BCSF 10-Q Quarterly Report Sept. 30, 2024 | Alphaminr
Bain Capital Specialty Finance, Inc.

BCSF 10-Q Quarter ended Sept. 30, 2024

BAIN CAPITAL SPECIALTY FINANCE, INC.
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10-Q
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Equity Interest 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Containers, Packaging & Glass Iris Holding, Inc. First Lien Senior Secured Loan SOFR Spread 4.75% Interest Rate 10.23% Maturity Date 6/28/2028 2023-12-31 0001655050 country:LU 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Consumer Goods: Non-Durable Solaray, LLC First Lien Senior Secured Loan - Delayed Draw SOFR Spread 6.60% Interest Rate 11.97% Maturity Date 12/15/2025 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries AQ Software Corporation Preferred Equity Two 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense BTX Precision First Lien Senior Secured Loan - Revolver Maturity Date 7/25/2030 2024-09-30 0001655050 bcsf:InterestRateFloorEightMember 2024-09-30 0001655050 Retail New Look (Delaware) Corporation First Lien Senior Secured Loan SOFR Spread 5.65% Interest Rate 11.00% Maturity Date 5/26/2028 bcsf:BainCapitalSeniorLoanProgramLlcMember 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Morgan Stanley Settlement Date 03/21/2025 2024-01-01 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Two Morgan Stanley Settlement Date 06/10/2025 2024-01-01 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember 2023-01-01 2023-09-30 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense Whitcraft-Paradigm First Lien Senior Secured Loan – Revolver Prime Spread 5.50% Interest Rate 13.50% Maturity Date 2/28/2029 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries VPARK BIDCO AB First Lien Senior Secured Loan NIBOR Spread 4.00% Interest Rate 8.64% Maturity Date 3/10/2025 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Ten Standard Chartered Settlement Date 10/15/2024 2024-01-01 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Bank of New York Mellon Settlement Date 6/24/2024 2023-01-01 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Six Standard Chartered Settlement Date 01/17/2024 2023-01-01 2023-12-31 0001655050 2024-05-20 0001655050 bcsf:NafincoMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Non-controlled/Non-Affiliate Investments FIRE: Finance TA/Weg Holdings First Lien Senior Secured Loan - Delayed Draw SOFR Spread 5.85% Interest Rate 11.23% Maturity Date 10/4/2027 One 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Bank of New York Mellon Settlement Date 613/2025 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Revalize, Inc. First Lien Senior Secured Loan - Delayed Draw SOFR Spread 5.90% Interest Rate 11.15% Maturity Date 4/15/2027 One 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Ventiv Topco, Inc. Equity Interest 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Bank of New York Mellon Settlement Date 1/18/2024 2023-01-01 2023-12-31 0001655050 us-gaap:AutomotiveSectorMember 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Appriss Holdings, Inc. 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First Lien Senior Secured Loan - Delayed Draw Maturity Date 3/6/2028 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Consumer Goods: Durable TLC Purchaser, Inc. First Lien Senior Secured Loan - Revolver SOFR Spread 5.76% Interest Rate 10.71% Maturity Date 10/11/2027 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Eagle Rock Capital Corporation Preferred Equity 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Wholesale Abracon Group Holding, LLC. 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Equity Interest 2023-12-31 0001655050 Investment AQ Software Corporation Acquisition Date 4/14/2022 2024-01-01 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember FIRE: Finance Citadel First Lien Senior Secured Loan SOFR Spread 2.25% Interest Rate 7.10% Maturity Date 7/29/2030 2024-09-30 0001655050 bcsf:InvestmentVehiclesMember 2023-12-31 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Aerospace & Defense Forward Slope First Lien Senior Secured Loan SOFR Spread 6.85% Interest Rate 11.45% Maturity Date 8/22/2029 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Wells Fargo Settlement Date 7/28/2025 2024-09-30 0001655050 bcsf:BccJetstreamHoldingsAviationOnIiLlcMember bcsf:ControlledAffiliatedEntityMember bcsf:FirstLienSeniorSecuredLoanMember 2023-01-01 2023-12-31 0001655050 us-gaap:ValuationTechniqueDiscountedCashFlowMember us-gaap:FairValueInputsLevel3Member bcsf:EquitySecuritiesOneMember srt:WeightedAverageMember us-gaap:MeasurementInputDiscountRateMember 2023-12-31 0001655050 Investment WSP Acquisition Date 5/20/2024 2024-01-01 2024-09-30 0001655050 bcsf:RevolverCommitmentMember bcsf:ChaseIndustriesIncMember 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Aerospace & Defense Robinson Helicopter First Lien Senior Secured Loan SOFR Spread 6.60% Interest Rate 11.96% Maturity Date 6/30/2028 2023-12-31 0001655050 Investment NPC International, Inc. Acquisition Date 4/1/2021 2023-01-01 2023-12-31 0001655050 Investment AQ Software Corporation Acquisition Date 12/10/2021 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments FIRE: Insurance MRHT First Lien Senior Secured Loan EURIBOR Spread 6.50% Interest Rate 10.08% Maturity Date 2/1/2029 2024-09-30 0001655050 country:GG 2023-12-31 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember bcsf:ServicesBusinessMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Consumer Goods: Non-Durable Evriholder First Lien Senior Secured Loan SOFR Spread 6.85% Interest Rate 11.70% Maturity Date 1/24/2028 2024-09-30 0001655050 bcsf:ServiceMasterMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 bcsf:HotelGamingAndLeisureMember 2024-09-30 0001655050 bcsf:TelecommunicationsMember 2023-12-31 0001655050 country:SE 2023-12-31 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Wholesale Hultec First Lien Senior Secured Loan SOFR Spread 5.65% Interest Rate 10.25% Maturity Date 3/31/2029 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Morgan Stanley Settlement Date 02/13/2024 2023-01-01 2023-12-31 0001655050 bcsf:TransportationConsumerSectorMember 2023-12-31 0001655050 Controlled Affiliate Investments Aerospace & Defense BCC Jetstream Holdings Aviation (On II), LLC Equity Interest 2024-09-30 0001655050 Controlled Affiliate Investments FIRE: Finance Legacy Corporate Lending HoldCo, LLC Equity Interest One 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember bcsf:HealthcareAndPharmaceuticalsMember currency:GBP 2024-09-30 0001655050 country:IE 2023-01-01 2023-12-31 0001655050 bcsf:RevolverCommitmentMember bcsf:ElementBuyerIncMember 2023-12-31 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Retail Petco First Lien Senior Secured Loan SOFR Spread 3.51% Interest Rate 8.12% Maturity Date 3/3/2028 2024-09-30 0001655050 bcsf:TelecommunicationsSectorMember 2024-01-01 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember Canadian Dollar Retail New Look Vision Group First Lien Senior Secured Loan - 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First Lien Senior Secured Loan SOFR Spread 4.85% Interest Rate 10.10% Maturity Date 6/28/2028 2024-09-30 0001655050 bcsf:EquityInterestMember bcsf:ControlledAffiliatedEntityMember bcsf:LightningHoldingsBLlcMember 2023-12-31 0001655050 bcsf:EquityInterestMember bcsf:LightningHoldingsMember bcsf:ControlledAffiliatedEntityMember 2023-12-31 0001655050 Non-controlled/Non-Affiliate Investments FIRE: Insurance Simplicity First Lien Senior Secured Loan SOFR Spread 6.40% Interest Rate 11.75% Maturity Date 12/2/2026 2023-12-31 0001655050 bcsf:ClassAOneNotesTwoZeroTwoFourOneNotesMember bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliate Investments FIRE: Finance Congress Wealth First Lien Senior Secured Loan - Delayed Draw SOFR Spread 6.85% Interest Rate 12.20% Maturity Date 6/30/2029 2023-12-31 0001655050 bcsf:CPSGroupHoldingsIncMember bcsf:RevolverCommitmentMember 2023-12-31 0001655050 Non-Controlled/Non-Affiliate Investments High Tech Industries Ventiv Holdco, Inc. First Lien Senior Secured Loan - Revolver SOFR Spread 5.60% (1.00% PIK) Interest Rate 11.95% Maturity Date 9/3/2025 2023-12-31 0001655050 bcsf:StructuredProductsMember 2022-12-31 0001655050 Non-controlled/Non-Affiliated Investments Healthcare & Pharmaceuticals AEG Vision First Lien Senior Secured Loan SOFR Spread 5.75% Interest Rate 10.56% Maturity Date 5/31/2028 2024-09-30 0001655050 Non-controlled/Affiliated Investments Beverage, Food & Tobacco ADT Pizza, LLC Equity Interest 2024-09-30 0001655050 Automotive JHCC Holdings, LLC First Lien Senior Secured Loan - Delayed Draw SOFR Spread 5.25% Interest Rate 9.85% Maturity Date 9/9/2027 bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-09-30 0001655050 bcsf:ClassDNotesTwoZeroTwoFourOneNotesMember bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Hotel, Gaming & Leisure Pyramid Global Hospitality First Lien Senior Secured Loan SOFR Spread 4.90% Interest Rate 10.15% Maturity Date 1/19/2028 2024-09-30 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:FirstLienSeniorSecuredLoansTwoMember bcsf:ValuationTechniqueComparableCompanyMultipleMember srt:MinimumMember us-gaap:MeasurementInputEbitdaMultipleMember 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember British Pound FIRE: Insurance Margaux UK Finance Limited First Lien Senior Secured Loan SONIA Spread 5.50% Interest Rate 10.45% Maturity Date 12/19/2025 2024-09-30 0001655050 Non-controlled/Non-Affiliate Investments FIRE: Finance Congress Wealth First Lien Senior Secured Loan - Revolver Maturity Date 6/30/2029 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Transportation: Cargo A&R Logistics, Inc. First Lien Senior Secured Loan SOFR Spread 6.90% Interest Rate 12.22% Maturity Date 8/3/2026 One 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Healthcare & Pharmaceuticals AEG Vision First Lien Senior Secured Loan - Delayed Draw Maturity Date 3/27/2026 2024-09-30 0001655050 bcsf:AxhAirCoolersMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Transportation: Consumer PrimeFlight Acquisition LLC First Lien Senior Secured Loan SOFR Spread 6.85% Interest Rate 12.20% Maturity Date 5/1/2029 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business iBanFirst First Lien Senior Secured Loan EURIBOR Spread 10.00% PIK Interest Rate 13.91% Maturity Date 7/13/2028 Two 2023-12-31 0001655050 bcsf:EquityInterestMember bcsf:ControlledAffiliatedEntityMember bcsf:BainCapitalSeniorLoanProgramLlcMember 2022-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Morgan Stanley Settlement Date 02/13/2024 2023-12-31 0001655050 bcsf:CitibankMember 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries FNZ UK Finco Limited First Lien Senior Secured Loan BBSW Spread 5.80% Interest Rate 10.37% Maturity Date 9/30/2026 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember High Tech Industries AMI US Holdings Inc. First Lien Senior Secured Loan - Revolver SOFR Maturity Date 4/1/2025 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business Parcel2Go First Lien Senior Secured Loan - Delayed Draw SONIA Spread 3.00% (3.00% PIK) Interest Rate 11.19% Maturity Date 7/17/2028 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Four Standard Chartered Settlement Date 07/18/2024 2023-12-31 0001655050 Non-controlled/Non-Affiliate Investments Healthcare & Pharmaceuticals Apollo Intelligence First Lien Senior Secured Loan - Delayed Draw Maturity Date 6/1/2028 2023-12-31 0001655050 Investment Gale Aviation (Offshore) Co Acquisition Date 8/14/2019 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Automotive Gills Point S First Lien Senior Secured Loan - Delayed Draw SOFR Spread 5.75% Interest Rate 10.77% Maturity Date 5/17/2029 2024-09-30 0001655050 bcsf:ApolloIntelligenceMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Non-controlled/Affiliated Investments Consumer Goods: Durable Walker Edison First Lien Senior Secured Loan - Delayed Draw SOFR Spread 6.90% PIK Interest Rate 11.50% Maturity Date 3/31/2027 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Wholesale Abracon Group Holding, LLC. First Lien Senior Secured Loan - Revolver SOFR Spread 6.15% Interest Rate 11.43% Maturity Date 7/6/2028 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Telecommunications Meriplex Communications, Ltd. First Lien Senior Secured Loan SOFR Spread 5.10% Interest Rate 9.95% Maturity Date 7/17/2028 2024-09-30 0001655050 bcsf:DelayedDrawCommitment1Member bcsf:BtxPrecisionMember 2024-09-30 0001655050 Non-Controlled/Non-Affiliate Investments High Tech Industries Ventiv Topco, Inc. 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Equity Interest 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Wholesale Hultec Equity Interest 2024-09-30 0001655050 Investment BCC Jetstream Holdings Aviation (Off I), LLC Acquisition Date 6/1/2017 2024-01-01 2024-09-30 0001655050 us-gaap:EquitySecuritiesMember 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense Forward Slope First Lien Senior Secured Loan - Delayed Draw SOFR Spread 6.85% Interest Rate 12.23% Maturity Date 8/22/2029 2023-12-31 0001655050 country:IE 2024-01-01 2024-09-30 0001655050 bcsf:AllworthFinancialGroupLpMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Consumer Goods: Non-Durable Solaray, LLC First Lien Senior Secured Loan SOFR Spread 6.60% Interest Rate 11.97% Maturity Date 12/15/2025 2023-12-31 0001655050 bcsf:SensortowerMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Banking, Finance, Insurance & Real Estate Morrow Sodali Global LLC First Lien Senior Secured Loan SOFR Spread 5.73% Interest Rate 10.58% Maturity Date 4/25/2028 2024-09-30 0001655050 Non-controlled/Non-Affiliate Investments FIRE: Insurance Margaux UK Finance Limited First Lien Senior Secured Loan - Revolver SONIA Spread 5.50% Interest Rate 10.57% Maturity Date 12/19/2025 2024-09-30 0001655050 us-gaap:WarrantMember 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Media: Diversified & Production 9 Story Media Group Inc. First Lien Senior Secured Loan EURIBOR Spread 5.25% Interest Rate 9.21% Maturity Date 4/30/2026 2023-12-31 0001655050 bcsf:SumitomoCreditFacilityMember 2021-12-24 2021-12-24 0001655050 bcsf:ControlledAffiliatedEntityMember 2023-01-01 2023-12-31 0001655050 bcsf:PcfMember bcsf:DelayedDrawCommitmentMember 2024-09-30 0001655050 bcsf:FirstLienSeniorSecuredLoanDelayedDrawMember bcsf:NonControlledAffiliatedEntityMember bcsf:DirectTravelIncOneMember 2022-12-31 0001655050 Investment Legacy Corporate Lending HoldCo, LLC Acquisition Date 4/21/2023 2023-01-01 2023-12-31 0001655050 Investment AQ Software Corporation Acquisition Date 12/29/2022 2024-01-01 2024-09-30 0001655050 bcsf:RevolverCommitmentMember bcsf:GillsPointSMember 2024-09-30 0001655050 Investment Elevator Holdco Inc. Acquisition Date 12/23/2019 2024-01-01 2024-09-30 0001655050 bcsf:DelayedDrawCommitmentMember bcsf:BtxPrecisionMember 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember currency:USD bcsf:ConsumerDurableMember 2023-12-31 0001655050 Investment SoftCo Acquisition Date 3/1/2024 2024-01-01 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Eleven Standard Chartered Settlement Date 07/18/2024 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business masLabor Equity Interest 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember currency:AUD bcsf:HighTechIndustriesMember 2024-09-30 0001655050 us-gaap:FairValueInputsLevel2Member bcsf:FirstLienSeniorSecuredLoansMember 2024-09-30 0001655050 bcsf:SixMonthTenorTermBenchmarkLoanMember bcsf:SumitomoCreditFacilityMember 2024-05-20 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember currency:AUD bcsf:ServicesConsumerMember 2023-12-31 0001655050 Investment Legacy Corporate Lending HoldCo, LLC Acquisition Date 4/21/2023 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Consumer Goods: Durable Tangent Technologies Acquisition, LLC Second Lien Senior Secured Loan SOFR Spread 9.00% Interest Rate 14.30% Maturity Date 5/30/2028 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Sixteen Standard Chartered Settlement Date 10/15/2024 2024-01-01 2024-09-30 0001655050 bcsf:NonControlledAffiliatedEntityMember bcsf:BlackbrushOilGasL.pMember bcsf:FirstLienSeniorSecuredLoanMember 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business Refine Intermediate, Inc. First Lien Senior Secured Loan - Revolver Maturity Date 9/3/2026 2023-12-31 0001655050 Investment Robinson Helicopter Acquisition Date 6/30/2022 2023-01-01 2023-12-31 0001655050 bcsf:MachAcquisitionRCMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 on-controlled/Non-Affiliated Investments Services: Business Advanced Aircrew Preferred Equity 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Transportation: Cargo A&R Logistics, Inc. First Lien Senior Secured Loan SOFR Spread 6.00% Interest Rate 11.48% Maturity Date 5/3/2025 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Healthcare & Pharmaceuticals Nafinco First Lien Senior Secured Loan - Revolver Maturity Date 5/30/2031 2024-09-30 0001655050 Investment Lightning Holdings B, LLC Acquisition Date 8/19/2021 2024-01-01 2024-09-30 0001655050 bcsf:NonControlledAffiliatedEntityMember bcsf:AnsettAviationTrainingMember bcsf:FirstLienSeniorSecuredLoanMember 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Chemicals, Plastics & Rubber V Global Holdings LLC First Lien Senior Secured Loan SOFR Spread 5.90% Interest Rate 10.97% Maturity Date 12/22/2027 2024-09-30 0001655050 bcsf:FireFinanceSectorMember 2023-01-01 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty One Morgan Stanley Settlement Date 01/24/2024 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Beverage, Food & Tobacco Hellers First Lien Senior Secured Loan - Delayed Draw BBSY Spread 5.75% Interest Rate 10.23% Maturity Date 9/27/2030 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember European Currency Chemicals, Plastics & Rubber V Global Holdings LLC First Lien Senior Secured Loan EURIBOR Spread 5.75% Interest Rate 9.85% Maturity Date 12/22/2027 2023-12-31 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember bcsf:ClassBTwoTwoZeroTwoThreeOneNotesMember 2024-01-01 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember bcsf:InterestRateFloorThreeMember 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember British Pound Services: Consumer Surrey Bidco Limited First Lien Senior Secured Loan SONIA Spread 6.28% PIK Interest Rate 11.23% Maturity Date 5/11/2026 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Beverage, Food & Tobacco Arctic Glacier U.S.A., Inc. First Lien Senior Secured Loan - Revolver SOFR Spread 6.76% (4.00% PIK) Interest Rate 15.82% Maturity Date 5/24/2028 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember us-gaap:RelatedPartyMember 2024-01-01 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Superna Inc. 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First Lien Senior Secured Loan SOFR Spread 5.65% Interest Rate 11.00% Maturity Date 3/26/2026 One 2023-12-31 0001655050 bcsf:AxhAirCoolersMember bcsf:RevolverCommitmentMember 2023-12-31 0001655050 bcsf:ClassDNotesTwoZeroTwoFourOneNotesMember bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-09-30 0001655050 Investment CB Titan Holdings, Inc. 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First Lien Senior Secured Loan - Delayed Draw SOFR Spread 5.85% Interest Rate 11.21% Maturity Date 4/15/2027 2023-12-31 0001655050 bcsf:PreIncentiveFeeNetInvestmentIncomeEqualToLessThanCatchUpAmountMember 2024-01-01 2024-09-30 0001655050 bcsf:LegacyCorporateLendingHoldcoLlcMember bcsf:EquityInterestMember bcsf:ControlledAffiliatedEntityMember 2024-09-30 0001655050 bcsf:TransportationConsumerMember 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliate Investments FIRE: Insurance Margaux Acquisition Inc. 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First Lien Senior Secured Loan SOFR Spread 5.65% (1.50% PIK) Interest Rate 11.75% Maturity Date 5/12/2025 2024-09-30 0001655050 bcsf:LogrhythmMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Two Morgan Stanley Settlement Date 01/21/2025 2024-01-01 2024-09-30 0001655050 bcsf:LegacyCorporateLendingHoldcoLlcMember bcsf:ControlledAffiliatedEntityMember bcsf:PreferredEquityMember 2024-01-01 2024-09-30 0001655050 bcsf:FirstLienSeniorSecuredLoansMember 2022-12-31 0001655050 us-gaap:WarrantMember 2023-12-31 0001655050 bcsf:DirectTravelIncTwoMember bcsf:NonControlledAffiliatedEntityMember bcsf:FirstLienSeniorSecuredLoanMember 2024-01-01 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty One Goldman Sachs Settlement Date 07/18/2024 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business Parcel2Go First Lien Senior Secured Loan - Delayed Draw SONIA Spread 6.00% Interest Rate 11.20% Maturity Date 7/17/2028 2024-09-30 0001655050 2024-06-30 0001655050 Non-controlled/Non-Affiliated Investments Beverage, Food & Tobacco AgroFresh Solutions First Lien Senior Secured Loan - Revolver SOFR Spread 6.35% Interest Rate 11.20% Maturity Date 3/31/2028 2024-09-30 0001655050 us-gaap:FairValueInputsLevel3Member us-gaap:WarrantMember srt:WeightedAverageMember bcsf:ValuationTechniqueComparableCompanyMultipleMember us-gaap:MeasurementInputEbitdaMultipleMember 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense Precision Ultimate Holdings, LLC Equity Interest 2023-12-31 0001655050 bcsf:WalkerEdisonMember bcsf:FirstLienSeniorSecuredLoanRevolverMember bcsf:NonControlledAffiliatedEntityMember 2024-01-01 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty One Bank of New York Mellon Settlement Date 12/30/2024 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember Canadian Dollar Media Diversified & Production 9 Story Media Group Inc. First Lien Senior Secured Loan - Revolver CDOR Spread 5.25% Interest Rate 10.67% Maturity Date 4/30/2026 2023-12-31 0001655050 bcsf:NonControlledAffiliatedEntityMember bcsf:PreferredEquityMember bcsf:DcBloxTwoMember 2024-09-30 0001655050 bcsf:SurewerxMember bcsf:RevolverCommitmentMember 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty One Morgan Stanley Settlement Date 03/25/2024 2023-01-01 2023-12-31 0001655050 bcsf:AdvancedAircrewMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Transportation: Cargo Grammer Investment Holdings LLC Preferred Equity Spread 10.00% Interest Rate 10.00% 2023-12-31 0001655050 bcsf:InterestRateFloorFiveMember 2023-12-31 0001655050 Controlled Affiliate Investments Aerospace & Defense BCC Jetstream Holdings Aviation (On II), LLC Equity Interest 2023-12-31 0001655050 us-gaap:ForeignExchangeForwardMember 2024-07-01 2024-09-30 0001655050 bcsf:SubAdministratorMember 2023-07-01 2023-09-30 0001655050 Non-Controlled/Non-Affiliate Investments High Tech Industries Utimaco First Lien Senior Secured Loan SOFR Spread 6.68% Interest Rate 11.99% Maturity Date 5/14/2029 One 2023-12-31 0001655050 bcsf:EquityInterestMember bcsf:NonControlledAffiliatedEntityMember bcsf:BlackbrushOilGasL.pMember 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries CB Nike IntermediateCo Ltd First Lien Senior Secured Loan - Revolver Maturity Date 10/31/2025 2024-09-30 0001655050 bcsf:BCSFAdvisorsLpMember 2019-02-01 2019-02-01 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Three Standard Chartered Settlement Date 01/17/2024 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Environmental Industries Titan Cloud Software, Inc First Lien Senior Secured Loan - Revolver SOFR Spread 5.85% Interest Rate 10.56% Maturity Date 9/7/2028 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty One Standard Chartered Settlement Date 10/15/2024 2024-09-30 0001655050 bcsf:Classa1rSeniorSecuredFloatingRateNotesMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Automotive Gills Point S First Lien Senior Secured Loan - Revolver SOFR Spread 5.75% Interest Rate 10.70% Maturity Date 5/17/2029 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Telecommunications DC Blox Inc. Warrants 2023-12-31 0001655050 Investment Walker Edison Acquisition Date 3/1/2023 2024-01-01 2024-09-30 0001655050 bcsf:MediaAdvertisingPrintingAndPublishingMember 2023-01-01 2023-12-31 0001655050 bcsf:EnvironmentalIndustriesSectorMember 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Services: Business iBanFirst First Lien Senior Secured Loan EURIBOR Spread 10.00% PIK Interest Rate 13.91% Maturity Date 7/13/2028 One 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember 2024-07-01 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember European Currency Media: Advertising, Printing & Publishing Kpler First Lien Senior Secured Loan EURIBOR Spread 6.25% Interest Rate 9.63% Maturity Date 3/3/2030 2024-09-30 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:ValuationTechniqueComparableCompanyMultipleMember us-gaap:MeasurementInputRevenueMultipleMember bcsf:EquitySecuritiesThreeMember 2024-09-30 0001655050 Investment MZR Aggregator Acquisition Date 9/17/2024 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Retail New Look Vision Group First Lien Senior Secured Loan - Delayed Draw CDOR Spread 5.50% Interest Rate 10.93% Maturity Date 5/26/2028 One 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Gluware Warrants 2023-12-31 0001655050 bcsf:SubordinatedNoteInInvestmentVehiclesMember 2022-12-31 0001655050 bcsf:DelayedDrawCommitmentMember bcsf:VesscoWaterMember 2024-09-30 0001655050 bcsf:SimplicityMember bcsf:RevolverCommitment1Member 2024-09-30 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:SumitomoCreditFacilityMember 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Construction & Building Service Master First Lien Senior Secured Loan - Revolver SOFR Spread 6.01% (1.00% PIK) Interest Rate 11.65% Maturity Date 8/16/2027 2024-09-30 0001655050 country:SE 2023-01-01 2023-12-31 0001655050 bcsf:BankingFinanceInsuranceAndRealEstateSectorMember 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Morgan Stanley Settlement Date 06/12/2025 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Telecommunications DC Blox Preferred Equity Spread 8.00% PIK Interest Rate 8.00% One 2024-09-30 0001655050 bcsf:FireFinanceSectorMember 2023-12-31 0001655050 bcsf:SolarayLLCMember bcsf:RevolverCommitmentMember 2023-12-31 0001655050 Investment Opus2 Acquisition Date 6/16/2021 2023-01-01 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember U.S. Dollar High Tech Industries Utimaco First Lien Senior Secured Loan SOFR Spread 6.68% Interest Rate 11.99% Maturity Date 5/14/2029 One 2024-09-30 0001655050 bcsf:SupernaIncMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Goldman Sachs Settlement Date 07/18/2024 2023-12-31 0001655050 Non-Controlled/Non-Affiliate Investments Hotel, Gaming & Leisure Aimbridge Acquisition Co., Inc. Second Lien Senior Secured Loan SOFR Spread 7.50% Interest Rate 12.97% Maturity Date 2/1/2027 2023-12-31 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:EquitySecuritiesTwoMember bcsf:ValuationTechniqueComparableCompanyMultipleMember srt:MinimumMember us-gaap:MeasurementInputEbitdaMultipleMember 2023-12-31 0001655050 bcsf:ApplitoolsMember bcsf:RevolverCommitmentMember 2023-12-31 0001655050 country:NZ 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense Forming Machining Industries Holdings, LLC First Lien Senior Secured Loan SOFR Spread 4.40% Interest Rate 9.79% Maturity Date 10/9/2025 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments FIRE: Insurance Simplicity First Lien Senior Secured Loan - Revolver Maturity Date 12/2/2026 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Consumer Goods: Non-Durable FL Hawk Intermediate Holdings, Inc. 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First Lien Senior Secured Loan - Delayed Draw SOFR Spread 6.15% Interest Rate 11.50% Maturity Date 10/2/2025 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember currency:USD us-gaap:AutomotiveSectorMember 2023-12-31 0001655050 bcsf:DelayedDrawCommitmentMember bcsf:HellersMember 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Transportation: Cargo Grammer Purchaser, Inc. First Lien Senior Secured Loan - Revolver SOFR Spread 4.85% Interest Rate 10.21% Maturity Date 9/30/2024 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Media: Diversified & Production 9 Story Media Group Inc. First Lien Senior Secured Loan CDOR Spread 5.25% Interest Rate 10.74% Maturity Date 4/30/2026 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Containers, Packaging & Glass ASP-r-pac Acquisition Co LLC First Lien Senior Secured Loan SOFR Spread 6.26% Interest Rate 11.64% Maturity Date 12/29/2027 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Healthcare & Pharmaceuticals Beacon Specialized Living First Lien Senior Secured Loan SOFR Spread 5.75% Interest Rate 10.35% Maturity Date 3/25/2028 2024-09-30 0001655050 bcsf:EquityInterestMember bcsf:NonControlledAffiliatedEntityMember bcsf:AnsettAviationTrainingMember 2022-12-31 0001655050 Non-controlled/Non-Affiliated Investments FIRE: Finance Choreo First Lien Senior Secured Loan SOFR Spread 5.00% Interest Rate 9.85% Maturity Date 2/18/2028 2024-09-30 0001655050 bcsf:VesscoWaterMember bcsf:RevolverCommitmentMember 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember U.S. Dollar Chemicals, Plastics & Rubber V Global Holdings LLC First Lien Senior Secured Loan SOFR Spread 6.00% Interest Rate11.43% Maturity Date 12/22/2027 2023-12-31 0001655050 Non-controlled/Affiliated Investments Beverage, Food & Tobacco ADT Pizza, LLC Equity Interest 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business Darcy Partners First Lien Senior Secured Loan SOFR Spread 7.75% Interest Rate 13.08% Maturity Date 6/1/2028 2024-09-30 0001655050 bcsf:BeverageFoodAndTobaccoSectorNonControlledAffiliateInvestmentsMember 2023-12-31 0001655050 bcsf:InterestRateFloorFourMember 2024-09-30 0001655050 us-gaap:RetailSectorMember 2023-01-01 2023-12-31 0001655050 High Tech Industries Superna Inc. 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GmbH First Lien Senior Secured Loan EURIBOR Spread 6.25% (0.75% PIK) Interest Rate 10.77% Maturity Date 05/08/2026 2024-09-30 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember bcsf:Notes2023OneMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments FIRE: Insurance Simplicity First Lien Senior Secured Loan - Revolver Maturity Date 12/2/2026 One 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Services: MZR Buyer, LLC First Lien Senior Secured Loan SOFR Spread 6.85% Interest Rate 11.70% Maturity Date 12/22/2026 2024-09-30 0001655050 bcsf:MargauxAcquisitionIncMember bcsf:RevolverCommitmentMember 2023-12-31 0001655050 bcsf:ClassANotesTwoZeroTwoThreeOneNotesMember bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLLCMember 2021-02-09 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Element Buyer, Inc. First Lien Senior Secured Loan SOFR Spread 5.85% Interest Rate 10.70% Maturity Date 7/19/2026 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Services: Business Cube First Lien Senior Secured Loan - Delayed Draw Maturity Date 5/20/2031 One 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Construction & Building Service Master Equity Interest One 2023-12-31 0001655050 bcsf:DelayedDrawCommitmentMember bcsf:GillsPointSMember 2023-12-31 0001655050 bcsf:BainCapitalSeniorLoanProgramLlcMember Construction & Building YLG Holdings, Inc. 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GmbH First Lien Senior Secured Loan EURIBOR Spread 6.25% (0.75% PIK) Interest Rate 11.03% Maturity Date 5/28/2026 2023-12-31 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember U.S. Dollar Media: Diversified & Production Aptus 1724 Gmbh First Lien Senior Secured Loan SOFR Spread 6.15% (1.50% PIK) Interest Rate 12.60% Maturity Date 2/23/2028 2024-09-30 0001655050 Investment Electronic Merchant Systems Acquisition Date 7/12/2024 2024-01-01 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember bcsf:AerospaceAndDefenseSectorMember currency:AUD 2023-12-31 0001655050 Investment Hultec Acquisition Date 3/31/2023 2023-01-01 2023-12-31 0001655050 bcsf:LegacyCorporateLendingHoldcoLlcMember bcsf:EquityInterestMember bcsf:ControlledAffiliatedEntityMember 2024-01-01 2024-09-30 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:ValuationTechniqueCollateralCoverageAnalysisMember bcsf:SubordinatedNoteInInvestmentVehiclesMember bcsf:MeasurementInputRecoveryRateMember 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Thirteen Standard Chartered Settlement Date 07/18/2024 2023-01-01 2023-12-31 0001655050 Investment Appriss Holdings, Inc. 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First Lien Senior Secured Loan - Delayed Draw SOFR Spread 6.00% Interest Rate 11.46% Maturity Date 7/19/2026 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Hotel, Gaming & Leisure Awayday First Lien Senior Secured Loan - Revolver Maturity Date 9/6/2030 2024-09-30 0001655050 bcsf:ClassATwoRTwoZeroOneEightOneNotesMember 2024-03-13 2024-03-13 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:FirstLienSeniorSecuredLoansThreeMember bcsf:ValuationTechniqueComparableCompanyMultipleMember us-gaap:MeasurementInputRevenueMultipleMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense Saturn Purchaser Corp First Lien Senior Secured Loan SOFR Spread 5.60% Interest Rate 11.01% Maturity Date 7/23/2029 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Hotel, Gaming & Leisure City BBQ First Lien Senior Secured Loan - Delayed Draw Maturity Date 9/4/2030 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Transportation: Cargo Grammer Investment Holdings LLC Preferred Equity Spread 10.00% Interest Rate 10.00% 2024-09-30 0001655050 us-gaap:ConstructionSectorMember bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Capital Equipment Ergotron Acquisition LLC First Lien Senior Secured Loan SOFR Spread 5.75% Interest Rate 11.17% Maturity Date 7/6/2028 2023-12-31 0001655050 bcsf:FireFinanceMember 2024-09-30 0001655050 Investment MZR Aggregator Acquisition Date 12/22/2020 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Services: Business Caribou Bidco Limited First Lien Senior Secured Loan - Delayed Draw SONIA Spread 5.25% Interest Rate 10.44% Maturity Date 2/1/2029 2023-12-31 0001655050 Investment Thrasio, LLC Acquisition Date 12/18/2020 2024-01-01 2024-09-30 0001655050 us-gaap:AutomotiveSectorMember 2023-01-01 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Eleven Software Preferred Equity 2023-12-31 0001655050 us-gaap:FairValueInputsLevel3Member bcsf:SubordinatedNoteInInvestmentVehiclesMember 2024-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Standard Chartered Settlement Date 06/17/2024 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Aerospace & Defense Mach Acquisition T/L First Lien Senior Secured Loan SOFR Spread 6.65% (2.00% PIK) Interest Rate 13.93% Maturity Date 10/19/2026 2024-09-30 0001655050 bcsf:InternationalSeniorLoanProgramLlcMember currency:GBP bcsf:EnvironmentalIndustriesSectorMember 2023-12-31 0001655050 Non-controlled/Non-Affiliated Investments Telecommunications Taoglas First Lien Senior Secured Loan - Delayed Draw Maturity Date 2/28/2029 2024-09-30 0001655050 2024-07-29 2024-07-29 0001655050 us-gaap:FairValueInputsLevel2Member bcsf:FirstLienSeniorSecuredLoansMember 2023-12-31 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Four Standard Chartered Settlement Date 10/15/2024 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Healthcare & Pharmaceuticals Apollo Intelligence First Lien Senior Secured Loan - Delayed Draw Maturity Date 5/31/2028 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments FIRE: Finance Congress Wealth First Lien Senior Secured Loan - Delayed Draw Maturity Date 6/30/2029 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments Transportation: Cargo Grammer Investment Holdings LLC Warrants 2023-12-31 0001655050 Healthcare & Pharmaceuticals SunMed Group Holdings, LLC First Lien Senior Secured Loan SOFR Spread 5.60% Interest Rate 10.85% Maturity Date 6/16/2028 bcsf:BainCapitalSeniorLoanProgramLlcMember 2024-09-30 0001655050 bcsf:Notes2019OneMember 2023-01-01 2023-09-30 0001655050 Forward Foreign Currency Exchange Contracts Counterparty Morgan Stanley Settlement Date 01/17/2024 2023-01-01 2023-12-31 0001655050 Investment SensorTower Acquisition Date 3/15/2024 2024-01-01 2024-09-30 0001655050 Non-controlled/Non-Affiliated Investments High Tech Industries Element Buyer, Inc. 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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 10-Q

(Mark One)

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the quarterly period ended September 30, 2024

OR

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

Commission file number: 814-01175

BAIN CAPITAL SPECIALTY FINANCE, INC.

