $ 107 of the revolving tranche, the end of the revolving period and the stated maturity date are March 31, 2025 and March 31, 2026, respectively. For the remaining $ 150 of the revolving tranche, the end of the revolving period and the stated maturity date are March 30, 2024 and March 30, 2025, respectively. The Revolving Credit Facility also provides for a feature that allows the Company, under certain circumstances, to increase the overall size of the Revolving Credit Facility to a maximum of $ 7,265 . The Revolving Credit Facility generally requires payments of interest at the end of each Secured Overnight Financing Rate (“SOFR”) interest period, but no less frequently than quarterly, on SOFR based loans, and monthly payments of interest on other loans. Subsequent to the end of the respective revolving periods and prior to the respective stated maturity dates, the Company is required to repay the relevant outstanding principal amounts under both the term loan tranche and revolving tranche on a monthly basis in an amount equal to 1/12th of the outstanding principal amount at the end of the respective revolving periods.

Under the Revolving Credit Facility, the Company is required to comply with various covenants, reporting requirements and other customary requirements for similar revolving credit facilities, including, without limitation, covenants related to: (a) limitations on the incurrence of additional indebtedness and liens, (b) limitations on certain investments, (c) limitations on certain restricted payments, (d) maintaining a certain minimum stockholders’ equity, (e) maintaining a ratio of total assets (less total liabilities not representing indebtedness) to total indebtedness of the Company and its consolidated subsidiaries (subject to certain exceptions) of not less than 1.5 :1.0, (f) limitations on pledging certain unencumbered assets, and (g) limitations on the creation or existence of agreements that prohibit liens on certain properties of the Company and certain of its subsidiaries. These covenants are subject to important limitations and exceptions that are described in the documents governing the Revolving Credit Facility. Amounts available to borrow under the Revolving Credit Facility (and the incurrence of certain other permitted debt) are also subject to compliance with a borrowing base that applies different advance rates to different types of assets (based on their value as determined pursuant to the Revolving Credit Facility) that are pledged as collateral. As of September 30, 2022, the Company was in compliance in all material respects with the terms of the Revolving Credit Facility.
As of September 30, 2022 and December 31, 2021, there was $ 1,787 and $ 1,507 outstanding, respectively, under the Revolving Credit Facility. The Revolving Credit Facility also provides for a sub-limit for the issuance of letters of credit for up to an aggregate amount of $ 250 with the ability to increase by an incremental $ 50 on an uncommitted basis. As of September 30, 2022 and December 31, 2021, the Company had $ 95 and $ 68 , respectively, in letters of credit issued through the Revolving Credit Facility. The amount available for borrowing under the Revolving Credit Facility is reduced by any letters of credit issued. As of September 30, 2022, there was $ 2,961 available for borrowing (net of letters of credit issued) under the Revolving Credit Facility, subject to borrowing base restrictions.
Since March 31, 2022, the interest rate charged on the Revolving Credit Facility is based on SOFR plus a credit spread adjustment of 0.10 % (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in Sterling, Canadian Dollars, Euros and certain other foreign currencies plus a spread adjustment, if applicable) and an applicable spread of either 1.75 % or 1.875 % or an “alternate base rate” (as defined in the agreements governing the Revolving Credit Facility) plus an applicable spread of 0.75 % or 0.875 %, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving exposure and term loans outstanding under the Revolving Credit Facility and (b) 85 % of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. The Revolving Credit Facility allows for borrowings to be made using one, three or six month SOFR. Prior to March 31, 2022, the interest rate charged on the Revolving Credit Facility was based on LIBOR (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in Sterling, Canadian Dollars, Euros and certain other foreign currencies) plus an applicable spread of either 1.75 % or 1.875 % or an “alternate base rate” (as defined in the agreements governing the Revolving Credit Facility) plus an applicable spread of 0.75 % or 0.875 %, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving exposure and term loans outstanding under the Revolving Credit Facility and (b) 85 % of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. As of September 30, 2022, the one, three and six month SOFR was 3.04%, 3.59% and 3.99%, respectively. As of September 30, 2022, the applicable spread in effect was 1.75 %. In addition to the stated interest expense on the Revolving Credit Facility, the Company is required to pay a commitment fee of 0.375 % per annum on any unused portion
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of the Revolving Credit Facility. The Company is also required to pay a letter of credit fee of either 2.00 % or 2.125 % per annum on letters of credit issued, determined monthly based on the total amount of the borrowing base relative to the total commitments of the Revolving Credit Facility and other debt, if any, secured by the same collateral as the Revolving Credit Facility.

In December 2017, in connection with $ 395 of the term loan tranche of the Revolving Credit Facility, the Company entered into a three-year interest rate swap agreement to mitigate its exposure to adverse fluctuations in interest rates for a total notional amount of $ 395 , which matured on January 4, 2021.

The Revolving Credit Facility is secured by certain assets in the Company’s portfolio and excludes investments held by Ares Capital CP under the Revolving Funding Facility, those held by ACJB under the SMBC Funding Facility and those held by AFB under the BNP Funding Facility, each as described below, and certain other investments.

For the three and nine months ended September 30, 2022 and 2021, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Credit Facility were as follows:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Stated interest expense $ 19 $ 4 $ 34 $ 14
Credit facility fees 5 4 7 11
Amortization of debt issuance costs 2 2 5 4
Total interest and credit facility fees expense $ 26 $ 10 $ 46 $ 29
Cash paid for interest expense $ 19 $ 4 $ 35 $ 14
Average stated interest rate 3.95 % 1.97 % 3.15 % 2.09 %
Average outstanding balance $ 1,875 $ 889 $ 1,402 $ 922
Revolving Funding Facility
The Company and the Company’s consolidated subsidiary, Ares Capital CP Funding LLC (“Ares Capital CP”), are party to a revolving funding facility (as amended, the “Revolving Funding Facility”), that allows Ares Capital CP to borrow up to $ 1,775 at any one time outstanding. The Revolving Funding Facility is secured by all of the assets held by, and the membership interest in, Ares Capital CP. The end of the reinvestment period and the stated maturity date for the Revolving Funding Facility are December 29, 2024 and December 29, 2026, respectively.
Amounts available to borrow under the Revolving Funding Facility are subject to a borrowing base that applies different advance rates to different types of assets held by Ares Capital CP. Ares Capital CP is also subject to limitations with respect to the loans securing the Revolving Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and Ares Capital CP are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the agreements governing the Revolving Funding Facility. As of September 30, 2022, the Company and Ares Capital CP were in compliance in all material respects with the terms of the Revolving Funding Facility.
As of September 30, 2022 and December 31, 2021, there was $ 932 and $ 762 outstanding, respectively, under the Revolving Funding Facility. Since June 30, 2022, the interest rate charged on the Revolving Funding Facility is based on SOFR plus a credit spread adjustment of 0.10 % or a “base rate” (as defined in the agreements governing the Revolving Funding Facility) plus an applicable spread of 1.90 % per annum. From December 29, 2021 to June 29, 2022, the interest rate charged on the Revolving Funding Facility is based on one month LIBOR plus 1.90 % per annum or a “base rate” (as defined in the agreements governing the Revolving Funding Facility) plus 1.00 % per annum. Prior to December 29, 2021, the interest rate charged on the Revolving Funding Facility was based on one month LIBOR plus 2.00 % per annum or a “base rate” plus 1.00 % per annum. Since December 29, 2021, Ares Capital CP is also required to pay a commitment fee of between 0.50 % and 1.25 % per annum depending on the size of the unused portion of the Revolving Funding Facility. Prior to and including December 29, 2021, Ares Capital CP was required to pay a commitment fee of between 0.50 % and 1.50 % per annum depending on the size of the unused portion of the Revolving Funding Facility.
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For the three and nine months ended September 30, 2022 and 2021, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Funding Facility were as follows:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Stated interest expense $ 10 $ 2 $ 19 $ 12
Credit facility fees 1 2 3 5
Amortization of debt issuance costs 1 1 2 3
Total interest and credit facility fees expense $ 12 $ 5 $ 24 $ 20
Cash paid for interest expense $ 9 $ 3 $ 19 $ 11
Average stated interest rate 4.38 % 2.69 % 3.17 % 2.35 %
Average outstanding balance $ 944 $ 368 $ 805 $ 602

SMBC Funding Facility
The Company and the Company’s consolidated subsidiary, Ares Capital JB Funding LLC (“ACJB”), are party to a revolving funding facility (as amended, the “SMBC Funding Facility”), with ACJB, as the borrower, and Sumitomo Mitsui Banking Corporation, as the administrative agent and collateral agent, that allows ACJB to borrow up to $ 800 at any one time outstanding. The SMBC Funding Facility also provides for a feature that allows ACJB, subject to receiving certain consents, to increase the overall size of the SMBC Funding Facility to $ 1,000 . The SMBC Funding Facility is secured by all of the assets held by ACJB. The end of the reinvestment period and the stated maturity date for the SMBC Funding Facility are May 28, 2024 and May 28, 2026, respectively. The reinvestment period and the stated maturity date are both subject to two one-year extensions by mutual agreement.
Amounts available to borrow under the SMBC Funding Facility are subject to a borrowing base that applies an advance rate to assets held by ACJB. ACJB is also subject to limitations with respect to the loans securing the SMBC Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and ACJB are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the SMBC Funding Facility. As of September 30, 2022, the Company and ACJB were in compliance in all material respects with the terms of the SMBC Funding Facility.
As of September 30, 2022 and December 31, 2021, there was $ 456 and $ 401 outstanding, respectively, under the SMBC Funding Facility. The interest rate charged on the SMBC Funding Facility is based on an applicable spread of either 1.75 % or 2.00 % over one month LIBOR or 0.75 % or 1.00 % over a “base rate” (as defined in the agreements governing the SMBC Funding Facility), in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. As of September 30, 2022, the applicable spread in effect was 1.75 %. ACJB is required to pay a commitment fee of between 0.50 % and 1.00 % per annum depending on the size of the unused portion of the SMBC Funding Facility.
For the three and nine months ended September 30, 2022 and 2021, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the SMBC Funding Facility were as follows:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Stated interest expense $ 4 $ $ 9 $ 2
Credit facility fees 1 2 2 4
Amortization of debt issuance costs 1 1 2 2
Total interest and credit facility fees expense $ 6 $ 3 $ 13 $ 8
Cash paid for interest expense $ 4 $ $ 9 $ 3
Average stated interest rate 4.27 % 2.36 % 3.00 % 2.00 %
Average outstanding balance $ 402 $ 9 $ 403 $ 155
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BNP Funding Facility
The Company and the Company’s consolidated subsidiary, ARCC FB Funding LLC (“AFB”), are party to a revolving funding facility (as amended, the “BNP Funding Facility”) with AFB, as the borrower, and BNP Paribas, as the administrative agent and lender, that allows AFB to borrow up to $ 300 at any one time outstanding. The BNP Funding Facility is secured by all of the assets held by AFB. The end of the reinvestment period and the stated maturity date for the BNP Funding Facility are June 11, 2023 and June 11, 2025, respectively. The reinvestment period and the stated maturity date are both subject to a one-year extension by mutual agreement.
Amounts available to borrow under the BNP Funding Facility are subject to a borrowing base that applies an advance rate to assets held by AFB. AFB is also subject to limitations with respect to the loans securing the BNP Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and AFB are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the BNP Funding Facility. As of September 30, 2022, the Company and AFB were in compliance in all material respects with the terms of the BNP Funding Facility.
As of September 30, 2022, there was $ 175 outstanding under the BNP Funding Facility. As of December 31, 2021, there were no amounts outstanding under the BNP Funding Facility. Since June 29, 2021, the interest rate charged on the BNP Funding Facility is based on three month LIBOR, or a “base rate” (as defined in the agreements governing the BNP Funding Facility) plus a margin of (i) 1.80 % during the reinvestment period and (ii) 2.30 % following the reinvestment period. Prior to June 29, 2021, the interest rate charged on the BNP Funding Facility was based on three month LIBOR (subject to a floor of 0.45 %), or a “base rate” (as defined in the agreements governing the BNP Funding Facility) plus a margin that generally ranged between 2.65 % and 3.15 % (depending on the types of assets such advances relate to), with a weighted average margin floor for all classes of advances of (i) 2.75 % during the reinvestment period and (ii) 3.25 % following the reinvestment period. As of September 30, 2022, the applicable spread in effect was 1.80 %. AFB is required to pay a commitment fee of between 0.00 % and 1.25 % per annum depending on the size of the unused portion of the BNP Funding Facility.

For the three and nine months ended September 30, 2022 and 2021, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the BNP Funding Facility were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Stated interest expense $ 2 $ $ 3 $ 1
Credit facility fees 1 1 3
Amortization of debt issuance costs 1
Total interest and credit facility fees expense $ 2 $ 1 $ 5 $ 4
Cash paid for interest expense $ 1 $ $ 1 $ 1
Average stated interest rate 4.35 % % 3.95 % 3.45 %
Average outstanding balance $ 143 $ $ 81 $ 20

Convertible Unsecured Notes
The Company has issued $ 403 in aggregate principal amount of unsecured convertible notes that mature on March 1, 2024 (the “2024 Convertible Notes”) unless previously converted or repurchased in accordance with the terms. The Company does not have the right to redeem the 2024 Convertible Notes prior to maturity. The 2024 Convertible Notes bear interest at a rate of 4.625 % per annum, payable semi-annually.
In certain circumstances, assuming the conversion date below has not already passed, the 2024 Convertible Notes will be convertible into cash, shares of the Company’s common stock or a combination of cash and shares of its common stock, at the Company’s election, at the conversion rate (listed below as of September 30, 2022) subject to customary anti-dilution adjustments and the requirements of the indenture (the “Convertible Unsecured Notes Indenture”). Prior to the close of business on the business day immediately preceding the conversion date (listed below), holders may convert their 2024 Convertible
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Notes only under certain circumstances set forth in the Convertible Unsecured Notes Indenture. On or after the conversion date until the close of business on the second scheduled trading day immediately preceding the maturity date for the 2024 Convertible Notes, holders may convert their 2024 Convertible Notes at any time. In addition, if the Company engages in certain corporate events as described in the Convertible Unsecured Notes Indenture, holders of the 2024 Convertible Notes may require the Company to repurchase for cash all or part of the 2024 Convertible Notes at a repurchase price equal to 100 % of the principal amount of the 2024 Convertible Notes to be repurchased, plus accrued and unpaid interest through, but excluding, the required repurchase date.
Certain key terms related to the convertible features for the 2024 Convertible Notes as of September 30, 2022 are listed below.
2024 Convertible Notes
Conversion premium 15.0 %
Closing stock price at issuance $ 17.29
Closing stock price date March 5, 2019
Conversion price (1) $ 19.78
Conversion rate (shares per one thousand dollar principal amount)(1) 50.5549
Conversion date December 1, 2023
________________________________________

(1) Represents conversion price and conversion rate, as applicable, as of September 30, 2022, taking into account any applicable de minimis adjustments that will be made on the conversion date.
As of September 30, 2022, the principal amount of the 2024 Convertible Notes exceeded the value of the underlying shares multiplied by the per share closing price of the Company’s common stock.
The Convertible Unsecured Notes Indenture contains certain covenants, including covenants requiring the Company to comply with Section 18(a)(1)(A) as modified by Section 61(a) of the Investment Company Act, or any successor provisions, and to provide financial information to the holders of the 2024 Convertible Notes under certain circumstances. These covenants are subject to important limitations and exceptions that are described in the Convertible Unsecured Notes Indenture. As of September 30, 2022, the Company was in compliance in all material respects with the terms of the Convertible Unsecured Notes Indenture.
The 2024 Convertible Notes as well as any other convertible notes outstanding during the periods presented (collectively referred to as the “Convertible Unsecured Notes”) are accounted for in accordance with ASC 470-20, Debt . Upon conversion of the 2024 Convertible Notes, the Company intends to pay the outstanding principal amount in cash and to the extent that the conversion value exceeds the principal amount, the Company has the option to pay in cash or shares of the Company’s common stock (or a combination of cash and shares) in respect of the excess amount, subject to the requirements of the Convertible Unsecured Notes Indentures. The Company has determined that the embedded conversion options in the 2024 Convertible Notes are not required to be separately accounted for as a derivative under GAAP. In accounting for the Convertible Unsecured Notes, the Company estimated at the time of issuance separate debt and equity components for the Convertible Unsecured Notes. An original issue discount equal to the equity components of the Convertible Unsecured Notes was recorded in “capital in excess of par value” in the accompanying consolidated balance sheet. Additionally, the issuance costs associated with the Convertible Unsecured Notes were allocated to the debt and equity components in proportion to the allocation of the proceeds and accounted for as debt issuance costs and equity issuance costs, respectively. As a result of adopting ASU 2020-06 on January 1, 2022, the Company is no longer separating the 2024 Convertible Notes into debt and equity components, and is instead accounting for the 2024 Convertible Notes entirely as debt.
In connection with the issuance of the 2024 Convertible Notes, the Company incurred debt issuance costs of $ 4 . The 2024 Convertible Notes were issued at a discount. The Company records interest expense comprised of both stated interest expense as well as accretion of any original issue discount or debt issuance costs.

As of September 30, 2022, the components of the carrying value of the 2024 Convertible Notes, the stated interest rate and the effective interest rate were as follows:
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2024 Convertible Notes
Principal amount of debt $ 403
Original issue discount, net of accretion ( 1 )
Debt issuance costs, net of amortization ( 3 )
Carrying value of debt $ 399
Stated interest rate 4.625 %
Effective interest rate(1) 5.10 %
________________________________________

(1) The effective interest rate of the 2024 Convertible Notes is equal to the stated interest rate plus the accretion of original issue discount and amortization of debt issuance costs.