(Exact Name of Registrant as Specified in its Charter)

Delaware

81-2878769

(State or Other Jurisdiction of

(I.R.S. Employer

Incorporation or Organization)

Identification No.)

200 Clarendon Street , 37 th Floor

Boston , MA

02116

(Address of Principal Executive Office)

(Zip Code)

( 617 ) 516‑2000

(Registrant’s Telephone Number, Including Area Code)

Former Name, Former Address and Former Fiscal Year, if Changed Since Last Report: N/A

Securities registered pursuant to Section 12(b) of the Act:

Title of each class

Trading Symbol(s)

Name of each exchange on which registered

Common Stock, par value $0.001 per share

BCSF

New York Stock Exchange

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 ☒ No ☐

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 ☒ No ☐

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, a smaller reporting company or an emerging growth company. See the definitions of “large accelerated filer,” “accelerated filer,” “smaller reporting company” and “emerging growth company” in Rule 12b‑2 of the Exchange Act.

Large accelerated filer

Accelerated filer ☐

Non-accelerated filer ☐

Smaller reporting company

Emerging growth company

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 Exchange Act. ☐

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

As of November 5, 2024, the registrant had 64,562,265 shares of common stock outstanding.


TABLE OF CONTENTS

Page

PART I

FINANCIAL INFORMATION

3

Item 1.

Consolidated Financial Statements

3

Consolidated Statements of Assets and Liabilities as of September 30, 2024 (unaudited) and December 31, 2023

3

Consolidated Statements of Operations for the three and nine months ended September 30, 2024 and 2023 (unaudited)

4

Consolidated Statements of Changes in Net Assets for the three and nine months ended September 30, 2024 and 2023 (unaudited)

5

Consolidated Statements of Cash Flows for the nine months ended September 30, 2024 and 2023 (unaudited)

6

Consolidated Schedules of Investments as of September 30, 2024 (unaudited) and December 31, 2023

7

Notes to Consolidated Financial Statements (unaudited)

44

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

114

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

133

Item 4.

Controls and Procedures

134

PART II

OTHER INFORMATION

Item 1.

Legal Proceedings

134

Item 1A.

Risk Factors

134

Item 2.

Unregistered Sales of Equity Securities, Use of Proceeds, and Issuer Purchases of Equity Securities

134

Item 3.

Default Upon Senior Securities

134

Item 4.

Mine Safety Disclosures

134

Item 5.

Other Information

135

Item 6.

Exhibits, Financial Statement Schedules

136

Signatures

141

i


FORWARD-LOOKING STATEMENTS

Statements contained in this Quarterly Report on Form 10-Q (the “Quarterly Report”) (including those relating to current and future market conditions and trends in respect thereof) that are not historical facts are based on current expectations, estimates, projections, opinions and/or beliefs of the Company, BCSF Advisors, LP (the “Advisor”) and/or Bain Capital Credit, LP and its affiliated advisers (collectively, “Bain Capital Credit”). Such statements involve known and unknown risks, uncertainties and other factors and undue reliance should not be placed thereon. Certain information contained in this Quarterly Report constitutes “forward-looking statements,” which can be identified by the use of forward-looking terminology such as “may,” “will,” “should,” “seek,” “expect,” “anticipate,” “project,” “estimate,” “intend,” “continue,” “target,” or “believe” or the negatives thereof or other variations thereon or comparable terminology. Due to various risks and uncertainties, actual events or results or the actual performance of the Company may differ materially from those reflected or contemplated in such forward-looking statements. These statements are not guarantees of future performance and are subject to risks, uncertainties, and other factors, some of which are beyond our control and are difficult to predict, that could cause actual results to differ materially from those expressed or forecasted in the forward-looking statements including, without limitation, the risks, uncertainties and other factors we identify in the section entitled Part I, “Item 1A. Risk Factors” in our Annual Report on Form 10-K (the “Annual Report”) for the fiscal year ended December 31, 2023 and in our filings with the Securities and Exchange Commission (the “SEC”).

Although we believe that the assumptions on which these forward-looking statements are based are reasonable, some of those assumptions may be based on the work of third parties and any of those assumptions could prove to be inaccurate; as a result, the forward-looking statements based on those assumptions also could prove to be inaccurate. In light of these and other uncertainties, the inclusion of a projection or forward-looking statement in this Quarterly Report should not be regarded as a representation by us that our plans and objectives will be achieved. These risks and uncertainties include those described or identified in the section entitled Part I, “Item 1A. Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2023. Investors should not place undue reliance on these forward-looking statements, which apply only as of the date of this Quarterly Report. We do not undertake any obligation to update or revise any forward-looking statements or any other information contained herein, except as required by applicable law. The safe harbor provisions of Section 21E of the Securities Exchange Act of 1934, as amended (the “Exchange Act”), which preclude civil liability for certain forward-looking statements, do not apply to the forward-looking statements in this Quarterly Report because we are an investment company.

ii


PART I. FINANCIAL INFORMATION

Item 1. Consolidated Financial Statements

Bain Capital Specialty Finance, Inc.

Consolidated Statements of Assets and Liabilities

(in thousands, except share and per share data)

As of

As of

September 30, 2024

December 31, 2023

(Unaudited)

Assets

Investments at fair value:

Non-controlled/non-affiliate investments (amortized cost of $ 1,759,021 and $ 1,615,061 , respectively)

$

1,754,245

$

1,593,360

Non-controlled/affiliate investment (amortized cost of $ 75,517 and $ 132,650 , respectively)

80,035

147,971

Controlled affiliate investment (amortized cost of $ 578,475 and $ 554,123 , respectively)

573,670

557,012

Cash and cash equivalents

25,336

42,995

Foreign cash (cost of $ 4,657 and $ 6,865 , respectively)

5,125

6,405

Restricted cash and cash equivalents

29,292

63,084

Collateral on forward currency exchange contracts

9,675

7,613

Deferred financing costs

4,855

2,802

Interest receivable on investments

34,520

37,169

Receivable for sales and paydowns of investments

17,873

4,310

Prepaid insurance

383

210

Dividend receivable

8,673

9,417

Total Assets

$

2,543,682

$

2,472,348

Liabilities

Debt (net of unamortized debt issuance costs of $ 5,592 and $ 7,567 , respectively)

$

1,300,607

$

1,255,933

Interest payable

13,170

13,283

Payable for investments purchased

17,280

11,453

Unrealized depreciation on forward currency exchange contracts

6,549

2,260

Base management fee payable

8,897

8,929

Incentive fee payable

7,020

7,327

Accounts payable and accrued expenses

14,518

9,581

Distributions payable

29,053

27,116

Total Liabilities

1,397,094

1,335,882

Commitments and Contingencies (See Note 10)

Net Assets

Common stock, par value $ 0.001 per share, 100,000,000,000 and 100,000,000,000 shares authorized, 64,562,265 and 64,562,265 shares issued and outstanding as of September 30, 2024 and December 31, 2023, respectively

65

65

Paid in capital in excess of par value

1,165,191

1,168,384

Total distributable loss

( 18,668

)

( 31,983

)

Total Net Assets

1,146,588

1,136,466

Total Liabilities and Total Net Assets

$

2,543,682

$

2,472,348

Net asset value per share

$

17.76

$

17.60

See Notes to Consolidated Financial Statements

3


Bain Capital Specialty Finance, Inc.

Consolidated Statements of Operations

(in thousands, except share and per share data)

(Unaudited)

For the Three Months Ended September 30,

For the Nine Months Ended September 30,

2024

2023

2024

2023

Income

Investment income from non-controlled/non-affiliate investments:

Interest from investments

$

45,135

$

45,418

$

134,193

$

140,588

Dividend income

826

1,261

62

PIK income

5,231

4,926

15,941

15,015

Other income

5,704

1,008

14,100

8,178

Total investment income from non-controlled/non-affiliate investments

56,896

51,352

165,495

163,843

Investment income from non-controlled/affiliate investments:

Interest from investments

120

2,412

2,980

7,375

Dividend income

85

950

906

3,955

PIK income

655

458

1,677

Total investment income from non-controlled/affiliate investments

205

4,017

4,344

13,007

Investment income from controlled affiliate investments:

Interest from investments

10,165

9,403

28,948

24,320

Dividend income

5,274

7,618

20,523

21,672

Total investment income from controlled affiliate investments

15,439

17,021

49,471

45,992

Total investment income

72,540

72,390

219,310

222,842

Expenses

Interest and debt financing expenses

18,117

20,775

53,804

60,784

Base management fee

8,897

9,140

26,484

27,166

Incentive fee

7,020

3,011

24,176

18,129

Professional fees

870

760

2,700

1,792

Directors fees

173

182

521

535

Other general and administrative expenses

2,454

2,234

7,374

5,386

Total expenses, net of fee waivers

37,531

36,102

115,059

113,792

Net investment income before taxes

35,009

36,288

104,251

109,050

Income tax expense, including excise tax

1,025

640

3,200

2,332

Net investment income

33,984

35,648

101,051

106,718

Net realized and unrealized gains (losses)

Net realized gain (loss) on non-controlled/non-affiliate investments

245

( 50,873

)

( 7,631

)

( 61,753

)

Net realized gain on non-controlled/affiliate investments

3,008

7,727

Net realized loss on foreign currency transactions

( 465

)

( 673

)

( 888

)

( 5,207

)

Net realized gain (loss) on forward currency exchange contracts

20

( 221

)

1,916

( 2,606

)

Net change in unrealized appreciation on foreign currency translation

998

( 279

)

967

3,615

Net change in unrealized appreciation on forward currency exchange contracts

( 5,693

)

7,107

( 4,289

)

5,792

Net change in unrealized appreciation on non-controlled/non-affiliate investments

( 2,135

)

41,509

16,925

35,972

Net change in unrealized appreciation on non-controlled/affiliate investments

2,534

( 1,067

)

( 10,803

)

1,960

Net change in unrealized appreciation on controlled affiliate investments

600

2,705

( 7,694

)

7,821

Total net losses

( 888

)

( 1,792

)

( 3,770

)

( 14,406

)

Net increase in net assets resulting from operations

$

33,096

$

33,856

$

97,281

$

92,312

Basic and diluted net investment income per common share

$

0.53

$

0.55

$

1.57

$

1.65

Basic and diluted increase in net assets resulting from operations per common share

$

0.51

$

0.52

$

1.51

$

1.43

Basic and diluted weighted average common shares outstanding

64,562,265

64,562,265

64,562,265

64,562,265

See Notes to Consolidated Financial Statements

4


Bain Capital Specialty Finance, Inc.

Consolidated Statements of Changes in Net Assets

(in thousands, except share and per share data)

(Unaudited)

For the Three Months Ended September 30,

For the Nine Months Ended September 30,

2024

2023

2024

2023

Operations:

Net investment income

$

33,984

$

35,648

$

101,051

$

106,718

Net realized gain (loss)

2,808

( 51,767

)

1,124

( 69,566

)

Net change in unrealized appreciation

( 3,696

)

49,975

( 4,894

)

55,160

Net increase in net assets resulting from operations

33,096

33,856

97,281

92,312

Stockholder distributions:

Distributions from distributable earnings

( 29,053

)

( 27,116

)

( 87,159

)

( 76,184

)

Net decrease in net assets resulting from stockholder distributions

( 29,053

)

( 27,116

)

( 87,159

)

( 76,184

)

Capital share transactions:

Total increase in net assets

4,043

6,740

10,122

16,128

Net assets at beginning of period

1,142,545

1,125,779

1,136,466

1,116,391

Net assets at end of period

$

1,146,588

$

1,132,519

$

1,146,588

$

1,132,519

Net asset value per common share

$

17.76

$

17.54

$

17.76

$

17.54

Common stock outstanding at end of period

64,562,265

64,562,265

64,562,265

64,562,265

See Notes to Consolidated Financial Statements

5


Bain Capital Specialty Finance, Inc.

Consolidated Statements of Cash Flows

(in thousands, except share and per share data)

(Unaudited)

For the Nine Months Ended September 30,

2024

2023

Cash flows from operating activities

Net increase in net assets resulting from operations

$

97,281

$

92,312

Adjustments to reconcile net increase (decrease) in net assets from operations to net cash used in operating activities:

Purchases of investments

( 1,097,835

)

( 646,136

)

Proceeds from principal payments and sales of investments

1,001,530

631,386

Net realized (gain) loss from investments

( 96

)

61,753

Net realized loss on foreign currency transactions

888

5,207

Net change in unrealized appreciation on forward currency exchange contracts

4,289

( 5,792

)

Net change in unrealized appreciation on investments

1,572

( 45,753

)

Net change in unrealized appreciation on foreign currency translation

( 967

)

( 3,615

)

Increase in investments due to PIK

( 18,723

)

( 15,825

)

Accretion of discounts and amortization of premiums

( 3,791

)

( 4,423

)

Amortization of deferred financing costs and debt issuance costs

3,095

2,669

Changes in operating assets and liabilities:

Collateral on forward currency exchange contracts

( 2,062

)

( 2,444

)

Interest receivable on investments

2,649

872

Prepaid insurance

( 173

)

( 214

)

Dividend receivable

744

390

Interest payable

( 113

)

2,886

Base management fee payable

( 32

)

234

Incentive fee payable

( 307

)

( 6,205

)

Accounts payable and accrued expenses

4,937

3,276

Net cash provided by (used in) operating activities

( 7,114

)

70,578

Cash flows from financing activities

Borrowings on debt

565,000

328,000

Repayments on debt

( 522,301

)

( 345,000

)

Payments of financing costs

( 3,173

)

Stockholder distributions paid

( 85,222

)

( 72,310

)

Net cash used in financing activities

( 45,696

)

( 89,310

)

Net decrease in cash, foreign cash, restricted cash and cash equivalents

( 52,810

)

( 18,732

)

Effect of foreign currency exchange rates

79

( 1,592

)

Cash, foreign cash, restricted cash and cash equivalents, beginning of period

112,484

125,730

Cash, foreign cash, restricted cash and cash equivalents, end of period

$

59,753

$

105,406

Supplemental disclosure of cash flow information:

Cash interest paid during the period

$

50,822

$

55,229

Cash paid for income taxes, including excise taxes during the period

$

2,411

$

1,215

As of September 30,

2024

2023

Cash

$

25,336

$

65,212

Restricted cash

29,292

25,908

Foreign cash

5,125

14,286

Total cash, foreign cash, restricted cash, and cash equivalents shown in the consolidated statements of cash flows

$

59,753

$

105,406

See Notes to Consolidated Financial Statements

6


Bain Capital Specialty Finance, Inc.

Consolidated Schedule of Investments

As of September 30, 2024

(In thousands)

(Unaudited)

Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Aerospace & Defense

ATS (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.75 %

10.87

%

7/12/2029

$

862

862

862

ATS (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

11.05

%

7/12/2029

$

19,369

19,131

19,127

BTX Precision (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

7/25/2030

$

( 82

)

( 63

)

BTX Precision (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

7/25/2030

$

( 27

)

( 42

)

BTX Precision (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

7/25/2030

$

( 36

)

( 37

)

BTX Precision (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.00 %

9.85

%

7/25/2030

$

24,474

24,261

24,260

BTX Precision (14)(19)(25)

Equity Interest

2

2,199

2,199

Forming Machining Industries Holdings, LLC (7)(14)(18)(19)(26)

Second Lien Senior Secured Loan

SOFR

8.40 % PIK

13.46

%

10/9/2026

$

7,173

6,874

628

Forming Machining Industries Holdings, LLC (18)(19)

First Lien Senior Secured Loan

SOFR

4.40 %

9.46

%

10/9/2025

$

15,985

15,963

12,388

Forward Slope (14)(19)(25)

Equity Interest

930

930

1,440

Forward Slope (15)(19)

First Lien Senior Secured Loan

SOFR

6.85 %

11.45

%

8/22/2029

$

6,154

6,019

6,154

Forward Slope (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.85 %

11.45

%

8/22/2029

$

23,456

22,943

23,456

Forward Slope (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

8/22/2029

$

( 181

)

Forward Slope (15)(19)

First Lien Senior Secured Loan

SOFR

6.85 %

11.45

%

8/22/2029

$

8,640

8,526

8,640

GSP (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.65 %

10.96

%

12/31/2024

$

1,129

1,116

1,118

GSP Holdings, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.65 %

10.25

%

11/6/2025

$

9,599

9,590

9,503

GSP Holdings, LLC (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.65 %

10.25

%

11/6/2025

$

4,324

4,316

4,278

Kellstrom Aerospace Group, Inc (14)(19)(25)

Equity Interest

1

1,963

1,375

Kellstrom Commercial Aerospace, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.26 %

11.58

%

7/1/2025

$

10,606

10,562

10,606

Kellstrom Commercial Aerospace, Inc. (3)(15)(19)(22)

First Lien Senior Secured Loan - Revolver

SOFR

6.26 %

10.87

%

7/1/2025

$

48

57

48

Mach Acquisition R/C (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.65 %

12.40

%

10/19/2026

$

7,532

7,450

7,532

Mach Acquisition T/L (15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.65 % ( 2.00 % PIK)

13.93

%

10/19/2026

$

34,420

34,130

34,420

Precision Ultimate Holdings, LLC (14)(19)(25)

Equity Interest

1,417

1,417

1,849

Robinson Helicopter (14)(19)(25)

Equity Interest

1,592

1,592

3,124

Robinson Helicopter (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.60 %

11.45

%

6/30/2028

$

14,145

13,919

14,145

Saturn Purchaser Corp. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.35 %

10.20

%

7/23/2029

$

13,865

13,753

13,865

Saturn Purchaser Corp. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

7/22/2029

$

( 34

)

Whitcraft-Paradigm (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.10

%

2/15/2029

$

2,485

2,485

2,485

Whitcraft-Paradigm (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.50 %

11.35

%

2/15/2029

$

11,822

11,730

11,821

Whitcraft-Paradigm (3)(18)(19)(23)

First Lien Senior Secured Loan - Revolver

P

5.50 %

13.50

%

2/28/2029

$

1,126

1,110

1,126

Aerospace & Defense Total

$

222,538

$

216,307

18.9

%

7


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Automotive

American Trailer Rental Group (19)(26)

Subordinated Debt

9.00 % ( 4.50 % PIK)

13.50

%

12/1/2027

$

5,289

5,244

5,130

American Trailer Rental Group (19)(26)

Subordinated Debt

9.00 % ( 4.50 % PIK)

13.50

%

12/1/2027

$

16,316

16,115

15,827

American Trailer Rental Group (19)(26)

Subordinated Debt

9.00 % ( 4.50 % PIK)

13.50

%

12/1/2027

$

20,375

20,123

19,764

Cardo (6)(18)(19)

First Lien Senior Secured Loan

SOFR

5.25 %

10.58

%

5/12/2028

$

98

97

98

Gills Point S (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.75 %

10.77

%

5/17/2029

$

7,402

7,393

7,402

Gills Point S (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

10.88

%

5/17/2029

$

12,536

12,536

12,536

Gills Point S (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.75 %

10.70

%

5/17/2029

$

352

352

352

Gills Point S (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.75 %

10.60

%

5/17/2029

$

1,254

1,237

1,253

Gills Point S (14)(19)(25)

Equity Interest

2

184

224

Intoxalock (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.10 %

9.95

%

11/1/2028

$

12,036

11,945

12,036

Intoxalock (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

11/1/2028

$

( 23

)

JHCC Holdings, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.25 %

9.85

%

9/9/2027

$

11,952

11,872

11,952

JHCC Holdings, LLC (3)(18)(19)

First Lien Senior Secured Loan - Revolver

P

4.25 %

12.25

%

9/9/2027

$

921

889

921

Automotive Total

$

87,964

$

87,495

7.6

%

Banking, Finance, Insurance & Real Estate

Electronic Merchant Systems (3)(18)(19)

First Lien Senior Secured Loan - Revolver

8/1/2030

$

Electronic Merchant Systems (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.00 %

9.85

%

8/1/2030

$

25,133

24,700

24,693

Electronic Merchant Systems (14)(19)(25)

Equity Interest

148

1,596

1,573

Morrow Sodali (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.60 %

10.58

%

4/25/2028

$

2,606

2,593

2,606

Morrow Sodali (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.10 %

9.95

%

4/25/2027

$

1,026

1,007

1,026

Sikich (19)(25)(26)

Preferred Equity

13.00 % PIK

13.00

%

31

3,098

3,150

Sikich (14)(19)(25)

Warrants

2

170

Sikich (14)(19)(25)

Warrants

5

596

Banking, Finance, Insurance & Real Estate Total

$

32,994

$

33,814

2.9

%

Beverage, Food & Tobacco

AgroFresh Solutions (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.35 %

11.20

%

3/31/2029

$

23,229

22,840

22,996

AgroFresh Solutions (15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.35 %

11.20

%

3/31/2028

$

5,015

4,936

4,965

Arctic Glacier U.S.A., Inc. (19)(26)(31)

First Lien Senior Secured Loan

SOFR

6.76 % ( 4.00 % PIK)

15.37

%

5/24/2028

$

12,328

12,135

11,773

Arctic Glacier U.S.A., Inc. (2)(3)(5)(19)(26)(31)

First Lien Senior Secured Loan - Revolver

SOFR

6.76 % ( 4.00 % PIK)

15.82

%

5/24/2028

$

12

( 22

)

( 76

)

BCSF Project Aberdeen, LLC (14)(19)(25)

Equity Interest

2,138

2,138

2,138

Hellers (6)(19)

Subordinated Debt

15.00 %

15.00

%

3/27/2031

NZ$

441

273

273

Hellers (6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

BBSY

5.75 %

10.23

%

9/27/2030

NZ$

5,870

3,569

3,629

Hellers (2)(3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

9/27/2030

NZ$

( 15

)

( 16

)

NPC International, Inc. (14)(19)(25)(27)

Equity Interest

308

461

7

PPX (14)(19)(25)

Preferred Equity

33

PPX (14)(19)(25)

Preferred Equity

33

5,000

7,057

Beverage, Food & Tobacco Total

$

51,315

$

52,746

4.6

%

8


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Capital Equipment

AXH Air Coolers (3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

10/31/2029

$

( 62

)

AXH Air Coolers (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

10/31/2029

$

( 47

)

AXH Air Coolers (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.50 %

11.81

%

10/31/2029

$

11,690

11,587

11,690

AXH Air Coolers (14)(19)(25)

Preferred Equity

3,417

3,417

5,770

DiversiTech (17)

First Lien Senior Secured Loan

SOFR

4.01 %

8.62

%

12/22/2028

$

1

1

1

East BCC Coinvest II, LLC (14)(19)(25)

Equity Interest

1,419

1,419

463

Ergotron Acquisition LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.85 %

10.70

%

7/6/2028

$

12,005

11,834

12,005

FCG Acquisitions, Inc. (14)(19)(25)

Preferred Equity

4

Jonathan Acquisition Company (18)(19)

Second Lien Senior Secured Loan

SOFR

9.10 %

13.79

%

12/22/2027

$

8,000

7,883

8,000

TCFIII Owl Finance, LLC (19)(26)

Subordinated Debt

12.00 % PIK

12.00

%

1/30/2027

$

5,985

5,948

5,985

Capital Equipment Total

$

41,980

$

43,914

3.8

%

Chemicals, Plastics & Rubber

AP Plastics Group, LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

4.85 %

10.05

%

8/10/2028

$

7,159

7,003

7,159

Duraco (3)(19)(32)

First Lien Senior Secured Loan - Revolver

SOFR

6.50 %

11.16

%

6/6/2029

$

597

569

577

Duraco (19)(29)(32)

First Lien Senior Secured Loan

SOFR

6.50 %

11.49

%

6/6/2029

$

15,975

15,742

15,815

V Global Holdings LLC (16)(19)

First Lien Senior Secured Loan

EURIBOR

5.75 %

9.29

%

12/22/2027

98

102

103

V Global Holdings LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.90 %

10.97

%

12/22/2027

$

5,759

5,691

5,485

V Global Holdings LLC (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.85 %

10.81

%

12/22/2027

$

7,395

7,336

6,934

Chemicals, Plastics & Rubber Total

$

36,443

$

36,073

3.1

%

Construction & Building

Chase Industries, Inc. (15)(19)(26)

First Lien Senior Secured Loan

SOFR

5.65 % ( 1.50 % PIK)

11.75

%

5/12/2025

$

23,775

23,180

22,587

Chase Industries, Inc. (15)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.40 % ( 1.25 % PIK)

10.25

%

5/12/2025

$

2,326

2,265

2,210

Chase Industries, Inc. (3)(15)(19)(26)

First Lien Senior Secured Loan - Revolver

SOFR

5.65 % ( 1.50 % PIK)

11.75

%

5/12/2025

$

979

877

893

Elk Parent Holdings, LP (14)(19)(25)

Equity Interest

1

12

1,669

Elk Parent Holdings, LP (14)(19)(25)

Preferred Equity

120

1,202

1,775

Service Master (15)(19)(26)

First Lien Senior Secured Loan

SOFR

5.86 % ( 1.00 % PIK)

11.71

%

8/16/2027

$

6,565

6,512

6,565

Service Master (14)(19)(25)

Equity Interest

301

Service Master (14)(19)(25)

Equity Interest

169

222

Service Master (18)(19)(26)

First Lien Senior Secured Loan

SOFR

6.01 % ( 1.00 % PIK)

12.11

%

8/16/2027

$

919

910

919

Service Master (18)(19)(26)

First Lien Senior Secured Loan

SOFR

5.86 % ( 1.00 % PIK)

11.71

%

8/16/2027

$

3,167

3,167

3,167

Service Master (15)(19)(26)

First Lien Senior Secured Loan

SOFR

5.86 % ( 1.00 % PIK)

11.71

%

8/16/2027

$

7,589

7,518

7,589

Service Master (3)(18)(19)(26)

First Lien Senior Secured Loan - Revolver

SOFR

6.01 % ( 1.00 % PIK)

11.65

%

8/16/2027

$

9,490

9,392

9,490

Construction & Building Total

$

55,204

$

57,387

5.0

%

Consumer Goods: Durable

New Milani Group LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

10.20

%

6/6/2026

$

11,239

11,180

11,239

Stanton Carpet (15)(19)

Second Lien Senior Secured Loan

SOFR

9.15 %

14.47

%

3/31/2028

$

11,434

11,279

11,435

Tangent Technologies Acquisition, LLC (15)(19)

Second Lien Senior Secured Loan

SOFR

9.00 %

14.30

%

5/30/2028

$

8,915

8,794

8,915

TLC Holdco LP (14)(19)(25)

Equity Interest

1,281

1,221

1,036

TLC Purchaser, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.76 %

10.70

%

10/11/2027

$

21,942

21,573

21,942

TLC Purchaser, Inc. (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.76 %

10.71

%

10/11/2027

$

6,855

6,802

6,855

Consumer Goods: Durable Total

$

60,849

$

61,422

5.4

%

9


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Consumer Goods: Non-Durable

Evriholder (19)(29)(32)

First Lien Senior Secured Loan

SOFR

6.85 %

11.70

%

1/24/2028

$

6,094

6,042

6,064

Fineline Technologies, Inc. (14)(19)(25)

Equity Interest

939

939

1,316

FL Hawk Intermediate Holdings, Inc. (15)(19)

Second Lien Senior Secured Loan

SOFR

9.01 %

13.62

%

8/19/2028

$

12,613

12,377

12,613

RoC Skincare (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.00 %

11.13

%

2/21/2031

$

18,141

17,891

18,141

RoC Skincare (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

2/21/2030

$

( 26

)

Solaray, LLC (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.60 %

11.53

%

12/15/2025

$

13,172

13,169

12,810

Solaray, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.60 %

11.53

%

12/15/2025

$

28,600

28,600

27,814

Solaray, LLC (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.60 %

10.53

%

12/15/2025

$

10,635

10,623

10,635

WU Holdco, Inc. (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.00 %

9.60

%

3/26/2027

$

1,666

1,649

1,666

WU Holdco, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.15 %

9.60

%

3/26/2027

$

36,995

36,780

36,995

WU Holdco, Inc. (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.00 %

9.64

%

3/26/2027

$

1,610

1,605

1,610

Consumer Goods: Non-Durable Total

$

129,649

$

129,664

11.3

%

Consumer Goods: Wholesale

WSP (15)(19)(26)

First Lien Senior Secured Loan

SOFR

1.15 % ( 4.00 % PIK)

10.40

%

4/27/2028

$

3,135

3,126

2,524

WSP (7)(14)(19)(26)

First Lien Senior Secured Loan

8.00 % PIK

8.00

%

4/27/2028

$

2,003

1,995

626

WSP (14)(19)(25)

Equity Interest

12

6

WSP (14)(19)(25)

Preferred Equity

216

WSP (14)(19)(25)

Equity Interest

2,898

2,898

WSP (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

4/27/2027

$

( 2

)

( 38

)

Consumer Goods: Wholesale Total

$

8,245

$

3,118

0.3

%

Containers, Packaging & Glass

ASP-r-pac Acquisition Co LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

6.26 %

11.52

%

12/29/2027

$

5,799

5,674

5,755

ASP-r-pac Acquisition Co LLC (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.11 %

10.96

%

12/29/2027

$

2,019

1,972

1,993

Containers, Packaging & Glass Total

$

7,646

$

7,748

0.7

%

Energy: Electricity

WCI Gigawatt Purchaser (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.01 %

11.13

%

11/19/2027

$

1,416

1,397

1,416

WCI Gigawatt Purchaser (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.86 %

10.71

%

11/19/2027

$

1,365

1,327

1,365

Energy: Electricity Total

$

2,724

$

2,781

0.2

%

10


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Environmental Industries

Reconomy (6)(18)(19)

First Lien Senior Secured Loan

SONIA

6.50 %

11.45

%

7/12/2029

£

68

83

91

Reconomy (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25 %

9.60

%

7/12/2029

27

28

30

Reconomy (3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

7/12/2029

£

( 80

)

Titan Cloud Software, Inc (14)(19)(25)

Equity Interest

3,532

3,532

4,582

Titan Cloud Software, Inc (18)(19)(26)

First Lien Senior Secured Loan

SOFR

2.00 % ( 4.60 % PIK)

11.91

%

9/7/2029

$

26,342

26,150

26,342

Titan Cloud Software, Inc (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.85 %

10.56

%

9/7/2028

$

857

820

857

Titan Cloud Software, Inc (18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

2.00 % ( 4.60 % PIK)

11.54

%

9/7/2029

$

11,822

11,742

11,822

Environmental Industries Total

$

42,275

$

43,724

3.8

%

FIRE: Finance

Allworth Financial Group, L.P. (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.00 %

9.85

%

12/23/2027

$

859

850

859

Allworth Financial Group, L.P. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.00 %

9.85

%

12/23/2027

$

1,478

1,467

1,478

Allworth Financial Group, L.P. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

12/23/2027

$

( 7

)

Choreo (15)(19)

First Lien Senior Secured Loan

SOFR

5.00 %

9.85

%

2/18/2028

$

2,488

2,488

2,488

Choreo (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

2/18/2028

$

Congress Wealth (3)(18)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

6/30/2029

$

Congress Wealth (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.60 %

10.20

%

6/30/2029

$

317

315

317

Congress Wealth (3)(18)(19)

First Lien Senior Secured Loan - Revolver

6/30/2029

$

Congress Wealth (14)(19)(25)

Equity Interest

16

323

433

Insigneo Financial Group LLC (14)(19)(25)

Equity Interest

2,488

2,504

4,020

Insigneo Financial Group LLC (15)(19)

First Lien Senior Secured Loan

SOFR

6.60 %

11.93

%

8/1/2028

$

267

261

267

Parmenion (6)(18)(19)

First Lien Senior Secured Loan

SONIA

5.50 %

10.70

%

5/11/2029

£

295

369

396

TA/Weg Holdings (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.52

%

10/2/2028

$

9,232

9,232

9,232

TA/Weg Holdings (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.52

%

10/2/2028

$

2,331

2,326

2,331

Wealth Enhancement Group (WEG) (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.09

%

10/2/2028

$

3,397

3,300

3,397

Wealth Enhancement Group (WEG) (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

10/2/2028

$

( 10

)

FIRE: Finance Total

$

23,418

$

25,218

2.2

%

11


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

FIRE: Insurance

Margaux Acquisition Inc. (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.65 %

10.98

%

12/19/2025

$

11,951

11,938

11,951

Margaux Acquisition Inc. (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.60 %

10.80

%

12/19/2025

$

1,915

1,913

1,915

Margaux UK Finance Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

SONIA

5.50 %

10.57

%

12/19/2025

£

274

367

367

McLarens Acquisition Inc. (3)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.65 %

10.31

%

12/16/2025

$

549

545

549

MRHT (3)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

EURIBOR

5.75 %

9.24

%

2/1/2029

3,956

4,229

4,410

MRHT (6)(15)(19)

First Lien Senior Secured Loan

EURIBOR

6.50 %

10.08

%

2/1/2029

956

1,019

1,066

PCF (3)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.35

%

11/1/2028

$

6,815

6,783

6,815

Simplicity (3)(18)(19)

First Lien Senior Secured Loan - Revolver

12/2/2026

$

Simplicity (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.00 %

10.60

%

12/2/2026

$

475

471

475

Simplicity (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.40 %

11.00

%

12/2/2026

$

12,066

11,828

12,066

Simplicity (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

12/2/2026

$

( 26

)

FIRE: Insurance Total

$

39,067

$

39,614

3.5

%

Healthcare & Pharmaceuticals

AEG Vision (3)(18)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.90 %

10.50

%

3/27/2026

$

11,498

11,299

11,498

AEG Vision (3)(5)(18)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

3/27/2026

$

( 215

)

AEG Vision (18)(19)(29)

First Lien Senior Secured Loan

SOFR

5.90 %

10.50

%

3/27/2026

$

2,064

2,038

2,064

Apollo Intelligence (14)(19)(25)

Equity Interest

33

3,293

3,402

Apollo Intelligence (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

10.56

%

5/31/2028

$

15,116

15,177

15,116

Apollo Intelligence (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.75 %

10.41

%

5/31/2028

$

4,277

4,233

4,277

Apollo Intelligence (3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

5/31/2028

$

( 60

)

Beacon Specialized Living (3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

3/25/2028

$

( 122

)

Beacon Specialized Living (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

10.35

%

3/25/2028

$

8,632

8,548

8,632

Beacon Specialized Living (3)(18)(19)

First Lien Senior Secured Loan - Revolver

3/25/2028

$

CB Titan Holdings, Inc. (14)(19)(25)

Preferred Equity

1,953

1,953

Datix Bidco Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

10/28/2024

£

EHE Health (3)(18)(19)

First Lien Senior Secured Loan - Revolver

-

8/7/2030

$

EHE Health (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

10.63

%

8/7/2030

$

35,646

35,293

35,290

EHE Health (14)(19)(25)

Equity Interest

2,178

2,178

2,178

12


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Great Expressions Dental Center PC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

1.25 % ( 3.00 % PIK)

8.90

%

9/30/2026

$

9,743

9,752

8,574

HealthDrive (15)(19)

First Lien Senior Secured Loan

SOFR

6.10 %

10.95

%

8/20/2029

$

1,913

1,913

1,913

HealthDrive (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.10 %

10.95

%

8/20/2029

$

271

271

271

HealthDrive (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.10 %

10.95

%

8/20/2029

$

609

601

609

HealthDrive (3)(18)(19)

First Lien Senior Secured Loan - Revolver

8/20/2029

$

HealthDrive (14)(19)(25)

Preferred Equity

18

1,822

1,913

Mertus 522. GmbH (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

10.77

%

5/28/2026

226

252

244

Mertus 522. GmbH (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

10.16

%

5/28/2026

133

145

143

Nafinco (3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

8/29/2031

( 26

)

Nafinco (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

5.25 %

8.72

%

8/29/2031

8,052

8,698

8,774

Nafinco (3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

5/30/2031

( 4

)

Pharmacy Partners (19)(32)

First Lien Senior Secured Loan

SOFR

6.50 %

11.56

%

2/28/2029

$

1,694

1,675

1,694

Pharmacy Partners (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

2/28/2029

$

( 61

)

Premier Imaging, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

8.26 %

12.87

%

1/2/2025

$

7,711

7,701

7,017

Premier Imaging, LLC (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.26 %

11.61

%

1/2/2025

$

2,098

2,096

1,909

SunMed Group Holdings, LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.60 %

10.85

%

6/16/2028

$

8,540

8,444

8,540

Sunmed Group Holdings, LLC (16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.60 %

10.46

%

6/16/2027

$

1,229

1,222

1,229

Healthcare & Pharmaceuticals Total

$

128,116

$

125,287

10.9

%

High Tech Industries

Access (6)(18)(19)

First Lien Senior Secured Loan

SONIA

5.25 %

10.20

%

6/28/2029

£

80

99

107

AMI US Holdings Inc. (6)(15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.35 %

10.20

%

10/1/2026

$

3,542

3,534

3,542

Applitools (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

5/25/2028

$

( 21

)

( 51

)

Applitools (6)(16)(19)(26)

First Lien Senior Secured Loan

SOFR

6.25 % PIK

10.85

%

5/25/2029

$

18,964

18,854

18,679

Appriss Holdings, Inc. (14)(19)(25)

Equity Interest

2,136

1,606

1,743

Appriss Holdings, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

7.25 %

12.08

%

5/6/2027

$

11,081

10,966

11,081

Appriss Holdings, Inc. (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.25 %

12.09

%

5/6/2027

$

38

31

38

AQ Software Corporation (14)(19)(25)

Preferred Equity

1

1,107

1,084

AQ Software Corporation (14)(19)(25)

Preferred Equity

2

1,844

1,806

AQ Software Corporation (14)(19)(25)

Preferred Equity

1

507

496

CB Nike IntermediateCo Ltd (3)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

10/31/2025

$

Cloud Technology Solutions (CTS) (6)(14)(19)(25)

Preferred Equity

4,408

5,360

5,694

Eagle Rock Capital Corporation (14)(19)(25)

Preferred Equity

3,345

3,345

5,470

Element Buyer, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.85 %

10.70

%

7/19/2026

$

19,768

19,789

19,768

Element Buyer, Inc. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

7/19/2026

$

( 14

)

Eleven Software (14)(19)(25)

Preferred Equity

109

109

127

Eleven Software (14)(19)(25)

Preferred Equity

896

896

1,046

Eleven Software (18)(19)

First Lien Senior Secured Loan

SOFR

8.25 %

12.85

%

4/25/2027

$

7,439

7,394

7,439

Eleven Software (18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

8.10 %

13.20

%

9/25/2026

$

1,488

1,481

1,488

E-Tech Group (3)(15)(19)

First Lien Senior Secured Loan - Revolver

P

4.50 %

12.50

%

4/9/2030

$

130

118

117

FNZ UK Finco Limited (6)(18)(19)

First Lien Senior Secured Loan

BBSW

5.80 %

10.37

%

9/30/2026

AUD

81

56

56

Gluware (14)(19)(25)

Warrants

4,307

478

Gluware (7)(14)(19)(26)

First Lien Senior Secured Loan

4.50 % ( 10.00 % PIK)

14.50

%

10/15/2025

$

21,978

21,078

17,251

Gluware (7)(14)(19)(26)

First Lien Senior Secured Loan

4.50 % ( 10.00 % PIK)

14.50

%

10/15/2025

$

5,972

5,720

4,688

LogRhythm (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

7/2/2029

$

( 12

)

( 25

)

NearMap (3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

12/9/2029

$

( 67

)

Revalize, Inc. (14)(19)(25)

Preferred Equity

1

1,431

1,416

Revalize, Inc. (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.90 %

11.15

%

4/15/2027

$

5,263

5,234

5,092

13


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Revalize, Inc. (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.90 %

11.15

%

4/15/2027

$

2,009

1,998

1,944

Revalize, Inc. (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.90 %

10.50

%

4/15/2027

$

737

731

693

SAM (19)(26)

First Lien Senior Secured Loan

12.75 % PIK

12.75

%

5/9/2028

$

35,936

35,739

35,936

SensorTower (14)(19)(25)

Equity Interest

156

2,400

2,997

SensorTower (19)(29)(31)

First Lien Senior Secured Loan

SOFR

7.50 %

12.44

%

3/15/2029

$

24,068

23,729

23,827

SensorTower (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

3/15/2029

$

( 14

)

( 11

)

SoftCo (6)(14)(19)(25)

Equity Interest

500

542

604

SoftCo (6)(15)(19)

First Lien Senior Secured Loan

EURIBOR

7.00 %

10.51

%

2/22/2031

2,000

2,145

2,230

Solifi (19)(25)(26)

Preferred Equity

14.50 % PIK

14.50

%

1

11,760

11,760

Superna Inc. (2)(3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

3/6/2028

$

( 15

)

( 39

)

Superna Inc. (2)(3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

3/6/2028

$

( 15

)

( 39

)

Superna Inc. (6)(14)(19)(25)

Equity Interest

1,463

1,463

1,580

Superna Inc. (6)(15)(19)

First Lien Senior Secured Loan

SOFR

6.50 %

11.44

%

3/6/2028

$

2,713

2,677

2,673

Utimaco (6)(14)(19)(25)

Equity Interest

2

2,223

1,979

Utimaco (6)(14)(19)(25)

Preferred Equity

2

2,223

1,979

Utimaco (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25 %

10.00

%

5/14/2029

92

98

101

Utimaco (6)(16)(19)

First Lien Senior Secured Loan

SOFR

6.68 %

11.99

%

5/14/2029

$

128

127

125

Utimaco (6)(16)(19)

First Lien Senior Secured Loan

SOFR

6.68 %

11.99

%

5/14/2029

$

262

260

257

Ventiv Holdco, Inc. (14)(19)(25)

Equity Interest

529

2,833

909

VPARK BIDCO AB (6)(18)(19)

First Lien Senior Secured Loan

CIBOR

4.00 %

7.32

%

3/10/2025

DKK

570

93

85

VPARK BIDCO AB (6)(18)(19)

First Lien Senior Secured Loan

NIBOR

4.00 %

8.64

%

3/10/2025

NOK

740

93

70

High Tech Industries Total

$

202,013

$

197,812

17.3

%

Hotel, Gaming & Leisure

Aimbridge Acquisition Co., Inc. (18)(19)

Second Lien Senior Secured Loan

SOFR

7.61 %

12.82

%

2/1/2027

$

14,193

14,020

13,767

Awayday (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

9/6/2031

$

Awayday (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

9/6/2030

$

( 35

)

( 35

)

Awayday (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

10.49

%

9/6/2031

$

60,745

60,144

60,137

City BBQ (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

9/4/2030

$

( 41

)

( 41

)

City BBQ (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.35 %

10.55

%

9/4/2030

$

38,225

37,898

37,891

City BBQ (14)(19)(25)

Preferred Equity

5

1,271

1,271

City BBQ (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

9/4/2030

$

Concert Golf Partners Holdco (16)(19)(29)

First Lien Senior Secured Loan

SOFR

4.75 %

9.63

%

4/1/2030

$

6,709

6,609

6,709

Concert Golf Partners Holdco LLC (16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.75 %

9.63

%

4/1/2030

$

4,137

4,062

4,137

Concert Golf Partners Holdco LLC (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

4/2/2029

$

( 29

)

Pyramid Global Hospitality (19)(24)(29)

First Lien Senior Secured Loan

SOFR

4.90 %

10.15

%

1/19/2028

$

9,850

9,667

9,850

Pyramid Global Hospitality (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

1/19/2028

$

( 60

)

Hotel, Gaming & Leisure Total

$

133,506

$

133,686

11.7

%

14


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Media: Advertising, Printing & Publishing

AdThrive (18)

First Lien Senior Secured Loan

SOFR

4.36 %

9.21

%

3/23/2028

$

4,974

4,893

4,956

Kpler (6)(15)(19)

First Lien Senior Secured Loan

SONIA

6.50 %

11.21

%

3/3/2030

£

100

120

134

Kpler (6)(15)(19)

First Lien Senior Secured Loan

EURIBOR

6.25 %

9.63

%

3/3/2030

100

106

111

Kpler (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25 %

9.63

%

3/3/2030

100

106

111

OGH Bidco Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.50 %

11.70

%

6/29/2029

£

2,217

2,606

2,496

OGH Bidco Limited (6)(18)(19)

First Lien Senior Secured Loan

SONIA

6.50 %

11.70

%

6/29/2029

£

139

164

176

TGI Sport Bidco Pty Ltd (6)(17)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.00 %

10.98

%

6/24/2029

£

6,769

8,605

9,072

TGI Sport Bidco Pty Ltd (6)(18)(19)

First Lien Senior Secured Loan

BBSY

7.00 %

11.35

%

4/30/2026

AUD

98

76

68

TGI Sport Bidco Pty Ltd (6)(18)(19)

First Lien Senior Secured Loan

SOFR

7.11 %

12.37

%

4/30/2026

AUD

4,187

2,866

2,866

Media: Advertising, Printing & Publishing Total

$

19,542

$

19,990

1.7

%

Media: Broadcasting & Subscription

Lightning Finco Limited (6)(16)(19)

First Lien Senior Secured Loan

SOFR

5.93 %

10.77

%

8/31/2028

$

1,443

1,436

1,443

Lightning Finco Limited (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

5.50 %

9.17

%

8/31/2028

1,300

1,427

1,450

Media: Broadcasting & Subscription Total

$

2,863

$

2,893

0.3

%

Media: Diversified & Production

Aptus 1724 Gmbh (6)(19)(21)(26)

First Lien Senior Secured Loan

SOFR

6.15 % ( 1.50 % PIK)

12.60

%

2/23/2028

$

5,023

5,023

4,521

Efficient Collaborative Retail Marketing Company, LLC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

7.76 % ( 1.50 % PIK)

13.87

%

12/31/2025

$

11,144

9,293

8,915

Efficient Collaborative Retail Marketing Company, LLC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

7.76 % ( 1.50 % PIK)

13.87

%

12/31/2025

$

17,173

14,227

13,738

Efficient Collaborative Retail Marketing Company, LLC (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.61 %

11.46

%

12/31/2025

$

961

961

961

Music Creation Group Bidco GmbH (6)(18)(19)(26)

First Lien Senior Secured Loan

SOFR

6.15 % ( 1.50 % PIK)

12.60

%

2/23/2028

$

4,092

4,027

3,683

Media: Diversified & Production Total

$

33,531

$

31,818

2.8

%

Retail

Galeria (6)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

15.00 % PIK

15.00

%

12/28/2029

8,638

9,255

9,437

Galeria (6)(14)(19)(25)

Equity Interest

101

22

23

New Look Vision Group (6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

CORRA

5.82 %

9.75

%

5/26/2028

CAD

28

27

21

New Look Vision Group (3)(6)(15)(19)

First Lien Senior Secured Loan - Revolver

CORRA

5.82 %

9.83

%

5/26/2026

CAD

313

220

214

New Look Vision Group (6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

CORRA

5.82 %

9.75

%

5/26/2028

CAD

54

44

40

New Look Vision Group (6)(18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.15 % ( 2.00 % PIK)

11.48

%

5/26/2028

$

386

386

382

Thrasio, LLC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

10.11 % (PIK)

15.54

%

6/18/2029

$

4,388

4,397

3,861

Thrasio, LLC (14)(19)(25)

Equity Interest

8

777

289

Thrasio, LLC (14)(19)(25)

Equity Interest

5,563

Thrasio, LLC (14)(19)(25)

Equity Interest

70

6,997

2,591

Thrasio, LLC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

10.11 % (PIK)

15.54

%

6/18/2029

$

1,430

1,430

1,430

Retail Total

$

23,555

$

18,288

1.6

%

15


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

Services: Business

ACAMS (14)(19)(25)

Equity Interest

3,337

3,337

2,473

Advanced Aircrew (3)(15)(19)

First Lien Senior Secured Loan - Revolver

P

5.50 %

13.50

%

7/26/2030

$

46

46

46

Advanced Aircrew (15)(19)

First Lien Senior Secured Loan

SOFR

6.50 %

11.35

%

7/26/2030

$

5,107

5,056

5,056

Advanced Aircrew (14)(19)(25)

Preferred Equity

592

592

592

Allbridge (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

6/5/2030

$

( 27

)

Allbridge (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

10.35

%

6/5/2030

$

14,176

14,072

14,176

Allbridge (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

6/5/2030

$

Avalon Acquiror, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.25 %

10.85

%

3/10/2028

$

14,317

14,220

14,174

Avalon Acquiror, Inc. (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.25 %

11.37

%

3/10/2028

$

5,882

5,773

5,798

Beneficium (2)(3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

6/28/2031

£

( 48

)

Beneficium (6)(15)(19)

First Lien Senior Secured Loan

SONIA

5.50 %

10.45

%

6/28/2031

£

7,497

9,386

9,997

Brook Bidco (6)(14)(19)(25)

Preferred Equity

5,675

7,784

9,188

Brook Bidco (6)(18)(19)(26)

First Lien Senior Secured Loan

SONIA

4.00 % ( 3.50 % PIK)

12.57

%

7/10/2028

£

841

1,134

1,128

Caribou Bidco Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

2/1/2029

£

Chamber Bidco Limited (6)(18)(19)

First Lien Senior Secured Loan

SOFR

6.00 %

11.32

%

6/2/2028

$

213

212

213

Cube (3)(6)(18)(19)

First Lien Senior Secured Loan

2/20/2025

$

Cube (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

5/20/2031

$

Cube (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

5/20/2031

$

Darcy Partners (14)(19)(25)

Equity Interest

359

360

457

Darcy Partners (18)(19)

First Lien Senior Secured Loan

SOFR

7.75 %

13.08

%

6/1/2028

$

1,499

1,488

1,499

Darcy Partners (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.50 %

12.56

%

6/1/2028

$

52

52

52

Datix Bidco Limited (2)(3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

4/30/2031

$

( 27

)

( 43

)

Datix Bidco Limited (2)(3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

10/30/2030

$

( 43

)

( 34

)

Datix Bidco Limited (17)(19)

First Lien Senior Secured Loan

SOFR

5.50 %

10.81

%

4/30/2031

$

22,626

22,202

22,287

Discovery Senior Living (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.75 %

10.76

%

3/18/2030

$

2,830

2,800

2,830

Discovery Senior Living (3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

3/18/2030

$

( 65

)

Discovery Senior Living (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

3/18/2030

$

( 26

)

DSN (Dealer Services Network) (15)(19)

First Lien Senior Secured Loan

SOFR

5.75 %

10.77

%

2/9/2027

$

8,750

8,666

8,663

DTIQ (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

9/30/2029

$

( 40

)

( 40

)

DTIQ (3)(18)(19)

First Lien Senior Secured Loan - Revolver

9/30/2029

$

DTIQ (13)(19)(29)

First Lien Senior Secured Loan

SOFR

7.50 %

12.35

%

9/30/2029

$

33,777

33,186

33,186

DTIQ (14)(19)(25)

Equity Interest

3,995

Elevator Holdco Inc. (14)(19)(25)

Equity Interest

2

2,448

4,141

iBanFirst (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.71

%

7/13/2028

3,544

3,681

3,951

16


Portfolio Company

Investment Type

Index (1)

Spread

Interest Rate

Maturity Date

Principal/Shares (9)

Cost

Market Value

% of NAV (4)

Non-Controlled/Non-Affiliate Investments

iBanFirst (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.71

%

7/13/2028

96

101

107

iBanFirst (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.71

%

7/13/2028

3,726

3,822

4,153

iBanFirst Facility (6)(14)(19)(25)

Preferred Equity

7,112

8,137

22,742

ImageTrend (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

7.75 %

13.00

%

1/31/2029

$

17,000

16,793

17,000

ImageTrend (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.75 %

12.85

%

1/31/2029

$

1,000

957

1,000

Learning Pool (6)(16)(19)(26)

First Lien Senior Secured Loan

SOFR

4.00 % ( 3.50 % PIK)

12.85

%

7/10/2028

£

337

443

445

Learning Pool (6)(16)(19)(26)

First Lien Senior Secured Loan

SOFR

4.00 % ( 3.50 % PIK)

12.85

%

7/10/2028

£

120

159

159

masLabor (14)(19)(25)

Equity Interest

173

173

450

masLabor (18)(19)

First Lien Senior Secured Loan

SOFR

7.50 %

12.82

%

7/1/2027

$

8,341

8,197

8,341

Opus2 (6)(14)(19)(25)

Equity Interest

2,272

2,900

3,487

Opus2 (6)(18)(19)

First Lien Senior Secured Loan

SONIA

5.53 %

10.79

%

5/5/2028

£

123

168

164

Parcel2Go (2)(3)(6)(7)(14)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.00 %

11.20

%

7/17/2028

£

40

50

( 14

)

Parcel2Go (6)(14)(19)(25)

Equity Interest

3,605

4,237

Parcel2Go (6)(7)(14)(18)(19)

First Lien Senior Secured Loan

SONIA

6.00 %

11.20

%

7/17/2028

£

126

170

42

Rydoo (6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

EURIBOR

6.75 %

9.95

%

9/12/2031

1,556

1,721

1,717

Rydoo (6)(14)(19)(25)

Preferred Equity

200

224

222

Rydoo (6)(14)(19)(25)

Equity Interest

466

520

519

Smartronix (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.10 %

10.35

%

11/23/2028

$

12,412

12,253

12,412

Smartronix (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

11/23/2027

$

( 75

)

Smartronix (15)(19)

First Lien Senior Secured Loan

SOFR

6.10 %

10.35

%

11/23/2028

$

3,669

3,591

3,669

Smartronix (15)(19)

First Lien Senior Secured Loan

SOFR

6.10 %

10.35

%

11/23/2028

$

2,426

2,374

2,426

Spring Finco BV (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

7/15/2029

NOK

TEI Holdings Inc. (17)(29)

First Lien Senior Secured Loan

SOFR

4.75 %

9.35

%

4/9/2031

$

2,647

2,634

2,658

TES Global (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

1/27/2029

£

Webcentral (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

EURIBOR

6.25 %

9.41

%

12/18/2030

336

344

355

Services: Business Total

$

206,160

$

221,796

19.3

%

Services: Consumer

MZR Aggregator (14)(19)(25)

Equity Interest

12

6

MZR Aggregator (14)(19)(25)

Equity Interest

1

798

428

MZR Buyer, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.85 %

11.70

%

12/22/2026

$

11,811

11,704

11,456

MZR Buyer, LLC (15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.00 %

11.31

%

12/22/2026

$

5,210

5,171

5,053

Spotless Brands (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.56

%

7/25/2028

$

930

844

842

Surrey Bidco Limited (6)(18)(19)(26)

First Lien Senior Secured Loan

SONIA

6.28 % PIK

11.23

%

5/11/2026

£

68

78

70

Services: Consumer Total

$

18,607

$

17,855

1.6

%

17


Portfolio Company

Investment Type

Index (1)

Spread

Interest
Rate

Maturity
Date

Principal/
Shares
(9)

Cost

Market
Value

% of
NAV
(4)

Non-Controlled/Non-Affiliate Investments

Telecommunications

Meriplex Communications, Ltd. (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.10 %

9.95

%

7/17/2028

$

12,075

11,905

11,894

Meriplex Communications, Ltd. (16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.10 %

9.95

%

7/17/2028

$

7,193

7,125

7,085

Meriplex Communications, Ltd. (16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.10 %

9.95

%

7/17/2028

$

2,824

2,788

2,782

Taoglas (14)(19)(25)

Equity Interest

20

20

18

Taoglas (14)(19)(25)

Equity Interest

2,259

2,259

2,037

Taoglas (15)(19)(29)

First Lien Senior Secured Loan

SOFR

7.25 %

11.85

%

2/28/2029

$

10,004

9,918

9,804

Taoglas (2)(3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

2/28/2029

$

( 73

)

Taoglas (3)(6)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.25 %

11.91

%

2/28/2029

$

1,211

1,211

1,184

Taoglas (6)(15)(19)

First Lien Senior Secured Loan

SOFR

7.25 %

11.85

%

2/28/2029

$

450

439

441

Telecommunications Total

$

35,665

$

35,172

3.1

%

Transportation: Cargo

A&R Logistics, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.90 %

12.22

%

8/3/2026

$

2,355

2,348

2,261

A&R Logistics, Inc. (19)(31)

First Lien Senior Secured Loan

SOFR

6.90 %

12.22

%

5/24/2028

$

2,640

2,635

2,534

A&R Logistics, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.90 %

12.22

%

8/3/2026

$

5,806

5,793

5,574

A&R Logistics, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.90 %

12.22

%

8/3/2026

$

12,876

12,838

12,361

A&R Logistics, Inc. (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.85 %

11.97

%

8/3/2026

$

4,638

4,572

4,395

ARL Holdings, LLC (14)(19)(25)

Equity Interest

445

411

ARL Holdings, LLC (14)(19)(25)

Equity Interest

9

9

Grammer Investment Holdings LLC (14)(19)(25)

Warrants

122

Grammer Investment Holdings LLC (14)(19)(25)

Equity Interest

1,011

1,019

360

Grammer Investment Holdings LLC (19)(25)(26)

Preferred Equity

10.00 % PIK

10.00

%

11

1,095

1,095

Gulf Winds International (15)(19)

First Lien Senior Secured Loan

SOFR

7.60 %

12.45

%

12/16/2028

$

6,079

6,022

5,958

Gulf Winds International (15)(19)(29)

First Lien Senior Secured Loan

SOFR

7.60 %

12.45

%

12/16/2028

$

12,036

11,754

11,795

Gulf Winds International (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.60 %

12.45

%

12/16/2028

$

2,381

2,270

2,276

REP Coinvest III- A Omni, L.P. (14)(19)(25)

Equity Interest

1,377

1,377

1,047

RoadOne (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.25 %

11.10

%

12/29/2028

$

12,036

11,749

12,036

RoadOne (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.25 %

11.10

%

12/29/2028

$

267

174

267

RoadOne (18)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.25 %

11.10

%

12/29/2028

$

941

926

941

Transportation: Cargo Total

$

65,026

$

63,311

5.5

%

18


Portfolio Company

Investment Type

Index (1)

Spread

Interest
Rate

Maturity
Date

Principal/
Shares
(9)

Cost

Market
Value

% of
NAV
(4)

Non-Controlled/Non-Affiliate Investments

Transportation: Consumer

PrimeFlight Acquisition LLC (15)(19)

First Lien Senior Secured Loan

SOFR

5.25 %

9.85

%

5/1/2029

$

4,065

4,006

4,065

PrimeFlight Acquisition LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

10.58

%

5/1/2029

$

12,097

11,896

12,097

PrimeFlight Acquisition LLC (15)(19)

First Lien Senior Secured Loan

SOFR

5.50 %

10.10

%

5/1/2029

$

837

837

837

Transportation: Consumer Total

$

16,739

$

16,999

1.5

%

Utilities: Water

Vessco Water (3)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.25 %

9.50

%

7/24/2031

$

489

473

473

Vessco Water (2)(3)(5)(16)(19)

First Lien Senior Secured Loan - Revolver

7/24/2031

$

( 11

)

( 11

)

Vessco Water (16)(19)

First Lien Senior Secured Loan

SOFR

5.25 %

10.10

%

7/24/2031

$

13,687

13,552

13,551

Utilities: Water Total

$

14,014

$

14,013

1.2

%

Wholesale

Abracon Group Holding, LLC. (16)(19)(29)

First Lien Senior Secured Loan

SOFR

6.15 %

11.44

%

7/6/2028

$

14,105

14,101

11,284

Abracon Group Holding, LLC. (16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.15 %

11.43

%

7/6/2028

$

2,018

1,993

1,615

Hultec (14)(19)(25)

Equity Interest

1

651

730

SureWerx (3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

12/28/2029

$

( 23

)

SureWerx (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.25 %

9.85

%

12/28/2029

$

671

651

671

Wholesale Total

$

17,373

$

14,300

1.2

%

Non-Controlled/Non-Affiliate Investments Total

$

1,759,021

$

1,754,245

153.0

%

19


Portfolio Company

Investment Type

Index (1)

Spread

Interest
Rate

Maturity
Date

Principal/
Shares
(9)

Cost

Market
Value

% of
NAV
(4)

Non-Controlled/Affiliate Investments

Aerospace & Defense

Ansett Aviation Training (6)(10)(14)(19)(25)

Equity Interest

5,119

3,842

9,667

Ansett Aviation Training (6)(10)(18)(19)

First Lien Senior Secured Loan

BBSY

4.69 %

9.19

%

9/24/2031

AUD

7,072

5,308

4,907

Aerospace & Defense Total

$

9,150

$

14,574

1.3

%

Beverage, Food & Tobacco

ADT Pizza, LLC (10)(14)(19)(25)

Equity Interest

6,720

6,732

9,398

Beverage, Food & Tobacco Total

$

6,732

$

9,398

0.8

%

Consumer Goods: Durable

Walker Edison (10)(14)(19)(25)

Equity Interest

60

5,592

Walker Edison (7)(10)(14)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.90 % PIK

12.20

%

3/31/2027

$

6,628

6,433

2,983

Walker Edison (10)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.40 %

11.70

%

3/31/2027

$

3,182

3,182

3,182

Walker Edison (7)(10)(14)(15)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.90 % PIK

11.50

%

3/31/2027

$

900

873

405

Walker Edison (3)(7)(10)(14)(15)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.90 % PIK

11.71

%

3/31/2027

$

1,904

1,861

769

Consumer Goods: Durable Total

$

17,941

$

7,339

0.6

%

Energy: Oil & Gas

Blackbrush Oil & Gas, L.P. (10)(14)(19)(25)

Equity Interest

1,198

1

Energy: Oil & Gas Total

$

1

$

0.0

%

Telecommunications

DC Blox (10)(19)(25)(26)

Preferred Equity

8.00 % PIK

8.00

%

7

5,435

DC Blox (10)(19)(25)(26)

Preferred Equity

8.00 % PIK

8.00

%

38

37,842

37,842

DC Blox (10)(19)(25)(26)

Preferred Equity

8.00 % PIK

8.00

%

5

3,851

5,447

DC Blox (10)(14)(19)(25)

Equity Interest

51

Telecommunications Total

$

41,693

$

48,724

4.3

%

Non-Controlled/Affiliate Investments Total

$

75,517

$

80,035

7.0

%

20


Portfolio Company

Investment Type

Index (1)

Spread

Interest
Rate

Maturity
Date

Principal/
Shares
(9)

Cost

Market
Value

% of
NAV
(4)

Controlled Affiliate Investments

Aerospace & Defense

BCC Jetstream Holdings Aviation (Off I), LLC (6)(10)(11)(14)(19)(20)(25)

Equity Interest

11,863

11,862

10,893

BCC Jetstream Holdings Aviation (On II), LLC (10)(11)(14)(19)(20)(25)

Equity Interest

1,116

1,116

BCC Jetstream Holdings Aviation (On II), LLC (10)(11)(14)(19)(20)

First Lien Senior Secured Loan

$

8,013

8,013

6,622

Gale Aviation (Offshore) Co (6)(10)(11)(19)(25)

Equity Interest

77,395

77,394

75,001

Aerospace & Defense Total

$

98,385

$

92,516

8.1

%

FIRE: Finance

Legacy Corporate Lending HoldCo, LLC (10)(11)(14)(19)(25)

Equity Interest

1

900

900

Legacy Corporate Lending HoldCo, LLC (10)(11)(14)(19)(25)