In February 2022, the Company repaid in full the $ 388 in aggregate principal amount of unsecured convertible notes (the “2022 Convertible Notes”) upon their maturity, resulting in a realized loss on the extinguishment of debt of $ 48 . The 2022 Convertible Notes bore interest at a rate of 4.60 % per year, payable semi-annually.

For the three and nine months ended September 30, 2022 and 2021, the components of interest expense and cash paid for interest expense for the 2024 Convertible Notes, as well as any other convertible notes outstanding during the periods presented were as follows.
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Stated interest expense $ 5 $ 8 $ 15 $ 25
Amortization of debt issuance costs 1 1 2
Accretion of original issue discount 1 2 4
Total interest expense $ 5 $ 10 $ 18 $ 31
Cash paid for interest expense $ 9 $ 17 $ 26 $ 34

Unsecured Notes
The Company has issued certain unsecured notes (each issuance of which is referred to herein using the “defined term” set forth under the “Unsecured Notes” column of the table below and collectively referred to as the “Unsecured Notes”), that pay interest semi-annually and all principal amounts are due upon maturity. Each of the Unsecured Notes may be redeemed in whole or in part at any time at the Company’s option at a redemption price equal to par plus a “make whole” premium, if applicable, as determined pursuant to the indentures governing each of the Unsecured Notes, plus any accrued and unpaid interest. Certain key terms related to the features for the Unsecured Notes as of September 30, 2022 are listed below.


Unsecured Notes
Aggregate Principal Amount Issued Interest Rate Original Issuance Date Maturity Date
2023 Notes $ 750 3.500 % August 10, 2017 February 10, 2023
2024 Notes $ 900 4.200 % June 10, 2019 June 10, 2024
March 2025 Notes $ 600 4.250 % January 11, 2018 March 1, 2025
July 2025 Notes $ 1,250 3.250 % January 15, 2020 July 15, 2025
January 2026 Notes $ 1,150 3.875 % July 15, 2020 January 15, 2026
July 2026 Notes $ 1,000 2.150 % January 13, 2021 July 15, 2026
2027 Notes $ 500 2.875 % January 13, 2022 June 15, 2027
2028 Notes $ 1,250 2.875 % June 10, 2021 June 15, 2028
2031 Notes $ 700 3.200 % November 4, 2021 November 15, 2031
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For the three and nine months ended September 30, 2022 and 2021, the components of interest expense and cash paid for interest expense for the Unsecured Notes, as well as any other unsecured notes outstanding during the periods presented are listed below.
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Stated interest expense $ 67 $ 62 $ 202 $ 168
Amortization of debt issuance costs 4 4 11 8
Net (amortization) accretion of original issue premium/discount ( 2 ) ( 1 ) ( 5 ) ( 1 )
Total interest expense $ 69 $ 65 $ 208 $ 175
Cash paid for interest expense $ 79 $ 90 $ 213 $ 187
The Unsecured Notes contain certain covenants, including covenants requiring the Company to comply with Section 18(a)(1)(A) as modified by Section 61(a) of the Investment Company Act, or any successor provisions, and to provide financial information to the holders of such notes under certain circumstances. These covenants are subject to important limitations and exceptions set forth in the indentures governing such notes. As of September 30, 2022, the Company was in compliance in all material respects with the terms of the respective indentures governing each of the Unsecured Notes.
The 2024 Convertible Notes and the Unsecured Notes are the Company’s senior unsecured obligations and rank senior in right of payment to any future indebtedness that is expressly subordinated in right of payment to the 2024 Convertible Notes and the Unsecured Notes; equal in right of payment to the Company’s existing and future unsecured indebtedness that is not expressly subordinated; effectively junior in right of payment to any of its secured indebtedness (including existing unsecured indebtedness that the Company later secures) to the extent of the value of the assets securing such indebtedness; and structurally junior to all existing and future indebtedness (including trade payables) incurred by the Company’s subsidiaries, financing vehicles or similar facilities.

6. DERIVATIVE INSTRUMENTS

The Company enters into forward currency contracts from time to time to help mitigate the impact that an adverse change in foreign exchange rates would have on the value of the Company’s investments denominated in foreign currencies. As of September 30, 2022 and December 31, 2021, the counterparty to these forward currency contracts was Royal Bank of Canada and Truist Financial Corporation, respectively.

In December 2017, in connection with $ 395 of the term loan tranche of the Revolving Credit Facility, the Company entered into a three-year interest rate swap agreement to mitigate its exposure to adverse fluctuations in interest rates for a total notional amount of $ 395 , which matured on January 4, 2021. Under the interest rate swap agreement, the Company paid a fixed interest rate of 2.06 % and received a floating rate based on the prevailing one-month LIBOR plus a spread of 1.75 %.

Certain information related to the Company’s derivative instruments as of September 30, 2022 and December 31, 2021 is presented below.
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As of September 30, 2022
Derivative Instrument Notional
Amount
Maturity Date Gross Amount of Recognized Assets Gross Amount of Recognized Liabilities Balance Sheet
Location of Net Amounts
Foreign currency forward contract CAD 262 10/28/2022 $ 203 $ ( 190 ) Other assets
Foreign currency forward contract CAD 237 10/19/2022 178 ( 171 ) Other assets
Foreign currency forward contract 135 10/28/2022 137 ( 132 ) Other assets
Foreign currency forward contract £ 123 10/28/2022 148 ( 137 ) Other assets
Foreign currency forward contract NZD 72 10/28/2022 45 ( 41 ) Other assets
Foreign currency forward contract CAD 2 10/28/2022 2 ( 2 ) Other assets
Foreign currency forward contract 1 10/28/2022 1 ( 1 ) Other assets
Total $ 714 $ ( 674 )
As of December 31, 2021
Derivative Instrument Notional
Amount
Maturity Date Gross Amount of Recognized Assets Gross Amount of Recognized Liabilities Balance Sheet
Location of Net Amounts
Foreign currency forward contract CAD 309 1/28/2022 $ 240 $ ( 245 ) Accounts payable and other liabilities
Foreign currency forward contract CAD 209 1/19/2022 163 ( 165 ) Accounts payable and other liabilities
Foreign currency forward contract 153 1/28/2022 172 ( 174 ) Accounts payable and other liabilities
Foreign currency forward contract £ 95 1/28/2022 126 ( 129 ) Accounts payable and other liabilities
Foreign currency forward contract CAD 2 1/28/2022 1 ( 1 ) Accounts payable and other liabilities
Total $ 702 $ ( 714 )

Net realized gains (losses) on derivative instruments recognized by the Company for the three and nine months ended September 30, 2022 and 2021 is in the following location in the consolidated statements of operations:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
Derivative Instrument Statement Location 2022 2021 2022 2021
Interest rate swap Net realized gains (losses) from foreign currency and other transactions $ $ $ $
Foreign currency forward contract Net realized gains (losses) from foreign currency and other transactions 22 17 36 9
Total $ 22 $ 17 $ 36 $ 9

Net unrealized gains (losses) on derivative instruments recognized by the Company for the three and nine months ended September 30, 2022 and 2021 is in the following location in the consolidated statements of operations:

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For the Three Months Ended September 30, For the Nine Months Ended September 30,
Derivative Instrument Statement Location 2022 2021 2022 2021
Interest rate swap Net unrealized gains (losses) from foreign currency and other transactions $ $ $ $ 1
Foreign currency forward contract Net unrealized gains (losses) from foreign currency and other transactions 31 ( 2 ) 52 3
Total $ 31 $ ( 2 ) $ 52 $ 4

7. COMMITMENTS AND CONTINGENCIES

Investment Commitments

The Company has various commitments to fund investments in its portfolio as described below. As of September 30, 2022 and December 31, 2021, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to fund which are at (or substantially at) the Company’s discretion:
As of
September 30, 2022 December 31, 2021
Total revolving and delayed draw loan commitments $ 3,205 $ 2,733
Less: funded commitments ( 520 ) ( 352 )
Total unfunded commitments 2,685 2,381
Less: commitments substantially at discretion of the Company
Less: unavailable commitments due to borrowing base or other covenant restrictions ( 4 )
Total net adjusted unfunded revolving and delayed draw loan commitments $ 2,685 $ 2,377
Included within the total revolving and delayed draw loan commitments as of September 30, 2022 and December 31, 2021 were delayed draw loan commitments totaling $ 1,490 and $ 1,273 , respectively. The Company’s commitment to fund delayed draw loans is triggered upon the satisfaction of certain pre-negotiated terms and conditions. Generally, the most significant and uncertain term requires the borrower to satisfy a specific use of proceeds covenant. The use of proceeds covenant typically requires the borrower to use the additional loans for the specific purpose of a permitted acquisition or permitted investment, for example. In addition to the use of proceeds covenant, the borrower is generally required to satisfy additional negotiated covenants (including specified leverage levels).

Also included within the total revolving loan commitments as of September 30, 2022 were commitments to issue up to $ 352 in letters of credit through a financial intermediary on behalf of certain portfolio companies. As of September 30, 2022, the Company had $ 41 in letters of credit issued and outstanding under these commitments on behalf of the portfolio companies. For all these letters of credit issued and outstanding, the Company would be required to make payments to third parties if the portfolio companies were to default on their related payment obligations. Of these letters of credit, $ 9 expire in 2022 and $ 32 expire in 2023.
The Company also has commitments to co-invest in the SDLP for the Company’s portion of the SDLP’s commitments to fund delayed draw loans to certain portfolio companies of the SDLP. See Note 4 for more information.
As of September 30, 2022 and December 31, 2021, the Company was party to subscription agreements to fund equity investments in private equity investment partnerships as follows:
As of
September 30, 2022 December 31, 2021
Total private equity commitments $ 116 $ 111
Less: funded private equity commitments ( 66 ) ( 68 )
Total unfunded private equity commitments 50 43
Less: private equity commitments substantially at discretion of the Company ( 50 ) ( 43 )
Total net adjusted unfunded private equity commitments $ $
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In the ordinary course of business, the Company may sell certain of its investments to third party purchasers. In particular, in connection with the sale of certain controlled portfolio company equity investments (as well as certain other sales) the Company has, and may continue to do so in the future, agreed to indemnify such purchasers for future liabilities arising from the investments and the related sale transaction. Such indemnification provisions have given rise to liabilities in the past and may do so in the future.

In addition, in the ordinary course of business, the Company may guarantee certain obligations in connection with its portfolio companies (in particular, certain controlled portfolio companies). Under these guarantee arrangements, payments may be required to be made to third parties if such guarantees are called upon or if the portfolio companies were to default on their related obligations, as applicable.

Lease Commitments

The Company is obligated under a number of operating leases pursuant to which it is leasing office facilities from third parties with remaining terms ranging from approximately one to four years . For certain of its operating leases, the Company had previously entered into subleases. The components of operating lease expense for the three and nine months ended September 30, 2022 and 2021 were as follows:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Operating lease costs $ 2 $ 3 $ 7 $ 8
Less: sublease income ( 2 ) ( 3 ) ( 7 ) ( 8 )
Total operating lease costs (1) $ $ $ $

________________________________________

(1) Total operating lease costs are incurred from office leases assumed as part of the Company’s acquisition of American Capital, Ltd.

Supplemental cash flow information related to operating leases for the three and nine months ended September 30, 2022 and 2021 were as follows:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Cash paid for amounts included in the measurement of operating lease liabilities $ 4 $ 4 $ 12 $ 12
Operating ROU assets obtained in exchange for operating lease liabilities $ 3 $ 2 $ 6 $ 6

Supplemental balance sheet information as of September 30, 2022 and December 31, 2022 related to operating leases were as follows:

As of
September 30, 2022 December 31, 2021
Operating lease ROU assets $ 21 $ 27
Operating lease liabilities $ 33 $ 43
Weighted average remaining lease term 3.2 years 3.7 years
Weighted average discount rate 3.8 % 3.1 %
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The following table shows future minimum lease payments under the Company’s operating leases and a reconciliation to the operating lease liability as of September 30, 2022:

Amount
2022 $ 4
2023 16
2024 6
2025 6
2026 6
Total lease payments 38
Less imputed interest ( 5 )
Total operating lease liabilities $ 33

The following table shows future expected rental payments to be received under the Company’s subleases where the Company is the sublessor as of September 30, 2022:

Amount
2022 $ 2
2023 9
2024 4
2025 4
2026 4
Total $ 23

8. FAIR VALUE OF FINANCIAL INSTRUMENTS

The Company follows ASC 825-10, R ecognition and Measurement of Financial Assets and Financial Liabilities (“ASC 825-10”), which provides companies the option to report selected financial assets and liabilities at fair value. ASC 825-10 also establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and to more easily understand the effect of the company’s choice to use fair value on its earnings. ASC 825-10 also requires entities to display the fair value of the selected assets and liabilities on the face of the balance sheet. The Company has not elected the ASC 825-10 option to report selected financial assets and liabilities at fair value. With the exception of the line items entitled “other assets” and “debt,” which are reported at amortized cost, the carrying value of all other assets and liabilities approximate fair value.
The Company also follows ASC 820-10, Fair Value Measurements and Disclosures (“ASC 820-10”), which expands the application of fair value accounting. ASC 820-10 defines fair value, establishes a framework for measuring fair value in accordance with GAAP and expands disclosure of fair value measurements. ASC 820-10 determines fair value to be the price that would be received for an investment in a current sale, which assumes an orderly transaction between market participants on the measurement date. ASC 820-10 requires the Company to assume that the portfolio investment is sold in its principal market to market participants or, in the absence of a principal market, the most advantageous market, which may be a hypothetical market. Market participants are defined as buyers and sellers in the principal or most advantageous market that are independent, knowledgeable, and willing and able to transact. In accordance with ASC 820-10, the Company has considered its principal market as the market in which the Company exits its portfolio investments with the greatest volume and level of activity. ASC 820-10 specifies a hierarchy of valuation techniques based on whether the inputs to those valuation techniques are observable or unobservable. In accordance with ASC 820-10, these inputs are summarized in the three broad levels listed below:

Level 1—Valuations based on quoted prices in active markets for identical assets or liabilities that the Company has the ability to access.

Level 2—Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

Level 3—Valuations based on inputs that are unobservable and significant to the overall fair value measurement.
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In addition to using the above inputs in investment valuations, the Company continues to employ the net asset valuation policy approved by the Company’s board of directors that is consistent with ASC 820-10 (see Note 2 for more information). Consistent with the Company’s valuation policy, it evaluates the source of inputs, including any markets in which the Company’s investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. The Company’s valuation policy considers the fact that because there is not a readily available market value for most of the investments in the Company’s portfolio, the fair value of the investments must typically be determined using unobservable inputs.
The Company’s portfolio investments (other than as described below in the following paragraph) are typically valued using two different valuation techniques. The first valuation technique is an analysis of the enterprise value (“EV”) of the portfolio company. Enterprise value means the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time. The primary method for determining EV uses a multiple analysis whereby appropriate multiples are applied to the portfolio company’s EBITDA (generally defined as net income before net interest expense, income tax expense, depreciation and amortization). EBITDA multiples are typically determined based upon review of market comparable transactions and publicly traded comparable companies, if any. The Company may also employ other valuation multiples to determine EV, such as revenues or, in the case of certain portfolio companies in the power generation industry, kilowatt capacity. The second method for determining EV uses a discounted cash flow analysis whereby future expected cash flows of the portfolio company are discounted to determine a present value using estimated discount rates (typically a weighted average cost of capital based on costs of debt and equity consistent with current market conditions). The EV analysis is performed to determine the value of equity investments, the value of debt investments in portfolio companies where the Company has control or could gain control through an option or warrant security, and to determine if there is credit impairment for debt investments. If debt investments are credit impaired, an EV analysis may be used to value such debt investments; however, in addition to the methods outlined above, other methods such as a liquidation or wind-down analysis may be utilized to estimate enterprise value. The second valuation technique is a yield analysis, which is typically performed for non-credit impaired debt investments in portfolio companies where the Company does not own a controlling equity position. To determine fair value using a yield analysis, a current price is imputed for the investment based upon an assessment of the expected market yield for a similarly structured investment with a similar level of risk. In the yield analysis, the Company considers the current contractual interest rate, the maturity and other terms of the investment relative to risk of the company and the specific investment. A key determinant of risk, among other things, is the leverage through the investment relative to the enterprise value of the portfolio company. As debt investments held by the Company are substantially illiquid with no active transaction market, the Company depends on primary market data, including newly funded transactions, as well as secondary market data with respect to high yield debt instruments and syndicated loans, as inputs in determining the appropriate market yield, as applicable.
For other portfolio investments such as investments in the SDLP Certificates, discounted cash flow analysis is the primary technique utilized to determine fair value. Expected future cash flows associated with the investment are discounted to determine a present value using a discount rate that reflects estimated market return requirements.
The following tables summarize the significant unobservable inputs the Company used to value the majority of its investments categorized within Level 3 as of September 30, 2022 and December 31, 2021. The tables are not intended to be all-inclusive, but instead capture the significant unobservable inputs relevant to the Company’s determination of fair values.

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As of September 30, 2022
Unobservable Input
Asset Category Fair Value Primary Valuation Techniques Input Estimated Range
Weighted Average (1)
First lien senior secured loans $ 9,301 Yield analysis Market yield
5.6 % - 23.5 %
10.8 %
Second lien senior secured loans 3,711 Yield analysis Market yield
10.0 % - 23.4 %
13.4 %
Subordinated certificates of the SDLP 1,121 Discounted cash flow analysis Discount rate
11.0 % - 13.4 %
12.0 %
Senior subordinated loans 1,043 Yield analysis Market yield
7.1 % - 14.6 %
12.1 %
Preferred equity 2,052 EV market multiple analysis EBITDA multiple
2.9 x - 40.6 x
16.1 x
Ivy Hill Asset Management, L.P.(2) 1,958 Discounted cash flow analysis Discount rate
11.1 % - 23.7 %
13.4 %
Other equity 1,791 EV market multiple analysis EBITDA multiple
2.3 x - 55.9 x
15.2 x
Total investments $ 20,977
________________________________________

(1) Unobservable inputs were weighted by the relative fair value of the investments.