Preferred Equity

37

36,900

36,900

Legacy Corporate Lending HoldCo, LLC (10)(11)(14)(19)(25)

Equity Interest

1

FIRE: Finance Total

$

37,800

$

37,800

3.3

%

Investment Vehicles

Bain Capital Senior Loan Program, LLC (6)(10)(11)(18)(19)

Subordinated Note Investment Vehicles

10.00

%

12/27/2033

$

146,495

146,495

146,495

Bain Capital Senior Loan Program, LLC (6)(10)(11)(25)

Preferred Equity Interest Investment Vehicles

10

10

10

Bain Capital Senior Loan Program, LLC (6)(10)(11)(25)

Equity Interest Investment Vehicles

10

5,594

( 1,839

)

International Senior Loan Program, LLC (6)(10)(11)(18)(19)

Subordinated Note Investment Vehicles

SOFR

8.00 %

13.33

%

2/22/2028

$

190,729

190,729

190,729

International Senior Loan Program, LLC (6)(10)(11)(25)

Equity Interest Investment Vehicles

63,587

60,615

56,476

Investment Vehicles Total

$

403,443

$

391,871

34.1

%

Transportation: Cargo

Lightning Holdings B, LLC (6)(10)(11)(14)(19)(25)

Equity Interest

38,536

38,847

51,483

Transportation: Cargo Total

$

38,847

$

51,483

4.5

%

Controlled Affiliate Investments Total

$

578,475

$

573,670

50.0

%

Investments Total

$

2,413,013

$

2,407,950

210.0

%

Cash Equivalents

Goldman Sachs Financial Square Government Fund Institutional Share Class

Cash Equivalents

4.85

%

$

4,501

4,501

4,501

Goldman Sachs US Treasury Liquid Reserves Fund (30)

Cash Equivalents

4.87

%

$

23,587

23,587

23,587

Cash Equivalents Total

$

28,088

$

28,088

2.5

%

Investments and Cash Equivalents Total

$

2,441,101

$

2,436,038

212.5

%

21


Forward Foreign Currency Exchange Contracts

Currency Purchased

Currency Sold

Counterparty

Settlement
Date

Unrealized
Appreciation
(8)

US DOLLARS 308

CANADIAN DOLLAR 390

Bank of New York Mellon

12/13/2024

$

19

US DOLLARS 1,533

AUSTRALIAN DOLLARS 2,240

Bank of New York Mellon

12/30/2024

( 22

)

US DOLLARS 2,976

NEW ZEALAND DOLLAR 4,750

Bank of New York Mellon

12/30/2024

( 46

)

US DOLLARS 19,948

POUND STERLING 14,990

Bank of New York Mellon

1/9/2025

147

US DOLLARS 10,482

POUND STERLING 8,110

Wells Fargo

1/9/2025

389

US DOLLARS 27,735

POUND STERLING 23,100

Citibank

1/9/2025

( 3,232

)

US DOLLARS 129

EURO 0

Bank of New York Mellon

1/9/2025

129

US DOLLARS 71

NORWEGIAN KRONE 740

Citibank

1/24/2025

-

US DOLLARS 2,743

AUSTRALIAN DOLLARS 4,180

Bank of New York Mellon

2/12/2025

( 158

)

US DOLLARS 9,831

POUND STERLING 7,900

Bank of New York Mellon

4/23/2025

( 744

)

US DOLLARS 6,096

EURO 5,600

Bank of New York Mellon

5/15/2025

( 207

)

US DOLLARS 9,158

AUSTRALIAN DOLLARS 13,980

Bank of New York Mellon

5/27/2025

( 534

)

US DOLLARS 192

CANADIAN DOLLAR 260

Bank of New York Mellon

5/27/2025

( 1

)

US DOLLARS 32,539

EURO 29,350

Bank of New York Mellon

5/27/2025

( 513

)

US DOLLARS 2,949

EURO 2,670

Wells Fargo

5/27/2025

( 58

)

US DOLLARS 9

POUND STERLING 0

Bank of New York Mellon

6/10/2025

9

US DOLLARS 358

EURO 310

Bank of New York Mellon

6/10/2025

9

US DOLLARS 4,792

EURO 4,380

Bank of New York Mellon

6/12/2025

( 143

)

US DOLLARS 5,908

EURO 5,480

Bank of New York Mellon

6/13/2025

( 267

)

US DOLLARS 18,073

POUND STERLING 14,250

Bank of New York Mellon

6/23/2025

( 987

)

US DOLLARS 8,321

POUND STERLING 6,450

Wells Fargo

7/23/2025

( 302

)

US DOLLARS 2,762

AUSTRALIAN DOLLARS 3,739

Bank of New York Mellon

7/28/2025

172

US DOLLARS 5,159

EURO 4,680

Wells Fargo

7/28/2025

( 123

)

US DOLLARS 1,029

POUND STERLING 800

Wells Fargo

7/29/2025

( 41

)

US DOLLARS 8,880

EURO 7,870

Wells Fargo

8/22/2025

( 11

)

US DOLLARS 2,442

EURO 2,190

Wells Fargo

9/10/2025

( 34

)

$

( 6,549

)

(1)
The investments bear interest at a rate that may be determined by reference to the Euro Interbank Offered Rate (“EURIBOR” or “E”), the Norwegian Interbank Offered Rate (“NIBOR” or “N”), the Copenhagen Interbank Offered Rate (“CIBOR” or “C”), the Canadian Overnight Repo Rate Average ("CORRA"), the Bank Bill Swap Rate (“BBSW”), the Bank Bill Swap Bid Rate (“BBSY”), the Prime Rate (“Prime” or “P”), the Sterling Overnight Index Average (“SONIA”) or Secured Overnight Financing rate ("SOFR") which reset daily, monthly, quarterly or semiannually. Investments or a portion thereof may bear Payment-in-Kind (“PIK”). For each, the Company has provided the PIK or the spread over EURIBOR, NIBOR, CIBOR, CORRA, BBSW, BBSY, SONIA, SOFR, or Prime and the current weighted average interest rate in effect at September 30, 2024. Certain investments are subject to a EURIBOR, NIBOR, CIBOR, CORRA, BBSW, BBSY, SONIA, SOFR or Prime interest rate floor.
(2)
The negative fair value is the result of the capitalized discount on the loan or the unfunded commitment being valued below par.
(3)
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The investment may be subject to an unused/letter of credit facility fee.
(4)
Percentages are based on the Company’s net assets of $ 1,146,588 as of September 30, 2024 .
(5)
The negative amortized cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan.
(6)
The investment or a portion of this investment is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940. The Company may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70% of the Company’s total assets. As of September 30, 2024, non-qualifying assets totaled 29.38 % o f the Company’s total assets.
(7)
Loan was on non-accrual status as of September 30, 2024 .
(8)
Unrealized appreciation on forward currency exchange contracts.

22


(9)
The principal amount (par amount) for all debt securities is denominated in U.S. dollars, unless otherwise noted. £ represents Pound Sterling, € represents Euro, NOK represents Norwegian Krone, AUD represents Australian Dollar, CAD represents Canadian Dollar, DKK represents Danish Krone and NZ$ represents New Zealand Dollar.
(10)
As defined in the 1940 Act, the portfolio company is deemed to be an “affiliated person” of the Company as the Company owns 5% or more of the portfolio company’s outstanding voting securities.
(11)
As defined in the 1940 Act, the Company is deemed to “control” this portfolio company as the Company either owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company.
(12)
Tick mark not used
(13)
Loan includes interest rate floor of 3.50 %.
(14)
Non-income producing .
(15)
Loan includes interest rate floor of 1.00 %.
(16)
Loan includes interest rate floor of 0.75 %.
(17)
Loan includes interest rate floor of 0.50 %.
(18)
Loan includes interest rate floor of 0.00 %.
(19)
Security valued using unobservable inputs (Level 3).
(20)
The Company holds a controlling, affiliate interest in an aircraft-owning special purpose vehicle through this investment.
(21)
Loan includes interest rate floor of 0.25 %.
(22)
$ 11 of the total par amount for this security is at P+ 5.11 %.
(23)
$ 479 of the total par amount for this security is at P+ 5.50 %.
(24)
Loan includes interest rate floor of 1.25 %.
(25)
Security exempt from registration under the Securities Act of 1933 (the “Securities Act”), and may be deemed to be “restricted securities” under the Securities Act. As of September 30, 2024, the aggregate fair value of these securities is $ 446,868 or 38.97 % of the Company’s net assets. The acquisition dates of the restricted securities are as follows:

23


Investment

Acquisition Date

ACAMS

3/10/2022

ADT Pizza, LLC

10/29/2018

Ansett Aviation Training

3/24/2022

Apollo Intelligence

6/1/2022

Appriss Holdings, Inc.

5/3/2021

AQ Software Corporation

12/10/2021

AQ Software Corporation

4/14/2022

AQ Software Corporation

12/29/2022

ARL Holdings, LLC

5/3/2019

AgroFresh

7/3/2024

AXH Air Coolers

10/31/2023

Bain Capital Senior Loan Program, LLC

12/27/2021

BCC Jetstream Holdings Aviation (Off I), LLC

6/1/2017

BCC Jetstream Holdings Aviation (On II), LLC

6/1/2017

Blackbrush Oil & Gas, L.P.

9/3/2020

Brook Bidco

7/8/2021

BTX Precision

7/25/2024

CB Titan Holdings, Inc.

5/1/2017

City BBQ

9/4/2024

Cloud Technology Solutions (CTS)

12/15/2022

Congress Wealth

6/30/2023

Darcy Partners

6/1/2022

DTIQ

9/30/2024

DC Blox

9/23/2024

Eagle Rock Capital Corporation

12/9/2021

East BCC Coinvest II, LLC

7/23/2019

EHE Health

8/7/2024

Electronic Merchant Systems

7/12/2024

Elevator Holdco Inc.

12/23/2019

Eleven Software

4/25/2022

Eleven Software

3/20/2024

Elk Parent Holdings, LP

11/1/2019

FCG Acquisitions, Inc.

1/24/2019

Fineline Technologies, Inc.

2/22/2021

Forward Slope

3/15/2024

Galeria

8/1/2024

Gale Aviation (Offshore) Co

1/2/2019

Gale Aviation (Offshore) Co

7/31/2019

Gale Aviation (Offshore) Co

8/14/2019

Gills Point S

5/17/2023

24


Investment

Acquisition Date

Gluware

10/15/2021

Grammer Investment Holdings LLC

10/1/2018

HealthDrive

8/18/2023

Hultec

3/31/2023

iBanFirst Facility

7/13/2021

Insigneo Financial Group LLC

8/1/2022

International Senior Loan Program, LLC

2/22/2021

Kellstrom Aerospace Group, Inc

7/1/2019

Legacy Corporate Lending HoldCo, LLC

4/21/2023

Lightning Holdings B, LLC

1/2/2020

Lightning Holdings B, LLC

8/19/2021

Lightning Holdings B, LLC

11/12/2021

Lightning Holdings B, LLC

9/2/2021

Lightning Holdings B, LLC

9/17/2021

Lightning Holdings B, LLC

9/12/2024

masLabor

7/1/2021

MZR Aggregator

12/22/2020

MZR Aggregator

9/17/2024

NPC International, Inc.

4/1/2021

Opus2

6/16/2021

Parcel2Go

7/15/2021

PPX

7/29/2021

Precision Ultimate Holdings, LLC

11/6/2019

REP Coinvest III- A Omni, L.P.

2/5/2021

Revalize, Inc.

12/29/2022

Robinson Helicopter

6/30/2022

Rydoo

9/26/2024

SensorTower

3/15/2024

Service Master

7/15/2021

Service Master

8/16/2021

Sikich

5/6/2024

Solifi

5/24/2024

SoftCo

3/1/2024

Superna Inc.

3/8/2022

Taoglas

2/28/2023

Taoglas

6/27/2024

Titan Cloud Software, Inc

11/4/2022

TLC Holdco LP

10/11/2019

Thrasio, LLC

12/18/2020

Utimaco

6/28/2022

Ventiv Holdco, Inc.

9/3/2019

Walker Edison

3/1/2023

WSP

5/20/2024

WSP

8/31/2021

(26)
Denotes that all or a portion of the debt investment includes PIK interest during the period.
(27)
Asset is in an escrow liquidating trust.
(28)
Tick mark not used
(29)
Assets or a portion thereof are pledged as collateral for the 2019-1 Issuer. See Note 6 Debt”.
(30)
Cash equivalents include $ 23,585 o f restricted cash.
(31)
Loan includes interest rate floor of 2.00 %.
(32)
Loan includes interest rate floor of 1.50 %.

See Notes to Consolidated Financial Statements

25


Bain Capital Specialty Finance, Inc.

Consolidated Schedule of Investments

As of December 31, 2023

(In thousands)

Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Aerospace & Defense

Forming Machining Industries Holdings, LLC (18)(19)(26)

Second Lien Senior Secured Loan

SOFR

7.89 % PIK

13.20

%

10/9/2026

$

6,630

6,600

5,437

Forming Machining Industries Holdings, LLC (18)(19)

First Lien Senior Secured Loan

SOFR

4.40 %

9.79

%

10/9/2025

$

16,100

16,059

13,685

Forward Slope (15)(19)

First Lien Senior Secured Loan

SOFR

6.85 %

12.20

%

8/22/2029

$

6,201

6,051

6,046

Forward Slope (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.85 %

12.23

%

8/22/2029

$

23,634

23,060

23,043

Forward Slope (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.85 %

12.17

%

8/22/2029

$

4,738

4,529

4,516

Forward Slope (15)(19)

First Lien Senior Secured Loan

SOFR

6.85 %

12.24

%

8/22/2029

$

19,950

19,653

19,451

GSP Holdings, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.90 %

11.25

%

11/6/2025

$

35,241

35,429

33,567

GSP Holdings, LLC (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.90 %

11.25

%

11/6/2025

$

2,306

2,292

2,088

Kellstrom Aerospace Group, Inc (14)(19)(25)

Equity Interest

1

1,963

1,044

Kellstrom Commercial Aerospace, Inc. (15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.00 % ( 0.75 % PIK)

12.17

%

7/1/2025

$

29,630

29,313

28,889

Kellstrom Commercial Aerospace, Inc. (2)(3)(15)(19)(23)(26)

First Lien Senior Secured Loan - Revolver

P

5.61 % ( 0.50 % PIK)

14.61

%

7/1/2025

$

47

46

( 61

)

Mach Acquisition R/C (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.65 %

13.02

%

10/19/2026

$

7,532

7,420

6,879

Mach Acquisition T/L (15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.65 % ( 2.00 % PIK)

14.05

%

10/19/2026

$

34,143

33,752

31,924

Precision Ultimate Holdings, LLC (14)(19)(25)

Equity Interest

1,417

1,417

1,242

Robinson Helicopter (14)(19)(25)

Equity Interest

1,592

1,592

2,359

Robinson Helicopter (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.60 %

11.96

%

6/30/2028

$

14,735

14,464

14,735

Saturn Purchaser Corp. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.60 %

11.01

%

7/23/2029

$

26,329

26,085

26,329

Saturn Purchaser Corp. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

7/22/2029

$

( 39

)

Whitcraft-Paradigm (15)(19)(29)

First Lien Senior Secured Loan

SOFR

7.00 %

12.35

%

2/15/2029

$

11,912

11,805

11,912

Whitcraft-Paradigm (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.00 %

12.35

%

2/28/2029

$

146

128

146

Aerospace & Defense Total

$

241,619

$

233,231

20.5

%

Automotive

American Trailer Rental Group (19)(26)

Subordinated Debt

9.00 % ( 4.50 % PIK)

13.50

%

12/1/2027

$

5,112

5,060

5,112

American Trailer Rental Group (19)(26)

Subordinated Debt

9.00 % ( 4.50 % PIK)

13.50

%

12/1/2027

$

15,772

15,535

15,772

American Trailer Rental Group (19)(26)

Subordinated Debt

9.00 % ( 4.50 % PIK)

13.50

%

12/1/2027

$

19,695

19,390

19,695

Cardo (6)(18)(19)

First Lien Senior Secured Loan

SOFR

5.15 %

10.54

%

5/12/2028

$

98

97

97

Gills Point S (15)(19)(29)

First Lien Senior Secured Loan

SOFR

7.00 %

12.38

%

5/17/2029

$

12,632

12,632

12,632

Gills Point S (3)(15)(19)

First Lien Senior Secured Loan - Revolver

5/17/2029

$

Gills Point S (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

7.10 %

12.51

%

5/17/2029

$

692

682

692

Gills Point S (14)(19)(25)

Equity Interest

2

184

213

Intoxalock (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.50 %

11.96

%

11/1/2028

$

12,128

12,023

12,128

Intoxalock (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.50 %

11.96

%

11/1/2028

$

343

315

343

JHCC Holdings, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.25 %

10.75

%

9/9/2025

$

12,073

12,015

12,073

JHCC Holdings, LLC (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

9/9/2025

$

( 22

)

Automotive Total

$

77,911

$

78,757

6.9

%

26


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Banking, Finance, Insurance & Real Estate

Morrow Sodali (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.63 %

11.09

%

4/25/2028

$

2,626

2,611

2,600

Morrow Sodali (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.96

%

4/25/2028

$

2,218

2,164

2,196

Morrow Sodali (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.00 %

10.46

%

4/25/2028

$

532

509

510

Banking, Finance, Insurance & Real Estate Total

$

5,284

$

5,306

0.5

%

Beverage, Food & Tobacco

Arctic Glacier U.S.A., Inc. (19)(26)(31)

First Lien Senior Secured Loan

SOFR

6.50 % ( 4.00 % PIK)

16.14

%

5/24/2028

$

12,912

12,672

12,653

Arctic Glacier U.S.A., Inc. (2)(3)(5)(19)(31)

First Lien Senior Secured Loan - Revolver

5/24/2028

$

( 34

)

( 39

)

NPC International, Inc. (14)(19)(25)(27)

Equity Interest

308

461

7

PPX (14)(19)(25)

Preferred Equity

33

102

PPX (14)(19)(25)

Preferred Equity

33

5,000

6,505

Beverage, Food & Tobacco Total

$

18,099

$

19,228

1.7

%

Capital Equipment

AXH Air Coolers (2)(3)(5)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

10/31/2029

$

( 71

)

( 73

)

AXH Air Coolers (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.75 %

12.19

%

10/31/2029

$

1,101

1,047

1,046

AXH Air Coolers (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.75 %

12.19

%

10/31/2029

$

27,992

27,719

27,712

AXH Air Coolers (14)(19)(25)

Preferred Equity

3,417

3,417

3,417

East BCC Coinvest II, LLC (14)(19)(25)

Equity Interest

1,419

1,419

463

Ergotron Acquisition LLC (18)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

11.21

%

7/6/2028

$

12,097

11,898

12,097

FCG Acquisitions, Inc. (14)(19)(25)

Preferred Equity

4

Jonathan Acquisition Company (15)(19)

Second Lien Senior Secured Loan

SOFR

9.10 %

14.47

%

12/22/2027

$

8,000

7,866

8,000

TCFIII Owl Finance, LLC (19)(26)

Subordinated Debt

12.00 % PIK

12.00

%

1/30/2027

$

5,462

5,415

5,298

Capital Equipment Total

$

58,710

$

57,960

5.1

%

Chemicals, Plastics & Rubber

AP Plastics Group, LLC (18)(19)(29)

First Lien Senior Secured Loan

SOFR

4.75 %

10.19

%

8/10/2028

$

7,212

7,032

7,032

V Global Holdings LLC (16)(19)

First Lien Senior Secured Loan

EURIBOR

5.75 %

9.85

%

12/22/2027

99

102

102

V Global Holdings LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

6.00 %

11.43

%

12/22/2027

$

5,803

5,720

5,614

V Global Holdings LLC (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.85 %

11.21

%

12/22/2025

$

3,978

3,881

3,663

Chemicals, Plastics & Rubber Total

$

16,735

$

16,411

1.4

%

27


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Construction & Building

Chase Industries, Inc. (15)(19)(26)

First Lien Senior Secured Loan

SOFR

5.65 % ( 1.50 % PIK)

12.50

%

5/12/2025

$

23,734

22,545

22,073

Chase Industries, Inc. (15)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.65 % ( 1.50 % PIK)

12.50

%

5/12/2025

$

2,331

2,208

2,167

Chase Industries, Inc. (2)(3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

5/12/2025

$

( 224

)

( 120

)

Elk Parent Holdings, LP (14)(19)(25)

Equity Interest

1

12

1,040

Elk Parent Holdings, LP (14)(19)(25)

Preferred Equity

120

1,202

1,672

Service Master (14)(19)(25)

Equity Interest

169

220

Service Master (15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.00 % ( 1.00 % PIK)

12.65

%

8/16/2027

$

896

885

896

Service Master (14)(19)(25)

Equity Interest

724

Service Master (15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.11 % ( 1.00 % PIK)

12.47

%

8/16/2027

$

11,689

11,689

11,689

Service Master (3)(15)(19)(26)

First Lien Senior Secured Loan - Revolver

SOFR

6.00 % ( 1.00 % PIK)

12.50

%

8/16/2027

$

11,537

11,392

11,537

YLG Holdings, Inc. (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.10 %

10.48

%

10/31/2025

$

4,970

4,968

4,970

YLG Holdings, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.10 %

10.48

%

10/31/2025

$

16,962

16,911

16,962

YLG Holdings, Inc. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

10/31/2025

$

( 26

)

Construction & Building Total

$

71,731

$

73,830

6.5

%

Consumer Goods: Durable

New Milani Group LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

10.96

%

6/6/2024

$

11,329

11,197

11,329

Stanton Carpet (15)(19)

Second Lien Senior Secured Loan

SOFR

9.15 %

14.56

%

3/31/2028

$

11,434

11,256

11,434

Tangent Technologies Acquisition, LLC (15)(19)

Second Lien Senior Secured Loan

SOFR

9.00 %

14.44

%

5/30/2028

$

8,915

8,776

8,759

TLC Holdco LP (14)(19)(25)

Equity Interest

1,281

1,221

376

TLC Purchaser, Inc. (15)(19)(26)

First Lien Senior Secured Loan

SOFR

2.26 % ( 6.25 % PIK)

14.15

%

10/13/2025

$

37,562

37,149

35,214

TLC Purchaser, Inc. (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.51 %

11.86

%

10/13/2025

$

3,123

3,031

2,528

Consumer Goods: Durable Total

$

72,630

$

69,640

6.1

%

28


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Consumer Goods: Non-Durable

Fineline Technologies, Inc. (14)(19)(25)

Equity Interest

939

939

1,004

FL Hawk Intermediate Holdings, Inc. (15)(19)

Second Lien Senior Secured Loan

SOFR

9.26 %

14.61

%

8/22/2028

$

12,613

12,347

12,613

RoC Opco LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

7.60 %

12.95

%

2/25/2025

$

14,887

14,799

14,887

RoC Opco LLC (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

2/25/2025

$

( 42

)

Solaray, LLC (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.60 %

11.97

%

12/15/2025

$

14,016

14,028

13,350

Solaray, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.60 %

11.97

%

12/15/2025

$

30,435

30,435

28,989

Solaray, LLC (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.60 %

10.97

%

12/15/2025

$

11,344

11,343

11,344

WU Holdco, Inc. (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.65 %

11.00

%

3/26/2026

$

1,678

1,657

1,653

WU Holdco, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.65 %

11.00

%

3/26/2026

$

37,287

36,991

36,728

WU Holdco, Inc. (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.65 %

11.00

%

3/26/2025

$

3,043

3,030

2,958

Consumer Goods: Non-Durable Total

$

125,527

$

123,526

10.9

%

Consumer Goods: Wholesale

WSP (14)(19)(25)

Preferred Equity

216

434

WSP (15)(19)(26)(29)

First Lien Senior Secured Loan

SOFR

6.40 % ( 0.75 % PIK)

12.53

%

4/27/2027

$

5,521

5,449

4,748

WSP (14)(19)(25)

Equity Interest

2,898

2,898

WSP (2)(3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

4/27/2027

$

( 5

)

( 63

)

Consumer Goods: Wholesale Total

$

8,558

$

5,119

0.5

%

Containers, Packaging & Glass

ASP-r-pac Acquisition Co LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

6.26 %

11.64

%

12/29/2027

$

4,042

3,983

3,900

ASP-r-pac Acquisition Co LLC (2)(3)(5)(16)(19)

First Lien Senior Secured Loan - Revolver

12/29/2027

$

( 43

)

( 114

)

Iris Holding, Inc. (17)(29)

First Lien Senior Secured Loan

SOFR

4.75 %

10.23

%

6/28/2028

$

12,887

12,346

11,941

Containers, Packaging & Glass Total

$

16,286

$

15,727

1.4

%

Energy: Electricity

WCI Gigawatt Purchaser (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.76 %

11.13

%

11/19/2027

$

1,425

1,402

1,410

WCI Gigawatt Purchaser (2)(3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

11/19/2027

$

( 47

)

( 19

)

WCI Gigawatt Purchaser (2)(3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.76 %

11.14

%

11/19/2027

$

( 47

)

( 32

)

WCI Gigawatt Purchaser (15)(19)

First Lien Senior Secured Loan

SOFR

5.76 %

11.14

%

11/19/2027

$

3,465

3,431

3,431

Energy: Electricity Total

$

4,739

$

4,790

0.4

%

29


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Environmental Industries

Reconomy (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.25 %

11.44

%

6/25/2029

£

987

1,149

1,256

Reconomy (6)(18)(19)

First Lien Senior Secured Loan

SONIA

6.25 %

11.44

%

6/25/2029

£

68

82

86

Reconomy (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

6.00 %

9.93

%

6/25/2029

27

28

30

Titan Cloud Software, Inc (14)(19)(25)

Equity Interest

3,532

3,532

4,161

Titan Cloud Software, Inc (15)(19)

First Lien Senior Secured Loan

SOFR

6.10 %

11.48

%

9/7/2029

$

25,714

25,495

25,714

Titan Cloud Software, Inc (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.10 %

11.48

%

9/7/2029

$

11,429

11,339

11,429

Titan Cloud Software, Inc (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

9/7/2028

$

( 45

)

Environmental Industries Total

$

41,580

$

42,676

3.8

%

FIRE: Finance

Allworth Financial Group, L.P. (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

10.96

%

12/23/2026

$

865

854

857

Allworth Financial Group, L.P. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

10.96

%

12/23/2026

$

1,490

1,478

1,475

Allworth Financial Group, L.P. (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

12/23/2026

$

( 9

)

( 24

)

Congress Wealth (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.85 %

12.20

%

6/30/2029

$

320

317

320

Congress Wealth (3)(18)(19)

First Lien Senior Secured Loan - Revolver

6/30/2029

$

Congress Wealth (14)(19)(25)

Equity Interest

15

294

325

Insigneo Financial Group LLC (14)(19)(25)

Equity Interest

2,341

2,357

2,626

Insigneo Financial Group LLC (15)(19)

First Lien Senior Secured Loan

SOFR

6.25 %

11.70

%

8/1/2028

$

3,825

3,746

3,825

Insigneo Financial Group LLC (15)(19)

First Lien Senior Secured Loan

SOFR

6.60 %

11.97

%

8/1/2028

$

7,667

7,478

7,667

Parmenion (6)(15)(19)

First Lien Senior Secured Loan

SONIA

5.50 %

10.69

%

5/11/2029

£

295

368

376

TA/Weg Holdings (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.85 %

11.23

%

10/4/2027

$

9,304

9,304

9,304

TA/Weg Holdings (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.85 %

11.23

%

10/4/2027

$

2,349

2,342

2,349

FIRE: Finance Total

$

28,529

$

29,100

2.6

%

30


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

FIRE: Insurance

Margaux Acquisition Inc. (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

11.23

%

12/19/2024

$

16,497

16,426

16,497

Margaux Acquisition Inc. (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.90 %

11.29

%

12/19/2025

$

( 9

)

Margaux UK Finance Limited (3)(5)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

SONIA

5.75 %

11.06

%

12/19/2024

£

( 2

)

Margaux UK Finance Limited (6)(18)(19)

First Lien Senior Secured Loan

SONIA

5.75 %

11.06

%

12/19/2024

£

7,396

9,603

9,415

McLarens Acquisition Inc. (3)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

12/16/2025

$

MRHT (2)(3)(5)(6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

2/1/2029

( 23

)

( 28

)

MRHT (6)(15)(19)

First Lien Senior Secured Loan

EURIBOR

6.75 %

10.72

%

2/1/2029

956

1,019

1,050

Paisley Bidco Limited (6)(18)(19)

First Lien Senior Secured Loan - Revolver

EURIBOR

5.50 %

9.45

%

11/26/2028

32

36

35

Simplicity (18)(19)(29)

First Lien Senior Secured Loan

SOFR

6.40 %

11.75

%

12/2/2026

$

16,641

16,222

16,392

Simplicity (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

12/2/2026

$

( 131

)

( 82

)

Simplicity (2)(3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

12/2/2026

$

( 35

)

( 22

)

FIRE: Insurance Total

$

43,106

$

43,257

3.8

%

Healthcare & Pharmaceuticals

Apollo Intelligence (14)(19)(25)

Equity Interest

32

3,162

2,951

Apollo Intelligence (18)(19)(29)

First Lien Senior Secured Loan

SOFR

5.75 %

11.12

%

6/1/2028

$

15,232

15,145

15,156

Apollo Intelligence (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.75 %

11.12

%

6/1/2028

$

4,565

4,512

4,529

Apollo Intelligence (2)(3)(5)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

6/1/2028

$

( 71

)

( 48

)

CB Titan Holdings, Inc. (14)(19)(25)

Preferred Equity

1,953

1,953

CPS Group Holdings, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.25 %

10.79

%

3/3/2025

$

34,417

34,334

34,416

CPS Group Holdings, Inc. (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.25 %

10.71

%

3/3/2025

$

592

578

592

Datix Bidco Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

SONIA

4.50 %

9.69

%

10/28/2024

£

6

8

8

Datix Bidco Limited (6)(18)(19)

Second Lien Senior Secured Loan

SONIA

7.75 %

12.94

%

4/27/2026

£

121

165

155

Datix Bidco Limited (6)(18)(19)

First Lien Senior Secured Loan

BBSW

4.50 %

9.29

%

4/28/2025

AUD

42

32

29

Great Expressions Dental Center PC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

1.15 % ( 3.00 % PIK)

9.33

%

9/30/2026

$

9,523

9,520

7,713

HealthDrive (15)(19)

First Lien Senior Secured Loan

SOFR

6.10 %

11.46

%

8/20/2029

$

1,928

1,928

1,928

HealthDrive (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.00 %

11.43

%

8/20/2029

$

271

268

271

HealthDrive (3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

8/20/2029

$

HealthDrive (3)(15)(19)

First Lien Senior Secured Loan - Revolver

8/20/2029

$

HealthDrive (14)(19)(25)

Preferred Equity

18

1,822

2,062

Mertus 522. GmbH (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

11.03

%

5/28/2026

226

250

243

Mertus 522. GmbH (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

10.90

%

5/28/2026

132

143

142

Premier Imaging, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.00 %

11.61

%

1/2/2025

$

7,069

7,028

6,963

Premier Imaging, LLC (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.00 %

11.61

%

1/2/2025

$

1,916

1,906

1,888

SunMed Group Holdings, LLC (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.60 %

10.96

%

6/16/2028

$

8,606

8,499

8,606

Sunmed Group Holdings, LLC (3)(5)(16)(19)

First Lien Senior Secured Loan - Revolver

6/16/2027

$

( 11

)

Healthcare & Pharmaceuticals Total

$

91,171

$

87,604

7.7

%

31


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

High Tech Industries

Access (6)(18)(19)

First Lien Senior Secured Loan

SONIA

5.25 %

10.44

%

6/4/2029

£

80

98

102

AMI US Holdings Inc. (6)(15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.25 %

10.71

%

4/1/2025

$

3,816

3,796

3,816

Applitools (2)(3)(5)(16)(19)

First Lien Senior Secured Loan - Revolver

5/25/2028

$

( 25

)

( 60

)

Applitools (6)(19)(32)

First Lien Senior Secured Loan

SOFR

6.25 %

11.61

%

5/25/2029

$

17,360

17,236

17,056

Appriss Holdings, Inc. (14)(19)(25)

Equity Interest

2,136

1,606

1,576

Appriss Holdings, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.75 %

12.32

%

5/6/2027

$

11,179

11,033

11,179

Appriss Holdings, Inc. (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

5/6/2027

$

( 8

)

AQ Software Corporation (14)(19)(25)

Preferred Equity

1

1,107

1,126

AQ Software Corporation (14)(19)(25)

Preferred Equity

2

1,844

1,876

AQ Software Corporation (14)(19)(25)

Preferred Equity

1

507

516

CB Nike IntermediateCo Ltd (3)(6)(15)(19)

First Lien Senior Secured Loan - Revolver

10/31/2025

$

Cloud Technology Solutions (CTS) (6)(14)(19)(25)

Preferred Equity

4,408

5,360

5,504

Cloud Technology Solutions (CTS) (6)(18)(19)(26)

First Lien Senior Secured Loan

SONIA

4.00 % ( 4.00 % PIK)

13.19

%

1/3/2030

£

8,247

10,007

10,499

Eagle Rock Capital Corporation (14)(19)(25)

Preferred Equity

3,345

3,345

4,295

Element Buyer, Inc. (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.00 %

11.46

%

7/19/2026

$

878

878

878

Element Buyer, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.00 %

11.46

%

7/19/2026

$

36,242

36,327

36,242

Element Buyer, Inc. (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

7/19/2026

$

( 6

)