(2) Includes the Company’s equity and subordinated loan investments in IHAM, as applicable.

As of December 31, 2021
Unobservable Input
Asset Category Fair Value Primary Valuation Techniques Input Estimated Range
Weighted Average (1)
First lien senior secured loans $ 9,456 Yield analysis Market yield
2.0 % - 16.5 %
7.6 %
Second lien senior secured loans 4,432 Yield analysis Market yield
6.8 % - 22.9 %
9.5 %
Subordinated certificates of the SDLP 987 Discounted cash flow analysis Discount rate
8.8 % - 9.7 %
9.3 %
Senior subordinated loans 889 Yield analysis Market yield
7.1 % - 27.8 %
11.5 %
Preferred equity 1,561 EV market multiple analysis EBITDA multiple
3.2 x - 64.4 x
16.5 x
Ivy Hill Asset Management, L.P.(2) 936 Discounted cash flow analysis Discount rate
9.9 % - 27.9 %
16.3 %
Other equity 1,647 EV market multiple analysis EBITDA multiple
4.9 x - 32.1 x
14.9 x
Total investments $ 19,908
________________________________________

(1) Unobservable inputs were weighted by the relative fair value of the investments.

(2) Includes the Company’s equity and subordinated loan investments in IHAM, as applicable.

Changes in market yields, discount rates or EBITDA multiples, each in isolation, may change the fair value of certain of the Company’s investments. Generally, an increase in market yields or discount rates or decrease in EBITDA multiples may result in a decrease in the fair value of certain of the Company’s investments.
Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Company’s investments may fluctuate from period to period. Additionally, the fair value of the Company’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Company may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Company was required to liquidate a portfolio investment in a forced or liquidation sale, it could realize significantly less than the value at which the Company has recorded it.

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In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.
The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, derivatives and unfunded revolving and delayed draw loan commitments as of September 30, 2022:

Fair Value Measurements Using
Total Level 1 Level 2 Level 3
Cash and cash equivalents $ 257 $ 257 $ $
Restricted cash $ 105 $ 105 $ $
Investments not measured at net asset value $ 21,334 $ 55 $ 302 $ 20,977
Investments measured at net asset value(1) 5
Total investments $ 21,339
Derivatives $ 40 $ $ 40 $
Unfunded revolving and delayed draw loan commitments(2) $ ( 54 ) $ $ $ ( 54 )
________________________________________

(1) Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the consolidated balance sheet.

(2) The fair value of unfunded revolving and delayed draw loan commitments is included in “accounts payable and other liabilities” in the accompanying consolidated balance sheet.

The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, derivatives and unfunded revolving and delayed draw loan commitments as of December 31, 2021:

Fair Value Measurements Using
Total Level 1 Level 2 Level 3
Cash and cash equivalents $ 372 $ 372 $ $
Restricted cash $ 114 $ 114 $ $
Investments not measured at net asset value $ 20,004 $ $ 96 $ 19,908
Investments measured at net asset value (1) 5
Total investments $ 20,009
Derivatives $ ( 12 ) $ $ ( 12 ) $
Unfunded revolving and delayed draw loan commitments(2) $ ( 20 ) $ $ $ ( 20 )
________________________________________

(1) Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the consolidated balance sheet.

(2) The fair value of unfunded revolving and delayed draw loan commitments is included in “accounts payable and other liabilities” in the accompanying consolidated balance sheet.



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The following table presents changes in investments that use Level 3 inputs as of and for the three and nine months ended September 30, 2022:
As of and For the Three Months Ended September 30, 2022
Balance as of June 30, 2022 $ 21,012
Net realized loss ( 22 )
Net unrealized losses ( 194 )
Purchases 2,059
Sales ( 1,099 )
Repayments ( 777 )
PIK interest and dividends 71
Net accretion of discount on securities 3
Net transfers in and/or out of Level 3 ( 76 )
Balance as of September 30, 2022 $ 20,977


As of and For the Nine Months Ended September 30, 2022
Balance as of December 31, 2021 $ 19,908
Net realized gains 23
Net unrealized losses ( 346 )
Purchases 6,730
Sales ( 3,305 )
Repayments ( 2,183 )
PIK interest and dividends 218
Net accretion of discount on securities 8
Net transfers in and/or out of Level 3 ( 76 )
Balance as of September 30, 2022 $ 20,977

Investments were transferred into and out of Level 3 during the three and nine months ended September 30, 2022. Transfers into and out of Level 3 were generally as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.

As of September 30, 2022, the net unrealized depreciation on the investments that use Level 3 inputs was $ 179 .

For the three and nine months ended September 30, 2022, the total amount of gains (losses) for the period included in earnings attributable to the change in unrealized gains (losses) relating to the Company’s Level 3 assets still held as of September 30, 2022, and reported within the net unrealized gains (losses) on investments, foreign currency and other transactions in the Company’s consolidated statement of operations was $( 197 ) and $( 302 ), respectively.


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The following table presents changes in investments that use Level 3 inputs as of and for the three and nine months ended September 30, 2021:
As of and For the Three Months Ended September 30, 2021
Balance as of June 30, 2021 $ 17,089
Net realized gains 123
Net unrealized gains 11
Purchases 2,517
Sales ( 860 )
Repayments ( 1,328 )
PIK interest and dividends 65
Net accretion of discount on securities 5
Net transfers in and/or out of Level 3 44
Balance as of September 30, 2021 $ 17,666

As of and For the Nine Months Ended September 30, 2021
Balance as of December 31, 2020 $ 15,506
Net realized gains 258
Net unrealized gains 455
Purchases 8,124
Sales ( 3,375 )
Repayments ( 3,537 )
PIK interest and dividends 180
Net accretion of discount on securities 11
Net transfers in and/or out of Level 3 44
Balance as of September 30, 2021 $ 17,666


Investments were transferred into and out of Level 3 during the three and nine months ended September 30, 2021. Transfers into and out of Level 3 were generally as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.

As of September 30, 2021, the net unrealized appreciation on the investments that use Level 3 inputs was $ 23 .

For the three and nine months ended September 30, 2021, the total amount of gains (losses) for the period included in earnings attributable to the change in unrealized gains (losses) relating to the Company’s Level 3 assets still held as of September 30, 2021, and reported within the net unrealized gains (losses) on investments, foreign currency and other transactions in the Company’s consolidated statement of operations was $ 107 and $ 570 , respectively.


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The following are the carrying and fair values of the Company’s debt obligations as of September 30, 2022 and December 31, 2021. Fair value is estimated by discounting remaining payments using applicable current market rates, which take into account changes in the Company’s marketplace credit ratings, or market quotes, if available.

As of
September 30, 2022 December 31, 2021
Carrying value(1) Fair value(4) Carrying value(1) Fair value(4)
Revolving Credit Facility $ 1,787 $ 1,787 $ 1,507 $ 1,507
Revolving Funding Facility 932 932 762 762
SMBC Funding Facility 456 456 401 401
BNP Funding Facility 175 175
2022 Convertible Notes (principal amount outstanding of $ 0 and $ 388 , respectively)
388 (2) 433
2024 Convertible Notes (principal amount outstanding of $ 403 )
399 (2) 412 395 (2) 457
2023 Notes (principal amount outstanding of $ 750 )
750 (2) 747 748 (2) 768
2024 Notes (principal amount outstanding of $ 900 )
898 (2) 872 897 (2) 952
March 2025 Notes (principal amount outstanding of $ 600 )
597 (2) 567 596 (2) 637
July 2025 Notes (principal amount outstanding of $ 1,250 )
1,258 (2) 1,143 1,260 (2) 1,297
January 2026 Notes (principal amount outstanding of $ 1,150 )
1,144 (2) 1,048 1,143 (2) 1,213
July 2026 Notes (principal amount outstanding of $ 1,000 )
990 (2) 839 988 (2) 989
2027 Notes (principal amount outstanding of $ 500 and $ 0 , respectively)
494 (2) 419 (2)
2028 Notes (principal amount outstanding of $ 1,250 )
1,246 (2) 985 1,246 (2) 1,248
2031 Notes (principal amount outstanding of $ 700 )
690 (2) 500 689 (2) 687
Total $ 11,816 (3) $ 10,882 $ 11,020 (3) $ 11,351
________________________________________

(1) The Revolving Credit Facility, the Revolving Funding Facility, the SMBC Funding Facility and the BNP Funding Facility carrying values are the same as the principal amounts outstanding.

(2) Represents the aggregate principal amount outstanding, less unamortized debt issuance costs and the net unaccreted/amortized discount or premium recorded upon issuance.

(3) Total principal amount of debt outstanding totaled $ 11,853 and $ 11,061 as of September 30, 2022 and December 31, 2021, respectively.

(4) The fair value of these debt obligations would be categorized as Level 2 under ASC 820-10.

9. STOCKHOLDERS’ EQUITY

The Company may from time to time issue and sell shares of its common stock through public or “at the market” offerings. In connection with the issuance of its common stock, the Company issued and sold the following shares of common stock during the nine months ended September 30, 2022:

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Issuances of Common Stock
Number of Shares Issued Gross Proceeds Underwriting Fees/Offering Expenses Net Proceeds Average Offering Price Per Share(1)
Public offerings 20.4 $ 432.0 $ 22.0 $ 410.0 $ 20.13 (2)
“At the market” offerings 19.6 403.4 4.6 398.8 $ 20.57
Total 40.0 $ 835.4 $ 26.6 $ 808.8

________________________________________

(1)    Represents the gross offering price per share before deducting underwriting discounts and commissions and offering expenses.

(2) 11.2 and 9.2 of the shares were sold to the underwriters for a price of $ 21.06 per share and $ 19.00 per share, respectively, which the underwriters were then permitted to sell at variable prices to the public.

“At the Market” Offerings

The Company has entered into equity distribution agreements with several banks (the “Equity Distribution Agreements”). In connection with entering into the currently effective Equity Distribution Agreements, Ares Capital and each of the banks terminated the equity distribution agreements, each dated October 26, 2021, previously entered into with each of the several banks in accordance with their respective terms. The Equity Distribution Agreements provide that the Company may from time to time issue and sell, by means of “at the market” offerings, up to $ 500 shares of its common stock. Subject to the terms and conditions of the Equity Distribution Agreements, sales of common stock, if any, may be made in transactions that are deemed to be “at the market” offerings as defined in Rule 415(a)(4) under the Securities Act of 1933, as amended. Under the currently effective Equity Distribution Agreements, common stock with an aggregate offering amount of $ 413 remained available for issuance as of September 30, 2022.

See Note 11 for information regarding shares of common stock issued or purchased in accordance with the Company’s dividend reinvestment plan.

Stock Repurchase Program

The Company is authorized under its stock repurchase program to purchase up to $ 500 in the aggregate of its outstanding common stock in the open market at certain thresholds below its net asset value per share, in accordance with the guidelines specified in Rule 10b-18 under the Securities Exchange Act of 1934, as amended. The timing, manner, price and amount of any share repurchases will be determined by the Company, in its sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program does not require the Company to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, the Company cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. The expiration date of the stock repurchase program is February 15, 2023. The program may be suspended, extended, modified or discontinued at any time. As of September 30, 2022, there was $ 500 available for repurchases under the stock repurchase program.

During the nine months ended September 30, 2022 and 2021, the Company did not repurchase any shares of the Company’s common stock under the stock repurchase program.

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10. EARNINGS PER SHARE

The following information sets forth the computations of basic and diluted net increase in stockholders’ equity resulting from operations per share for the three and nine months ended September 30, 2022 and 2021:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
2022 2021 2022 2021
Net increase in stockholders’ equity resulting from operations—basic $ 104 $ 334 $ 426 $ 1,185
Adjustment for interest expense on 2024 Convertible Notes(1) 4 13
Net increase in stockholders’ equity resulting from operations—diluted $ 108 $ 334 $ 439 $ 1,185
Weighted average shares of common stock outstanding—basic 503 453 492 441
Assumed conversion of 2024 Convertible Notes 20 20
Weighted average shares of common stock outstanding—diluted 523 453 512 441
Net increase in stockholders’ equity resulting from operations per share—basic $ 0.21 $ 0.73 $ 0.86 $ 2.68
Net increase in stockholders’ equity resulting from operations per share—diluted $ 0.21 $ 0.73 $ 0.86 $ 2.68
________________________________________

(1)    Includes the impact of income based fees.

Subsequent to the adoption of ASU 2020-06 on January 1, 2022, for the purpose of calculating diluted net increase in stockholders’ equity resulting from operations per share for the three and nine months ended September 30, 2022, the Company utilized the if-converted method which assumes full share settlement for the aggregate value of the 2024 Convertible Notes. Under the allowed modified retrospective method, diluted net increase in stockholders’ equity resulting from operations per share for prior periods were not restated to reflect the impact of ASU 2020-06. Prior to the adoption of ASU 2020-06, for the purpose of calculating diluted net increase in stockholders’ equity resulting from operations per share, the average closing price of the Company’s common stock for the three and nine months ended September 30, 2021 was more than the conversion price for each of the Convertible Unsecured Notes outstanding as of September 30, 2021. Therefore, the underlying shares for the intrinsic value of the embedded options in the Convertible Unsecured Notes outstanding during the three and nine months ended September 30, 2021 had no impact on the computation of diluted net increase in stockholders’ equity resulting from operations per share.

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11. DIVIDENDS AND DISTRIBUTIONS

The following table summarizes the Company’s dividends declared and payable during the nine months ended September 30, 2022 and 2021:

Date declared Record date Payment date Per share
amount
Total amount
July 26, 2022 September 15, 2022 September 30, 2022 $ 0.43 $ 219
February 9, 2022 September 15, 2022 September 30, 2022 0.03 (1) 15
April 26, 2022 June 15, 2022 June 30, 2022 0.42 208
February 9, 2022 June 15, 2022 June 30, 2022 0.03 (1) 15
February 9, 2022 March 15, 2022 March 31, 2022 0.42 205
February 9, 2022 March 15, 2022 March 31, 2022 0.03 (1) 15
Total dividends declared and payable for the nine months ended September 30, 2022
$ 1.36 $ 677
July 28, 2021 September 15, 2021 September 30, 2021 $ 0.41 $ 189
April 28, 2021 June 15, 2021 June 30, 2021 0.40 177
February 10, 2021 March 15, 2021 March 31, 2021 0.40 175
Total dividends declared and payable for the nine months ended September 30, 2021
$ 1.21 $ 541
___________________________________________________________________________
(1) Represents an additional dividend.

The Company has a dividend reinvestment plan, whereby the Company may buy shares of its common stock in the open market or issue new shares in order to satisfy dividend reinvestment requests. When the Company issues new shares in connection with the dividend reinvestment plan, the issue price is equal to the closing price of its common stock on the dividend payment date. Dividend reinvestment plan activity for the nine months ended September 30, 2022 and 2021, was as follows:
For the Nine Months Ended September 30,
2022 2021
Shares issued 0.6 1.5
Average issue price per share $ 20.95 $ 19.52
Shares purchased by plan agent to satisfy dividends declared and payable during the period for stockholders 1.6
Average purchase price per share $ 17.85 $

12. RELATED PARTY TRANSACTIONS

In accordance with the investment advisory and management agreement, the Company bears all costs and expenses of the operation of the Company and reimburses its investment adviser or its affiliates for certain of such costs and expenses paid for by the investment adviser or its affiliates on behalf of the Company. For the three and nine months ended September 30, 2022, the Company’s investment adviser or its affiliates incurred and the Company reimbursed such expenses totaling $ 1 and $ 3 , respectively. For the three and nine months ended September 30, 2021, the Company’s investment adviser or its affiliates incurred and the Company reimbursed such expenses totaling $ 1 and $ 4 , respectively.

The Company has entered into agreements with Ares Management LLC and IHAM, pursuant to which Ares Management LLC and IHAM are entitled to use the Company’s proprietary portfolio management software. For the three and nine months ended September 30, 2022, amounts payable to the Company under these agreements totaled $ 0 and $ 0 , respectively. For the three and nine months ended September 30, 2021, amounts payable to the Company under these agreements totaled $ 0 and $ 0 , respectively.

See Notes 3 and 4 for descriptions of other related party transactions.


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13. FINANCIAL HIGHLIGHTS

The following is a schedule of financial highlights as of and for the nine months ended September 30, 2022 and 2021:

As of and For the Nine Months Ended September 30,
Per Share Data: 2022 2021
Net asset value, beginning of period(1) $ 18.96 $ 16.97
Issuances of common stock 0.10 0.07
Net investment income for period(2) 1.51 1.13
Net realized and unrealized gains (losses) for period(2) ( 0.65 ) 1.56
Net increase in stockholders’ equity 0.96 2.76
Total distributions to stockholders(3) ( 1.36 ) ( 1.21 )
Net asset value at end of period(1) $ 18.56 $ 18.52
Per share market value at end of period $ 16.88 $ 20.33
Total return based on market value(4) ( 14.44 ) % 27.53 %
Total return based on net asset value(5) 2.74 % 20.87 %
Shares outstanding at end of period 508 461
Ratio/Supplemental Data:
Net assets at end of period $ 9,436 $ 8,537
Ratio of operating expenses to average net assets(6)(7) 9.77 % 4.32 %
Ratio of net investment income to average net assets(6)(8) 10.73 % 3.13 %
Portfolio turnover rate(6) 36 % 54 %
_______________________________________________________________________________

(1) The net assets used equals the total stockholders’ equity on the consolidated balance sheet.

(2) Weighted average basic per share data.

(3) Includes additional dividend of $ 0.09 per share for the nine months ended September 30, 2022.