Eleven Software (14)(19)(25)

Preferred Equity

896

896

840

Eleven Software (15)(19)

First Lien Senior Secured Loan

SOFR

8.25 %

13.60

%

4/25/2027

$

7,439

7,384

7,365

Eleven Software (15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

8.10 %

13.46

%

9/25/2026

$

1,488

1,479

1,473

FNZ UK Finco Limited (6)(18)(19)

First Lien Senior Secured Loan

L

5.75 %

10.37

%

9/30/2026

AUD

81

55

55

Gluware (14)(19)(25)

Warrants

4,307

478

511

Gluware (19)(26)

First Lien Senior Secured Loan

9.00 % ( 5.50 % PIK)

14.50

%

10/15/2025

$

20,604

20,146

19,367

Gluware (18)(19)(26)

First Lien Senior Secured Loan

9.00 % ( 5.50 % PIK)

14.50

%

10/15/2025

$

5,599

5,555

5,487

NearMap (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

12/9/2029

$

( 78

)

NearMap (6)(18)(19)

First Lien Senior Secured Loan

SOFR

7.25 %

12.61

%

12/9/2029

$

11,601

11,393

11,601

Onventis (6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

EURIBOR

7.50 %

11.47

%

1/12/2030

8,919

9,596

9,845

Revalize, Inc. (14)(19)(25)

Preferred Equity

1

1,431

1,472

Revalize, Inc. (15)(19)(29)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.85 %

11.21

%

4/15/2027

$

5,304

5,267

5,171

Revalize, Inc. (18)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.90 %

11.25

%

4/15/2027

$

2,009

1,996

1,959

32


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

High Tech Industries Continued

Revalize, Inc. (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.85 %

11.20

%

4/15/2027

$

335

327

302

SAM (19)(26)

First Lien Senior Secured Loan

12.75 % PIK

12.75

%

5/9/2028

$

33,699

33,481

33,447

Superna Inc. (2)(3)(5)(6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

3/6/2028

$

( 18

)

( 92

)

Superna Inc. (2)(3)(5)(6)(15)(19)

First Lien Senior Secured Loan - Revolver

3/6/2028

$

( 18

)

( 92

)

Superna Inc. (6)(14)(19)(25)

Equity Interest

1,463

1,463

1,196

Superna Inc. (6)(15)(19)

First Lien Senior Secured Loan

SOFR

6.50 %

11.88

%

3/6/2028

$

2,734

2,692

2,639

Utimaco (6)(14)(19)(25)

Equity Interest

1

2,123

1,414

Utimaco (6)(14)(19)(25)

Preferred Equity

1

2,123

1,414

Utimaco (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25 %

10.28

%

5/14/2029

92

98

100

Utimaco (6)(18)(19)

First Lien Senior Secured Loan

SOFR

6.68 %

11.99

%

5/14/2029

$

128

127

125

Utimaco (6)(18)(19)

First Lien Senior Secured Loan

SOFR

6.68 %

11.99

%

5/14/2029

$

262

260

256

Ventiv Holdco, Inc. (15)(19)(26)(29)

First Lien Senior Secured Loan

SOFR

5.60 % ( 1.00 % PIK)

11.95

%

9/3/2025

$

13,902

13,834

13,902

Ventiv Holdco, Inc. (3)(18)(19)(26)

First Lien Senior Secured Loan - Revolver

SOFR

5.60 % ( 1.00 % PIK)

11.95

%

9/3/2025

$

681

662

681

Ventiv Topco, Inc. (14)(19)(25)

Equity Interest

28

2,833

2,307

VPARK BIDCO AB (6)(16)(19)

First Lien Senior Secured Loan

CIBOR

4.00 %

7.87

%

3/10/2025

DKK

570

93

84

VPARK BIDCO AB (6)(16)(19)

First Lien Senior Secured Loan

NIBOR

4.00 %

8.54

%

3/10/2025

NOK

740

93

73

High Tech Industries Total

$

218,876

$

217,507

19.2

%

Hotel, Gaming & Leisure

Aimbridge Acquisition Co., Inc. (18)(19)

Second Lien Senior Secured Loan

SOFR

7.50 %

12.97

%

2/1/2027

$

14,193

13,971

13,270

Concert Golf Partners Holdco (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.50 %

11.25

%

3/30/2029

$

6,761

6,650

6,761

Concert Golf Partners Holdco LLC (3)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50 %

11.25

%

4/2/2029

$

3,798

3,715

3,798

Concert Golf Partners Holdco LLC (3)(5)(16)(19)

First Lien Senior Secured Loan - Revolver

3/31/2028

$

( 35

)

Pyramid Global Hospitality (15)(19)(29)

First Lien Senior Secured Loan

SOFR

8.00 %

13.33

%

1/19/2027

$

9,925

9,686

9,925

Pyramid Global Hospitality (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

1/19/2027

$

( 80

)

Saltoun (7)(14)(18)(19)(26)(29)

First Lien Senior Secured Loan

13.75 % PIK

13.75

%

4/11/2028

$

5,183

5,011

2,747

Saltoun (7)(14)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

13.75 % PIK

13.75

%

4/11/2028

$

1,479

1,430

784

Saltoun (18)(19)(26)

First Lien Senior Secured Loan - Revolver

13.75 % PIK

13.75

%

4/11/2028

$

339

339

339

Saltoun (18)(19)(26)

First Lien Senior Secured Loan - Revolver

13.75 % PIK

13.75

%

4/11/2028

$

291

291

291

Saltoun (19)(26)

First Lien Senior Secured Loan - Revolver

13.75 % PIK

13.75

%

4/11/2028

$

1,108

1,108

1,108

Hotel, Gaming & Leisure Total

$

42,086

$

39,023

3.4

%

33


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Media: Advertising, Printing & Publishing

Kpler (6)(15)(19)

First Lien Senior Secured Loan

SONIA

6.50 %

11.69

%

3/3/2030

£

4,412

5,269

5,617

Kpler (6)(15)(19)

First Lien Senior Secured Loan

EURIBOR

6.50 %

10.46

%

3/3/2030

15,081

15,684

16,648

Kpler (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

6.50 %

10.46

%

3/3/2030

3,346

3,547

3,694

TGI Sport Bidco Pty Ltd (6)(17)(19)

First Lien Senior Secured Loan

BBSW

7.00 %

11.36

%

4/30/2026

AUD

98

76

67

TGI Sport Bidco Pty Ltd (6)(18)(19)

First Lien Senior Secured Loan

SOFR

7.11 %

12.47

%

4/30/2026

AUD

4,187

2,866

2,866

Media: Advertising, Printing & Publishing Total

$

27,442

$

28,892

2.5

%

Media: Broadcasting & Subscription

Lightning Finco Limited (6)(16)(19)

First Lien Senior Secured Loan

SOFR

5.93 %

11.24

%

8/31/2028

$

1,443

1,432

1,443

Lightning Finco Limited (6)(16)(19)

First Lien Senior Secured Loan

EURIBOR

5.50 %

9.39

%

8/31/2028

1,300

1,423

1,435

Media: Broadcasting & Subscription Total

$

2,855

$

2,878

0.3

%

Media: Diversified & Production

9 Story Media Group Inc. (3)(6)(18)(19)

First Lien Senior Secured Loan - Revolver

CDOR

5.25 %

10.67

%

4/30/2026

CAD

90

66

68

9 Story Media Group Inc. (6)(16)(19)

First Lien Senior Secured Loan

CDOR

5.25 %

10.74

%

4/30/2026

CAD

1,279

991

966

9 Story Media Group Inc. (6)(18)(19)

First Lien Senior Secured Loan

EURIBOR

5.25 %

9.21

%

4/30/2026

579

613

639

Aptus 1724 Gmbh (6)(19)(21)

First Lien Senior Secured Loan

SOFR

6.25 %

11.78

%

2/23/2028

$

4,971

4,971

4,822

Efficient Collaborative Retail Marketing Company, LLC (7)(14)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

7.50 % ( 1.50 % PIK)

14.45

%

12/31/2025

$

11,099

10,103

7,408

Efficient Collaborative Retail Marketing Company, LLC (7)(14)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

7.50 % ( 1.50 % PIK)

14.45

%

12/31/2025

$

17,101

15,537

11,415

Efficient Collaborative Retail Marketing Company, LLC (3)(15)(19)(26)

First Lien Senior Secured Loan - Revolver

SOFR

5.00 % ( 1.50 % PIK)

11.95

%

12/31/2025

$

111

111

111

Music Creation Group Bidco GmbH (6)(19)(21)

First Lien Senior Secured Loan

SOFR

6.25 %

11.78

%

2/23/2028

$

4,065

3,990

3,943

Media: Diversified & Production Total

$

36,382

$

29,372

2.6

%

Media: Publishing

OGH Bidco Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.50 %

11.69

%

6/29/2029

£

2,217

2,592

2,430

OGH Bidco Limited (6)(18)(19)

First Lien Senior Secured Loan

SONIA

6.50 %

11.69

%

6/29/2029

£

139

164

168

Media: Publishing Total

$

2,756

$

2,598

0.2

%

34


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Retail

New Look Vision Group (6)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

CDOR

5.50 %

10.93

%

5/26/2028

CAD

29

27

21

New Look Vision Group (2)(3)(5)(6)(15)(19)

First Lien Senior Secured Loan - Revolver

5/26/2026

CAD

( 16

)

( 46

)

New Look Vision Group (6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

CDOR

5.50 %

10.93

%

5/26/2028

CAD

55

44

41

New Look Vision Group (6)(18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.15 % ( 2.00 % PIK)

11.50

%

5/26/2028

$

383

383

374

Thrasio, LLC (7)(14)(15)(19)

First Lien Senior Secured Loan

SOFR

9.26 %

14.61

%

12/18/2026

$

12,335

11,152

4,934

Retail Total

$

11,590

$

5,324

0.5

%

Services: Business

ACAMS (14)(19)(25)

Equity Interest

3,337

3,337

2,454

AMCP Clean Acquisition Company, LLC (18)

First Lien Senior Secured Loan

SOFR

4.40 %

9.79

%

6/16/2025

$

7,810

7,739

7,373

AMCP Clean Acquisition Company, LLC (18)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.40 %

9.79

%

6/16/2025

$

2,246

2,229

2,121

Avalon Acquiror, Inc. (18)(19)(29)

First Lien Senior Secured Loan

SOFR

6.25 %

11.60

%

3/10/2028

$

14,427

14,316

14,030

Avalon Acquiror, Inc. (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.25 %

11.62

%

3/10/2028

$

5,042

4,909

4,811

Brook Bidco (6)(14)(19)(25)

Preferred Equity

5,675

7,783

8,443

Brook Bidco (6)(18)(19)(26)

First Lien Senior Secured Loan

SONIA

7.37 % PIK

12.56

%

7/10/2028

£

784

1,059

997

Caribou Bidco Limited (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

5.25 %

10.44

%

2/1/2029

£

16

20

20

Chamber Bidco Limited (6)(17)(19)

First Lien Senior Secured Loan

SOFR

6.25 %

11.57

%

6/7/2028

$

213

211

213

Darcy Partners (14)(19)(25)

Equity Interest

359

360

343

Darcy Partners (19)(32)

First Lien Senior Secured Loan

SOFR

7.75 %

13.12

%

6/1/2028

$

1,511

1,498

1,496

Darcy Partners (2)(3)(15)(19)

First Lien Senior Secured Loan - Revolver

6/1/2028

$

( 3

)

Elevator Holdco Inc. (14)(19)(25)

Equity Interest

2

2,448

4,318

iBanFirst (6)(19)(26)(32)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.91

%

7/13/2028

3,194

3,295

3,526

iBanFirst (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.91

%

7/13/2028

92

96

101

iBanFirst (6)(18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.91

%

7/13/2028

3,357

3,412

3,705

iBanFirst Facility (6)(14)(19)(25)

Preferred Equity

7,112

8,136

20,328

ImageTrend (15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

7.75 %

13.13

%

1/31/2029

$

20,000

19,729

20,000

ImageTrend (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

1/31/2029

$

( 51

)

Learning Pool (6)(16)(19)(26)

First Lien Senior Secured Loan

SOFR

7.51 % PIK

12.81

%

7/7/2028

£

313

407

413

Learning Pool (6)(16)(19)(26)

First Lien Senior Secured Loan

SOFR

7.51 % PIK

12.81

%

7/7/2028

£

112

145

148

masLabor (14)(19)(25)

Equity Interest

173

173

772

35


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Services: Business Continued

masLabor (15)(19)

First Lien Senior Secured Loan

SOFR

7.50 %

12.83

%

7/1/2027

$

8,405

8,228

8,405

Opus2 (6)(14)(19)(25)

Equity Interest

2,272

2,900

3,447

Opus2 (6)(18)(19)

First Lien Senior Secured Loan

SONIA

5.03 %

10.22

%

5/5/2028

£

123

168

156

Parcel2Go (3)(6)(18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SONIA

3.00 % ( 3.00 % PIK)

11.19

%

7/17/2028

£

39

51

44

Parcel2Go (6)(14)(19)(25)

Equity Interest

3,605

4,237

2,231

Parcel2Go (6)(18)(19)(26)

First Lien Senior Secured Loan

SONIA

3.25 % ( 3.00 % PIK)

11.44

%

7/17/2028

£

126

171

150

Refine Intermediate, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

4.60 %

9.95

%

3/3/2027

$

1,037

1,024

1,037

Refine Intermediate, Inc. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

9/3/2026

$

( 55

)

Smartronix (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.85 %

11.57

%

11/23/2028

$

12,508

12,326

12,383

Smartronix (2)(3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

11/23/2027

$

( 88

)

( 63

)

Smartronix (15)(19)

First Lien Senior Secured Loan

SOFR

6.10 %

11.59

%

11/23/2028

$

3,697

3,607

3,660

Smartronix (15)(19)

First Lien Senior Secured Loan

SOFR

6.35 %

11.76

%

11/23/2028

$

8,209

8,009

8,127

Spring Finco BV (3)(6)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

7/15/2029

NOK

SumUp Holdings Luxembourg S.à.r.l. (6)(19)(32)

First Lien Senior Secured Loan

EURIBOR

8.25 %

12.21

%

2/17/2026

6,805

8,145

7,512

TEI Holdings Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.25 %

10.76

%

12/23/2026

$

24,925

24,712

24,925

TEI Holdings Inc. (3)(5)(18)(19)

First Lien Senior Secured Loan - Revolver

12/23/2025

$

( 40

)

Services: Business Total

$

154,646

$

167,623

14.7

%

Services: Consumer

MZR Aggregator (14)(19)(25)

Equity Interest

1

798

586

MZR Buyer, LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.75 %

12.21

%

12/22/2026

$

11,903

11,766

11,903

MZR Buyer, LLC (3)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.00 %

12.18

%

12/22/2026

$

2,952

2,900

2,952

Surrey Bidco Limited (6)(17)(19)(26)

First Lien Senior Secured Loan

SONIA

7.28 % PIK

11.46

%

5/11/2026

£

61

68

62

Zeppelin BidCo Pty Limited (6)(18)(19)

First Lien Senior Secured Loan

BBSY

5.00 %

9.15

%

7/12/2024

AUD

206

143

140

Services: Consumer Total

$

15,675

$

15,643

1.4

%

Telecommunications

DC Blox Inc. (14)(19)(25)

Preferred Equity

3,822

3,851

5,040

DC Blox Inc. (14)(19)(25)

Equity Interest

124

1

DC Blox Inc. (14)(19)(25)

Warrants

177

2

DC Blox Inc. (15)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.00 % ( 4.00 % PIK)

14.49

%

3/22/2026

$

32,879

32,724

32,879

Meriplex Communications, Ltd. (16)(19)(29)

First Lien Senior Secured Loan

SOFR

5.00 %

10.46

%

7/17/2028

$

12,163

11,964

12,041

Meriplex Communications, Ltd. (3)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.10 %

10.42

%

7/17/2028

$

7,261

7,128

7,139

Meriplex Communications, Ltd. (2)(3)(5)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

5.10 %

10.42

%

7/17/2028

$

( 43

)

( 28

)

Taoglas (14)(19)(25)

Equity Interest

2,259

2,259

1,999

Taoglas (15)(19)(29)

First Lien Senior Secured Loan

SOFR

7.25 %

12.60

%

2/28/2029

$

10,080

9,986

9,727

Taoglas (2)(3)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

2/28/2029

$

( 127

)

Taoglas (3)(6)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

7.25 %

12.61

%

2/28/2029

$

807

807

760

Taoglas (6)(18)(19)

First Lien Senior Secured Loan

SOFR

7.25 %

12.60

%

2/28/2029

$

453

441

437

Telecommunications Total

$

69,120

$

69,867

6.1

%

36


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Transportation: Cargo

A&R Logistics, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.00 %

11.48

%

5/5/2025

$

2,374

2,359

2,362

A&R Logistics, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.50 %

11.98

%

5/5/2025

$

2,661

2,651

2,661

A&R Logistics, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.00 %

11.48

%

5/5/2025

$

5,852

5,824

5,823

A&R Logistics, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.00 %

11.48

%

5/5/2025

$

12,978

12,899

12,913

A&R Logistics, Inc. (3)(15)(19)(24)

First Lien Senior Secured Loan - Revolver

SOFR

6.00 %

11.45

%

5/5/2025

$

2,597

2,514

2,567

ARL Holdings, LLC (14)(19)(25)

Equity Interest

445

701

ARL Holdings, LLC (14)(19)(25)

Equity Interest

9

9

166

Grammer Investment Holdings LLC (14)(19)(25)

Warrants

122

Grammer Investment Holdings LLC (14)(19)(25)

Equity Interest

1,011

1,019

546

Grammer Investment Holdings LLC (19)(25)

Preferred Equity

10.00 %

10.00

%

10

792

1,009

Grammer Purchaser, Inc. (15)(19)(29)

First Lien Senior Secured Loan

SOFR

5.00 %

10.39

%

9/30/2024

$

3,790

3,730

3,790

Grammer Purchaser, Inc. (3)(15)(19)(29)

First Lien Senior Secured Loan - Revolver

SOFR

4.85 %

10.21

%

9/30/2024

$

591

591

591

Gulf Winds International (18)(19)(29)

First Lien Senior Secured Loan

SOFR

7.10 %

12.46

%

12/16/2028

$

12,128

11,808

12,127

Gulf Winds International (3)(5)(15)(19)

First Lien Senior Secured Loan - Revolver

12/16/2028

$

( 131

)

Omni Intermediate (15)(19)

First Lien Senior Secured Loan

SOFR

5.15 %

10.54

%

11/23/2026

$

1,662

1,657

1,662

Omni Intermediate (3)(15)(19)(22)

First Lien Senior Secured Loan - Revolver

P

4.00 %

12.50

%

11/30/2026

$

572

572

572

Omni Intermediate (15)(19)

Second Lien Senior Secured Loan

SOFR

9.15 %

14.54

%

12/30/2027

$

8,770

8,768

8,771

REP Coinvest III- A Omni, L.P. (14)(19)(25)

Equity Interest

1,377

1,377

2,060

RoadOne (18)(19)(29)

First Lien Senior Secured Loan

SOFR

6.25 %

11.72

%

12/29/2028

$

12,128

11,808

12,128

RoadOne (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.25 %

11.72

%

12/29/2028

$

267

157

267

RoadOne (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.25 %

11.72

%

12/29/2028

$

948

902

948

Transportation: Cargo Total

$

69,751

$

71,664

6.3

%

Transportation: Consumer

PrimeFlight Acquisition LLC (15)(19)(29)

First Lien Senior Secured Loan

SOFR

6.85 %

12.28

%

5/1/2029

$

15,406

15,114

15,406

PrimeFlight Acquisition LLC (15)(19)

First Lien Senior Secured Loan

SOFR

6.85 %

12.20

%

5/1/2029

$

843

843

843

Toro Private Investments II, L.P. (14)(19)(25)

Equity Interest

3,090

3,090

Transportation: Consumer Total

$

19,047

$

16,249

1.4

%

37


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Non-Affiliate Investments

Wholesale

Abracon Group Holding, LLC. (18)(19)(29)

First Lien Senior Secured Loan

SOFR

6.00 %

11.54

%

7/6/2028

$

14,212

14,066

12,436

Abracon Group Holding, LLC. (16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.00 %

11.57

%

7/6/2028

$

2,018

1,988

1,766

Abracon Group Holding, LLC. (2)(3)(5)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

7/6/2028

$

( 31

)

( 278

)

Blackbird Purchaser, Inc. (16)(19)

First Lien Senior Secured Loan

SOFR

5.50 %

10.86

%

12/19/2030

$

5,418

5,418

5,418

Hultec (14)(19)(25)

Equity Interest

1

651

639

SureWerx (3)(5)(16)(19)

First Lien Senior Secured Loan - Delayed Draw

12/28/2029

$

( 26

)

SureWerx (3)(16)(19)

First Lien Senior Secured Loan - Revolver

SOFR

6.75 %

12.11

%

12/29/2028

$

577

554

577

Wholesale Total

$

22,620

$

20,558

1.8

%

Non-Controlled/Non-Affiliate Investments Total

$

1,615,061

$

1,593,360

140.2

%

38


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Non-Controlled/Affiliate Investments

Aerospace & Defense

Ansett Aviation Training (6)(10)(14)(19)(25)

Equity Interest

5,119

3,842

7,516

Ansett Aviation Training (6)(10)(18)(19)

First Lien Senior Secured Loan

BBSY

4.69 %

9.19

%

9/24/2031

AUD

7,072

5,308

4,817

Aerospace & Defense Total

$

9,150

$

12,333

1.1

%

Beverage, Food & Tobacco

ADT Pizza, LLC (10)(14)(19)(25)

Equity Interest

6,720

6,732

12,801

Beverage, Food & Tobacco Total

$

6,732

$

12,801

1.1

%

Consumer Goods: Durable

Walker Edison (10)(14)(19)(25)

Equity Interest

60

5,592

421

Walker Edison (10)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.85 % PIK

12.21

%

3/31/2027

$

5,972

5,972

5,972

Walker Edison (10)(15)(19)(26)

First Lien Senior Secured Loan - Revolver

SOFR

6.35 % PIK

11.71

%

3/31/2027

$

3,182

3,182

3,182

Walker Edison (3)(10)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

3/31/2027

$

Walker Edison (10)(18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.85 % PIK

12.21

%

3/31/2027

$

821

821

821

Consumer Goods: Durable Total

$

15,567

$

10,396

0.9

%

Energy: Oil & Gas

Blackbrush Oil & Gas, L.P. (10)(14)(19)(25)

Equity Interest

1,198

1

1

Blackbrush Oil & Gas, L.P. (10)(14)(19)(25)

Preferred Equity

3,618

1,106

3,498

Energy: Oil & Gas Total

$

1,107

$

3,499

0.3

%

FIRE: Finance

BCC Middle Market CLO 2018-1, LLC (6)(10)(19)(25)

Structured Products

10/20/2030

25,635

24,050

22,618

Fire: Finance Total

$

24,050

$

22,618

2.0

%

Transportation: Consumer

Direct Travel, Inc. (10)(14)(19)(25)

Equity Interest

68

10,280

Direct Travel, Inc. (10)(18)(19)(26)

First Lien Senior Secured Loan

SOFR

4.65 % ( 2.00 % PIK)

12.00

%

10/2/2025

$

59,944

59,944

59,944

Direct Travel, Inc. (10)(18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.65 % ( 2.00 % PIK)

12.00

%

10/2/2025

$

3,500

3,500

3,500

Direct Travel, Inc. (10)(18)(19)

First Lien Senior Secured Loan

SOFR

6.65 %

12.00

%

10/2/2025

$

4,841

4,841

4,841

Direct Travel, Inc. (10)(18)(19)(26)(28)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.65 % ( 2.00 % PIK)

12.00

%

10/2/2025

$

1,782

1,782

1,782

Direct Travel, Inc. (10)(18)(19)(28)

First Lien Senior Secured Loan

SOFR

6.15 %

11.50

%

10/2/2025

$

202

202

202

Direct Travel, Inc. (3)(10)(18)(19)(28)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.15 %

11.50

%

10/2/2025

$

5,775

5,775

5,775

Transportation: Consumer Total

$

76,044

$

86,324

7.6

%

Non-Controlled/Affiliate Investments Total

$

132,650

$

147,971

13.0

%

39


Interest

Maturity

Principal /

Market

% of

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

NAV (4)

Controlled Affiliate Investments

Aerospace & Defense

BCC Jetstream Holdings Aviation (Off I), LLC (6)(10)(11)(14)(19)(20)(25)

Equity Interest

11,863

11,863

10,944

BCC Jetstream Holdings Aviation (On II), LLC (10)(11)(14)(19)(20)(25)

Equity Interest

1,116

1,116

BCC Jetstream Holdings Aviation (On II), LLC (10)(11)(14)(19)(20)

First Lien Senior Secured Loan

10.00 %

10.00 %

6/2/2024

$

8,013

8,012

6,619

Gale Aviation (Offshore) Co (6)(10)(11)(19)(25)

Equity Interest

89,295

89,294

88,419

Aerospace & Defense Total

$

110,285

$

105,982

9.3

%

FIRE: Finance

Legacy Corporate Lending HoldCo, LLC (10)(11)(14)(19)(25)

Equity Interest

1

810

810

Legacy Corporate Lending HoldCo, LLC (10)(11)(14)(19)(25)

Preferred Equity

35

34,875

34,875

Legacy Corporate Lending HoldCo, LLC (10)(11)(14)(19)(25)

Equity Interest

1

FIRE: Finance Total

$

35,685

$

35,685

3.1

%

Investment Vehicles

Bain Capital Senior Loan Program, LLC (6)(10)(11)(19)

Subordinated Note Investment Vehicles

10.00 %

10.00

%

12/27/2033

$

115,995

115,995

115,995

Bain Capital Senior Loan Program, LLC (6)(10)(11)(25)

Preferred Equity Interest Investment Vehicles

10

10

( 1,793

)

Bain Capital Senior Loan Program, LLC (6)(10)(11)(25)

Equity Interest Investment Vehicles

10

5,594

( 379

)

International Senior Loan Program, LLC (6)(10)(11)(15)(19)

Subordinated Note Investment Vehicles

SOFR

8.00 %

13.55

%

2/22/2028

$

190,729

190,729

190,729

International Senior Loan Program, LLC (6)(10)(11)(25)

Equity Interest Investment Vehicles

63,587

60,615

66,140

Investment Vehicles Total

$

372,943

$

370,692

32.7

%

Transportation: Cargo

Lightning Holdings B, LLC (6)(10)(11)(14)(19)(25)

Equity Interest

34,899

35,210

44,653

Transportation: Cargo Total

$

35,210

$

44,653

3.9

%

Controlled Affiliate Investments Total

$

554,123

$

557,012

49.0

%

Investments Total

$

2,301,834

$

2,298,343

202.2

%

Cash Equivalents

Goldman Sachs Financial Square Government Fund Institutional Share Class

Cash Equivalents

5.25

%

$

19,292

19,292

19,292

Goldman Sachs US Treasury Liquid Reserves Fund (30)

Cash Equivalents

5.25

%

$

54,378

54,378

54,378

Cash Equivalents Total

$

73,670

$

73,670

6.5

%

Investments and Cash Equivalents Total

$

2,375,504

$

2,372,013

208.7

%

40


Forward Foreign Currency Exchange Contracts

Unrealized

Currency Purchased

Currency Sold

Counterparty

Settlement Date

Appreciation (8)

US DOLLARS 78

EURO 0

Bank of New York Mellon

1/18/2024

$

77

US DOLLARS 367

EURO 0

Bank of New York Mellon

1/24/2024

366

US DOLLARS 1,082

NORWEGIAN KRONE 2,060

Citibank

1/26/2024

879

US DOLLARS 10

EURO 0

Bank of New York Mellon

2/7/2024

( 10

)

US DOLLARS 1,990

AUSTRALIAN DOLLARS 3,080

Bank of New York Mellon

2/12/2024

( 113

)

US DOLLARS 9,711

AUSTRALIAN DOLLARS 13,980

Bank of New York Mellon

3/5/2024

167

US DOLLARS 41

POUND STERLING 0

Bank of New York Mellon

3/5/2024

( 41

)

US DOLLARS 1,866

CANADIAN DOLLAR 2,440

Bank of New York Mellon

3/5/2024

15

US DOLLARS 52,372

EURO 48,560

Bank of New York Mellon

3/5/2024

( 1,407

)

US DOLLARS 40

POUND STERLING 0

Bank of New York Mellon

3/15/2024

( 40

)

US DOLLARS 10,773

EURO 9,890

Bank of New York Mellon

5/17/2024

( 213

)

US DOLLARS 94

POUND STERLING 0

Bank of New York Mellon

6/21/2024

94

US DOLLARS 356

POUND STERLING 0

Bank of New York Mellon

6/24/2024

360

US DOLLARS 6,998

POUND STERLING 5,830

Citibank

6/24/2024

( 427

)

US DOLLARS 10,567

POUND STERLING 8,290

Bank of New York Mellon

8/5/2024

9

US DOLLARS 1,338

CANADIAN DOLLAR 1,790

Bank of New York Mellon

12/13/2024

( 19

)

US DOLLARS 30,865

POUND STERLING 25,560

Citibank

1/9/2025

( 1,765

)

US DOLLARS 4,483

EURO 4,000

Bank of New York Mellon

1/9/2025

( 9

)

US DOLLARS 9

POUND STERLING 0

Bank of New York Mellon

6/10/2025

9

US DOLLARS 5,309

EURO 4,800

Bank of New York Mellon

6/10/2025

( 115

)

US DOLLARS 5,371

EURO 5,000

Bank of New York Mellon

6/13/2025

( 280

)

US DOLLARS 2,762

AUSTRALIAN DOLLARS 3,739

Bank of New York Mellon

7/28/2025

203

$

( 2,260

)

(1)
The investments bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (“LIBOR” or “L”), the Euro Interbank Offered Rate (“EURIBOR” or “E”), the Norwegian Interbank Offered Rate (“NIBOR” or “N”), the Copenhagen Interbank Offered Rate (“CIBOR” or “C”), Canadian Dollar LIBOR Rate (“CDOR”), the Bank Bill Swap Rate (“BBSW”), the Bank Bill Swap Bid Rate (“BBSY”), or the Prime Rate (“Prime” or “P”), the Sterling Overnight Index Average (“SONIA”) and Secured Overnight Financing Rate (“SOFR”) which reset daily, monthly, quarterly or semiannually. Investments or a portion thereof may bear Payment-in-Kind (“PIK”). For each, the Company has provided the PIK or the spread over LIBOR, EURIBOR, NIBOR, CIBOR, CDOR, BBSW, BBSY, SOFR, or Prime and the current weighted average interest rate in effect at December 31, 2023 . Certain investments are subject to a LIBOR, EURIBOR, NIBOR, CIBOR, CDOR, BBSW, SOFR, or Prime interest rate floor.
(2)
The negative fair value is the result of the capitalized discount on the loan or the unfunded commitment being valued below par.
(3)
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The investment may be subject to an unused/letter of credit facility fee.
(4)
Percentages are based on the Company’s net assets of $ 1,136,466 as of December 31, 2023 .
(5)
The negative amortized cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan.
(6)
The investment or a portion of this investment is not a qualifying asset under Section 55(a) of the Investment Company Act of 1940. The Company may not acquire any non-qualifying asset unless, at the time of acquisition, qualifying assets represent at least 70% of the Company’s total assets . As of December 31, 2023, non-qualifying assets totaled 29.14 % of the Company’s total assets.
(7)
Loan was on non-accrual status as of December 31, 2023 .
(8)
Unrealized appreciation on forward currency exchange contracts.
(9)
The principal amount (par amount) for all debt securities is denominated in U.S. dollars, unless otherwise noted. £ represents Pound Sterling, € represents Euro, NOK represents Norwegian Krone, AUD represents Australian Dollar, CAD represents Canadian Dollar and DKK represents Danish Krone.
(10)
As defined in the 1940 Act, the portfolio company is deemed to be an “affiliated person” of the Company as the Company owns 5% or more of the portfolio company’s outstanding voting securities.
(11)
As defined in the 1940 Act, the Company is deemed to “control” this portfolio company as the Company either owns more than 25% of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company.
(12)
Tick mark not used
(13)
Tick mark not used
(14)
Non-income producing.
(15)
Loan includes interest rate floor of 1.00 %.
(16)
Loan includes interest rate floor of 0.75 %.
(17)
Loan includes interest rate floor of 0.50 %.
(18)
Loan includes interest rate floor of 0.00 %.
(19)
Security valued using unobservable inputs (Level 3).

41


(20)
The Company holds controlling, affiliate interest in an aircraft-owning special purpose vehicle through this investment.
(21)
Loan includes interest rate floor of 0.25 %.
(22)
$ 188 of the total par amount for this security is at SOFR+ 5.15 %.
(23)
$ 36 of the total par amount for this security is at SOFR+ 6.26 % ( 0.50 % PIK).
(24)
$ 147 of the total par amount for this security is at P+ 5.00 %.
(25)
Security exempt from registration under the Securities Act of 1933 (the “Securities Act”), and may be deemed to be “restricted securities” under the Securities Act. As of December 31, 2023, the aggregate fair value of these securities is $ 412,880 or 36.34 % of the Company’s net assets. The acquisition dates of the restricted securities are as follows:

Investment

Acquisition Date

ACAMS

3/10/2022

ADT Pizza, LLC

10/29/2018

Ansett Aviation Training

3/24/2022

Apollo Intelligence

6/1/2022

Appriss Holdings, Inc.

5/3/2021

AQ Software Corporation

12/10/2021

AQ Software Corporation

4/14/2022

AQ Software Corporation

12/29/2022

ARL Holdings, LLC

5/3/2019

AXH Air Coolers

10/31/2023

Bain Capital Senior Loan Program, LLC

12/27/2021

BCC Jetstream Holdings Aviation (Off I), LLC

6/1/2017

BCC Jetstream Holdings Aviation (On II), LLC

6/1/2017

BCC Middle Market CLO 2018-1, LLC

2/28/2022

Blackbrush Oil & Gas, L.P.

9/3/2020

Brook Bidco

7/8/2021

CB Titan Holdings, Inc.

5/1/2017

Cloud Technology Solutions (CTS)

12/15/2022

Congress Wealth

6/30/2023

Darcy Partners

6/1/2022

DC Blox Inc.

3/22/2021

DC Blox Inc.

3/23/2021

Direct Travel, Inc.

10/2/2020

Eagle Rock Capital Corporation

12/9/2021

East BCC Coinvest II, LLC

7/23/2019

Elevator Holdco Inc.

12/23/2019

Eleven Software

4/25/2022

Elk Parent Holdings, LP

11/1/2019

FCG Acquisitions, Inc.

1/24/2019

Fineline Technologies, Inc.

2/22/2021

42


Investment

Acquisition Date

Gale Aviation (Offshore) Co

1/2/2019

Gills Point S

5/17/2023

Gluware

10/15/2021

Grammer Investment Holdings LLC

10/1/2018

HealthDrive

8/18/2023

Hultec

3/31/2023

iBanFirst Facility

7/13/2021

Insigneo Financial Group LLC

8/1/2022

International Senior Loan Program, LLC

2/22/2021

Kellstrom Aerospace Group, Inc

7/1/2019

Legacy Corporate Lending HoldCo, LLC

4/21/2023

Lightning Holdings B, LLC

1/2/2020

masLabor

7/1/2021

MZR Aggregator

12/22/2020

NPC International, Inc.

4/1/2021

Opus2

6/16/2021

Parcel2Go

7/15/2021

PPX

7/29/2021

Precision Ultimate Holdings, LLC

11/6/2019

REP Coinvest III- A Omni, L.P.

2/5/2021

Revalize, Inc.

12/29/2022

Robinson Helicopter

6/30/2022

Service Master

8/16/2021

Service Master

7/15/2021

Superna Inc.

3/8/2022

Taoglas

2/28/2023

Titan Cloud Software, Inc

11/4/2022

TLC Holdco LP

10/11/2019

Toro Private Investments II, L.P.

4/2/2019

Utimaco

6/28/2022

Ventiv Topco, Inc.

9/3/2019

Walker Edison

3/1/2023

WSP

8/31/2021

(26)
Denotes that all or a portion of the debt investment includes PIK interest during the period.
(27)
Asset is in an escrow liquidating trust.
(28)
Assets or a portion thereof are held within the BCSF Complete Financing Solution Holdco LLC.
(29)
Assets or a portion thereof are pledged as collateral for the 2019‑1 Issuer. See Note 6 “Debt” .
(30)
Cash equivalents include $ 52,802 of restricted cash.
(31)
Loan includes interest rate floor of 2.00 %.
(32)
Loan includes interest rate floor of 1.50 %.

See Notes to Consolidated Financial Statements

43


BAIN CAPITAL SPECIALTY FINANCE, INC.

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

(in thousands, except share and per share data)

(Unaudited)

Note 1. Organization

Bain Capital Specialty Finance, Inc. (the “Company”, “we”, “our” and “us”) was formed on October 5, 2015 and commenced investment operations on October 13, 2016. The Company has elected to be treated and is regulated as a business development company (a “BDC”) under the Investment Company Act of 1940, as amended (the “1940 Act”). In addition, for tax purposes the Company has elected to be treated and intends to operate in a manner so as to continuously qualify as a regulated investment company (a “RIC”) under Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”). The Company is externally managed by BCSF Advisors, LP (the “Advisor”), our investment adviser that is registered with the Securities and Exchange Commission (the “SEC”) under the Investment Advisers Act of 1940, as amended (the “Advisers Act”). The Advisor also provides the administrative services necessary for the Company to operate (in such capacity, the “Administrator”).

On November 19, 2018, the Company closed its initial public offering (the “IPO”), which was a Qualified IPO, issuing 7,500,000 shares of common stock at a public offering price of $ 20.25 per share. Shares of common stock of the Company began trading on the New York Stock Exchange under the symbol “BCSF” on November 15, 2018.

The Company’s primary focus is capitalizing on opportunities within the Advisor’s Senior Direct Lending Strategy, which seeks to provide risk-adjusted returns and current income to its stockholders by investing primarily in middle-market companies with between $ 10.0 million and $ 150.0 million in annual earnings before interest, taxes, depreciation and amortization ("EBITDA"). The Company focuses on senior investments with a first or second lien on collateral and strong structures and documentation intended to protect the lender. The Company generally seeks to retain voting control in respect of the loans or particular classes of securities in which the Company invests through maintaining affirmative voting positions or negotiating consent rights that allow the Company to retain a blocking position. The Company may also invest in mezzanine debt and other junior securities and in secondary purchases of assets or portfolios, as described below. Investments are likely to include, among other things, (i) senior first lien, stretch senior, senior second lien, unitranche, (ii) mezzanine debt and other junior investments and (iii) secondary purchases of assets or portfolios that primarily consist of middle-market corporate debt. The Company may also invest, from time to time, in equity securities, distressed debt, debtor-in-possession loans, structured products, structurally subordinate loans, investments with deferred interest features, zero-coupon securities and defaulted securities.

Our operations comprise only a single reportable segment.

Note 2. Summary of Significant Accounting Policies

Basis of Presentation

The Company’s consolidated financial statements have been prepared in accordance with generally accepted accounting principles in the United States of America (“US GAAP”). The Company’s consolidated financial statements and related financial information have been prepared pursuant to the requirements for reporting on Form 10‑Q and Regulation S-X. These consolidated financial statements reflect adjustments that in the opinion of the Company are necessary for the fair statement of the financial position and results of operations for the periods presented herein and are not necessarily indicative of the full fiscal year. The Company has determined it meets the definition of an investment company and follows the accounting and reporting guidance in the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) Topic 946 — Financial Services — Investment Companies (“ASC 946”). The functional currency of the Company is U.S. dollars and these consolidated financial statements have been prepared in that currency. Certain prior period information has been reclassified to conform to the current period presentation and this had no effect on the Company’s consolidated financial position or the consolidated results of operations as previously reported.

The information included in this Form 10-Q should be read in conjunction with the audited financial statements and notes thereto included in our Annual Report on Form 10-K for the year ended December 31, 2023.

Basis of Consolidation

The Company will generally consolidate any wholly, or substantially, owned subsidiary when the design and purpose of the subsidiary is to act as an extension of the Company’s investment operations and to facilitate the execution of the Company’s investment

44


strategy. Accordingly, the Company consolidated the results of its subsidiaries BCSF I, BCSF II C, BCSF CFSH, LLC, BCSF CFS, LLC and BCC Middle Market CLO 2019‑1, LLC in its consolidated financial statements. All intercompany transactions and balances have been eliminated in consolidation. Since the Company is an investment company, portfolio investments held by the Company are not consolidated into the consolidated financial statements. The portfolio investments held by the Company (including its investments held by consolidated subsidiaries) are included on the consolidated statements of assets and liabilities as investments at fair value.

Use of Estimates

The preparation of the consolidated financial statements in conformity with US GAAP requires the Company to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates and such differences could be material.

Valuation of Portfolio Investments

The Advisor shall value the investments owned by the Company, subject at all times to the oversight of the Company's Board of Directors (the “Board”). The Advisor shall follow its own written valuation policies and procedures as approved by the Board when determining valuations. A short summary of the Advisor’s valuation policies is below.

Investments for which market quotations are readily available are typically valued at such market quotations. Pursuant to Rule 2a-5 under the 1940 Act, the Board designates the Advisor as Valuation Designee to perform fair value determinations for the Company for investments that do not have readily available market quotations. Market quotations are obtained from an independent pricing service, where available. If a price cannot be obtained from an independent pricing service or if the independent pricing service is not deemed to be current with the market, certain investments held by the Company will be valued on the basis of prices provided by principal market makers. Generally, investments marked in this manner will be marked at the mean of the bid and ask of the independent broker quotes obtained. To validate market quotations, the Company utilizes a number of factors to determine if the quotations are representative of fair value, including the source and number of quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available will be valued at a price that reflects such security’s fair value.

With respect to unquoted portfolio investments, the Company will value each investment considering, among other measures, discounted cash flow models, comparable company multiple models, comparisons of financial ratios of peer companies that are public, and other factors. When an external event such as a purchase transaction, public offering or subsequent equity sale occurs, the Company will use the pricing indicated by the external event to corroborate and/or assist us in its valuation. 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 differ significantly from the values that would have been used had a readily available market value existed for such investments, and the differences could be material.

With respect to investments for which market quotations are not readily available, in particular, illiquid/hard to value assets, the Advisor will typically undertake a multi-step valuation process, which includes among other things, the below:

The Company’s quarterly valuation process begins with each portfolio company or investment being initially valued by the investment professionals of the Advisor responsible for the portfolio investment;
Preliminary valuation conclusions are then documented and discussed with the Company’s senior management and the Advisor;
Generally, investments that constitute a material portion of the Company’s portfolio are periodically reviewed by an independent valuation firm; and
The Board and Audit Committee provide oversight with respect to the valuation process, including requesting such materials as they deem appropriate.

In following this approach, the types of factors that are taken into account in the fair value pricing of investments include, as relevant, but are not limited to: comparison to publicly traded securities, including factors such as yield, maturity and measures of credit quality; the enterprise value of a portfolio company; the nature and realizable value of any collateral; the portfolio company’s ability to make payments and its earnings and discounted cash flows; and the markets in which the portfolio company does business. In cases where an independent valuation firm provides fair valuations for investments, the independent valuation firm provides a fair valuation

45


report, a description of the methodology used to determine the fair value and their analysis and calculations to support their concluded ranges.

The Company applies ASC Topic 820, Fair Value Measurement (“ASC 820”), which establishes a framework for measuring fair value in accordance with US GAAP and required disclosures of fair value measurements. The fair value of a financial instrument is the amount that would be received in an orderly transaction between market participants at the measurement date. The Company determines the fair value of investments consistent with its valuation policy. The Company discloses the fair value of its investments in a hierarchy which prioritizes and ranks the level of market observability used in the determination of fair value. In accordance with ASC 820, these levels are summarized below:

Level 1 — Valuations based on quoted prices (unadjusted) in active markets for identical assets or liabilities at the measurement date.
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 fair value measurement.

A financial instrument’s level within the hierarchy is based on the lowest level of any input that is significant to the fair value measurement. Valuations of Level 2 investments are generally based on quotations received from pricing services, dealers or brokers. Consideration is given to the source and nature of the quotations and the relationship of recent market activity to the quotations provided.

Transfers between levels, if any, are recognized at the beginning of the reporting period in which the transfers occur. The Company evaluates the source of inputs used in the determination of fair value, including any markets in which the investments, or similar investments, are trading. When the fair value of an investment is determined using inputs from a pricing service (or principal market makers), the Company considers various criteria in determining whether the investment should be classified as a Level 2 or Level 3 investment. Criteria considered includes the pricing methodologies of the pricing services (or principal market makers) to determine if the inputs to the valuation are observable or unobservable, as well as the number of prices obtained and an assessment of the quality of the prices obtained. The level of an investment within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement. However, the determination of what constitutes “observable” requires significant judgment.

The fair value assigned to these investments is based upon available information and may fluctuate from period to period. In addition, it does not necessarily represent the amount that might ultimately be realized upon sale. Due to inherent uncertainty of valuation, the estimated fair value of investments may differ from the value that would have been used had a ready market for the security existed, and the difference could be material.

Securities Transactions, Revenue Recognition and Expenses

The Company records its investment transactions on a trade date basis. The Company measures realized gains or losses by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment, using the specified identification method. Interest income, adjusted for amortization of premium and accretion of discount, is recorded on an accrual basis. Discount and premium to par value on investments acquired are accreted and amortized, respectively, into interest income over the life of the respective investment using the effective interest method. Commitment fees are recorded on an accrual basis and recognized as interest income. Loan origination fees, original issue discount and market discount or premium are capitalized and amortized against or accreted into interest income using the effective interest method or straight-line method, as applicable. For the Company’s investments in revolving bank loans, the cost basis of the investment purchased is adjusted for the cash received for the discount on the total balance committed. The fair value is also adjusted for price appreciation or depreciation on the unfunded portion. As a result, the purchase of commitments not completely funded may result in a negative value until it is offset by the future amounts called and funded. Upon prepayment of a loan or debt security, any prepayment premium, unamortized upfront loan origination fees and unamortized discount are recorded as interest income.

Dividend income on preferred equity investments 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 investments is recorded on the record date for private portfolio companies and on the ex-dividend date for publicly traded portfolio companies. Distributions received from an equity interest, limited liability company or a limited partnership investment are evaluated to determine if the distribution should be recorded as dividend income or a return of capital.

46


Certain investments may have contractual payment-in-kind (“PIK”) interest or dividends. PIK represents accrued interest or accumulated dividends that are added to the loan principal of the investment on the respective interest or dividend payment dates rather than being paid in cash and generally becomes due at maturity or upon being called by the issuer. PIK is recorded as interest or dividend income, as applicable. For the three and nine months ended September 30, 2024, the Company recorded $ 6.2 million and $ 22.7 million, respectively, of dividend income, of which, $ 0.9 million and $ 0.9 million, respectively, related to PIK dividends. For the three and nine months ended September 30, 2023, the Company recorded $ 8.6 million and $ 25.7 million, respectively, of dividend income, of which none related to PIK dividends. If at any point the Company believes PIK is not expected to be realized, the investment generating PIK will be placed on non-accrual status.

Certain structuring fees and amendment fees are recorded as other income when earned. Administrative agent fees received by the Company are recorded as other income when the services are rendered.

Expenses are recorded on an accrual basis.

Non-Accrual Loans

Loans or debt securities are placed on non-accrual status when there is reasonable doubt that principal or interest will be collected. Accrued interest generally is reversed when a loan or debt security is placed on non-accrual status. Interest payments received on non-accrual loans or debt securities may be recognized as income or applied to principal depending upon management’s judgment. Non-accrual loans and debt securities are restored to accrual status when past due principal and interest are paid and, in management’s judgment, principal and interest payments are likely to remain current. The Company may make exceptions to this treatment if a loan has sufficient collateral value and is in the process of collection. As of September 30, 2024 , there were nine loans from five issuers on non-accrual. As of December 31, 2023, there were five loans from three issuers on non-accrual.

Distributions

Distributions to common stockholders are recorded on the record date. The amount to be distributed, if any, is determined by the Board each quarter, and is generally based upon the earnings estimated by the Advisor. Distributions from net investment income and net realized capital gains are determined in accordance with U.S. federal income tax regulations, which may differ from those amounts determined in accordance with US GAAP. The Company may pay distributions to its stockholders in a year in excess of its investment company taxable income and net capital gain for that year and, accordingly, a portion of such distributions may constitute a return of capital for U.S. federal income tax purposes. This excess generally would be a tax-free return of capital in the period and generally would reduce the stockholder’s tax basis in its shares. These book/tax differences are either temporary or permanent in nature. To the extent these differences are permanent; they are charged or credited to paid-in capital in excess of par, accumulated undistributed net investment income or accumulated net realized gain (loss), as appropriate, in the period that the differences arise. Temporary and permanent differences are primarily attributable to differences in the tax treatment of certain loans and the tax characterization of income and non-deductible expenses.

The Company intends to timely distribute to its stockholders substantially all of its annual taxable income for each year, except that the Company may retain certain net capital gains for reinvestment and, depending upon the level of the Company’s taxable income earned in a year, the Company may choose to carry forward taxable income for distribution in the following year and incur applicable U.S. federal excise tax and pay a 4% 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 months ended September 30, 2024 and 2023, we recorded an expense of $ 1.0 million and $ 0.6 million , respectively for U.S. federal excise tax. For the nine months ended September 30, 2024 and 2023, we recorded an expense of $ 3.1 million and $ 1.9 million , respectively for U.S. federal excise tax.

The specific tax characteristics of the Company’s distributions will be reported to stockholders after the end of the calendar year. All distributions will be subject to available funds, and no assurance can be given that the Company will be able to declare such distributions in future periods.

The Company distributes net capital gains (i.e., net long-term capital gains in excess of net short-term capital losses), if any, at least annually out of the assets legally available for such distributions. However, the Company may decide in the future to retain such capital gains for investment, incur a corporate-level tax on such capital gains, and elect to treat such capital gains as deemed distributions to stockholders.

47


Dividend Reinvestment Plan

The Company has adopted a dividend reinvestment plan that provides for the reinvestment of cash dividends and distributions. Stockholders who do not “opt out” of the Company’s dividend reinvestment plan will have their cash dividends and distributions automatically reinvested in additional shares of the Company’s common stock, rather than receiving cash dividends and distributions.

Offering Costs

Offering costs consist primarily of fees and expenses incurred in connection with the offering of shares, legal, printing and other costs associated with the preparation and filing of applicable registration statements. To the extent such expenses relate to equity offerings, these expenses are charged as a reduction of paid-in-capital upon each such offering.

Cash, Restricted Cash, and Cash Equivalents

Cash and cash equivalents consist of deposits held at custodian banks, and highly liquid investments, such as money market funds, with original maturities of three months or less. Cash and cash equivalents are carried at cost or amortized cost, which approximates fair value. The Company may deposit its cash and cash equivalents in financial institutions and, at certain times, such balances may exceed the Federal Deposit Insurance Corporation insurance limits. Cash equivalents are presented separately on the consolidated schedules of investments. Restricted cash is collected and held by the trustee who has been appointed as custodian of the assets securing certain of the Company’s financing transactions.

Foreign Currency Translation

The accounting records of the Company are maintained in U.S. dollars. The fair values of foreign securities, foreign cash and other assets and liabilities denominated in foreign currency are translated to U.S. dollars based on the current exchange rates at the end of each business day. Income and expenses denominated in foreign currencies are translated at current exchange rates when accrued or incurred. Unrealized gains and losses on foreign currency holdings and non-investment assets and liabilities attributable to the changes in foreign currency exchange rates are included in the net change in unrealized appreciation on foreign currency translation on the consolidated statements of operations. Net realized gains and losses on foreign currency holdings and non-investment assets and liabilities attributable to changes in foreign currency exchange rates are included in net realized gain (loss) on foreign currency transactions on the consolidated statements of operations. The portion of both realized and unrealized gains and losses on investments that result from changes in foreign currency exchange rates is not separately disclosed, but is included in net realized gain (loss) on investments and net change in unrealized appreciation on investments, respectively, on the consolidated statements of operations.

Forward Currency Exchange Contracts

The Company may enter into forward currency exchange contracts to reduce the Company’s exposure to foreign currency exchange rate fluctuations in the value of foreign currencies. A forward currency exchange contract is an agreement between two parties to buy and sell a currency at a set price on a future date. The Company does not utilize hedge accounting and as such the Company recognizes the value of its derivatives at fair value on the consolidated statements of assets and liabilities with changes in the net unrealized appreciation on forward currency exchange contracts recorded on the consolidated statements of operations. Forward currency exchange contracts are valued using the prevailing forward currency exchange rate of the underlying currencies. Unrealized appreciation on forward currency exchange contracts are recorded on the consolidated statements of assets and liabilities by counterparty on a net basis, not taking into account collateral posted which is recorded separately, if applicable. Cash collateral maintained in accounts held by counterparties is included in collateral on forward currency exchange contracts on the consolidated statements of assets and liabilities. Notional amounts and the gross fair value of forward currency exchange contracts assets and liabilities are presented separately on the consolidated schedules of investments.

Changes in net unrealized appreciation are recorded on the consolidated statements of operations in net change in unrealized appreciation on forward currency exchange contracts. Net realized gains and losses are recorded on the consolidated statements of operations in net realized gain (loss) on forward currency exchange contracts. Realized gains and losses on forward currency exchange contracts are determined using the difference between the fair market value of the forward currency exchange contract at the time it was opened and the fair market value at the time it was closed or covered. Additionally, losses, up to the fair value, may arise if the counterparties do not perform under the contract terms.

Deferred Financing Costs and Debt Issuance Costs

The Company records costs related to issuance of revolving debt obligations as deferred financing costs. These costs are deferred and amortized using the straight-line method over the stated maturity life of the obligation. The Company records costs related

48


to the issuance of term debt obligations as debt issuance costs. These costs are deferred and amortized using the effective interest method. These costs are presented as a reduction to the outstanding principal amount of the term debt obligations on the consolidated statements of assets and liabilities. In the event that we modify or extinguish our debt before maturity, the Company follows the guidance in ASC Topic 470‑50, Modification and Extinguishments. For modifications to or exchanges of our revolving debt obligations, any unamortized deferred financing costs related to lenders who are not part of the new lending group are expensed. For extinguishments of our term debt obligations, any unamortized debt issuance costs are deducted from the carrying amount of the debt in determining the gain or loss from the extinguishment.

Income Taxes

The Company has elected to be treated for U.S. federal income tax purposes as a RIC under the Code. So long as the Company maintains its status as a RIC, it will generally not be subject to corporate-level U.S. federal income taxes on any ordinary income or capital gains that it distributes at least annually as dividends to its stockholders. As a result, any tax liability related to income earned and distributed by the Company represents obligations of the Company’s stockholders and will not be reflected in the consolidated financial statements of the Company.

The Company intends to comply with the applicable provisions of the Code pertaining to RICs and to make distributions of taxable income sufficient to relieve it from substantially all federal income taxes. Accordingly, no provision for income taxes is required in the consolidated financial statements. For income tax purposes, distributions made to stockholders are reported as ordinary income, capital gains, non-taxable return of capital, or a combination thereof. The tax character of distributions paid to stockholders through September 30, 2024 may include return of capital, however, the exact amount cannot be determined at this point. The final determination of the tax character of distributions will not be made until the Company files our tax return for the tax year ending December 31, 2024. The character of income and gains that the Company distributes is determined in accordance with income tax regulations that may differ from US GAAP. BCSF CFSH, LLC, BCSF CFS, LLC, and BCC Middle Market CLO 2019‑1, LLC are disregarded entities for tax purposes and are consolidated with the tax return of the Company.

The Company evaluates tax positions taken or expected to be taken in the course of preparing its consolidated financial statements to determine whether the tax positions are “more-likely-than-not” to be sustained by the applicable tax authority. Tax positions not deemed to meet the “more-likely-than-not” threshold are reversed and recorded as a tax benefit or expense in the current year. All penalties and interest associated with income taxes, if any, are included in income tax expense. Conclusions regarding tax positions are subject to review and may be adjusted at a later date based on factors including, but not limited to, on-going analyses of tax laws, regulations and interpretations thereof. Management has analyzed the Company’s tax positions, and has concluded that no liability for unrecognized tax benefits related to uncertain tax positions on returns to be filed by the Company for all open tax years should be recorded. The Company identifies its major tax jurisdiction as the United States, and the Company is not aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will change materially in the next 12 months. As of September 30, 2024 , the tax years that remain subject to examination are from 2020 forward.

Recent Accounting Pronouncements

In June 2022, the FASB issued ASU 2022-03, Fair Value Measurement (Topic 820), which affects all entities that have investments in equity securities measured at fair value that are subject to a contractual sale restriction. The amendments in ASU 2022-03 clarify that a contractual restriction on the sale of an equity security is not considered part of the unit of account of the equity security and, therefore, is not considered in measuring the fair value. The amendments also require additional disclosures for equity securities subject to contractual sale restrictions that are measured at fair value in accordance with Topic 820. The effective date for the amendments in ASU 2022-03 are for fiscal years beginning after December 15, 2024 and interim periods within those fiscal years. The Company is currently evaluating the impact of the adoption of ASU 2022-03 on its financial statements, however, the Company does not expect a material impact on its consolidated financial statements.

In November 2023, the FASB issued ASU 2023-07, “Segment Reporting (Topic 280): Improvements to Reportable Segment Disclosures (“ASU 2023-07”),” which enhances disclosure requirements about significant segment expenses that are regularly provided to the chief operating decision maker (the “CODM”). ASU 2023-07, among other things, (i) requires a single segment public entity to provide all of the disclosures as required by Topic 280, (ii) requires a public entity to disclose the title and position of the CODM and an explanation of how the CODM uses the reported measure(s) of segment profit or loss in assessing segment performance and deciding how to allocate resources and (iii) provides the ability for a public entity to elect more than one performance measure. ASU 2023-07 is effective for the fiscal years beginning after December 15, 2023, and interim periods beginning with the first quarter ended March 31, 2025. Early adoption is permitted and retrospective adoption is required for all prior periods presented. The Company is currently evaluating the impact of the adoption of ASU 2023-07 on its financial statements.


In December 2023, the FASB issued ASU No. 2023-09, “Income Taxes (Topic 740): Improvements to Income Tax Disclosures

49


(“ASU 2023-09”),” which intends to improve the transparency of income tax disclosures. ASU 2023-09 is effective for fiscal years beginning after December 15, 2024 and is to be adopted on a prospective basis with the option to apply retrospectively. The Company is currently assessing the impact of the adoption of ASU 2023-09 on its financial statements.

Note 3. Investments

The following table shows the composition of the investment portfolio, at amortized cost and fair value as of September 30, 2024 (with corresponding percentage of total portfolio investments):

As of September 30, 2024

Amortized Cost

Percentage of
Total Portfolio

Fair Value

Percentage of
Total Portfolio

First Lien Senior Secured Loan

$

1,540,482

63.9

%

$

1,521,521

63.2

%

Second Lien Senior Secured Loan

61,227

2.5

55,358

2.3

Subordinated Debt

47,703

2.0

46,979

2.0

Preferred Equity

142,986

5.9

171,277

7.1

Equity Interest

216,694

9.0

220,178

9.1

Warrants

478

0.0

766

0.0

Subordinated Note in Investment Vehicles (1)

337,224

14.0

337,224

14.0

Preferred Equity Interest in Investment Vehicles (1)

10

0.0

10

0.0

Equity Interest in Investment Vehicles (1)

66,209

2.7

54,637

2.3

Total

$

2,413,013

100.0

%

$

2,407,950

100.0

%

(1)
Represents debt and equity investment in ISLP and SLP (each as defined later).

The following table shows the composition of the investment portfolio, at amortized cost and fair value as of December 31, 2023 (with corresponding percentage of total portfolio investments):

As of December 31, 2023

Amortized Cost

Percentage of
Total Portfolio

Fair Value

Percentage of
Total Portfolio

First Lien Senior Secured Loans

$

1,495,237

65.0

%

$

1,464,423

63.8

%

Second Lien Senior Secured Loans

69,749

3.0

68,439

3.0

Subordinated Debt

45,400

2.0

45,877

2.0

Structured Products

24,050

1.0

22,618

1.0

Preferred Equity

86,766

3.8

104,428

4.5

Equity Interests

207,209

9.0

221,355

9.6

Warrants

480

0.0

511

0.0

Subordinated Notes in Investment Vehicles (1)

306,724

13.3

306,724

13.3

Preferred Equity Interest in Investment Vehicles (1)

10

0.0

( 1,793

)

( 0.1

)

Equity Interests in Investment Vehicles (1)

66,209

2.9

65,761

2.9

Total

$

2,301,834

100.0

%

$

2,298,343

100.0

%

(1)
Represents debt and equity investment in ISLP and SLP.

50


The following table shows the composition of the investment portfolio by geographic region, at amortized cost and fair value as of September 30, 2024 (with corresponding percentage of total portfolio investments):

As of September 30, 2024

Amortized Cost

Percentage of
Total Portfolio

Fair Value

Percentage of
Total Portfolio

USA

$

2,169,855

89.8

%

$

2,135,462

88.6

%

Cayman Islands

116,241

4.8

126,484

5.2

United Kingdom

37,449

1.6

34,991

1.5

Belgium

18,538

0.8

33,767

1.4

Germany

19,626

0.8

18,508

0.8

Australia

12,025

0.5

17,508

0.7

Ireland

12,207

0.5

13,754

0.6

Luxembourg

9,621

0.4

9,815

0.4

Netherlands

8,668

0.4

8,774

0.4

Canada

4,401

0.2

4,450

0.2

New Zealand

3,827

0.2

3,886

0.2

Guernsey

369

0.0

396

0.0

Sweden

186

0.0

155

0.0

Israel

-

0.0

-

0.0

Total

$

2,413,013

100.0

%

$

2,407,950

100.0

%

The following table shows the composition of the investment portfolio by geographic region, at amortized cost and fair value as of December 31, 2023 (with corresponding percentage of total portfolio investments):

As of December 31, 2023

Amortized Cost

Percentage of
Total Portfolio

Fair Value

Percentage of
Total Portfolio

USA

$

2,025,572

88.0

%

$

1,998,863

87.1

%

Cayman Islands

124,504

5.4

133,072

5.8

Belgium

39,439

1.7

53,619

2.3

United Kingdom

40,119

1.7

39,035

1.7

Australia

23,550

1.0

27,007

1.2

Germany

24,677

1.1

23,326

1.0

Ireland

9,394

0.4

10,001

0.4

Luxembourg

8,145

0.4

7,512

0.3

Canada

5,844

0.3

5,340

0.2

Guernsey

404

0.0

411

0.0

Sweden

186

0.0

157

0.0

Total

$

2,301,834

100.0

%

$

2,298,343

100.0

%

51


The following table shows the composition of the investment portfolio by industry, at amortized cost and fair value as of September 30, 2024 (with corresponding percentage of total portfolio investments):

As of September 30, 2024

Amortized Cost

Percentage of
Total Portfolio

Fair Value

Percentage of
Total Portfolio

Investment Vehicles (2)

$

403,443

16.8

%

$

391,871

16.4

%

Aerospace & Defense

330,073

13.7

323,397

13.4

Services: Business

206,160

8.5

221,796

9.2

High Tech Industries

202,013

8.4

197,812

8.2

Hotel, Gaming & Leisure

133,506

5.5

133,686

5.6

Consumer Goods: Non-Durable

129,649

5.4

129,664

5.4

Healthcare & Pharmaceuticals

128,116

5.3

125,287

5.2

Transportation: Cargo

103,873

4.3

114,794

4.8

Automotive

87,964

3.6

87,495

3.6

Telecommunications

77,358

3.2

83,896

3.5

Consumer Goods: Durable

78,790

3.3

68,761

2.9

FIRE: Finance (1)

61,218

2.5

63,018

2.6

Beverage, Food & Tobacco

58,047

2.4

62,144

2.6

Construction & Building

55,204

2.3

57,387

2.4

Capital Equipment

41,980

1.7

43,914

1.8

Environmental Industries

42,275

1.8

43,724

1.8

FIRE: Insurance (1)

39,067

1.6

39,614

1.6

Chemicals, Plastics & Rubber

36,443

1.5

36,073

1.5

Banking, Finance, Insurance & Real Estate

32,994

1.4

33,814

1.4

Media: Diversified & Production

33,531

1.4

31,818

1.3

Media: Advertising, Printing & Publishing

19,542

0.8

19,990

0.8

Retail

23,555

1.0

18,288

0.8

Services: Consumer

18,607

0.8

17,855

0.7

Transportation: Consumer

16,739

0.7

16,999

0.7

Wholesale

17,373

0.7

14,300

0.6

Utilities: Water

14,014

0.6

14,013

0.6

Containers, Packaging & Glass

7,646

0.3

7,748

0.3

Consumer goods: Wholesale

8,245

0.3

3,118

0.1

Media: Broadcasting & Subscription

2,863

0.1

2,893

0.1

Energy: Electricity

2,724

0.1

2,781

0.1

Energy: Oil & Gas

1

0.0

-

0.0

Total

$

2,413,013

100.0

%

$

2,407,950

100.0

%

(1)
Finance, Insurance, and Real Estate (“FIRE”).
(2)
Represents debt and equity investment in ISLP and SLP (each as defined later).