(4) For the nine months ended September 30, 2022, the total return based on market value equaled the decrease of the ending market value at September 30, 2022 of $ 16.88 per share from the ending market value at December 31, 2021 of $ 21.19 per share plus the declared and payable dividends of $ 1.36 per share for the nine months ended September 30, 2022, divided by the market value at December 31, 2021. For the nine months ended September 30, 2021, the total return based on market value equaled the increase of the ending market value at September 30, 2021 of $ 20.33 per share from the ending market value at December 31, 2020 of $ 16.89 per share plus the declared and payable dividends of $ 1.21 per share for the nine months ended September 30, 2021, divided by the market value at December 31, 2020. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.

(5) For the nine months ended September 30, 2022, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $ 1.36 per share for the nine months ended September 30, 2022, divided by the beginning net asset value for the period. For the nine months ended September 30, 2021, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $ 1.21 per share for the nine months ended September 30, 2021, divided by the beginning net asset value for the period. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.

(6) The ratios reflect an annualized amount.

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(7) For the nine months ended September 30, 2022 and 2021, the ratio of operating expenses to average net assets consisted of the following:
For the Nine Months Ended September 30,
2022 2021
Base management fees 3.26 % 1.11 %
Income based fees and capital gains incentive fees 1.54 % 1.42 %
Cost of borrowing 4.54 % 1.60 %
Other operating expenses 0.43 % 0.19 %
Total operating expenses 9.77 % 4.32 %
(8) The ratio of net investment income to average net assets excludes income taxes related to realized gains and losses.

14. SUBSEQUENT EVENTS

The Company’s management has evaluated subsequent events through the date of issuance of the consolidated financial statements included herein. There have been no subsequent events that occurred during such period that would require disclosure in this Form 10-Q or would be required to be recognized in the consolidated financial statements as of and for the nine months ended September 30, 2022.

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Item 2.    Management’s Discussion and Analysis of Financial Condition and Results of Operations

The information contained in this section should be read in conjunction with our financial statements and notes thereto appearing elsewhere in this Quarterly Report. In addition, some of the statements in this Quarterly Report (including in the following discussion) constitute forward- looking statements, which relate to future events or the future performance or financial condition of Ares Capital Corporation (the “Company,” “Ares Capital,” “we,” “us,” or “our”). The forward-looking statements contained in this report involve a number of risks and uncertainties, including statements concerning:

our, or our portfolio companies’, future business, operations, operating results or prospects;

the return or impact of current and future investments;

the impact of global health crises, such as the ongoing coronavirus (“COVID-19”) pandemic, on our or our portfolio companies’ business and the U.S. and global economy;

the impact of a protracted decline in the liquidity of credit markets on our business;

the impact of the elimination of the London Interbank Offered Rate (“LIBOR”) and implementation of alternatives to LIBOR on our operating results;

changes in the general economy, slowing economy, rising inflation and risk of recession;

the impact of changes in laws or regulations (including the interpretation thereof), including tax laws, such as the recently announced Inflation Reduction Act of 2022, the Coronavirus Aid, Relief and Economic Security Act of 2020 and the American Rescue Plan Act of 2021, governing our operations or the operations of our portfolio companies or the operations of our competitors;

the valuation of our investments in portfolio companies, particularly those having no liquid trading market;

our ability to recover unrealized losses;

market conditions and our ability to access different debt markets and additional debt and equity capital and our ability to manage our capital resources effectively;

our contractual arrangements and relationships with third parties;

the state of the general economy;

the impact of supply chain constraints on our portfolio companies and the global economy;

uncertainty surrounding global financial stability;

the social, geopolitical, financial, trade and legal implications of Brexit;

the war in Ukraine and Russia and the potential for volatility in energy prices and other commodities and their impact on the industries in which we invest;

the financial condition of our current and prospective portfolio companies and their ability to achieve their objectives;

the impact of information technology system failures, data security breaches, data privacy compliance, network disruptions, and cybersecurity attacks;

our ability to raise capital in the private and public debt markets;

our ability to anticipate and identify evolving market expectations with respect to environmental, social and governance matters, including the environmental impacts of our portfolio companies' supply chain and operations;

our ability to successfully complete and integrate any acquisitions;
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the outcome and impact of any litigation;

the adequacy of our cash resources and working capital;

the timing, form and amount of any dividend distributions;

the timing of cash flows, if any, from the operations of our portfolio companies; and

the ability of our investment adviser to locate suitable investments for us and to monitor and administer our investments.

We use words such as “anticipates,” “believes,” “expects,” “intends,” “will,” “should,” “may” and similar expressions to identify forward-looking statements, although not all forward-looking statements include these words. Our actual results and condition could differ materially from those implied or expressed in the forward-looking statements for any reason, including the factors set forth in “Risk Factors” and elsewhere in our Annual Report on Form 10-K for the fiscal year ended December 31, 2021 and in this Quarterly Report.

We have based the forward-looking statements included in this Quarterly Report on information available to us on the filing date of this Quarterly Report, and we assume no obligation to update any such forward-looking statements. Although we undertake no obligation to revise or update any forward-looking statements, whether as a result of new information, future events or otherwise, you are advised to consult any additional disclosures that we may make directly to you or through reports that we have filed or in the future may file with the SEC, including annual reports on Form 10-K, registration statements on Form N-2, quarterly reports on Form 10-Q and current reports on Form 8-K.

OVERVIEW

We are a specialty finance company that is a closed-end, non-diversified management investment company incorporated in Maryland. We have elected to be regulated as a business development company (“BDC”) under the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”).
We are externally managed by Ares Capital Management LLC (“Ares Capital Management” or our “investment adviser”), a subsidiary of Ares Management Corporation (NYSE: ARES) (“Ares Management”), a publicly traded, leading global alternative investment manager, pursuant to our investment advisory and management agreement. Ares Operations LLC (“Ares Operations” or our “administrator”), a subsidiary of Ares Management, provides certain administrative and other services necessary for us to operate.
Our investment objective is to generate both current income and capital appreciation through debt and equity investments. We invest primarily in first lien senior secured loans (including “unitranche” loans, which are loans that combine both senior and subordinated debt, generally in a first lien position) and second lien senior secured loans. In addition to senior secured loans, we also invest in subordinated loans (sometimes referred to as mezzanine debt), which in some cases includes an equity component and preferred equity.
To a lesser extent, we also make common equity investments, which have generally been non-control equity investments of less than $20 million (usually in conjunction with a concurrent debt investment). However, we may increase the size or change the nature of these investments.
Since our initial public offering (“IPO”) on October 8, 2004 through September 30, 2022, our exited investments resulted in an asset level realized gross internal rate of return to us of approximately 14% (based on original cash invested, net of syndications, of approximately $38.2 billion and total proceeds from such exited investments of approximately $49.1 billion). Internal rate of return is the discount rate that makes the net present value of all cash flows related to a particular investment equal to zero. Internal rate of return is gross of expenses related to investments as these expenses are not allocable to specific investments. Investments are considered to be exited when the original investment objective has been achieved through the receipt of cash and/or non-cash consideration upon the repayment of a debt investment or sale of an investment or through the determination that no further consideration was collectible and, thus, a loss may have been realized. Approximately 58% of these exited investments resulted in an asset level realized gross internal rate of return to us of 10% or greater.

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Additionally, since our IPO on October 8, 2004 through September 30, 2022, our realized gains have exceeded our realized losses by approximately $1.1 billion (excluding a one-time gain on the acquisition of Allied Capital Corporation (“Allied Capital”) in April 2010 (the “Allied Acquisition”) and realized gains/losses from the extinguishment of debt and other transactions). For this same time period, our average annualized net realized gain rate was approximately 1.0% (excluding a one-time gain on the acquisition of Allied Capital and realized gains/losses from the extinguishment of debt and other transactions). Net realized gain/loss rates for a particular period are the amount of net realized gains/losses during such period divided by the average quarterly investments at amortized cost in such period.
Information included herein regarding internal rates of return, realized gains and losses and annualized net realized gain rates are historical results relating to our past performance and are not necessarily indicative of future results, the achievement of which cannot be assured.

As a BDC, we are required to comply with certain regulatory requirements. For instance, we generally have to invest at least 70% of our total assets in “qualifying assets,” including securities and indebtedness of private U.S. companies and certain public U.S. companies, cash, cash equivalents, U.S. government securities and high-quality debt investments that mature in one year or less. We also may invest up to 30% of our portfolio in non-qualifying assets, as permitted by the Investment Company Act. Specifically, as part of this 30% basket, we may invest in entities that are not considered “eligible portfolio companies” (as defined in the Investment Company Act), including companies located outside of the United States, entities that are operating pursuant to certain exceptions under the Investment Company Act, and publicly traded entities whose public equity market capitalization exceeds the levels provided for under the Investment Company Act.
We have elected to be treated as a regulated investment company (“RIC”) under the Internal Revenue Code of 1986, as amended (the “Code”), and operate in a manner so as to qualify for the tax treatment applicable to RICs. To qualify as a RIC, we must, among other requirements, meet certain source-of-income and asset diversification requirements and timely distribute to our stockholders generally at least 90% of our investment company taxable income, as defined by the Code, for each year. Pursuant to this election, we generally will not have to pay U.S. federal corporate-level taxes on any income that we distribute to our stockholders provided that we satisfy those requirements.

MACRO-ECONOMIC ENVIRONMENT

Credit markets continued to be under pressure during the first half of 2022 amid a risk-off environment and sustained macro-economic uncertainty due to record-high inflation, tighter financial conditions and growing recession risk. Central banks have remained focused on restoring price stability by raising interest rates and have signaled that growth may be hindered until inflation comes under control.




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PORTFOLIO AND INVESTMENT ACTIVITY

Our investment activity for the three months ended September 30, 2022 and 2021 is presented below.
For the Three Months Ended September 30,
(dollar amounts in millions) 2022 2021
New investment commitments(1):
New portfolio companies $ 1,041 $ 1,215
Existing portfolio companies 1,201 1,895
Total new investment commitments(2) $ 2,242 $ 3,110
Less:
Investment commitments exited(3) (1,996) (2,263)
Net investment commitments $ 246 $ 847
Principal amount of investments funded:
First lien senior secured loans(4) $ 1,362 $ 1,912
Second lien senior secured loans 100 111
Subordinated certificates of the SDLP(5) 100 96
Senior subordinated loans 19 131
Preferred equity 193 188
Ivy Hill Asset Management, L.P.(6) 342
Other equity 107 93
Total $ 2,223 $ 2,531
Principal amount of investments sold or repaid:
First lien senior secured loans(4) $ 1,376 $ 1,446
Second lien senior secured loans 305 247
Subordinated certificates of the SDLP(5) 2 125
Senior subordinated loans 1 113
Preferred equity 50 130
Ivy Hill Asset Management, L.P.(6) 189
Other equity 21 16
Total $ 1,944 $ 2,077
Number of new investment commitments(7) 40 47
Average new investment commitment amount $ 56 $ 66
Weighted average term for new investment commitments (in months) 66 77
Percentage of new investment commitments at floating rates 81 % 90 %
Percentage of new investment commitments at fixed rates 7 % 7 %
Weighted average yield of debt and other income producing securities(8):
Funded during the period at amortized cost 9.5 % 7.7 %
Funded during the period at fair value(9) 9.5 % 7.8 %
Exited or repaid during the period at amortized cost 8.3 % 8.6 %
Exited or repaid during the period at fair value(9) 8.3 % 8.7 %

_______________________________________________________________________________

(1) New investment commitments include new agreements to fund revolving loans or delayed draw loans. See Note 7 to our consolidated financial statements for the three and nine months ended September 30, 2022, for more information on our commitments to fund revolving loans or delayed draw loans.

(2) Includes both funded and unfunded commitments. Of these new investment commitments, we funded $1.9 billion and $2.2 billion for the three months ended September 30, 2022 and 2021, respectively.
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(3) Includes both funded and unfunded commitments. For the three months ended September 30, 2022 and 2021, investment commitments exited included exits of unfunded commitments of $115 million and $274 million, respectively.

(4) For the three months ended September 30, 2022, net fundings of first lien secured revolving loans were $60 million. For the three months ended September 30, 2021, net repayments of first lien secured revolving loans were $15 million.

(5) See “Senior Direct Lending Program” below and Note 4 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on the SDLP (as defined below).

(6) Includes our equity and subordinated loan investments in IHAM, as applicable.

(7) Number of new investment commitments represents each commitment to a particular portfolio company or a commitment to multiple companies as part of an individual transaction (e.g., the purchase of a portfolio of investments).

(8) “Weighted average yield of debt and other income producing securities” is computed as (a) the annual stated interest rate or yield earned plus the net annual amortization of original issue discount and market discount or premium earned on accruing debt and other income producing securities (including the annualized amount of the dividend received by us related to our equity investment in IHAM during the most recent quarter end, as applicable), divided by (b) the total accruing debt and other income producing securities at amortized cost or at fair value (including the amortized cost or fair value of our equity investment in IHAM as applicable), as applicable.

(9) Represents fair value for investments in the portfolio as of the most recent prior quarter end, if applicable.

As of September 30, 2022 and December 31, 2021, our investments consisted of the following:
As of
September 30, 2022 December 31, 2021
(in millions) Amortized Cost Fair Value Amortized Cost Fair Value
First lien senior secured loans(1) $ 9,821 $ 9,509 $ 9,583 $ 9,459
Second lien senior secured loans 4,011 3,797 4,614 4,524
Subordinated certificates of the SDLP(2) 1,121 1,121 987 987
Senior subordinated loans 1,102 1,051 912 906
Preferred equity 2,071 2,052 1,547 1,561
Ivy Hill Asset Management, L.P.(3) 1,809 1,958 781 936
Other equity 1,534 1,851 2,167 2,572
Total $ 21,469 $ 21,339 $ 19,810 $ 20,009
_______________________________________________________________________________

(1) First lien senior secured loans include certain loans that we classify as “unitranche” loans. The total amortized cost and fair value of the loans that we classified as “unitranche” loans were $5.1 billion and $5.0 billion, respectively, as of September 30, 2022, and $5.2 billion and $5.2 billion, respectively, as of December 31, 2021.

(2) The proceeds from these certificates were applied to co-investments with Varagon Capital Partners (“Varagon”) and its clients to fund first lien senior secured loans to 21 and 19 different borrowers as of September 30, 2022 and December 31, 2021, respectively.

(3) Includes our equity and subordinated loan investments in IHAM, as applicable.

We have commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to fund which are at (or substantially at) our discretion. Our commitment to fund delayed draw loans is triggered upon the satisfaction of certain pre-negotiated terms and conditions. Generally, the most significant and uncertain term requires the borrower to satisfy a specific use of proceeds covenant. The use of proceeds covenant typically requires the borrower to use the additional loans for the specific purpose of a permitted acquisition or permitted investment, for example. In addition to the
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use of proceeds covenant, the borrower is generally required to satisfy additional negotiated covenants (including specified leverage levels). We are also party to subscription agreements to fund equity investments in private equity investment partnerships. See Note 7 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on our unfunded commitments, including commitments to issue letters of credit, related to certain of our portfolio companies.

The weighted average yields at amortized cost and fair value of the following portions of our portfolio as of September 30, 2022 and December 31, 2021 were as follows:
As of
September 30, 2022 December 31, 2021
Amortized Cost Fair Value Amortized Cost Fair Value
Debt and other income producing securities(1) 10.7 % 10.8 % 8.7 % 8.7 %
Total portfolio(2) 9.6 % 9.7 % 7.9 % 7.9 %
First lien senior secured loans(3) 9.4 % 9.7 % 7.2 % 7.3 %
Second lien senior secured loans(3) 10.3 % 10.9 % 8.6 % 8.8 %
Subordinated certificates of the SDLP(3)(6) 13.5 % 13.5 % 13.5 % 13.5 %
Senior subordinated loans(3) 9.6 % 10.0 % 10.2 % 10.3 %
Ivy Hill Asset Management L.P.(4) 16.0 % 14.5 % 14.6 % 12.2 %
Other income producing equity securities(5) 11.3 % 11.1 % 10.6 % 10.0 %
_______________________________________________________________________________

(1) “Weighted average yield on debt and other income producing securities” is computed as (a) the annual stated interest rate or yield earned plus the net annual amortization of original issue discount and market discount or premium earned on accruing debt and other income producing securities (including the annualized amount of the dividend received by us related to our equity investment in IHAM during the most recent quarter end), divided by (b) the total accruing debt and other income producing securities at amortized cost or at fair value (including the amortized cost or fair value of our equity investment in IHAM as applicable), as applicable.

(2) “Weighted average yield on total portfolio” is computed as (a) the annual stated interest rate or yield earned plus the net annual amortization of original issue discount and market discount or premium earned on accruing debt and other income producing securities (including the annualized amount of the dividend received by us related to our equity investment in IHAM during the most recent quarter end), divided by (b) total investments at amortized cost or at fair value, as applicable.

(3) “Weighted average yields” are computed as (a) the annual stated interest rate or yield earned plus the net annual amortization of original issue discount and market discount or premium earned on the relevant accruing investments, divided by (b) the total relevant investments at amortized cost or at fair value, as applicable.

(4) Represents our equity investment in IHAM. The yield on IHAM is computed as (a) the annualized amount of the dividend received by us related to our equity investment in IHAM during the most recent quarter end, divided by (b) the amortized cost or fair value of our equity investment in IHAM, as applicable.

(5) “Weighted average yield on other income producing equity securities” is computed as (a) the yield earned on the relevant income producing equity securities, divided by (b) the total relevant income producing equity securities at amortized cost or fair value, as applicable.

(6) The proceeds from these certificates were applied to co-investments with Varagon and its clients to fund first lien senior secured loans.
Ares Capital Management employs an investment rating system to categorize our investments. In addition to various risk management and monitoring tools, our investment adviser grades the credit risk of all investments on a scale of 1 to 4 no less frequently than quarterly. This system is intended primarily to reflect the underlying risk of a portfolio investment relative to our initial cost basis in respect of such portfolio investment (i.e., at the time of origination or acquisition), although it may also take into account under certain circumstances the performance of the portfolio company’s business, the collateral coverage of the investment and other relevant factors. The grade of a portfolio investment may be reduced or increased over time. The following is a description of each investment grade:
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Investment grade Description
4 Involves the least amount of risk to our initial cost basis. The trends and risk factors for this investment since origination or acquisition are generally favorable, which may include the performance of the portfolio company or a potential exit.
3 Involves a level of risk to our initial cost basis that is similar to the risk to our initial cost basis at the time of origination or acquisition. This portfolio company is generally performing as expected and the risk factors to our ability to ultimately recoup the cost of our investment are neutral to favorable. All investments or acquired investments in new portfolio companies are initially assessed a grade of 3.
2 Indicates that the risk to our ability to recoup the initial cost basis of such investment has increased materially since origination or acquisition, including as a result of factors such as declining performance and non-compliance with debt covenants; however, payments are generally not more than 120 days past due. For investments graded 2, our investment adviser enhances its level of scrutiny over the monitoring of such portfolio company.
1 Indicates that the risk to our ability to recoup the initial cost basis of such investment has substantially increased since origination or acquisition, and the portfolio company likely has materially declining performance. For debt investments with an investment grade of 1, most or all of the debt covenants are out of compliance and payments are substantially delinquent. For investments graded 1, it is anticipated that we will not recoup our initial cost basis and may realize a substantial loss of our initial cost basis upon exit. For investments graded 1, our investment adviser enhances its level of scrutiny over the monitoring of such portfolio company.
Set forth below is the grade distribution of our portfolio companies as of September 30, 2022 and December 31, 2021:

As of
September 30, 2022 December 31, 2021
(dollar amounts in millions) Fair Value % Number of
Companies
% Fair Value % Number of
Companies
%
Grade 4 $ 4,332 20.3 % 67 15.0 % $ 3,422 17.1 % 49 12.7 %
Grade 3 15,982 74.9 344 75.0 15,529 77.6 294 76.0
Grade 2 968 4.5 28 6.0 910 4.5 24 6.1
Grade 1 57 0.3 19 4.0 148 0.8 20 5.2
Total $ 21,339 100.0 % 458 100.0 % $ 20,009 100.0 % 387 100.0 %

As of September 30, 2022 and December 31, 2021, the weighted average grade of the investments in our portfolio at fair value was 3.2 and 3.1, respectively.

As of September 30, 2022 and December 31, 2021, loans on non-accrual status represented 1.6% of the total investments at amortized cost (or 0.9% at fair value) and 0.8% at amortized cost (or 0.5% at fair value), respectively.

Senior Direct Lending Program

We have established a joint venture with Varagon to make certain first lien senior secured loans, including certain stretch senior and unitranche loans, primarily to U.S. middle-market companies. Varagon was formed in 2013 as a lending platform by American International Group, Inc. and other partners. The joint venture is called the Senior Direct Lending Program, LLC (d/b/a the “Senior Direct Lending Program” or the “SDLP”). In July 2016, we and Varagon and its clients completed the initial funding of the SDLP. The SDLP may generally commit and hold individual loans of up to $350 million. The SDLP is capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of ours and Varagon (with approval from a representative of each required).

We provide capital to the SDLP in the form of subordinated certificates (the “SDLP Certificates”), and Varagon and its clients provide capital to the SDLP in the form of senior notes, intermediate funding notes and SDLP Certificates. As of September 30, 2022, we and a client of Varagon owned 87.5% and 12.5%, respectively, of the outstanding SDLP Certificates.

As of September 30, 2022 and December 31, 2021, we and Varagon and its clients had agreed to make capital available to the SDLP of $6.2 billion and $6.2 billion, respectively, in the aggregate, of which $1.4 billion and $1.4 billion,
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respectively, is to be made available from us. This capital will only be committed to the SDLP upon approval of transactions by the investment committee of the SDLP. Below is a summary of the funded capital and unfunded capital commitments of the SDLP.
As of
(in millions) September 30, 2022 December 31, 2021
Total capital funded to the SDLP(1) $ 4,772 $ 4,168
Total capital funded to the SDLP by the Company(1) $ 1,121 $ 987
Total unfunded capital commitments to the SDLP(2) $ 311 $ 262
Total unfunded capital commitments to the SDLP by the Company(2) $ 73 $ 62
___________________________________________________________________________
(1) At principal amount.

(2) These commitments to fund delayed draw loans have been approved by the investment committee of the SDLP and will be funded if and when conditions to funding such delayed draw loans are met.

The SDLP Certificates pay a coupon equal to LIBOR plus 8.0% and also entitle the holders thereof to receive a portion of the excess cash flow from the loan portfolio, after expenses, which may result in a return to the holders of the SDLP Certificates that is greater than the stated coupon. The SDLP Certificates are junior in right of payment to the senior notes and intermediate funding notes.

The amortized cost and fair value of our SDLP Certificates were $1.1 billion and $1.1 billion, respectively, as of September 30, 2022 and $1.0 billion and $1.0 billion, respectively, as of December 31, 2021. Our yield on our investment in the SDLP Certificates at amortized cost and fair value was 13.5% and 13.5%, respectively, as of September 30, 2022 and 13.5% and 13.5%, respectively, as of December 31, 2021. The interest income from our investment in the SDLP Certificates and capital structuring service and other fees earned for the three and nine months ended September 30, 2022 and 2021 were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Interest income
$ 37 $ 33 $ 105 $ 106
Capital structuring service and other fees
$ 7 $ 7 $ 15 $ 13

As of September 30, 2022 and December 31, 2021, the SDLP portfolio was comprised entirely of first lien senior secured loans primarily to U.S. middle-market companies and were in industries similar to the companies in our portfolio. As of September 30, 2022, one of the loans was on non-accrual status. As of December 31, 2021, none of the loans were on non-accrual status. Below is a summary of the SDLP’s portfolio as of September 30, 2022 and December 31, 2021:

As of
(dollar amounts in millions) September 30, 2022 December 31, 2021
Total first lien senior secured loans(1)(2) $ 4,798 $ 4,194
Weighted average yield on first lien senior secured loans(3) 8.7 % 6.7 %
Largest loan to a single borrower(1) $ 380 $ 342
Total of five largest loans to borrowers(1) $ 1,616 $ 1,540
Number of borrowers in the SDLP 21 19
Commitments to fund delayed draw loans(4) $ 311 $ 262
_______________________________________________________________________________

(1) At principal amount.

(2) First lien senior secured loans include certain loans that the SDLP classifies as “unitranche” loans. As of September 30, 2022 and December 31, 2021, the total principal amount of loans in the SDLP portfolio that the SDLP classified as “unitranche” loans was $3,737 million and $2,908 million, respectively.

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(3) Computed as (a) the annual stated interest rate on accruing first lien senior secured loans, divided by (b) total first lien senior secured loans at principal amount.

(4) As discussed above, these commitments have been approved by the investment committee of the SDLP.
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RESULTS OF OPERATIONS

For the three and nine months ended September 30, 2022 and 2021

Operating results for the three and nine months ended September 30, 2022 and 2021 were as follows:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Total investment income $ 537 $ 442 $ 1,456 $ 1,291
Total expenses 235 253 676 771
Net investment income before income taxes 772 189 2,132 520
Income tax expense, including excise tax 14 5 37 21
Net investment income 758 184 2,095 499
Net realized gains on investments, foreign currency and other transactions 149 55 267
Net unrealized gains (losses) on investments, foreign currency and other transactions (184) 1 (324) 462
Realized loss on extinguishment of debt (48) (43)
Net increase in stockholders’ equity resulting from operations $ 574 $ 334 $ 1,778 $ 1,185

Net income can vary substantially from period to period due to various factors, including acquisitions, the level of new investment commitments, the recognition of realized gains and losses and unrealized appreciation and depreciation. As a result, comparisons of net increase in stockholders’ equity resulting from operations may not be meaningful.

Investment Income
For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Interest income from investments $ 385 $ 317 $ 1,014 $ 911
Capital structuring service fees 32 59 94 190
Dividend income 107 54 314 158
Other income 13 12 34 32
Total investment income $ 537 $ 442 $ 1,456 $ 1,291

Interest income from investments for the three and nine months ended September 30, 2022 increased from the comparable periods in 2021 primarily as a result of an increase in the average size of our portfolio as well as the impact of rising interest rates. The average size and weighted average yield of our portfolio at amortized cost for the three and nine months ended September 30, 2022 and 2021 were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Average size of portfolio $ 21,291 $ 17,362 $ 20,353 $ 16,498
Weighted average yield on portfolio 9.2 % 8.0 % 8.5 % 8.0 %

Capital structuring service fees for the three and nine months ended September 30, 2022 decreased from the comparable periods in 2021 primarily due to a decrease in the weighted average capital structuring service fee percentage and a decrease in new investment commitments during the three and nine months ended September 30, 2022. During the three and nine months ended September 30, 2021, we experienced higher fee opportunities as compared to the comparable periods in 2022 primarily due to a higher number of transactions in new portfolio companies. The new investment commitments and weighted average capital structuring service fee percentages for the three and nine months ended September 30, 2022 and 2021 were as follows:

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For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
New investment commitments $ 2,242 $ 3,110 $ 7,352 $ 9,707
Weighted average capital structuring service fee percentages(1) 1.4 % 1.9 % 1.3 % 2.0 %

_______________________________________________________________________________

(1)    Excluding $342 and $1,261 million of investment commitments to IHAM for the three and nine months ended September 30, 2022, respectively, the weighted average capital structuring service fee percentage was 1.7% and 1.5%, respectively. Excluding $52 million of investment commitments to IHAM for the three and nine months ended September 30, 2021, the weighted average capital structuring service fee percentage was 2.0% and 2.0%, respectively.

Dividend income for the three and nine months ended September 30, 2022 and 2021 were as follows:

For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Dividend income received from IHAM $ 55 $ 23 $ 150 $ 65
Recurring dividends 51 30 135 75
Non-recurring dividends 1 1 29 18
Total dividend income $ 107 $ 54 $ 314 $ 158

Dividend income received from IHAM for the three and nine months ended September 30, 2022 increased from the comparable periods primarily due to the continued increase in IHAM’s assets under management, which generally has been supported by our additional investments in IHAM. Recurring dividend income for the three and nine months ended September 30, 2022 increased from the comparable periods in 2021 primarily due to an increase in yielding preferred equity investments.
Operating Expenses
For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Interest and credit facility fees $ 120 $ 94 $ 314 $ 267
Base management fees 78 65 226 184
Income based fees 63 53 171 158
Capital gains incentive fees(1) (37) 30 (64) 133
Administrative fees 3 4 9 11
Other general and administrative 8 7 20 18
Total expenses $ 235 $ 253 $ 676 $ 771
_______________________________________________________________________________
(1) Calculated in accordance with U.S. generally accepted accounting principles (“GAAP”) as discussed below.

Interest and credit facility fees for the three and nine months ended September 30, 2022 and 2021, were comprised of the following:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Stated interest expense $ 107 $ 76 $ 282 $ 222
Credit facility fees 7 9 13 23
Amortization of debt issuance costs 8 9 22 19
Net (amortization) accretion of discount on notes payable (2) (3) 3
Total interest and credit facility fees $ 120 $ 94 $ 314 $ 267
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Stated interest expense for the three and nine months ended September 30, 2022 increased from the comparable periods in 2021 primarily due to the increase in the average principal amount of debt outstanding. Our weighted average stated interest rate for the three months ended September 30, 2022 increased for the comparable period in 2021 due to the higher utilization of our floating rate revolving facilities and the impact of rising interest rates. Our weighted average stated interest rate for the nine months ended September 30, 2022 remained steady from the comparable period in 2021. Average debt outstanding and weighted average stated interest rate on our debt outstanding for the three and nine months ended September 30, 2022 and 2021 were as follows:


For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Average debt outstanding $ 11,867 $ 9,409 $ 11,170 $ 8,869
Weighted average stated interest rate on debt 3.6 % 3.3 % 3.3 % 3.3 %

Credit facility fees for the three and nine months ended September 30, 2022 were lower from the comparable periods in 2021 primarily due to the higher utilization of our revolving facilities resulting in lower unused commitment fees.

Base management fees for the three and nine months ended September 30, 2022 increased from the comparable periods in 2021 primarily due to the increase in the average size of our portfolio for the three and nine months ended September 30, 2022 as compared to the comparable periods in 2021.

Income based fees for the three and nine months ended September 30, 2022 increased from the comparable periods in 2021 primarily due to the pre-incentive fee net investment income, as defined in the investment advisory and management agreement, for the nine months ended September 30, 2022 being higher than in the comparable period in 2021.

For the three and nine months ended September 30, 2022, the reduction in the capital gains incentive fee calculated in accordance with GAAP was $37 million and $64 million, respectively. For the three and nine months ended September 30, 2021, the capital gains incentive fee calculated in accordance with GAAP was $30 million and $133 million, respectively. The capital gains incentive fee accrual for the nine months ended September 30, 2022 changed from the comparable period in 2021 primarily due to net losses on investments, foreign currency, other transactions and the extinguishment of debt of $184 million compared to net gains of $686 million for the nine months ended September 30, 2021. The capital gains incentive fee accrued under GAAP includes an accrual related to unrealized capital appreciation, whereas the capital gains incentive fee actually payable under our investment advisory and management agreement does not. There can be no assurance that such unrealized capital appreciation will be realized in the future. The accrual for any capital gains incentive fee under GAAP in a given period may result in an additional expense if such cumulative amount is greater than in the prior period or a reduction of previously recorded expense if such cumulative amount is less than in the prior period. If such cumulative amount is negative, then there is no accrual. As of September 30, 2022, there was $72 million of capital gains incentive fees accrued in accordance with GAAP. As of September 30, 2022, there was no capital gains incentive fee actually payable under our investment advisory and management agreement. See Note 3 to our consolidated financial statements for the three and nine months ended September 30, 2022, for more information on the base management fees, income based fees and capital gains incentive fees.
Cash payment of any income based fees and capital gains incentive fees otherwise earned by our investment adviser is deferred if during the most recent four full calendar quarter period ending on or prior to the date such payment is to be made the sum of (a) the aggregate distributions to our stockholders and (b) the change in net assets (defined as total assets less indebtedness and before taking into account any income based fees and capital gains incentive fees payable during the period) is less than 7.0% of our net assets (defined as total assets less indebtedness) at the beginning of such period. These calculations will be adjusted for any share issuances or repurchases. Any income based fees and capital gains incentive fees deferred for payment are carried over for payment in subsequent calculation periods to the extent such fees are payable under the terms of the investment advisory and management agreement.

Administrative fees represent fees paid to Ares Operations for our allocable portion of overhead and other expenses incurred by Ares Operations in performing its obligations under the administration agreement, including our allocable portion of the compensation, rent and other expenses of certain of our corporate officers and their respective staffs. See Note 3 to our consolidated financial statements for the three and nine months ended September 30, 2022, for more information on the administrative fees.

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Other general and administrative expenses include, among other costs, professional fees, insurance, fees and expenses related to evaluating and making investments in portfolio companies and independent directors’ fees.

Income Tax Expense, Including Excise Tax

We have elected to be treated as a RIC under the Code and operate in a manner so as to qualify for the tax treatment applicable to RICs. To qualify as a RIC, we must (among other requirements) meet certain source-of-income and asset diversification requirements and timely distribute to our stockholders at least 90% of our investment company taxable income, as defined by the Code, for each year. We have made and intend to continue to make the requisite distributions to our stockholders which will generally relieve us from U.S. federal corporate-level income taxes.
Depending on the level of taxable income earned in a tax year, we may choose to carry forward such taxable income in excess of current year dividend distributions from such current year taxable income into the next tax year and pay a 4% excise tax on such income, as required. To the extent that we determine that our estimated current year taxable income will be in excess of estimated dividend distributions for the current year from such income, we accrue excise tax, if any, on estimated excess taxable income as such taxable income is earned. For the three and nine months ended September 30, 2022, we recorded an expense of $8 million and $24 million, respectively, for U.S. federal excise tax. For the three and nine months ended September 30, 2021, we recorded a net expense of $7 million and $19 million, respectively, for U.S. federal excise tax.

Certain of our consolidated subsidiaries are subject to U.S. federal and state income taxes. For the three and nine months ended September 30, 2022, we recorded a net tax expense of $6 million and $13 million, respectively, for these subsidiaries. For the three and nine months ended September 30, 2021, we recorded a net tax (benefit) expense of $(1) million and $3 million, respectively, for these subsidiaries. The income tax expense for our taxable consolidated subsidiaries will vary depending on the level of realized gains from the exits of investments held by such taxable subsidiaries during the respective periods.

Net Realized Gains/Losses

The net realized gains (losses) from the sales, repayments or exits of investments during the three and nine months ended September 30, 2022 and 2021 were comprised of the following:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Sales, repayments or exits of investments(1) $ 1,903 $ 2,185 $ 5,549 $ 6,904
Net realized gains (losses) on investments:
Gross realized gains $ 71 $ 233 $ 153 $ 395
Gross realized losses (93) (110) (130) (137)
Total net realized gains (losses) on investments $ (22) $ 123 $ 23 $ 258
_______________________________________________________________________________

(1) Includes $860 million and $2.4 billion of loans sold to IHAM and certain vehicles managed by IHAM during the three and nine months ended September 30, 2022, respectively, and $201 million and $1.0 billion during the comparable periods in 2021, respectively. Net realized losses of $4 million and $10 million, respectively, were recorded on these transactions with IHAM during the three and nine months ended September 30, 2022. Net realized losses of $1 million and $5 million were recognized on these transactions with IHAM during the three and nine months ended September 30, 2021, respectively. See Note 4 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on IHAM and its managed vehicles.