52


The following table shows the composition of the investment portfolio by industry, at amortized cost and fair value as of December 31, 2023 (with corresponding percentage of total portfolio investments):

As of December 31, 2023

Amortized Cost

Percentage of
Total Portfolio

Fair Value

Percentage of
Total Portfolio

Investment Vehicles (2)

$

372,943

16.2

%

$

370,692

16.0

%

Aerospace & Defense

361,054

15.7

351,546

15.3

High Tech Industries

218,876

9.5

217,507

9.5

Services: Business

154,646

6.7

167,623

7.3

Consumer Goods: Non-Durable

125,527

5.5

123,526

5.4

Transportation: Cargo

104,961

4.6

116,317

5.1

Transportation: Consumer

95,091

4.1

102,573

4.5

Healthcare & Pharmaceuticals

91,171

4.0

87,604

3.8

FIRE: Finance (1)

88,264

3.8

87,403

3.8

Consumer Goods: Durable

88,197

3.8

80,036

3.5

Automotive

77,911

3.4

78,757

3.4

Construction & Building

71,731

3.1

73,830

3.2

Telecommunications

69,120

3.0

69,867

3.0

Capital Equipment

58,710

2.6

57,960

2.5

FIRE: Insurance (1)

43,106

1.9

43,257

1.9

Environmental Industries

41,580

1.8

42,676

1.9

Hotel, Gaming & Leisure

42,086

1.8

39,023

1.7

Beverage, Food & Tobacco

24,831

1.1

32,029

1.4

Media: Diversified & Production

36,382

1.6

29,372

1.3

Media: Advertising, Printing & Publishing

27,442

1.2

28,892

1.3

Wholesale

22,620

1.0

20,558

0.9

Chemicals, Plastics & Rubber

16,735

0.7

16,411

0.7

Containers, Packaging & Glass

16,286

0.7

15,727

0.7

Services: Consumer

15,675

0.7

15,643

0.7

Retail

11,590

0.5

5,324

0.2

Banking, Finance, Insurance & Real Estate

5,284

0.2

5,306

0.2

Consumer goods: Wholesale

8,558

0.4

5,119

0.2

Energy: Electricity

4,739

0.2

4,790

0.2

Energy: Oil & Gas

1,107

0.0

3,499

0.2

Media: Broadcasting & Subscription

2,855

0.1

2,878

0.1

Media: Publishing

2,756

0.1

2,598

0.1

Total

$

2,301,834

100.0

%

$

2,298,343

100.0

%

(1)
Finance, Insurance, and Real Estate (“FIRE”).
(2)
Represents debt and equity investment in ISLP and SLP (each as defined later).

International Senior Loan Program, LLC

On February 9, 2021, the Company and Pantheon (“Pantheon”), a leading global alternative private markets manager, formed the International Senior Loan Program, LLC (“ISLP”), an unconsolidated joint venture. ISLP invests primarily in non-US first lien senior secured loans. ISLP was formed as a Delaware limited liability company. The Company and Pantheon committed to initially provide $ 138.3 million of debt and $ 46.1 million of equity capital, to ISLP. Equity contributions will be called from each member on a pro-rata basis, based on their equity commitments. Pursuant to the terms of the transaction, Pantheon invested $ 50.0 million to acquire a 29.5 % stake in ISLP. The Company contributed debt investments of $ 317.1 million for a 70.5 % stake in ISLP, and received a one-time gross distribution of $ 190.2 million in cash in consideration of contributing such investments. On December 14, 2023, the Company and Pantheon entered into the second amendment to the amended and restated limited liability company agreement which, among other things, increased capital commitments and changed the proportionate share ownership. The Company and Pantheon agreed to contribute an additional $ 5.0 million and $ 45.3 million, respectively, which resulted in new ownership stakes of 64.0 % and 36.0 %, respectively. As of September 30, 2024, the Company’s investment in ISLP consisted of subordinated notes of $ 190.7 million and equity interests of $ 56.5 million. As of December 31, 2023, the Company’s investment in ISLP consisted of subordinated notes of $ 190.7 million and equity interests of $ 66.1 million.

53


As of September 30, 2024, the Company had commitments with respect to its equity and subordinated note interests of ISLP in the aggregate amount of $ 254.3 million. The Company has contributed $ 254.3 million in capital and has $ 0.0 million in unfunded capital contributions. As of September 30, 2024, Pantheon had commitments with respect to its equity and subordinated note interests of ISLP in the aggregate amount of $ 149.2 million. Pantheon had contributed $ 149.2 million in capital and has $ 0.0 million in unfunded capital contributions.

As of December 31, 2023, the Company had commitments with respect to its equity and subordinated note interests of ISLP in the aggregate amount of $ 254.3 million. The Company had contributed $ 254.3 million in capital and had $ 0.0 million in unfunded capital contributions. As of December 31, 2023, Pantheon had commitments with respect to its equity and subordinated note interests of ISLP in the aggregate amount of $ 149.2 million. Pantheon had contributed $ 149.2 million in capital and had $ 0.0 million in unfunded capital contributions.

In future periods, the Company may sell certain of its investments or a participating interest in certain of its investments to ISLP. Since inception, the Company has sold $ 1,032.3 million of its investments to ISLP. The sale of the investments met the criteria set forth in ASC 860, Transfers and Servicing for treatment as a sale.

The Company has determined that ISLP is an investment company under ASC 946; however, in accordance with such guidance, the Company will generally not consolidate its investment in a company other than a wholly or substantially owned investment company subsidiary, which is an extension of the operations of the Company, or a controlled operating company whose business consists of providing services to the Company. The Company does not consolidate its investments in ISLP as it is not a substantially wholly owned investment company subsidiary. In addition, the Company does not control ISLP due to the allocation of voting rights among ISLP members. The Company measures the fair value of ISLP in accordance with ASC 820, using the net asset value (or its equivalent) as a practical expedient. The Company and Pantheon each appointed two members to ISLP’s four-person Member Designees’ Committee. All material decisions with respect to ISLP, including those involving its investment portfolio, require unanimous approval of a quorum of Member Designees’ Committee.

As of September 30, 2024, ISLP had $ 691.7 million in debt and equity investments, at fair value. As of December 31, 2023, ISLP had $ 709.8 million in debt and equity investments, at fair value.

Additionally, ISLP, through a wholly-owned subsidiary, entered into a $ 300.0 million senior secured revolving credit facility which bears interest at LIBOR (or an alternative risk-free interest rate index) plus 225 basis points with JP Morgan (the “ISLP Credit Facility Tranche A”).

On February 4, 2022, ISLP entered into the second amended and restated credit agreement, which among other things formed an additional tranche (“ISLP Credit Facility Tranche B” and collectively with ISLP Credit Facility Tranche A, the “ISLP Credit Facilities”) with an initial financing limit of $ 50.0 million on May 31, 2022, and $ 200.0 million on August 31, 2022, bringing the total facility size to $ 500.0 million.

On June 30, 2023, ISLP entered into the third amendment and restated credit agreement, which among other things, replaced LIBOR with Term SOFR and consolidated Tranche A and Tranche B, with a size of $ 500.0 million.

On September 11, 2023, ISLP entered into the fourth amended and restated credit agreement, which among other things, extended the maturity to February 9, 2027, modified concentration limitations and changed the interest rate to SOFR (or an alternative risk-free interest rate index) plus 246 basis points.

As of September 30, 2024, the ISLP Credit Facilities had $ 311.9 million of outstanding debt under the credit facility. As of December 31, 2023 the ISLP Credit Facilities had $ 320.5 million of outstanding debt under the credit facility. The combined weighted average interest rate (excluding deferred upfront financing costs and unused fees) of the aggregate borrowings outstanding for the nine months ended September 30, 2024 and year ended December 31, 2023 were 7.5 % and 6.6 % , respectively.

54


Below is a summary of ISLP’s portfolio at fair value:

As of

As of

September 30, 2024

December 31, 2023

Total investments

$

691,702

$

709,846

Weighted average yield on investments

11.1

%

11.3

%

Number of borrowers in ISLP

37

37

Largest portfolio company investment

$

52,721

$

47,432

Total of five largest portfolio company investments

$

208,009

$

206,779

Unfunded commitments

$

15,081

$

11,496

55


Below is a listing of ISLP’s individual investments as of September 30, 2024:

International Senior Loan Program, LLC

Consolidated Schedule of Investments

As of September 30, 2024

Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

Australian Dollar

Aerospace & Defense

Ansett Aviation Training (18)(19)

First Lien Senior Secured Loan

BBSY

4.69

%

9.19

%

9/24/2031

AUD

14,144

9,831

9,814

Ansett Aviation Training (14)(19)

Equity Interest

AUD

10,238

7,115

19,335

Aerospace & Defense Total

$

16,946

$

29,149

33.7

%

High Tech Industries

FNZ UK Finco Limited (18)(19)

First Lien Senior Secured Loan

BBSW

5.80

%

10.37

%

9/30/2026

AUD

7,660

4,993

5,315

High Tech Industries Total

$

4,993

$

5,315

6.1

%

Media: Advertising, Printing & Publishing

TGI Sport Bidco Pty Ltd (18)(19)

First Lien Senior Secured Loan

BBSY

7.00

%

11.35

%

4/30/2026

AUD

9,730

7,090

6,752

Media: Advertising, Printing & Publishing Total

$

7,090

$

6,752

7.8

%

Australian Dollar Total

$

29,029

$

41,216

47.6

%

British Pound

Environmental Industries

Reconomy (18)(19)

First Lien Senior Secured Loan

SONIA

6.50

%

11.45

%

7/12/2029

£

6,050

7,046

8,108

Reconomy (18)(19)

First Lien Senior Secured Loan - Delayed Draw

EURIBOR

6.25

%

9.60

%

7/12/2029

£

6,578

8,094

8,480

Reconomy (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SONIA

6.25

%

11.45

%

7/12/2029

£

3,577

4,489

4,539

Environmental Industries Total

$

19,629

$

21,127

24.5

%

FIRE: Finance

Parmenion (18)(19)

First Lien Senior Secured Loan

SONIA

5.50

%

10.70

%

5/11/2029

£

29,070

35,324

38,960

FIRE: Finance Total

$

35,324

$

38,960

45.0

%

FIRE: Insurance

Margaux UK Finance Limited (16)(19)

First Lien Senior Secured Loan

SONIA

5.50

%

10.45

%

12/19/2025

£

7,337

9,269

9,834

FIRE: Insurance Total

$

9,269

$

9,834

11.4

%

Healthcare & Pharmaceuticals

Datix Bidco Limited (2)(3)(18)(19)

First Lien Senior Secured Loan - Revolver

10/28/2024

£

-

( 19

)

Healthcare & Pharmaceuticals Total

( 19

)

0.0

%

56


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

British Pound

High Tech Industries

Access (18)(19)

First Lien Senior Secured Loan

SONIA

5.25

%

10.20

%

6/28/2029

£

7,880

9,113

10,561

Access (18)(19)

First Lien Senior Secured Loan

SONIA

5.25

%

10.20

%

6/28/2029

£

9,764

11,887

13,086

Cloud Technology Solutions (CTS) (15)(19)(26)

First Lien Senior Secured Loan

SONIA

7.00 % ( 1.00 % PIK)

13.20

%

1/3/2030

£

9,042

11,430

12,118

High Tech Industries Total

$

32,430

$

35,765

41.3

%

Media: Advertising, Printing & Publishing

Kpler (15)(19)

First Lien Senior Secured Loan

SONIA

6.50

%

11.21

%

3/3/2030

£

4,312

5,495

5,779

OGH Bidco Limited (18)(19)

First Lien Senior Secured Loan

SOFR

6.25

%

11.60

%

9/2/2029

£

5,172

6,073

5,674

OGH Bidco Limited (18)(19)

First Lien Senior Secured Loan

SONIA

6.50

%

11.70

%

6/29/2029

£

13,160

15,218

16,623

Media: Advertising, Printing & Publishing Total

$

26,786

$

28,076

32.4

%

Services: Business

Beneficium (15)(19)

First Lien Senior Secured Loan

SONIA

5.50

%

10.45

%

6/28/2031

£

7,497

9,714

9,997

Brook Bidco (18)(19)(26)

First Lien Senior Secured Loan

SONIA

4.00 % ( 3.50 % PIK)

12.57

%

7/10/2028

£

25,884

34,803

34,690

Datix Bidco Limited (18)(19)

First Lien Senior Secured Loan

SONIA

5.50

%

10.80

%

4/30/2031

£

8,160

10,468

10,772

Learning Pool (16)(19)(26)

First Lien Senior Secured Loan

SOFR

4.00 % ( 3.50 % PIK)

12.85

%

7/10/2028

£

5,707

7,541

7,540

Learning Pool (16)(19)(26)

First Lien Senior Secured Loan

SOFR

4.00 % ( 3.50 % PIK)

12.85

%

7/10/2028

£

7,941

10,491

10,491

Opus2 (18)(19)

First Lien Senior Secured Loan

SONIA

5.53

%

10.79

%

5/5/2028

£

12,151

16,495

16,285

Parcel2Go (7)(14)(18)(19)(26)

First Lien Senior Secured Loan

SONIA

6.00

%

11.20

%

7/17/2028

£

12,674

16,883

4,247

Parcel2Go (2)(3)(7)(14)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.00

%

11.20

%

7/17/2028

£

3,910

5,135

( 1,433

)

TES Global (3)(18)(19)

First Lien Senior Secured Loan - Revolver

1/27/2029

£

( 8

)

TES Global (18)(19)

First Lien Senior Secured Loan

SONIA

5.00

%

10.30

%

7/12/2029

£

14,364

17,642

19,154

Services: Business Total

$

129,172

$

111,735

129.1

%

Services: Consumer

Surrey Bidco Limited (18)(19)(26)

First Lien Senior Secured Loan

SONIA

6.28 % PIK

11.23

%

5/11/2026

£

6,771

8,368

6,896

Services: Consumer Total

$

8,368

$

6,896

8.0

%

British Pound Total

$

260,978

$

252,374

291.7

%

57


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

Canadian Dollar

Retail

New Look (Delaware) Corporation (15)(19)(26)

First Lien Senior Secured Loan

CORRA

4.32 % ( 2.00 % PIK)

10.25

%

5/26/2028

CAD

17,913

14,684

13,130

New Look Vision Group (15)(19)

First Lien Senior Secured Loan - Delayed Draw

CORRA

5.82

%

9.75

%

5/26/2028

CAD

1,177

908

862

New Look Vision Group (15)(19)

First Lien Senior Secured Loan - Delayed Draw

CORRA

5.82

%

9.75

%

5/26/2028

CAD

2,260

1,622

1,656

Retail Total

.

$

17,214

$

15,648

18.1

%

Canadian Dollar Total

$

17,214

$

15,648

18.1

%

Danish Krone

High Tech Industries

VPARK BIDCO AB (18)(19)

First Lien Senior Secured Loan

CIBOR

4.00

%

7.32

%

3/10/2025

DKK

56,429

9,231

8,440

High Tech Industries Total

$

9,231

$

8,440

9.8

%

Danish Krone Total

$

9,231

$

8,440

9.8

%

European Currency

Chemicals, Plastics & Rubber

V Global Holdings LLC (16)(19)

First Lien Senior Secured Loan

EURIBOR

5.75

%

9.29

%

12/22/2027

9,212

9,325

9,730

Chemicals, Plastics & Rubber Total

$

9,325

$

9,730

11.2

%

Environmental Industries

Reconomy (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25

%

9.60

%

7/12/2029

2,440

2,475

2,720

Environmental Industries Total

$

2,475

$

2,720

3.1

%

FIRE: Insurance

MRHT (15)(19)

First Lien Senior Secured Loan

EURIBOR

6.50

%

10.08

%

2/1/2029

12,000

12,989

13,378

MRHT (15)(19)

First Lien Senior Secured Loan - Revolver

EURIBOR

6.25

%

9.77

%

2/1/2029

5,069

5,489

5,650

FIRE: Insurance Total

$

18,478

$

19,028

22.0

%

58


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

European Currency

Healthcare & Pharmaceuticals

Mertus 522. GmbH (18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

10.16

%

5/28/2026

13,125

15,893

14,120

Mertus 522. GmbH (18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

10.77

%

5/28/2026

22,413

27,145

24,112

Pharmathen (18)(19)

First Lien Senior Secured Loan- Revolver

EURIBOR

5.73

%

9.40

%

10/25/2028

13,492

15,073

15,041

Pharmathen (3)(18)(19)

First Lien Senior Secured Loan- Revolver

EURIBOR

5.73

%

9.40

%

10/25/2028

2,239

2,405

2,500

Healthcare & Pharmaceuticals Total

$

60,516

$

55,773

64.4

%

High Tech Industries

Onventis (15)(19)

First Lien Senior Secured Loan - Delayed Draw

EURIBOR

7.25

%

10.94

%

1/14/2030

13,919

15,094

15,517

Utimaco (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25

%

10.00

%

5/14/2029

8,250

8,355

9,013

High Tech Industries Total

$

23,449

$

24,530

28.4

%

Media: Advertising, Printing & Publishing

Kpler (15)(19)

First Lien Senior Secured Loan

EURIBOR

6.25

%

9.63

%

3/3/2030

14,981

16,242

16,701

Kpler (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25

%

9.63

%

3/3/2030

3,246

3,519

3,619

Media: Advertising, Printing & Publishing Total

$

19,761

$

20,320

23.5

%

Media: Broadcasting & Subscription

Lightning Finco Limited (18)(19)

First Lien Senior Secured Loan

EURIBOR

5.50

%

9.17

%

8/31/2028

2,619

2,951

2,920

Media: Broadcasting & Subscription Total

$

2,951

$

2,920

3.4

%

Media: Diversified & Production

Aptus 1724. Gmbh (19)(21)(26)

First Lien Senior Secured Loan

EURIBOR

6.00 % ( 1.50 % PIK)

10.97

%

2/23/2028

35,370

41,712

35,488

Media: Diversified & Production Total

$

41,712

$

35,488

41.0

%

Services: Business

iBanFirst (18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.71

%

7/13/2028

13,646

15,339

15,212

Webcentral (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25

%

9.41

%

3/3/2030

3,423

3,777

3,796

Services: Business Total

$

19,116

$

19,008

22.0

%

European Currency Total

$

197,783

$

189,517

219.0

%

Norwegian Krone

High Tech Industries

VPARK BIDCO AB (18)(19)

First Lien Senior Secured Loan

NIBOR

4.00

%

8.64

%

3/10/2025

NOK

73,280

8,651

6,962

High Tech Industries Total

$

8,651

$

6,962

8.0

%

Services: Business

Spring Finco BV (18)(19)

First Lien Senior Secured Loan

NIBOR

5.50

%

10.14

%

7/15/2029

NOK

174,360

16,601

16,566

Services: Business Total

$

16,601

$

16,566

19.1

%

Norwegian Krone Total

$

25,252

$

23,528

27.1

%

59


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

U.S. Dollar

Automotive

Cardo (18)(19)

First Lien Senior Secured Loan

SOFR

5.25

%

10.58

%

5/12/2028

$

9,653

9,600

9,653

Automotive Total

$

9,600

$

9,653

11.2

%

Chemicals, Plastics & Rubber

V Global Holdings LLC (16)(19)

First Lien Senior Secured Loan

SOFR

5.90

%

10.97

%

12/22/2027

$

23,102

23,102

22,005

Chemicals, Plastics & Rubber Total

$

23,102

$

22,005

25.4

%

Consumer Goods: Durable

Stanton Carpet (15)(19)

Second Lien Senior Secured Loan

SOFR

9.15

%

14.47

%

3/31/2028

$

5,000

4,953

5,000

Consumer Goods: Durable Total

$

4,953

$

5,000

5.8

%

High Tech Industries

CB Nike IntermediateCo Ltd (3)(18)(19)

First Lien Senior Secured Loan - Revolver

10/31/2025

$

NearMap (15)(19)

First Lien Senior Secured Loan

SOFR

5.75

%

11.03

%

12/9/2029

$

23,401

23,221

23,401

Utimaco (16)(19)

First Lien Senior Secured Loan

SOFR

6.68

%

11.99

%

5/14/2029

$

16,450

16,335

16,121

Utimaco (16)(19)

First Lien Senior Secured Loan

SOFR

6.68

%

11.99

%

5/14/2029

$

8,550

8,490

8,379

High Tech Industries Total

$

48,046

$

47,901

55.4

%

Media: Broadcasting & Subscription

Lightning Finco Limited (16)(19)

First Lien Senior Secured Loan

SOFR

5.93

%

10.77

%

8/31/2028

$

23,907

23,785

23,907

Media: Broadcasting and Subscription Total

$

23,785

$

23,907

27.6

%

Media: Diversified & Production

Aptus 1724 Gmbh (19)(21)(26)

First Lien Senior Secured Loan

SOFR

6.15 % ( 1.50 % PIK)

12.60

%

2/23/2028

$

10,106

10,067

9,095

Media: Diversified & Production Total

$

10,067

$

9,095

10.5

%

60


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

U.S. Dollar

Services: Business

Avalon Acquiror, Inc. (15)(19)

First Lien Senior Secured Loan

SOFR

6.25

%

10.85

%

3/10/2028

$

11,730

11,660

11,613

Chamber Bidco Limited (18)(19)

First Lien Senior Secured Loan

SOFR

6.00

%

11.32

%

6/2/2028

$

21,081

20,966

21,081

Smartronix (15)(19)

First Lien Senior Secured Loan

SOFR

6.10

%

10.35

%

11/23/2028

$

10,724

10,639

10,724

Services: Business Total

$

43,265

$

43,418

50.2

%

U.S. Dollar Total

$

162,818

$

160,979

186.1

%

Total

$

702,305

$

691,702

799.4

%

61


Forward Foreign Currency Exchange Contracts

Settlement

Unrealized

Currency Purchased

Currency Sold

Counterparty

Date

Appreciation (8)

AUSTRALIAN DOLLARS 480

EURO 292

Morgan Stanley

06/10/2025

$

3

EURO 3,061

AUSTRALIAN DOLLARS 4,980

Morgan Stanley

06/10/2025

( 3

)

EURO 2,199

AUSTRALIAN DOLLARS 3,690

Standard Chartered

06/10/2025

( 80

)

EURO 2,034

AUSTRALIAN DOLLARS 3,280

Standard Chartered

10/15/2024

( 4

)

AUSTRALIAN DOLLARS 1,780

US DOLLARS 1,200

Standard Chartered

10/15/2024

35

US DOLLARS 679

AUSTRALIAN DOLLARS 1,035

Standard Chartered

03/20/2025

( 39

)

US DOLLARS 13,555

AUSTRALIAN DOLLARS 19,560

Morgan Stanley

06/10/2025

( 4

)

US DOLLARS 7,026

AUSTRALIAN DOLLARS 10,830

Standard Chartered

06/10/2025

( 482

)

US DOLLARS 8,569

AUSTRALIAN DOLLARS 12,625

Standard Chartered

10/15/2024

( 189

)

EURO 230

BRITISH POUNDS 200

Morgan Stanley

01/21/2025

( 11

)

EURO 3,118

BRITISH POUNDS 2,840

Morgan Stanley

06/12/2025

( 286

)

EURO 4,556

BRITISH POUNDS 3,850

Standard Chartered

10/15/2024

( 75

)

EURO 755

BRITISH POUNDS 682

Morgan Stanley

11/10/2025

( 54

)

BRITISH POUNDS 200

EURO 231

Morgan Stanley

01/21/2025

9

BRITISH POUNDS 290

EURO 344

Standard Chartered

10/15/2024

5

BRITISH POUNDS 550

EURO 628

Morgan Stanley

11/10/2025

23

BRITISH POUNDS 1,060

US DOLLARS 1,379

Goldman Sachs

10/15/2024

42

US DOLLARS 1,833

BRITISH POUNDS 1,447

Morgan Stanley

01/21/2025

( 106

)

US DOLLARS 2,734

BRITISH POUNDS 2,170

Morgan Stanley

02/14/2025

( 174

)

US DOLLARS 751

BRITISH POUNDS 590

Goldman Sachs

03/20/2025

( 39

)

US DOLLARS 2,797

BRITISH POUNDS 2,220

Morgan Stanley

05/13/2025

( 175

)

US DOLLARS 13,374

BRITISH POUNDS 10,983

Morgan Stanley

06/10/2025

( 1,319

)

US DOLLARS 1,000

BRITISH POUNDS 840

Standard Chartered

06/10/2025

( 124

)

US DOLLARS 502

BRITISH POUNDS 402

Standard Chartered

06/10/2025

( 36

)

US DOLLARS 8,384

BRITISH POUNDS 6,490

Goldman Sachs

10/15/2024

( 319

)

CANADIAN DOLLARS 195

EURO 130

Standard Chartered

10/15/2024

( 1

)

EURO 316

CANADIAN DOLLARS 471

Morgan Stanley

03/21/2025

5

EURO 515

CANADIAN DOLLARS 765

Standard Chartered

10/15/2024

9

CANADIAN DOLLARS 730

US DOLLARS 535

Standard Chartered

10/15/2024

6

US DOLLARS 1,356

CANADIAN DOLLARS 1,830

Morgan Stanley

03/21/2025

( 4

)

US DOLLARS 2,010

CANADIAN DOLLARS 2,735

Standard Chartered

10/15/2024

( 16

)

DANISH KRONE 380

EURO 51

Standard Chartered

10/15/2024

EURO 959

DANISH KRONE 7,153

Standard Chartered

10/15/2024

( 1

)

DANISH KRONE 1,410

US DOLLARS 208

Standard Chartered

10/15/2024

4

US DOLLARS 3,856

DANISH KRONE 26,367

Standard Chartered

10/15/2024

( 95

)

EURO 930

NORWEGIAN KRONE 10,868

Standard Chartered

10/15/2024

6

EURO 1,614

US DOLLARS 1,790

Morgan Stanley

01/09/2025

19

EURO 16,565

US DOLLARS 18,170

Standard Chartered

01/09/2025

394

EURO 666

US DOLLARS 740

Morgan Stanley

06/18/2025

10

EURO 611

US DOLLARS 680

Standard Chartered

06/23/2025

9

EURO 13,473

US DOLLARS 14,710

Standard Chartered

10/15/2024

336

EURO 4,308

US DOLLARS 4,730

Morgan Stanley

10/23/2024

83

EURO 4,299

US DOLLARS 4,650

Standard Chartered

12/13/2024

163

NORWEGIAN KRONE 1,860

EURO 158

Standard Chartered

10/15/2024

US DOLLARS 6,640

EURO 6,081

Standard Chartered

10/15/2024

( 152

)

EURO 3,300

US DOLLARS 3,657

Standard Chartered

12/18/2024

38

US DOLLARS 634

EURO 580

Morgan Stanley

02/12/2025

( 16

)

US DOLLARS 4,795

EURO 4,371

Morgan Stanley

02/28/2025

( 111

)

US DOLLARS 23,690

EURO 21,780

Standard Chartered

06/10/2025

( 849

)

US DOLLARS 29,735

EURO 27,270

Standard Chartered

10/15/2024

( 717

)

US DOLLARS 1,425

EURO 1,290

Morgan Stanley

11/10/2025

( 37

)

US DOLLARS 30,672

EURO 27,695

Standard Chartered

12/18/2024

( 336

)

NORWEGIAN KRONE 6,865

US DOLLARS 642

Standard Chartered

10/15/2024

10

US DOLLARS 3,740

NORWEGIAN KRONE 40,062

Standard Chartered

10/15/2024

( 66

)

$

( 4,711

)

(1)
The investments bear interest at a rate that may be determined by reference to the Euro Interbank Offered Rate (“EURIBOR” or “E”), the Norwegian Interbank Offered Rate (“NIBOR” or “N”), the Copenhagen Interbank Offered Rate (“CIBOR” or “C”), Canadian Dollar LIBOR Rate (“CDOR”), the Canadian Overnight Repo Rate Average ("CORRA"), the Bank Bill Swap Rate (“BBSW”), the Bank Bill Swap Bid Rate (“BBSY”), the Prime Rate (“Prime” or “P”), the Sterling Overnight Index Average (“SONIA”) or Secured Overnight Financing Rate (“SOFR”) which reset daily, monthly, quarterly or semiannually. Investments or a portion thereof may bear Payment-in-Kind (“PIK”). For each, the Company has provided the PIK or the spread over EURIBOR, NIBOR, CIBOR, CDOR, BBSW, BBSY, SONIA, Prime, or SOFR and the current weighted average interest rate in effect at September 30, 2024 . Certain investments are subject to a EURIBOR, NIBOR, CIBOR, CDOR, BBSW, BBSY, Prime, SONIA, or SOFR interest rate floor.
(2)
The negative fair value is the result of the capitalized discount on the loan or the unfunded commitment being valued below par.

62


(3)
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The investment may be subject to an unused/letter of credit facility fee.
(4)
Percentages are based on ISLP's net assets (in thousands) of $ 86,523 as of September 30, 2024 .
(5)
Tick mark not used
(6)
Tick mark not used
(7)
Loan was on non-accrual status as of September 30, 2024
(8)
Unrealized appreciation/(depreciation) on forward currency exchange contracts.
(9)
The principal amount (par amount) for all debt securities is denominated in U.S. dollars, unless otherwise noted. £ represents Pound Sterling, € represents Euro, NOK represents Norwegian Krone, AUD represents Australian Dollar, CAD represents Canadian Dollar and DKK represents Danish Krone.
(10)
Tick mark not used
(11)
Tick mark not used
(12)
Tick mark not used
(13)
Tick mark not used
(14)
Non-income producing.
(15)
Loan includes interest rate floor of 1.00 %.
(16)
Loan includes interest rate floor of 0.75 %.
(17)
Tick mark not used
(18)
Loan includes interest rate floor of 0.00 %.
(19)
Security valued using unobservable inputs (Level 3).
(20)
Tick mark not used
(21)
Loan includes interest rate floor of 0.25 %.
(22)
Tick mark not used
(23)
Tick mark not used
(24)
Tick mark not used
(25)
Tick mark not used
(26)
Denotes that all or a portion of the debt investment includes PIK interest during the period.