162


The net realized losses on investments during the three months ended September 30, 2022 consisted of the following:
(in millions)
Portfolio Company
Net Realized Gains (Losses)
Primrose Holding Corporation $ 29
IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P. 21
Bearcat Buyer, Inc. and Bearcat Parent, Inc. 16
Teligent, Inc (31)
PhyMED Management LLC (55)
Other, net (2)
Total $ (22)

During the three months ended September 30, 2022, we also recognized net realized gains on foreign currency and other transactions of $22 million.

The net realized gains on investments during the three months ended September 30, 2021 consisted of the following:
(in millions)
Portfolio Company
Net Realized Gains (Losses)
SVP-Singer Holdings Inc. and SVP-Singer Holdings LP $ 110
RMCF III CIV XXIX, L.P 30
GB Auto Service, Inc. and GB Auto Service Holdings, LLC 29
ChargePoint Holdings, Inc. 17
PERC Holdings 1 LLC 11
NECCO Holdings, Inc. and New England Confectionery Company, Inc. (12)
Garden Fresh Restaurant Corp. and GFRC Holdings LLC (24)
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. (58)
Other, net 20
Total $ 123

During the three months ended September 30, 2021, we also recognized net realized gains on foreign currency and other transactions of $26 million.

The net realized gains on investments during the nine months ended September 30, 2022 consisted of the following:
(in millions)
Portfolio Company
Net Realized Gains (Losses)
Athenahealth, Inc., VVC Holding Corp., Virence Intermediate Holding Corp., and Virence Holdings LLC $ 38
Primrose Holding Corporation 29
IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P. 22
Navisun LLC and Navisun Holdings LLC 19
Bearcat Buyer, Inc. and Bearcat Parent, Inc. 16
Sundance Energy Inc. (23)
Teligent, Inc (30)
PhyMED Management LLC (55)
Other, net 7
Total $ 23

During the nine months ended September 30, 2022, we also recognized net realized gains on foreign currency and other transactions of $32 million.

During the nine months ended September 30, 2022, we repaid in full the $388 million in aggregate principal amount of unsecured convertible notes (the “2022 Convertible Notes”) upon their maturity at a premium in accordance with the terms of the indenture governing the 2022 Convertible Notes, resulting in a realized loss on the extinguishment of debt of $48 million.
163



The net realized gains on investments during the nine months ended September 30, 2021 consisted of the following:
(in millions)
Portfolio Company
Net Realized Gains (Losses)
SVP-Singer Holdings Inc. and SVP-Singer Holdings LP $ 110
Blue Angel Buyer 1, LLC and Blue Angel Holdco, LLC 46
RMCF III CIV XXIX, L.P 30
GB Auto Service, Inc. and GB Auto Service Holdings, LLC 29
Evolent Health LLC and Evolent Health, Inc. 21
BW Landco LLC 21
Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP 18
ChargePoint Holdings, Inc. 17
Crown Health Care Laundry Services, LLC and Crown Laundry Holdings, LLC 11
PERC Holdings 1 LLC 11
NECCO Holdings, Inc. and New England Confectionery Company, Inc. (12)
Garden Fresh Restaurant Corp. and GFRC Holdings LLC (24)
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. (58)
Other, net 38
Total $ 258

During the nine months ended September 30, 2021, we also recognized net realized gains on foreign currency transactions of $9 million.

During the nine months ended September 30, 2021, we redeemed the entire $230 million in aggregate principal amount outstanding of the unsecured notes that were scheduled to mature on April 15, 2047 (the “2047 Notes”) in accordance with the terms of the indenture governing the 2047 Notes. The 2047 Notes were redeemed at par plus accrued and unpaid interest for a total redemption price of approximately $233 million, which resulted in a realized loss on the extinguishment of debt of $43 million. The $186 million carrying value of the 2047 Notes at the time of redemption represented the aggregate principal amount of the 2047 Notes less the unaccreted purchased discount recorded in connection with the Allied Acquisition.

Net Unrealized Gains/Losses

We value our portfolio investments quarterly and the changes in value are recorded as unrealized gains or losses in our consolidated statement of operations. Net unrealized gains and losses on investments for the three and nine months ended September 30, 2022 and 2021, were comprised of the following:
For the Three Months Ended September 30, For the Nine Months Ended September 30,
(in millions) 2022 2021 2022 2021
Unrealized appreciation $ 213 $ 230 $ 405 $ 612
Unrealized depreciation (439) (127) (757) (118)
Net unrealized (appreciation) depreciation reversed related to net realized gains or losses(1) 12 (91) (23) (37)
Total net unrealized gains (losses) on investments $ (214) $ 12 $ (375) $ 457
_______________________________________________________________________________

(1) The net unrealized depreciation reversed related to net realized gains or losses represents the unrealized appreciation or depreciation recorded on the related asset at the end of the prior period.

For the three and nine months ended September 30, 2022, the net unrealized losses recorded on investments were largely due to declining prices in the credit and equity markets as market participants expected a higher return on similar investments as a result of the higher rate environment.

164




The changes in net unrealized appreciation and depreciation on investments during the three months ended September 30, 2022 consisted of the following:
(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Apex Clean Energy TopCo, LLC $ 47
Alcami Corporation and ACM Holdings I, LLC 25
Production Resource Group, L.L.C. and PRG III, LLC 16
Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 14
Global Medical Response, Inc. and GMR Buyer Corp. (11)
DFC Global Facility Borrower III LLC (11)
H-Food Holdings, LLC and Matterhorn Parent, LLC (11)
Visual Edge Technology, Inc. (12)
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. (12)
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP (15)
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (16)
Potomac Intermediate Holdings II LLC (18)
Eckler Industries, Inc. and Eckler Purchaser LLC (20)
SHO Holding I Corporation (21)
TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. (31)
Other, net (150)
Total $ (226)

During the three months ended September 30, 2022, we also recognized net unrealized gains on foreign currency and other transactions of $29 million.

The changes in net unrealized appreciation and depreciation on investments during the three months ended September 30, 2021 consisted of the following:

(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Ivy Hill Asset Management, L.P. $ 19
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP 14
OTG Management, LLC 11
Other, net 59
Total $ 103

During the three months ended September 30, 2021, we also recognized net unrealized losses on foreign currency and other transactions of $11 million.

165


The changes in net unrealized appreciation and depreciation on investments during the nine months ended September 30, 2022 consisted of the following:
(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Apex Clean Energy TopCo, LLC $ 47
Production Resource Group, L.L.C. and PRG III, LLC 34
Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 33
Alcami Corporation and ACM Holdings I, LLC 29
VPROP Operating, LLC and V SandCo, LLC 24
LSP Holdco, LLC and ZBS Mechanical Group Co-Invest Fund 2, LLC 11
Cipriani USA, Inc. and Cipriani Group Holding S.A.R.L. 11
Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP 11
Rug Doctor, LLC and RD Holdco Inc. (11)
OUTFRONT Media Inc. (12)
Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P. (13)
OTG Management, LLC (14)
DFC Global Facility Borrower III LLC (14)
Global Medical Response, Inc. and GMR Buyer Corp. (15)
High Street Buyer, Inc. and High Street Holdco LLC (16)
Potomac Intermediate Holdings II LLC (16)
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP (16)
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (16)
Ardonagh Midco 2 plc and Ardonagh Midco 3 plc (17)
H-Food Holdings, LLC and Matterhorn Parent, LLC (18)
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. (19)
Visual Edge Technology, Inc. (20)
SCM Insurance Services Inc. (21)
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. (22)
SHO Holding I Corporation (25)
Eckler Industries, Inc. and Eckler Purchaser LLC (29)
TibCo Software Inc., Picard Parent, Inc., Picard MidCo, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. (31)
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP (46)
Other, net (161)
Total $ (352)

During the nine months ended September 30, 2022, we also recognized net unrealized gains on foreign currency and other transactions of $50 million.

166


The changes in net unrealized appreciation and depreciation on investments during the nine months ended September 30, 2021 consisted of the following:
(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Ivy Hill Asset Management, L.P. $ 47
Sundance Energy, Inc. 38
Heelstone Renewable Energy, LLC 26
OTG Management, LLC 26
ADG, LLC and RC IV GEDC Investor LLC 22
Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc. 14
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP 13
Instituto de Banca y Comercio, Inc. & Leeds IV Advisors, Inc. 12
T1 Power Holdings LLC 12
Athenahealth, Inc., VVC Holding Corp., Virence Intermediate Holding Corp., and Virence Holdings LLC 12
Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC 11
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P. 11
Reef Lifestyle, LLC 11
Visual Edge Technology, Inc. (11)
QC Supply, LLC (16)
Other, net 266
Total $ 494

During the nine months ended September 30, 2021, we also recognized net unrealized gains on foreign currency and other transactions of $5 million.


FINANCIAL CONDITION, LIQUIDITY AND CAPITAL RESOURCES

Our liquidity and capital resources are generated primarily from the net proceeds of public offerings of equity and debt securities, advances from the Revolving Credit Facility, the Revolving Funding Facility, the SMBC Funding Facility and the BNP Funding Facility (each as defined below, and together, the “Facilities”), net proceeds from the issuance of other securities, including unsecured notes, as well as cash flows from operations.
In accordance with the Investment Company Act, we are allowed to borrow amounts such that our asset coverage calculated pursuant to the Investment Company Act, is at least 150% after such borrowings (i.e., we are able to borrow up to two dollars for every dollar we have in assets less all liabilities and indebtedness not represented by senior securities issued by us). As of September 30, 2022, we had $257 million in cash and cash equivalents and $11.9 billion in total aggregate principal amount of debt outstanding ($11.8 billion at carrying value) and our asset coverage was 179%. Subject to borrowing base and other restrictions, we had approximately $4.3 billion available for additional borrowings under the Facilities as of September 30, 2022.
We may from time to time seek to retire or repurchase our common stock through cash purchases, as well as retire, cancel or purchase our outstanding debt through cash purchases and/or exchanges, in open market purchases, privately negotiated transactions or otherwise. The amounts involved may be material. In addition, we may from time to time enter into additional debt facilities, increase the size of existing facilities or issue additional debt securities, including secured debt, unsecured debt and/or debt securities convertible into common stock. Any such purchases or exchanges of common stock or outstanding debt, or incurrence or issuance of additional debt would be subject to prevailing market conditions, our liquidity requirements, contractual and regulatory restrictions and other factors.
167


Equity Capital Activities

As of September 30, 2022 and December 31, 2021, our total equity market capitalization was $8.6 billion and $9.9 billion, respectively.
We may from time to time issue and sell shares of our common stock through public or “at the market” offerings. In connection with the issuance of our common stock, we issued and sold the following shares of common stock during the nine months ended September 30, 2022:

(in millions, except per share amount)
Issuances of Common Stock
Number of Shares Issued Gross Proceeds Underwriting Fees/Offering Expenses Net Proceeds Average Offering Price Per Share(1)
Public offerings 20.4 $ 432.0 $ 22.0 $ 410.0 $ 20.13 (2)
“At the market” offerings 19.6 403.4 4.6 398.8 $ 20.57
Total 40.0 $ 835.4 $ 26.6 $ 808.8
________________________________________

(1)    Represents the gross offering price per share before deducting underwriting discounts and commissions and offering expenses.

(2)    11.2 million and 9.2 million of the shares were sold to the underwriters for a price of $21.06 per share and $19.00 per share, respectively, which the underwriters were then permitted to sell at variable prices to the public.

“At the Market” Offerings

We have entered into equity distribution agreements with several banks (the “Equity Distribution Agreements”). The Equity Distribution Agreements provide that we may from time to time issue and sell, by means of “at the market” offerings, up to $500 million shares of our common stock. Subject to the terms and conditions of the Equity Distribution Agreements, sales of common stock, if any, may be made in transactions that are deemed to be “at the market” offerings as defined in Rule 415(a)(4) under the Securities Act of 1933, as amended. Under the currently effective Equity Distribution Agreements, common stock with an aggregate offering amount of $413 million remained available for issuance as of September 30, 2022.

Stock Repurchase Program

We are authorized under our stock repurchase program to purchase up to $500 million in the aggregate of our outstanding common stock in the open market at certain thresholds below our net asset value per share, in accordance with the guidelines specified in Rule 10b-18 under the Securities Exchange Act of 1934, as amended. The timing, manner, price and amount of any share repurchases will be determined by us, in our sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program does not require us to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, we cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. The expiration date of the stock repurchase program is February 15, 2023. The program may be suspended, extended, modified or discontinued at any time. As of September 30, 2022, there was $500 million available for additional repurchases under the program.

During the nine months ended September 30, 2022 and 2021, we did not repurchase any shares of our common stock in the open market under the stock repurchase program.

Price Range of Common Stock

The following table sets forth, for the first two quarters of the year ending December 31, 2022 and each fiscal quarter for the fiscal years ended December 31, 2021 and 2020, the net asset value per share of our common stock, the range of high and low closing sales prices of our common stock, the closing sales price as a premium (discount) to net asset value and the dividends or distributions declared by us. On October 20, 2022, the last reported closing sales price of our common stock on The NASDAQ Global Select Market was $17.90 per share, which represented a discount of approximately 3.56% to the net asset value per share reported by us as of September 30, 2022.

168


Net Asset Value(1)
Price Range
High
Sales Price
Premium
(Discount)
to Net Asset Value(2)
Low
Sales Price
Premium
(Discount)
to Net Asset Value(2)
Cash
Dividend
Per Share(3)
High
Low
Year ended December 31, 2020
First Quarter
$ 15.58 $ 19.23 $ 8.08 23.43 % (48.14) % $0.40
Second Quarter
$ 15.83 $ 16.20 $ 9.13 2.34 % (42.32) % $0.40
Third Quarter
$ 16.48 $ 15.02 $ 13.27 (8.86) % (19.48) % $0.40
Fourth Quarter
$ 16.97 $ 17.28 $ 13.82 1.83 % (18.56) % $0.40
Year ended December 31, 2021
First Quarter
$ 17.45 $ 19.23 $ 16.51 10.20 % (5.39) % $0.40
Second Quarter
$ 18.16 $ 19.97 $ 18.29 9.97 % 0.72 % $0.40
Third Quarter
$ 18.52 $ 20.43 $ 19.52 10.31 % 5.40 % $0.41
Fourth Quarter
$ 18.96 $ 21.70 $ 19.66 14.45 % 3.69 % $0.41
Year ending December 31, 2022
First Quarter
$ 19.03 $ 22.58 $ 19.70 18.65 % 3.52 % $0.54 (4)
Second Quarter
$ 18.81 $ 22.44 $ 17.12 19.30 % (8.98) % $0.42
Third Quarter $ 18.56 $ 20.70 $ 16.84 11.53 % (9.27) % $0.43
_______________________________________________________________________________

(1)    Net asset value per share is determined as of the last day in the relevant quarter and therefore may not reflect the net asset value per share on the date of the high and low closing sales prices. The net asset values shown are based on outstanding shares at the end of the relevant quarter.

(2)    Calculated as the respective high or low closing sales price less net asset value, divided by net asset value (in each case, as of the applicable quarter).
(3)    Represents the dividend or distribution declared in the relevant quarter.
(4)    Consists of a quarterly dividend of $0.42 per share and additional quarterly dividends totaling $0.12 per share, all of which were declared in the first quarter of 2022, payable March 31, 2022, June 30, 2022, September 30, 2022 and December 29, 2022, subject to the satisfaction of certain Maryland law requirements.
169


Debt Capital Activities

Our debt obligations consisted of the following as of September 30, 2022 and December 31, 2021:
As of
September 30, 2022 December 31, 2021
(in millions) Total
Aggregate
Principal
Amount
Available/
Outstanding(1)
Principal Amount Outstanding Carrying
Value
Total
Aggregate
Principal
Amount
Available/
Outstanding(1)
Principal Amount Outstanding Carrying
Value
Revolving Credit Facility $ 4,843 (2) $ 1,787 $ 1,787 $ 4,232 (2) $ 1,507 $ 1,507
Revolving Funding Facility 1,775 932 932 1,525 762 762
SMBC Funding Facility 800 (3) 456 456 800 (3) 401 401
BNP Funding Facility 300 175 175 300
2022 Convertible Notes 388 388 388 (4)
2024 Convertible Notes 403 403 399 (4) 403 403 395 (4)
2023 Notes 750 750 750 (4) 750 750 748 (4)
2024 Notes 900 900 898 (4) 900 900 897 (4)
March 2025 Notes 600 600 597 (4) 600 600 596 (4)
July 2025 Notes 1,250 1,250 1,258 (4) 1,250 1,250 1,260 (4)
January 2026 Notes 1,150 1,150 1,144 (4) 1,150 1,150 1,143 (4)
July 2026 Notes 1,000 1,000 990 (4) 1,000 1,000 988 (4)
2027 Notes 500 500 494 (4)
2028 Notes 1,250 1,250 1,246 (4) 1,250 1,250 1,246 (4)
2031 Notes 700 700 690 (4) 700 700 689 (4)
Total $ 16,221 $ 11,853 $ 11,816 $ 15,248 $ 11,061 $ 11,020
________________________________________

(1) Represents the total aggregate amount committed or outstanding, as applicable, under such instrument. Borrowings under the committed Revolving Credit Facility, Revolving Funding Facility, SMBC Funding Facility and BNP Funding Facility (each as defined below) are subject to borrowing base and other restrictions.

(2) Provides for a feature that allows us, under certain circumstances, to increase the size of the Revolving Credit Facility (as defined below) to a maximum of $7.3 billion.

(3) Provides for a feature that allows ACJB (as defined below), under certain circumstances, to increase the size of the SMBC Funding Facility (as defined below) to a maximum of $1.0 billion.

(4) Represents the aggregate principal amount outstanding, less unamortized debt issuance costs and the net unaccreted/amortized discount or premium recorded upon issuance. In February 2022, we repaid in full the 2022 Convertible Notes (defined below) upon their maturity.

The weighted average stated interest rate and weighted average maturity, both on aggregate principal amount outstanding, of all our debt outstanding as of September 30, 2022 were 3.8% and 3.8 years, respectively, and as of December 31, 2021 were 3.1% and 4.2 years, respectively.
The ratio of total principal amount of debt outstanding to stockholders’ equity as of September 30, 2022 was 1.27:1.00 compared to 1.26:1.00 as of December 31, 2021.
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Revolving Credit Facility
We are party to a senior secured revolving credit facility (as amended and restated, the “Revolving Credit Facility”), that allows us to borrow up to $4.8 billion at any one time outstanding. The Revolving Credit Facility consists of a $1.1 billion term loan tranche and a $3.7 billion revolving tranche. For $1.0 billion of the term loan tranche, the stated maturity date is March 31, 2027. For $28 million of the term loan tranche, the stated maturity date is March 31, 2026. For the remaining $50 million of the term loan tranche, the stated maturity date is March 30, 2025. For $3.5 billion of the revolving tranche, the end of the revolving period and the stated maturity date are March 31, 2026 and March 31, 2027, respectively. For $107 million of the revolving tranche, the end of the revolving period and the stated maturity date are March 31, 2025 and March 31, 2026, respectively. For the remaining $150 million of the revolving tranche, the end of the revolving period and the stated maturity date are March 30, 2024 and March 30, 2025, respectively. The Revolving Credit Facility also provides for a feature that allows us, under certain circumstances, to increase the overall size of the Revolving Credit Facility to a maximum of $7.3 billion. The interest rate charged on the Revolving Credit Facility is based on Secured Overnight Financing Rate (“SOFR”) (or an alternative rate of interest for certain loans, commitments and/or other extensions of credit denominated in Sterling, Canadian Dollars, Euros and certain other foreign currencies) plus a credit spread adjustment of 0.10% and an applicable spread of either 1.75% or 1.875% or an “alternate base rate” (as defined in the agreements governing the Revolving Credit Facility) plus a credit spread adjustment of 0.10% and an applicable spread of either 0.75% or 0.875%, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving exposure and term loans outstanding under the Revolving Credit Facility and (b) 85% of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. As of September 30, 2022, the applicable spread in effect was 1.75%. We are also required to pay a letter of credit fee of either 2.00% or 2.125% per annum on letters of credit issued, determined monthly based on the total amount of the borrowing base relative to the total commitments of the Revolving Credit Facility and other debt, if any, secured by the same collateral as the Revolving Credit Facility. Additionally, we are required to pay a commitment fee of 0.375% per annum on any unused portion of the Revolving Credit Facility. As of September 30, 2022, there was $1.8 billion outstanding under the Revolving Credit Facility and we were in compliance in all material respects with the terms of the Revolving Credit Facility.
Revolving Funding Facility
We and our consolidated subsidiary, Ares Capital CP Funding LLC (“Ares Capital CP”), are party to a revolving funding facility (as amended, the “Revolving Funding Facility”), that allows Ares Capital CP to borrow up to $1.8 billion at any one time outstanding. The Revolving Funding Facility is secured by all of the assets held by, and the membership interest in, Ares Capital CP. The end of the reinvestment period and the stated maturity date for the Revolving Funding Facility are December 29, 2024 and December 29, 2026, respectively. The interest rate charged on the Revolving Funding Facility is based on SOFR plus a credit spread adjustment of 0.10% or a “base rate” (as defined in the agreements governing the Revolving Funding Facility) plus an applicable spread of 1.90% per annum. Ares Capital CP is also required to pay a commitment fee of between 0.50% and 1.25% per annum depending on the size of the unused portion of the Revolving Funding Facility. As of September 30, 2022, there was $932 million outstanding under the Revolving Funding Facility and we and Ares Capital CP were in compliance in all material respects with the terms of the Revolving Funding Facility.

SMBC Funding Facility
We and our consolidated subsidiary, Ares Capital JB Funding LLC (“ACJB”), are party to a revolving funding facility (as amended, the “SMBC Funding Facility”), with ACJB, as the borrower, and Sumitomo Mitsui Banking Corporation, as the administrative agent and collateral agent, that allows ACJB to borrow up to $800 million at any one time outstanding. The SMBC Funding Facility also provides for a feature that allows ACJB, subject to receiving certain consents, to increase the overall size of the SMBC Funding Facility to $1.0 billion. The SMBC Funding Facility is secured by all of the assets held by ACJB. The end of the reinvestment period and the stated maturity date for the SMBC Funding Facility are May 28, 2024 and May 28, 2026, respectively. The reinvestment period and the stated maturity date are both subject to two one-year extensions by mutual agreement. The interest rate charged on the SMBC Funding Facility is based on an applicable spread of either 1.75% or 2.00% over LIBOR or 0.75% or 1.00% over a “base rate” (as defined in the agreements governing the SMBC Funding Facility), in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. As of September 30, 2022, the applicable spread in effect was 1.75%. ACJB is also required to pay a commitment fee of between 0.50% and 1.00% per annum depending on the size of the unused portion of the SMBC Funding Facility. As of September 30, 2022, there was $456 million outstanding under the SMBC Funding Facility and we and ACJB were in compliance in all material respects with the terms of the SMBC Funding Facility.
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BNP Funding Facility
We and our consolidated subsidiary, ARCC FB Funding LLC (“AFB”), are party to a revolving funding facility (as amended, the “BNP Funding Facility”) with AFB, as the borrower, and BNP Paribas, as the administrative agent and lender, that allows AFB to borrow up to $300 million at any one time outstanding. The BNP Funding Facility is secured by all of the assets held by AFB. The end of the reinvestment period and the stated maturity date for the BNP Funding Facility are June 11, 2023 and June 11, 2025, respectively. The reinvestment period and the stated maturity date are both subject to a one-year extension by mutual agreement. The interest rate charged on the BNP Funding Facility is based on three month LIBOR, or a “base rate” (as defined in the agreements governing the BNP Funding Facility) plus a margin of (i) 1.80% during the reinvestment period and (ii) 2.30% following the reinvestment period. Beginning on December 11, 2020, AFB is required to pay a commitment fee of between 0.00% and 1.25% per annum depending on the size of the unused portion of the BNP Funding Facility. As of September 30, 2022, there was $175 million outstanding under the BNP Funding Facility and we and AFB were in compliance in all material respects with the terms of the BNP Funding Facility.

Convertible Unsecured Notes
We have issued $403 million in aggregate principal amount of unsecured convertible notes that mature on March 1, 2024 (the “2024 Convertible Notes”) unless previously converted or repurchased in accordance with the terms. We do not have the right to redeem the 2024 Convertible Notes prior to maturity. The 2024 Convertible Notes bear interest at a rate of 4.625% per annum, payable semi-annually.

In certain circumstances, assuming the conversion date below has not already passed, the 2024 Convertible Notes will be convertible into cash, shares of our common stock or a combination of cash and shares of our common stock, at our election, at the conversion rate (listed below as of September 30, 2022) subject to customary anti-dilution adjustments and the requirements of the indenture (the “Convertible Unsecured Notes Indenture”). Prior to the close of business on the business day immediately preceding the conversion date (listed below), holders may convert their 2024 Convertible Notes only under certain circumstances set forth in the Convertible Unsecured Notes Indenture. On or after the conversion date until the close of business on the second scheduled trading day immediately preceding the maturity date for the 2024 Convertible Notes, holders may convert their 2024 Convertible Notes at any time. In addition, if we engage in certain corporate events as described in the Convertible Unsecured Notes Indenture, holders of the 2024 Convertible Notes may require us to repurchase for cash all or part of the 2024 Convertible Notes at a repurchase price equal to 100% of the principal amount of the 2024 Convertible Notes to be repurchased, plus accrued and unpaid interest through, but excluding, the required repurchase date.

Certain key terms related to the convertible features for the 2024 Convertible Notes as of September 30, 2022 are listed below.
2024 Convertible Notes
Conversion premium 15.0 %
Closing stock price at issuance $ 17.29
Closing stock price date March 5, 2019
Conversion price(1) $ 19.78
Conversion rate (shares per one thousand dollar principal amount)(1) 50.5549
Conversion date December 1, 2023
________________________________________

(1) Represents conversion price and conversion rate, as applicable, as of September 30, 2022, taking into account any applicable de minimis adjustments that will be made on the conversion date.
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In February 2022, we repaid in full the $388 million in aggregate principal amount of unsecured convertible notes (the “2022 Convertible Notes”) upon their maturity at a premium in accordance with the terms of the indenture governing the 2022 Convertible Notes, resulting in a realized loss on the extinguishment of debt of $48 million. The 2022 Convertible Notes bore interest at a rate of 4.60% per year, payable semi-annually.

Unsecured Notes
We issued certain unsecured notes (each issuance of which is referred to herein using the “defined term” set forth under the “Unsecured Notes” column of the table below and collectively referred to as the “Unsecured Notes”), that pay interest semi-annually and all principal amounts are due upon maturity. Each of the Unsecured Notes may be redeemed in whole or in part at any time at the Company’s option at a redemption price equal to par plus a “make whole” premium, if applicable, as determined pursuant to the indentures governing each of the Unsecured Notes, plus any accrued and unpaid interest. Certain key terms related to the features for the Unsecured Notes as of September 30, 2022 are listed below.

(dollar amounts in millions)
Unsecured Notes
Aggregate Principal Amount Issued Interest Rate Original Issuance Date Maturity Date
2023 Notes $ 750 3.500% August 10, 2017 February 10, 2023
2024 Notes $ 900 4.200% June 10, 2019 June 10, 2024
March 2025 Notes $ 600 4.250% January 11, 2018 March 1, 2025
July 2025 Notes $ 1,250 3.250% January 15, 2020 July 15, 2025
January 2026 Notes $ 1,150 3.875% July 15, 2020 January 15, 2026
July 2026 Notes $ 1,000 2.150% January 13, 2021 July 15, 2026
2027 Notes $ 500 2.875% January 13, 2022 June 15, 2027
2028 Notes $ 1,250 2.875% June 10, 2021 June 15, 2028
2031 Notes $ 700 3.200% November 4, 2021 November 15, 2031

See Note 5 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on our debt obligations.

As of September 30, 2022, we were in compliance in all material respects with the terms of the 2024 Convertible Unsecured Notes Indentures and the indentures governing the Unsecured Notes.

The 2024 Convertible Notes and the Unsecured Notes are our senior unsecured obligations and rank senior in right of payment to any future indebtedness that is expressly subordinated in right of payment to the 2024 Convertible Notes and the Unsecured Notes; equal in right of payment to our existing and future unsecured indebtedness that is not expressly subordinated; effectively junior in right of payment to any of our secured indebtedness (including existing unsecured indebtedness that we later secure) to the extent of the value of the assets securing such indebtedness; and structurally junior to all existing and future indebtedness (including trade payables) incurred by our subsidiaries, financing vehicles or similar facilities.

RECENT DEVELOPMENTS

From October 1, 2022 through October 20, 2022, we made new investment commitments of approximately $1.1 billion, of which $1.0 billion were funded. Of these new investment commitments, 68% were in first lien senior secured loans, 31% were in second lien senior secured loans and 1% were in other equity. Of the approximately $1.1 billion of new investment commitments, 98% were floating rate, 1% were non-income producing and 1% were on non-accrual status. The weighted average yield of debt and other income producing securities funded during the period at amortized cost was 11.0% and the weighted average yield on total investments funded during the period at amortized cost was 10.9%. We may seek to sell all or a portion of these new investment commitments, although there can be no assurance that we will be able to do so.

From October 1, 2022 through October 20, 2022, we exited approximately $418 million of investment commitments, including $6 million of loans sold to IHAM or certain vehicles managed by IHAM. Of the total investment commitments exited, 77% were first lien senior secured loans, 20% were preferred equity and 3% were second lien senior secured loans. Of the approximately $418 million of exited investment commitments, 80% were floating rate and 20% were fixed rate. The weighted average yield of debt and other income producing securities exited or repaid during the period at amortized cost was
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10.0% and the weighted average yield on total investments exited or repaid during the period at amortized cost was 10.0%. Of the approximately $418 million of investment commitments exited from October 1, 2022 through October 20, 2022, we recognized total net realized gains of approximately $8 million, with no realized gains or losses recognized from the sale of loans to IHAM or certain vehicles managed by IHAM.

In addition, as of October 20, 2022, we had an investment backlog and pipeline of approximately $605 million and $0, respectively. Investment backlog includes transactions approved by our investment adviser’s investment committee and/or for which a formal mandate, letter of intent or a signed commitment have been issued, and therefore we believe are likely to close. Investment pipeline includes transactions where due diligence and analysis are in process, but no formal mandate, letter of intent or signed commitment have been issued. The consummation of any of the investments in this backlog and pipeline depends upon, among other things, one or more of the following: satisfactory completion of our due diligence investigation of the prospective portfolio company, our acceptance of the terms and structure of such investment and the execution and delivery of satisfactory transaction documentation. In addition, we may sell all or a portion of these investments and certain of these investments may result in the repayment of existing investments. We cannot assure you that we will make any of these investments or that we will sell all or any portion of these investments.

CRITICAL ACCOUNTING ESTIMATES

The preparation of our consolidated financial statements requires us to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenues, and expenses. Changes in the economic environment, financial markets, and any other parameters used in determining such estimates could cause actual results to differ. Our critical accounting estimates, including those relating to the valuation of our investment portfolio, are described below. The critical accounting estimates should be read in conjunction with our risk factors as disclosed in “Item 1A. Risk Factors.” See Note 2 to our consolidated financial statements for three and nine months ended September 30, 2022 for more information on our critical accounting policies.

Investments

Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. Unrealized gains or losses primarily reflect the change in investment values, including the reversal of previously recorded unrealized gains or losses when gains or losses are realized.

Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, we look at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available (i.e., substantially all of our investments) are valued at fair value as determined in good faith by our board of directors, based on, among other things, the input of our investment adviser, audit committee and independent third‑party valuation firms that have been engaged at the direction of our board of directors to assist in the valuation of each portfolio investment without a readily available market quotation at least once during a trailing 12‑month period (with certain de minimis exceptions) and under a valuation policy and a consistently applied valuation process. The valuation process is conducted at the end of each fiscal quarter, and a portion of our investment portfolio at fair value is subject to review by an independent third-party valuation firm each quarter. In addition, our independent registered public accounting firm obtains an understanding of, and performs select procedures relating to, our investment valuation process within the context of performing the integrated audit.

As part of the valuation process, we may take into account the following types of factors, if relevant, in determining the fair value of our investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company’s securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent equity sale occurs, we consider the pricing indicated by the external event to corroborate our valuation.

Because there is not a readily available market value for most of the investments in our portfolio, we value substantially all of our portfolio investments at fair value as determined in good faith by our board of directors, as described
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herein. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of our investments may fluctuate from period to period. Additionally, the fair value of our investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that we may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If we were required to liquidate a portfolio investment in a forced or liquidation sale, we could realize significantly less than the value at which we have recorded it.

In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.

Our board of directors undertakes a multi‑step valuation process each quarter, as described below:

Our quarterly valuation process begins with each portfolio company or investment being initially valued by the investment professionals responsible for the portfolio investment in conjunction with our portfolio management team.

Preliminary valuations are reviewed and discussed with our investment adviser’s management and investment professionals, and then valuation recommendations are presented to our board of directors.

The audit committee of our board of directors reviews these valuations, as well as the input of third parties, including independent third‑party valuation firms who have reviewed a portion of the investments in our portfolio at fair value.

Our board of directors discusses valuations and ultimately determines the fair value of each investment in our portfolio without a readily available market quotation in good faith based on, among other things, the input of our investment adviser, audit committee and, where applicable, independent third‑party valuation firms.

Fair Value of Financial Instruments

We follow ASC 825-10, R ecognition and Measurement of Financial Assets and Financial Liabilities (“ASC 825-10”), which provides companies the option to report selected financial assets and liabilities at fair value. ASC 825-10 also establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and to more easily understand the effect of the company’s choice to use fair value on its earnings. ASC 825-10 also requires entities to display the fair value of the selected assets and liabilities on the face of the balance sheet. We have not elected the ASC 825-10 option to report selected financial assets and liabilities at fair value. With the exception of the line items entitled “other assets” and “debt,” which are reported at amortized cost, the carrying value of all other assets and liabilities approximate fair value.

We also follow ASC 820-10, which expands the application of fair value accounting. ASC 820-10 defines fair value, establishes a framework for measuring fair value in accordance with GAAP and expands disclosure of fair value measurements. ASC 820-10 determines fair value to be the price that would be received for an investment in a current sale, which assumes an orderly transaction between market participants on the measurement date. ASC 820-10 requires us to assume that the portfolio investment is sold in its principal market to market participants or, in the absence of a principal market, the most advantageous market, which may be a hypothetical market. Market participants are defined as buyers and sellers in the principal or most advantageous market that are independent, knowledgeable, and willing and able to transact. In accordance with ASC 820-10, we have considered its principal market as the market in which we exit our portfolio investments with the greatest volume and level of activity. ASC 820-10 specifies a hierarchy of valuation techniques based on whether the inputs to those valuation techniques are observable or unobservable. In accordance with ASC 820-10, these inputs are summarized in the three broad levels listed below:

Level 1 - Valuations based on quoted prices in active markets for identical assets or liabilities that we have the ability to access.

Level 2 - Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

Level 3 - Valuations based on inputs that are unobservable and significant to the overall fair value measurement.

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In addition to using the above inputs in investment valuations, we continue to employ the net asset valuation policy approved by our board of directors that is consistent with ASC 820-10. Consistent with our valuation policy, we evaluate the source of inputs, including any markets in which our investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. Our valuation policy considers the fact that because there is not a readily available market value for most of the investments in our portfolio, the fair value of the investments must typically be determined using unobservable inputs.

Our portfolio investments (other than as described below in the following paragraph) are typically valued using two different valuation techniques. The first valuation technique is an analysis of the enterprise value (“EV”) of the portfolio company. Enterprise value means the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time. The primary method for determining EV uses a multiple analysis whereby appropriate multiples are applied to the portfolio company’s EBITDA (generally defined as net income before net interest expense, income tax expense, depreciation and amortization). EBITDA multiples are typically determined based upon review of market comparable transactions and publicly traded comparable companies, if any. We may also employ other valuation multiples to determine EV, such as revenues or, in the case of certain portfolio companies in the power generation industry, kilowatt capacity. The second method for determining EV uses a discounted cash flow analysis whereby future expected cash flows of the portfolio company are discounted to determine a present value using estimated discount rates (typically a weighted average cost of capital based on costs of debt and equity consistent with current market conditions). The EV analysis is performed to determine the value of equity investments, the value of debt investments in portfolio companies where we have control or could gain control through an option or warrant security, and to determine if there is credit impairment for debt investments. If debt investments are credit impaired, an EV analysis may be used to value such debt investments; however, in addition to the methods outlined above, other methods such as a liquidation or wind-down analysis may be utilized to estimate enterprise value. The second valuation technique is a yield analysis, which is typically performed for non-credit impaired debt investments in portfolio companies where we do not own a controlling equity position. To determine fair value using a yield analysis, a current price is imputed for the investment based upon an assessment of the expected market yield for a similarly structured investment with a similar level of risk. In the yield analysis, we consider the current contractual interest rate, the maturity and other terms of the investment relative to the risk of the company and the specific investment. A key determinant of risk, among other things, is the leverage through the investment relative to the enterprise value of the portfolio company. As debt investments held by us are substantially illiquid with no active transaction market, we depend on primary market data, including newly funded transactions, as well as secondary market data with respect to high yield debt instruments and syndicated loans, as inputs in determining the appropriate market yield, as applicable.

For other portfolio investments such as investments in the SDLP Certificates and IHAM, discounted cash flow analysis is the primary technique utilized to determine fair value. Expected future cash flows associated with the investment are discounted to determine a present value using a discount rate that reflects estimated market return requirements.

In December 2020, the SEC adopted new Rule 2a-5 under the 1940 Act. Rule 2a-5 permits boards of directors of registered investment companies and BDCs to either (i) choose to continue to determine fair value in good faith, or (ii) designate its investment adviser as the valuation designee tasked with determining fair value in good faith, subject to the board’s oversight. Our board of directors has designated our investment adviser to serve as our valuation designee effective October 1, 2022.

See Note 8 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on our valuation process.

Item 3.    Quantitative and Qualitative Disclosures About Market Risk

We are subject to financial market risks, including changes in interest rates and the valuations of our investment portfolio. Uncertainty with respect to the economic effects of rising interest rates in response to inflation, the war in Russia and Ukraine and the ongoing COVID-19 pandemic introduced significant volatility in the financial markets, and the effects of this volatility has materially impacted and could continue to materially impact our market risks, including those listed below. For additional information concerning these risks and their potential impact on our business and our operating results, see “Risk Factors—General Risk Factors—Global economic, political and market conditions, including uncertainty about the financial stability of the United States, could have a significant adverse effect on our business, financial condition and results of operations” and “Risk Factors—Risks Relating to Our Investments—Economic recessions or downturns could impair our portfolio companies and harm our operating results.” in our Annual Report on Form 10-K for the year ended December 31, 2021, filed with the SEC on February 9, 2022 and “Risk Factors—Risks Relating to Our Investments—Inflation has adversely affected and may continue to adversely affect the business, results of operations and financial condition of our portfolio companies” in this Form 10-Q.
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Investment Valuation Risk

Because there is not a readily available market value for most of the investments in our portfolio, we value substantially all of our portfolio investments at fair value as determined in good faith by our board of directors based on, among other things, the input of our management and audit committee and independent third-party valuation firms that have been engaged at the direction of our board of directors to assist in the valuation of each portfolio investment without a readily available market quotation at least once during a trailing 12-month period (with certain de minimis exceptions). Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of our investments may fluctuate from period to period. Additionally, the fair value of our investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that we may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If we were required to liquidate a portfolio investment in a forced or liquidation sale, we could realize significantly less than the value at which we have recorded it. In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned. See “Management’s Discussion and Analysis of Financial Condition and Results of Operations—Critical Accounting Estimates” as well as Notes 2 and 8 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information relating to our investment valuation.

Interest Rate Risk
Interest rate sensitivity refers to the change in our earnings that may result from changes in the level of interest rates. Because we fund a portion of our investments with borrowings, our net investment income is affected by the difference between the rate at which we invest and the rate at which we borrow. As a result, there can be no assurance that a significant change in market interest rates will not have a material adverse effect on our net investment income.
In a prolonged low interest rate environment, the difference between the total interest income earned on interest earning assets and the total interest expense incurred on interest bearing liabilities may be compressed, reducing our net income and potentially adversely affecting our operating results. Conversely, in a rising interest rate environment, such difference could potentially increase thereby increasing our net income as indicated per the table below.

As of September 30, 2022, 73% of the investments at fair value in our portfolio bore interest and dividends at variable rates (including our investment in the SDLP Certificates which accounted for 5% of our total investments at fair value), 10% bore interest at fixed rates, 9% were non-income producing, 1% were on non-accrual status and 7% was our equity investment in IHAM which generally pays a quarterly dividend. Additionally, excluding our investment in the SDLP Certificates, 92% of the remaining variable rate investments at fair value contained interest rate floors. The Revolving Credit Facility, the Revolving Funding Facility, the SMBC Funding Facility and the BNP Funding Facility bear interest at variable rates with no interest rate floors. The Unsecured Notes and the 2024 Convertible Notes bear interest at fixed rates.
We regularly measure our exposure to interest rate risk. We assess interest rate risk and manage our interest rate exposure on an ongoing basis by comparing our interest rate sensitive assets to our interest rate sensitive liabilities. Based on that review, we determine whether or not any hedging transactions are necessary to mitigate exposure to changes in interest rates.


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Based on our September 30, 2022 balance sheet, the following table shows the annual impact on net income of base rate changes in interest rates (considering interest rate floors for variable rate instruments) assuming no changes in our investment and borrowing structure:
(in millions)
Basis Point Change
Interest and Dividend
Income
Interest
Expense
Net
Income(1)
Up 300 basis points $ 513 $ 100 $ 413
Up 200 basis points $ 358 $ 66 $ 292
Up 100 basis points $ 206 $ 33 $ 173
Down 100 basis points $ (154) $ (34) $ (120)
Down 200 basis points $ (295) $ (67) $ (228)
Down 300 basis points $ (359) $ (98) $ (261)
________________________________________

(1) Excludes the impact of income based fees. See Note 3 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on the income based fees.

Based on our December 31, 2021 balance sheet, the following table shows the annual impact on net income of base rate changes in interest rates (considering interest rate floors for variable rate instruments) assuming no changes in our investment and borrowing structure:
(in millions)
Basis Point Change
Interest and Dividend
Income
Interest
Expense(1)
Net
Income(2)
Up 300 basis points $ 347 $ 80 $ 267
Up 200 basis points $ 195 $ 53 $ 142
Up 100 basis points $ 45 $ 27 $ 18
Down 100 basis points $ 5 $ (4) $ 9
Down 200 basis points $ 4 $ (4) $ 8
Down 300 basis points $ 6 $ (4) $ 10
_______________________________________________________________________________

(1) Includes the impact of an interest rate swap as a result of changes in interest rates.

(2) Excludes the impact of income based fees. See Note 3 to our consolidated financial statements for the three and nine months ended September 30, 2022 for more information on the income based fees.


Item 4.    Controls and Procedures

Evaluation of Disclosure Controls and Procedures

We maintain disclosure controls and procedures (as that term is defined in Rules 13a‑15(e) and 15d‑15(e) under the Exchange Act) that are designed to ensure that information required to be disclosed in our reports under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including our principal executive officer and principal financial officer, as appropriate, to allow timely decisions regarding required disclosures. Any controls and procedures, no matter how well designed and operated, can provide only reasonable assurance of achieving the desired control objectives. Our management, with the participation of our principal executive officer and principal financial officer, has evaluated the effectiveness of the design and operation of our disclosure controls and procedures as of September 30, 2022. Based upon that evaluation and subject to the foregoing, our principal executive officer and principal financial officer concluded that, as of September 30, 2022, the design and operation of our disclosure controls and procedures were effective to accomplish their objectives at the reasonable assurance level.

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Changes in Internal Control over Financial Reporting

There have been no changes in our internal control over financial reporting (as defined in Rules 13a‑15(f) and 15d‑15(f) under the Exchange Act) during the quarter ended September 30, 2022 that have materially affected, or that are reasonably likely to materially affect, our internal control over financial reporting.

PART II — OTHER INFORMATION

Item 1.    Legal Proceedings
We are not subject to any material pending legal proceedings, and no such proceedings are known to be contemplated.

Item 1A. Risk Factors

In addition to the other information set forth in this report, you should carefully consider the risk factors described in Part I, “Item 1A. Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2021 and those set forth under the caption “Risk Factors” in our Form N-2, which could materially affect our business, financial condition and/or operating results. The risks described in our Annual Report on Form 10-K for the fiscal year ended December 31, 2021, and in the Form N-2 are not the only risks facing us. Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial also may materially and adversely affect our business, financial condition and/or operating results.

The Russian invasion of Ukraine may have a material adverse impact on us and our portfolio companies.

On February 24, 2022, the President of Russia, Vladimir Putin, announced a military invasion of Ukraine. In response, countries worldwide, including the United States, have imposed sanctions against Russia on certain businesses and individuals, including, but not limited to, those in the banking, import and export sectors. This invasion has led, is currently leading, and for an unknown period of time will continue to lead to disruptions in local, regional, national, and global markets and economies affected thereby. These disruptions caused by the invasion have included, and may continue to include, political, social, and economic disruptions and uncertainties and material increases in certain commodity prices that may affect our business operations or the business operations of our portfolio companies.

We are exposed to risks associated with changes in interest rates, including the current rising interest rate environment.

General interest rate fluctuations may have a substantial negative impact on our investments and our investment returns and, accordingly, may have a material adverse effect on our investment objective and our net investment income.

Because we borrow money and may issue debt securities or preferred stock to make investments, our net investment income is dependent upon the difference between the rate at which we borrow funds or pay interest or dividends on such debt securities or preferred stock and the rate at which we invest these funds. In this period of rising interest rates, our interest income will increase as the majority of our portfolio bears interest at variable rates while our cost of funds will also increase, to a lesser extent, given the majority of our indebtedness bears interest at fixed rates, with the net impact being an increase to our net investment income, see “Item 3. Qualitative and Quantitative Disclosures About Market Risk.” Conversely, if interest rates decrease we may earn less interest income from investments and our cost of funds will also decrease, to a lesser extent, resulting in lower net investment income. From time to time, we may also enter into certain hedging transactions to mitigate our exposure to changes in interest rates. In the past, we have entered into certain hedging transactions, such as interest rate swap agreements, to mitigate our exposure to adverse fluctuations in interest rates, and we may do so again in the future. However, we cannot assure you that such transactions will be successful in mitigating our exposure to interest rate risk. There can be no assurance that a significant change in market interest rates will not have a material adverse effect on our net investment income.

Our portfolio primarily consists of fixed and floating rate investments. Market prices tend to fluctuate more for fixed-rate securities that have longer maturities. Although we have no policy governing the maturities of our investments, under current market conditions we expect that we will invest in a portfolio of debt generally having maturities of up to 10 years. Market prices for debt that pays a fixed rate of return tend to decline as interest rates rise. This means that we are subject to greater risk (other things being equal) than a fund invested solely in shorter-term, fixed-rate securities. Market prices for floating rate investments may also fluctuate in rising rate environments with prices tending to decline when credit spreads widen. A decline in the prices of the debt we own could adversely affect our net assets resulting from operations and the market price of our common stock.

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Rising interest rates may also increase the cost of debt for our underlying portfolio companies, which could adversely impact their financial performance and ability to meet ongoing obligations to us. Also, an increase in interest rates available to investors could make an investment in our common stock less attractive if we are not able to pay dividends at a level that provides a similar return, which could reduce the value of our common stock.

Inflation has adversely affected and may continue to adversely affect the business, results of operations and financial condition of our portfolio companies.

Certain of our portfolio companies are in industries that have been impacted by inflation. Recent inflationary pressures have increased the costs of labor, energy and raw materials and have adversely affected consumer spending, economic growth and our portfolio companies’ operations. If such portfolio companies are unable to pass any increases in their costs of operations along to their customers, it could adversely affect their operating results and impact their ability to pay interest and principal on our loans, particularly if interest rates rise in response to inflation. In addition, any projected future decreases in our portfolio companies’ operating results due to inflation could adversely impact the fair value of those investments. Any decreases in the fair value of our investments could result in future realized or unrealized losses and therefore reduce our net assets resulting from operations. Additionally, the Federal Reserve has raised, and has indicated its intent to continue raising, certain benchmark interest rates in an effort to combat inflation. See “—We are exposed to risks associated with changes in interest rates, including the current rising interest rate environment.”

Item 2.     Unregistered Sales of Equity Securities and Use of Proceeds.
Dividend Reinvestment Plan

We did not sell any equity securities during the period covered in this report that were not registered under the Securities Act of 1933, as amended.

During the quarter ended September 30, 2022, as part of our dividend reinvestment plan for our common stockholders, we purchased shares of our common stock in the open market in order to satisfy the reinvestment portion of our dividends. The following chart outlines such purchases of our common stock during the quarter ended September 30, 2022.

Period Total Number of Shares Purchased Average Price Paid Per Share Total Number of Shares Purchased as Part of Publicly Announced Plans or Programs Maximum (or Approximate Dollar Value) of Shares that May Yet Be Purchased Under the Plans or Programs
July 1, 2022 through July 31, 2022 724,236 $ 18.60 $
August 1, 2022 through August 31, 2022
September 1, 2022 through September 30, 2022
Total 724,236 $ 18.60 $

Stock Repurchase Program

In February 2022, our board of directors authorized an amendment to our existing stock repurchase program to (a) extend the expiration date of the program from February 15, 2022 to February 15, 2023 and (b) increase the amount of the stock repurchase program to a full $500 million. Under the program, we may repurchase up to $500 million in the aggregate of our outstanding common stock in the open market at certain thresholds below our net asset value per share, in accordance with the guidelines specified in Rule 10b-18 of the Securities Exchange Act of 1934, as amended. The timing, manner, price and amount of any share repurchases will be determined by us, in our sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program will be in effect through February 15, 2023, unless extended or until the approved dollar amount has been used to repurchase shares. The stock repurchase program does not require us to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, we cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. The program may be suspended, extended, modified or discontinued at any time.

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During the quarter ended September 30, 2022, there were no repurchases of our common stock under our stock repurchase program. As of September 30, 2022, the approximate dollar value of shares that may yet be purchased under the program was $500 million.

Item 3.     Defaults Upon Senior Securities.
Not applicable.

Item 4.     Mine Safety Disclosures
Not applicable.

Item 5.    Other Information

Not applicable.

Item 6.     Exhibits.
EXHIBIT INDEX
Exhibit Number Description
Articles of Amendment and Restatement, as amended(1)
Third Amended and Restated Bylaws, as amended(2)
Third Amendment to the Revolving Credit and Security Agreement, dated as of August 17, 2022, among ARCC FB Funding LLC, as borrower, the lenders from time to time parties thereto, BNP Paribas, as administrative agent and lender, Ares Capital Corporation, as equityholder and servicer, and U.S. Bank Trust Company, National Association, as collateral agent*
Certification by Chief Executive Officer pursuant to Exchange Act Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*
Certification by Chief Financial Officer pursuant to Exchange Act Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*
Certification by Chief Executive Officer and Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002**
101.INS Inline XBRL Instance Document - the instance document does not appear in the Interactive Data File because XBRL tags are embedded within the Inline XBRL document.
101.SCH Inline XBRL Taxonomy Extension Schema Document
101.CAL Inline XBRL Taxonomy Extension Calculation Linkbase Document
101.DEF Inline XBRL Taxonomy Extension Definition Linkbase Document
101.LAB Inline XBRL Taxonomy Extension Label Linkbase Document
101.PRE Inline XBRL Taxonomy Extension Presentation Linkbase Document
104 Cover Page Interactive Data File (embedded within the Inline XBRL document)
________________________________________

*    Filed herewith
**    This certification is not deemed filed by the SEC and is not to be incorporated by reference in any filing we make under the Securities Act of 1933 or the Securities Exchange Act of 1934, irrespective of any general incorporation language in any filings.
(1) Incorporated by reference to Exhibit 3.1 to the Company’s Form 10-Q (File No. 814-00663) for the quarter ended March 31, 2022, filed on April 26, 2022.
(2) Incorporated by reference to Exhibit 3.2 to the Company’s Form 10-K (File No. 814-00663) for the year ended December 31, 2018, filed on February 12, 2019.

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SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

ARES CAPITAL CORPORATION
Date: October 25, 2022 By /s/ R. KIPP DEVEER
R. Kipp deVeer
Chief Executive Officer
Date: October 25, 2022 By /s/ PENNI F. ROLL
Penni F. Roll
Chief Financial Officer
Date: October 25, 2022 By /s/ SCOTT C. LEM
Scott C. Lem
Chief Accounting Officer, Vice President and Treasurer
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