63


Below is a listing of ISLP’s individual investments as of December 31, 2023:

International Senior Loan Program, LLC

Consolidated Schedule of Investments

As of December 31, 2023

Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

Australian Dollar

Aerospace & Defense

Ansett Aviation Training (18)(19)

First Lien Senior Secured Loan

BBSY

4.69

%

9.19

%

9/24/2031

AUD

14,144

9,830

9,635

Ansett Aviation Training (14)(19)

Equity Interest

AUD

10,238

7,115

15,033

Aerospace & Defense Total

$

16,945

$

24,668

23.9

%

FIRE: Finance

FNZ UK Finco Limited (18)(19)

First Lien Senior Secured Loan

L

5.75

%

10.37

%

9/30/2026

AUD

7,660

4,952

5,218

FIRE: Finance Total

$

4,952

$

5,218

5.1

%

Healthcare & Pharmaceuticals

Datix Bidco Limited (18)(19)

First Lien Senior Secured Loan

BBSW

4.50

%

9.29

%

4/28/2025

AUD

4,169

3,295

2,840

Healthcare & Pharmaceuticals Total

$

3,295

$

2,840

2.8

%

Media: Advertising, Printing & Publishing

TGI Sport Bidco Pty Ltd (17)(19)

First Lien Senior Secured Loan

BBSW

7.00

%

11.36

%

4/30/2026

AUD

9,730

7,056

6,628

Media: Advertising, Printing & Publishing Total

$

7,056

$

6,628

6.4

%

Services: Consumer

Zeppelin BidCo Pty Limited (18)(19)

First Lien Senior Secured Loan

BBSY

5.00

%

9.15

%

7/12/2024

AUD

20,415

16,126

13,907

Services: Consumer Total

$

16,126

$

13,907

13.5

%

Australian Dollar Total

$

48,374

$

53,261

51.7

%

British Pound

Environmental Industries

Reconomy (18)(19)

First Lien Senior Secured Loan

SONIA

6.25

%

11.44

%

6/25/2029

£

6,050

7,045

7,702

Reconomy (18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

6.25

%

11.44

%

6/25/2029

£

6,578

8,094

8,285

Environmental Industries Total

$

15,139

$

15,987

15.5

%

FIRE: Finance

Parmenion (15)(19)

First Lien Senior Secured Loan

SONIA

5.50

%

10.69

%

5/11/2029

£

29,070

35,256

37,009

FIRE: Finance Total

$

35,256

$

37,009

35.9

%

FIRE: Insurance

Paisley Bidco Limited (18)(19)

First Lien Senior Secured Loan - Revolver

EURIBOR

5.50

%

9.45

%

11/26/2028

£

6,373

8,019

8,197

FIRE: Insurance Total

$

8,019

$

8,197

8.0

%

Healthcare & Pharmaceuticals

Datix Bidco Limited (3)(18)(19)

First Lien Senior Secured Loan - Revolver

SONIA

4.50

%

9.69

%

10/28/2024

£

639

773

813

Datix Bidco Limited (18)(19)

Second Lien Senior Secured Loan

SONIA

7.75

%

12.94

%

4/27/2026

£

12,013

16,916

15,293

Healthcare & Pharmaceuticals Total

$

17,689

$

16,106

15.6

%

64


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

British Pound

High Tech Industries

Access (18)(19)

First Lien Senior Secured Loan

SONIA

5.25

%

10.44

%

6/4/2029

£

7,880

9,100

10,032

Access (18)(19)

First Lien Senior Secured Loan

SONIA

5.25

%

10.44

%

6/4/2029

£

9,764

11,887

12,431

High Tech Industries Total

$

20,987

$

22,463

21.8

%

Media: Diversified & Production

OGH Bidco Limited (18)(19)

First Lien Senior Secured Loan

SONIA

6.50

%

11.69

%

6/29/2029

£

13,160

15,196

15,916

OGH Bidco Limited (18)(19)

First Lien Senior Secured Loan

SOFR

6.50

%

11.80

%

9/2/2029

£

5,172

6,073

5,744

Media: Diversified & Production Total

$

21,269

$

21,660

21.0

%

Services: Business

Brook Bidco (18)(19)(26)

First Lien Senior Secured Loan

SONIA

7.37 % PIK

12.56

%

7/10/2028

£

24,106

32,510

30,689

Caribou Bidco Limited (18)(19)

First Lien Senior Secured Loan

SONIA

5.25

%

10.49

%

2/1/2029

£

27,570

34,013

35,099

Caribou Bidco Limited (3)(18)(19)

First Lien Senior Secured Loan - Delayed Draw

SONIA

5.25

%

10.44

%

2/1/2029

£

1,576

1,955

2,007

Learning Pool (16)(19)(26)

First Lien Senior Secured Loan

SOFR

7.51 % PIK

12.81

%

7/7/2028

£

5,299

7,002

7,002

Learning Pool (16)(19)(26)

First Lien Senior Secured Loan

SOFR

7.51 % PIK

12.81

%

7/7/2028

£

7,373

9,741

9,741

Opus2 (18)(19)

First Lien Senior Secured Loan

SONIA

5.03

%

10.22

%

5/5/2028

£

12,151

16,442

15,470

Parcel2Go (18)(19)(26)

First Lien Senior Secured Loan

SONIA

3.25 % ( 3.00 % PIK)

11.44

%

7/17/2028

£

12,488

16,856

14,864

Parcel2Go (3)(18)(19)(26)

First Lien Senior Secured Loan - Delayed Draw

SONIA

3.00 % ( 3.00 % PIK)

11.19

%

7/17/2028

£

3,854

5,133

4,361

Services: Business Total

$

123,652

$

119,233

115.8

%

Services: Consumer

Surrey Bidco Limited (17)(19)(26)

First Lien Senior Secured Loan

SONIA

7.28 % PIK

11.46

%

5/11/2026

£

5,997

7,317

6,107

Services: Consumer Total

$

7,317

$

6,107

5.9

%

British Pound Total

$

249,328

$

246,762

239.5

%

65


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

Canadian Dollar

Media: Diversified & Production

9 Story Media Group Inc. (16)(19)

First Lien Senior Secured Loan

CDOR

5.25

%

10.74

%

4/30/2026

CAD

6,729

5,342

5,081

9 Story Media Group Inc. (3)(18)(19)

First Lien Senior Secured Loan - Revolver

CDOR

5.25

%

10.67

%

4/30/2026

CAD

20

15

15

Media: Diversified & Production Total

$

5,357

$

5,096

4.9

%

Retail

New Look (Delaware) Corporation (18)(19)(26)

First Lien Senior Secured Loan

SOFR

4.00 % ( 2.00 % PIK)

11.43

%

5/26/2028

CAD

17,776

14,574

13,087

New Look Vision Group (15)(19)

First Lien Senior Secured Loan - Delayed Draw

CDOR

5.50

%

10.93

%

5/26/2028

CAD

1,186

915

873

New Look Vision Group (18)(19)

First Lien Senior Secured Loan - Delayed Draw

CDOR

5.50

%

10.93

%

5/26/2028

CAD

2,277

1,633

1,677

Retail Total

$

17,122

$

15,637

15.2

%

Canadian Dollar Total

$

22,479

$

20,733

20.1

%

Danish Krone

High Tech Industries

VPARK BIDCO AB (16)(19)

First Lien Senior Secured Loan

CIBOR

4.00

%

7.87

%

3/10/2025

DKK

56,429

9,231

8,356

High Tech Industries Total

$

9,231

$

8,356

8.1

%

Danish Krone Total

$

9,231

$

8,356

8.1

%

European Currency

Chemicals, Plastics, & Rubber

V Global Holdings LLC (16)(19)

First Lien Senior Secured Loan

EURIBOR

5.75

%

9.85

%

12/22/2027

9,259

9,355

9,633

Chemicals, Plastics, & Rubber Total

$

9,355

$

9,633

9.4

%

Environmental Industries

Reconomy (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.00

%

9.93

%

6/25/2029

2,440

2,475

2,694

Environmental Industries Total

$

2,475

$

2,694

2.6

%

FIRE: Insurance

MRHT (15)(19)

First Lien Senior Secured Loan

EURIBOR

6.75

%

10.72

%

2/1/2029

12,000

12,973

13,181

Paisley Bidco Limited (18)(19)

First Lien Senior Secured Loan - Revolver

EURIBOR

5.50

%

9.45

%

11/26/2028

3,178

3,367

3,508

FIRE: Insurance Total

$

16,340

$

16,689

16.2

%

66


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

European Currency

Healthcare & Pharmaceuticals

Mertus 522. GmbH (18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

10.90

%

5/28/2026

13,029

15,766

14,023

Mertus 522. GmbH (18)(19)(26)

First Lien Senior Secured Loan

EURIBOR

6.25 % ( 0.75 % PIK)

11.03

%

5/28/2026

22,328

27,014

24,032

Pharmathen (18)(19)

First Lien Senior Secured Loan- Revolver

EURIBOR

5.73

%

9.62

%

10/25/2028

13,492

15,030

14,894

Pharmathen (3)(18)(19)

First Lien Senior Secured Loan- Revolver

EURIBOR

5.73

%

9.62

%

10/25/2028

1,754

1,874

1,937

Healthcare & Pharmaceuticals Total

$

59,684

$

54,886

53.2

%

High Tech Industries

Onventis (15)(19)

First Lien Senior Secured Loan - Delayed Draw

EURIBOR

7.50

%

11.47

%

1/12/2030

5,000

5,321

5,520

Utimaco (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.25

%

10.28

%

5/14/2029

8,250

8,344

8,902

High Tech Industries Total

$

13,665

$

14,422

14.0

%

Media: Broadcasting & Subscription

Lightning Finco Limited (16)(19)

First Lien Senior Secured Loan

EURIBOR

5.50

%

9.39

%

8/31/2028

2,619

2,951

2,891

Media: Broadcasting & Subscription Total

$

2,951

$

2,891

2.8

%

Media: Diversified & Production

9 Story Media Group Inc. (18)(19)

First Lien Senior Secured Loan

EURIBOR

5.25

%

9.21

%

4/30/2026

3,627

4,412

4,004

Aptus 1724 Gmbh (18)(19)

First Lien Senior Secured Loan

EURIBOR

6.00

%

9.96

%

2/23/2028

35,000

41,354

37,477

Media: Diversified & Production Total

$

45,766

$

41,481

40.3

%

Services: Business

iBanFirst (19)(26)(32)

First Lien Senior Secured Loan

EURIBOR

10.00 % PIK

13.91

%

7/13/2028

12,297

13,843

13,574

SumUp Holdings Luxembourg S.à.r.l. (19)(32)

First Lien Senior Secured Loan

EURIBOR

8.25

%

12.21

%

2/17/2026

30,900

35,497

34,111

Services: Business Total

$

49,340

$

47,685

46.3

%

European Currency Total

$

199,576

$

190,381

184.8

%

Norwegian Krone

High Tech Industries

VPARK BIDCO AB (16)(19)

First Lien Senior Secured Loan

NIBOR

4.00

%

8.54

%

3/10/2025

NOK

73,280

8,651

7,204

High Tech Industries Total

$

8,651

$

7,204

7.0

%

Services: Business

Spring Finco BV (18)(19)

First Lien Senior Secured Loan

NIBOR

5.50

%

10.12

%

7/15/2029

NOK

174,360

16,600

17,140

Services: Business Total

$

16,600

$

17,140

16.6

%

Norwegian Krone Total

$

25,251

$

24,344

23.6

%

67


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

U.S. Dollar

Automotive

Cardo (18)(19)

First Lien Senior Secured Loan

SOFR

5.15

%

10.54

%

5/12/2028

$

9,653

9,589

9,653

Automotive Total

$

9,589

$

9,653

9.4

%

Chemicals, Plastics & Rubber

V Global Holdings LLC (16)(19)

First Lien Senior Secured Loan

SOFR

6.00

%

11.43

%

12/22/2027

$

23,280

23,280

22,523

Chemicals, Plastics & Rubber Total

$

23,280

$

22,523

21.9

%

Consumer Goods: Durable

Stanton Carpet (15)(19)

Second Lien Senior Secured Loan

SOFR

9.15

%

14.56

%

3/31/2028

$

5,000

4,944

5,000

Consumer Goods: Durable Total

$

4,944

$

5,000

4.9

%

Consumer Goods: Non-durable

RoC Opco LLC (15)(19)

First Lien Senior Secured Loan

SOFR

7.60

%

12.95

%

2/25/2025

$

15,714

15,714

15,714

Consumer Goods: Non-durable Total

$

15,714

$

15,714

15.3

%

High Tech Industries

CB Nike IntermediateCo Ltd (3)(15)(19)

First Lien Senior Secured Loan - Revolver

10/31/2025

$

NearMap (18)(19)

First Lien Senior Secured Loan

SOFR

7.25

%

12.61

%

12/9/2029

$

11,800

11,593

11,800

Utimaco (18)(19)

First Lien Senior Secured Loan

SOFR

6.68

%

11.99

%

5/14/2029

$

16,450

16,316

16,079

Utimaco (18)(19)

First Lien Senior Secured Loan

SOFR

6.68

%

11.99

%

5/14/2029

$

8,550

8,481

8,358

High Tech Industries Total

$

36,390

$

36,237

35.2

%

Media: Broadcasting & Subscription

Lightning Finco Limited (16)(19)

First Lien Senior Secured Loan

SOFR

5.93

%

11.24

%

8/31/2028

$

23,907

23,761

23,907

Media: Broadcasting and Subscription Total

$

23,761

$

23,907

23.2

%

Media: Diversified & Production

Aptus 1724 Gmbh (19)(21)

First Lien Senior Secured Loan

SOFR

6.25

%

11.78

%

2/23/2028

$

10,000

9,953

9,700

Media: Diversified & Production Total

$

9,953

$

9,700

9.4

%

68


Interest

Maturity

Principal /

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Shares (9)

Cost

Value

Equity (4)

U.S. Dollar

Services: Business

Avalon Acquiror, Inc. (18)(19)

First Lien Senior Secured Loan

SOFR

6.25

%

11.60

%

3/10/2028

$

11,820

11,735

11,495

Chamber Bidco Limited (17)(19)

First Lien Senior Secured Loan

SOFR

6.25

%

11.57

%

6/7/2028

$

21,081

20,942

21,081

Smartronix (15)(19)

First Lien Senior Secured Loan

SOFR

5.85

%

11.57

%

11/23/2028

$

10,807

10,705

10,699

Services: Business Total

$

43,382

$

43,275

41.9

%

U.S. Dollar Total

$

167,013

$

166,009

161.2

%

Total

$

721,252

$

709,846

689.0

%

69


Forward Foreign Currency Exchange Contracts

Unrealized

Currency Purchased

Currency Sold

Counterparty

Settlement Date

Appreciation (8)

BRITISH POUNDS 2,245

US DOLLARS 2,731

Goldman Sachs

07/18/2024

$

128

US DOLLARS 17,258

BRITISH POUNDS 13,990

Goldman Sachs

07/18/2024

( 560

)

EURO 477

AUSTRALIAN DOLLARS 785

Morgan Stanley

01/17/2024

( 9

)

EURO 3,061

AUSTRALIAN DOLLARS 4,980

Morgan Stanley

06/10/2025

48

US DOLLARS 1,837

AUSTRALIAN DOLLARS 2,735

Morgan Stanley

01/17/2024

( 30

)

US DOLLARS 13,555

AUSTRALIAN DOLLARS 19,560

Morgan Stanley

06/10/2025

158

EURO 259

BRITISH POUNDS 225

Morgan Stanley

01/24/2024

( 1

)

EURO 3,118

BRITISH POUNDS 2,840

Morgan Stanley

06/12/2025

( 100

)

EURO 755

BRITISH POUNDS 682

Morgan Stanley

11/10/2025

( 11

)

US DOLLARS 1,795

BRITISH POUNDS 1,410

Morgan Stanley

01/24/2024

US DOLLARS 311

BRITISH POUNDS 250

Morgan Stanley

02/13/2024

( 7

)

US DOLLARS 1,199

BRITISH POUNDS 960

Morgan Stanley

02/14/2024

( 24

)

US DOLLARS 2,717

BRITISH POUNDS 2,220

Morgan Stanley

05/10/2024

( 110

)

US DOLLARS 13,374

BRITISH POUNDS 10,983

Morgan Stanley

06/10/2025

( 636

)

EURO 426

CANADIAN DOLLARS 619

Morgan Stanley

03/25/2024

3

US DOLLARS 1,778

CANADIAN DOLLARS 2,400

Morgan Stanley

03/25/2024

( 38

)

EURO 1,614

US DOLLARS 1,790

Morgan Stanley

01/09/2025

22

EURO 666

US DOLLARS 740

Morgan Stanley

06/18/2025

13

US DOLLARS 960

EURO 890

Morgan Stanley

01/17/2024

( 24

)

US DOLLARS 4,864

EURO 4,600

Morgan Stanley

01/17/2024

( 220

)

US DOLLARS 604

EURO 560

Morgan Stanley

02/13/2024

( 16

)

US DOLLARS 818

EURO 755

Morgan Stanley

02/14/2024

( 17

)

US DOLLARS 1,425

EURO 1,290

Morgan Stanley

11/10/2025

( 44

)

EURO 889

AUSTRALIAN DOLLARS 1,400

Standard Chartered

01/17/2024

26

EURO 1,803

AUSTRALIAN DOLLARS 2,872

Standard Chartered

07/18/2024

39

US DOLLARS 3,774

AUSTRALIAN DOLLARS 5,435

Standard Chartered

01/17/2024

63

US DOLLARS 1,395

AUSTRALIAN DOLLARS 2,040

Standard Chartered

01/17/2024

2

US DOLLARS 7,048

AUSTRALIAN DOLLARS 11,118

Standard Chartered

07/18/2024

( 573

)

EURO 1,266

BRITISH POUNDS 1,095

Standard Chartered

06/17/2024

13

EURO 4,582

BRITISH POUNDS 4,130

Standard Chartered

07/18/2024

( 157

)

US DOLLARS 1,484

BRITISH POUNDS 1,140

Standard Chartered

01/17/2024

31

US DOLLARS 1,000

BRITISH POUNDS 840

Standard Chartered

06/10/2025

( 72

)

US DOLLARS 6,519

BRITISH POUNDS 5,180

Standard Chartered

06/17/2024

( 79

)

EURO 321

CANADIAN DOLLARS 480

Standard Chartered

07/18/2024

( 8

)

US DOLLARS 1,390

CANADIAN DOLLARS 1,860

Standard Chartered

07/18/2024

( 23

)

EURO 919

DANISH KRONE 6,844

Standard Chartered

07/18/2024

US DOLLARS 3,988

DANISH KRONE 26,496

Standard Chartered

07/18/2024

23

EURO 824

NORWEGIAN KRONE 9,517

Standard Chartered

07/18/2024

( 21

)

EURO 16,565

US DOLLARS 18,170

Standard Chartered

01/09/2025

432

EURO 3,005

US DOLLARS 3,309

Standard Chartered

06/18/2024

33

EURO 18,034

US DOLLARS 20,330

Standard Chartered

07/18/2024

( 245

)

US DOLLARS 2,580

EURO 2,340

Standard Chartered

07/18/2024

( 26

)

EURO 2,285

US DOLLARS 2,504

Standard Chartered

01/17/2024

22

EURO 3,700

US DOLLARS 3,941

Standard Chartered

01/17/2024

149

EURO 940

US DOLLARS 1,042

Standard Chartered

07/18/2024

5

EURO 3,120

US DOLLARS 3,521

Standard Chartered

07/18/2024

( 47

)

US DOLLARS 4,132

EURO 3,730

Standard Chartered

01/17/2024

9

US DOLLARS 24,515

EURO 22,640

Standard Chartered

01/17/2024

( 508

)

US DOLLARS 29,878

EURO 29,700

Standard Chartered

07/18/2024

( 3,199

)

US DOLLARS 30,672

EURO 27,695

Standard Chartered

12/18/2024

( 397

)

US DOLLARS 3,566

NORWEGIAN KRONE 36,843

Standard Chartered

07/18/2024

( 69

)

$

( 6,052

)

(1)
The investments bear interest at a rate that may be determined by reference to the London Interbank Offered Rate (“LIBOR” or “L”), the Euro Interbank Offered Rate (“EURIBOR” or “E”), the Norwegian Interbank Offered Rate (“NIBOR” or “N”), the

70


Copenhagen Interbank Offered Rate (“CIBOR” or “C”), Canadian Dollar LIBOR Rate (“CDOR”), the Bank Bill Swap Rate (“BBSW”), the Bank Bill Swap Bid Rate (“BBSY”), the Sterling Overnight Index Average (“SONIA”), or Secured Overnight Financing Rate (“SOFR”) which reset daily, monthly, quarterly or semiannually. Investments or a portion thereof may bear Payment-in-Kind (“PIK”). For each, the Company has provided the PIK or the spread over LIBOR, EURIBOR, NIBOR, CIBOR, CDOR, BBSW, BBSY, SONIA, or SOFR and the current weighted average interest rate in effect at December 31, 2023 . Certain investments are subject to a LIBOR, EURIBOR, NIBOR, CIBOR, CDOR, BBSW, BBSY, SONIA, or SOFR interest rate floor.
(2)
Tick mark not used
(3)
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The investment may be subject to an unused/letter of credit facility fee.
(4)
Percentages are based on the ISLP's net assets (in thousands) of $ 103,019 as of December 31, 2023 .
(5)
Tick mark not used
(6)
Tick mark not used
(7)
Loan was on non-accrual status as of December 31, 2023.
(8)
Unrealized appreciation on forward currency exchange contracts.
(9)
The principal amount (par amount) for all debt securities is denominated in U.S. dollars, unless otherwise noted. £ represents Pound Sterling, € represents Euro, NOK represents Norwegian Krone, AUD represents Australian Dollar, CAD represents Canadian Dollar and DKK represents Danish Krone.
(10)
Tick mark not used
(11)
Tick mark not used
(12)
Tick mark not used
(13)
Tick mark not used
(14)
Non-income producing.
(15)
Loan includes interest rate floor of 1.00 %.
(16)
Loan includes interest rate floor of 0.75 %.
(17)
Loan includes interest rate floor of 0.50 %.
(18)
Loan includes interest rate floor of 0.00 %.
(19)
Security valued using unobservable inputs (Level 3).
(20)
Tick mark not used
(21)
Loan includes interest rate floor of 0.25 %.
(22)
Tick mark not used
(23)
Tick mark not used
(24)
Tick mark not used
(25)
Tick mark not used
(26)
Denotes that all or a portion of the debt investment includes PIK interest during the period.
(27)
Tick mark not used
(28)
Tick mark not used
(29)
Tick mark not used
(30)
Tick mark not used
(31)
Tick mark not used
(32)
Loan includes interest rate floor of 1.50 %.
(33)
Tick mark not used

71


Below is the financial information for ISLP:

Selected Balance Sheet Information

As of

As of

September 30, 2024

December 31, 2023

Investments at fair value (amortized cost of $ 702,305 and $ 721,252 , respectively)

$

691,702

$

709,846

Cash and cash equivalents

4,650

9,006

Foreign cash (cost of $ 8,907 and $ 22,237 , respectively)

9,077

22,528

Collateral on foreign currency exchange contracts

14

4,383

Deferred financing costs (net of accumulated amortization of $ 2,787 and $ 2,026 , respectively)

2,393

3,154

Interest receivable on investments

15,464

11,244

Total assets

$

723,300

$

760,161

Debt

$

311,926

$

320,491

Subordinated notes payable to members

302,088

301,426

Interest payable on debt

5,473

5,841

Interest payable on subordinated notes

10,266

18,501

Unrealized depreciation on forward currency exchange contracts

4,711

6,052

Distributions payable

1,973

3,931

Accounts payable and accrued expenses

340

900

Total liabilities

$

636,777

$

657,142

Members’ equity

86,523

103,019

Total liabilities and members’ equity

$

723,300

$

760,161

72


Selected Statements of Operations Information

For the Three Months Ended

For the Nine Months Ended

September 30, 2024

September 30, 2023

September 30, 2024

September 30, 2023

Investment income

Interest income

$

19,091

$

18,965

$

60,528

$

54,314

Total investment income

19,091

18,965

60,528

54,314

Expenses

Interest and debt financing expenses

6,092

6,500

19,158

18,189

Interest expense on members subordinated notes

10,274

9,046

30,116

26,203

General and administrative expenses

754

765

2,361

2,327

Total expenses

17,120

16,311

51,635

46,719

Net investment income

1,971

2,654

8,893

7,595

Net realized and unrealized gains (losses)

Net realized gain (loss) on investments

627

( 1,967

)

( 7,702

)

( 5,124

)

Net realized gain (loss) on foreign currency transactions

( 90

)

2,579

7,783

1,012

Net realized gain (loss) on forward currency exchange contracts

( 4,267

)

77

( 3,423

)

95

Net change in unrealized appreciation on foreign currency translation

( 15,703

)

9,454

( 15,297

)

1,869

Net change in unrealized appreciation on forward currency exchange contracts

( 613

)

2,596

1,341

1,314

Net change in unrealized appreciation on investments

22,136

( 16,065

)

803

2,956

Net gain (loss) on investments

2,090

( 3,326

)

( 16,495

)

2,122

Net increase (decrease) in members’ equity resulting from operations

$

4,061

$

( 672

)

$

( 7,602

)

$

9,717

Bain Capital Senior Loan Program, LLC (“SLP”)

On February 9, 2022, the Company, and an entity advised by Amberstone Co., Ltd. (“Amberstone”), a credit focused investment manager that advises institutional investors, committed capital to a newly formed joint venture, SLP. Pursuant to an amended and restated limited liability company agreement (the “LLC Agreement”) between the Company and Amberstone, each such party has a 50 % economic ownership interest in SLP. Amberstone’s initial capital commitments to SLP are $ 179.0 million, with each party expected to maintain their pro rata proportionate share for each capital contribution. SLP will seek to invest primarily in senior secured first lien loans of U.S. borrowers. Through these capital contributions, SLP acquired 70 % of the membership equity interests of the Company’s 2018‑1 portfolio (“2018‑1”). The Company retained 30 % of the 2018‑1 membership equity interests as a non-controlling equity interest. As of September 30, 2024, the Company’s investment in SLP consisted of subordinated notes of $ 146.5 million, preferred equity interests of $ 10 thousand and equity interests of ($ 1.8 ) million. As of December 31, 2023, the Company’s investment in SLP consisted of subordinated notes of $ 116.0 million, preferred equity interests of ($ 1.8 ) million and equity interests of ($ 0.4 ) million.

In future periods, the Company may sell certain of its investments or a participating interest in certain of its investments to SLP. Since inception, the Company has sold $ 1,433.8 million of its investments to SLP. The sale of the investments met the criteria set forth in ASC 860, Transfers and Servicing for treatment as a sale.

The Company has determined that SLP is an investment company under ASC 946; however, in accordance with such guidance, the Company will generally not consolidate its investment in a company other than a wholly or substantially owned investment company subsidiary, which is an extension of the operations of the Company, or a controlled operating company whose business consists of providing services to the Company. The Company does not consolidate its investments in SLP as it is not a substantially wholly owned investment company subsidiary. In addition, the Company does not control SLP due to the allocation of voting rights among SLP members. The Company measures the fair value of SLP in accordance with ASC 820, using the net asset value (or its equivalent) as a practical expedient. The Company and Amberstone each appointed two members to SLP’s four-person Member Designees’ Committee. All material decisions with respect to SLP, including those involving its investment portfolio, require unanimous approval of a quorum of Member Designees’ Committee.

On March 7, 2022, SLP acquired 70 % of the Company’s membership interests in BCC Middle Market CLO 2018‑1 LLC (the “2018‑1 Issuer”). The Company received $ 56.1 million in proceeds resulting in a realized gain of $ 1.2 million, which is included in net realized gain in non-controlled/non-affiliate investments. The sale of the investments met the criteria set forth in ASC 860, Transfers

73


and Servicing for treatment as a sale. Through this acquisition, the 2018‑1 Issuer became a consolidated subsidiary of SLP and was deconsolidated from the Company’s consolidated financial statements. The Company retained the remaining 30 % of the 2018‑1 membership interests as a non-controlling equity interest. Please see Note 6 for additional details on the formation of the 2018‑1 Issuer and the related CLO Transaction.

On June 15, 2023, the Company entered into a First Supplemental Indenture (“2018-1 Supplemental Indenture”), dated as of June 15, 2023, pursuant to Section 8.1(xxxi) of the Indenture, dated as of September 28, 2018, between BCC Middle Market CLO 2018-1, LLC, as issuer, and Wells Fargo Bank, National Association, as trustee. The 2018-1 Supplemental Indenture provides for, among other things, an adoption of an alternate reference rate of Term SOFR plus 0.26 %, effective July 1, 2023.

On March 13, 2024, SLP refinanced the 2018-1 Issuer through a private placement of $ 500 million of senior secured and senior deferrable notes consisting of (i) $ 290.0 million of Class A-1-R Senior Secured Floating Rate Notes, which currently bear interest at the applicable reference rate plus 2.25 % per annum; (ii) $ 20.0 million of Class A‑J‑R Senior Secured Floating Rate Notes, which bear interest at the applicable reference rate plus 2.70 % per annum; (iii) $ 30.0 million of Class A-2-R Senior Secured Floating Rate Notes, which bear interest at the applicable reference rate plus 2.90 % per annum; (iv) $ 40.0 million of Class B-R Mezzanine Secured Deferrable Floating Rate Notes, which bear interest at the applicable reference rate plus 3.90 % per annum; (v) $ 30.0 million of Class C-R Mezzanine Secured Deferrable Floating Rate Notes, which bear interest at the applicable reference rate plus 5.90 % per annum; and (vi) $ 30.0 million of Class D-R Junior Secured Deferrable Floating Rate Notes, which bear interest at the applicable reference rate plus 8.32 % per annum (collectively, the “2018‑1 CLO Reset Notes”). The membership interests are eliminated in consolidation on SLP’s consolidated financial statements. The 2018‑1 CLO Reset Notes are scheduled to mature on April 20, 2036 and the reinvestment period ends April 20, 2028. The transaction resulted in a realized loss on the extinguishment of debt of $ 1.3 million from the acceleration of unamortized debt issuance costs. The obligations of the 2018-1 Issuer under the 2018-1 CLO Transaction are non-recourse to the Company.

As part of the refinancing transaction, SLP bought the Company's membership interests of the 2018-1 Issuer for $ 22.4 million, making SLP the sole owner of the membership interests.

Below is a table summary of the 2018‑1 CLO Reset Notes as of September 30, 2024:

Interest rate at

2018-1 Notes

Principal Amount

Spread above Index

September 30, 2024

Class A-1-R

$

290,000

2.25

% + 3 Month SOFR

7.53

%

Class A-J-R

20,000

2.70

% + 3 Month SOFR

7.98

%

Class A-2-R

30,000

2.90

% + 3 Month SOFR

8.18

%

Class B-R

40,000

3.90

% + 3 Month SOFR

9.18

%

Class C-R

30,000

5.90

% + 3 Month SOFR

11.18

%

Class D-R

30,000

8.32

% + 3 Month SOFR

13.60

%

Membership Interests

60,000

Non-interest bearing

Not applicable

Total 2018-1 Notes

$

500,000

On August 24, 2022, SLP, through a wholly-owned subsidiary, entered into a $ 225.0 million senior secured revolving credit facility which bore interest at SOFR plus 210 basis points with Wells Fargo, subject to leverage and borrowing base restrictions (the “MM_22_2 Credit Facility”). The maturity date of the MM_22_2 Credit Facility was August 24, 2025. On August 9, 2023, the MM_22_2 Credit Facility was terminated.

On August 9, 2023, (the “2023-1 Closing Date”), SLP, through BCC Middle Market CLO 2023‑1 LLC (the “2023‑1 Issuer”), a Delaware limited liability company and a wholly-owned and consolidated subsidiary of SLP, completed a $ 400.0 million term debt securitization (the “2023-1 CLO Transaction”). The Class A, B-1, B-2, C, D, and E 2023-1 notes issued in connection with the 2023-1 CLO Transaction (the “2023-1 Notes”) are secured by a diversified portfolio of the 2023-1 Issuer consisting primarily of middle market loans and participation interests in middle market loans, the majority of which are senior secured loans (the “2023-1 Portfolio”). At the 2023-1 Closing Date, the 2023-1 Portfolio was comprised of assets transferred from SLP and its consolidated subsidiaries. All transfers were eliminated in consolidation and there were no realized gains or losses recognized in the 2023-1 CLO Transaction.

74


The 2023‑1 Notes are scheduled to mature on July 20, 2035 and are included in SLP’s consolidated financial statements. The membership interests are eliminated in consolidation on SLP’s consolidated financial statements. Below is a table summary of the 2023-1 Notes as of September 30, 2024

Interest rate at

2023-1 Debt

Principal Amount

Spread above Index

September 30, 2024

Class A Notes

$

234,000

2.55

% + SOFR

7.83

%

Class B-1 Notes

29,000

3.80

% + SOFR

9.08

%

Class B-2 Notes

9,000

7.50

%

7.50

%

Class C Notes

32,000

4.55

% + SOFR

9.83

%

Class D Notes

24,000

6.65

% + SOFR

11.93

%

Class E Notes

24,000

9.84

% + SOFR

15.12

%

Total 2023-1 Notes

352,000

Membership Interests

45,636

Non-interest bearing

Not applicable

Total

$

397,636

On September 27, 2023, SLP, through a wholly-owned subsidiary, entered into a $ 140.0 million senior secured revolving credit facility which bore interest at SOFR plus 285 basis points with NatWest Markets PLC, subject to leverage and borrowing base restrictions (the “MM_23_3 Credit Facility”). The maturity date of the MM_23_3 Credit Facility was September 27, 2027. On July 10, 2024, the MM_23_3 Credit Facility was terminated.

On July 10, 2024 (the “2024-1 Closing Date”), SLP, through BCC Middle Market CLO 2024‑1 LLC (the “2024‑1 Issuer”), a Delaware limited liability company and a wholly-owned and consolidated subsidiary of SLP, completed a $ 450.4 million term debt securitization (the “2024-1 CLO Transaction”). The Class A-1, A-2, B, C, D, and E 2024-1 notes issued in connection with the 2024-1 CLO Transaction (the “2024-1 Notes”) are secured by a diversified portfolio of the 2024-1 Issuer consisting primarily of middle market loans and participation interests in middle market loans, the majority of which are senior secured loans (the “2024-1 Portfolio”). At the 2024-1 Closing Date, the 2024-1 Portfolio was comprised of assets transferred from SLP and its consolidated subsidiaries. All transfers were eliminated in consolidation and there were no realized gains or losses recognized in the 2024-1 CLO Transaction.

The 2024‑1 Notes are scheduled to mature on July 17, 2036 and are included in SLP’s consolidated financial statements. The membership interests are eliminated in consolidation on SLP’s consolidated financial statements. Below is a table summary of the 2024-1 Notes as of September 30, 2024

Interest rate at

2024-1 Debt

Principal Amount

Spread above Index

September 30, 2024

Class A-1 Notes

$

250,750

1.75

% + SOFR

6.96

%

Class A-2 Notes

12,750

1.95

% + SOFR

7.16

%

Class B Notes

25,500

2.05

% + SOFR

7.26

%

Class C Notes

34,000

2.75

% + SOFR

7.96

%

Class D Notes

25,500

4.50

% + SOFR

9.71

%

Total 2024-1 Notes (1)

348,500

Membership Interests

76,395

Non-interest bearing

Not applicable

Total

$

424,895

(1) As of September 30, 2024, there were no Class E Notes outstanding

75


The combined weighted average interest rate (excluding deferred upfront financing costs and unused fees) of the aggregate borrowings outstanding as of September 30, 2024 was 8.4 % . The combined weighted average interest rate (excluding deferred upfront financing costs and unused fees) of the aggregate borrowings outstanding for the year ended December 31, 2023 was 7.7 % .

Below is a summary of SLP’s portfolio at fair value:

As of

As of

September 30, 2024

December 31, 2023

Total investments

$

1,132,919

$

879,930

Weighted average yield on investments

11.3

%

12.1

%

Number of borrowers in SLP

85

62

Largest portfolio company investment

$

32,701

$

32,283

Total of five largest portfolio company investments

$

155,493

$

151,954

Unfunded commitments

$

1,744

$

3,734

76


Below is a listing of SLP’s individual investments as of September 30, 2024:

Senior Loan Program, LLC

Consolidated Schedule of Investments

As of September 30, 2024

Interest

Maturity

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Aerospace & Defense

ATS (15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

11.05

%

7/12/2029

$

6,000

5,925

5,925

BTX Precision (15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.00

%

9.85

%

7/25/2030

$

5,000

4,956

4,956

Forward Slope (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.85

%

11.45

%

8/22/2029

$

11,160

10,982

11,160

Forward Slope (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.85

%

11.45

%

8/22/2029

$

18,562

18,562

18,562

GSP Holdings, LLC (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.65

%

10.25

%

11/6/2025

$

25,222

24,549

24,968

Kellstrom Commercial Aerospace, Inc. (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

6.26

%

11.58

%

7/1/2025

$

18,418

18,167

18,418

Robinson Helicopter (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.60

%

11.45

%

6/30/2028

$

30,319

30,036

30,319

Saturn Purchaser Corp. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.35

%

10.20

%

7/23/2029

$

30,936

30,861

30,936

Whitcraft-Paradigm (15)(19)(34)

First Lien Senior Secured Loan

SOFR

6.50

%

11.35

%

2/15/2029

$

9,850

9,775

9,850

Aerospace & Defense Total

$

153,813

$

155,094

1931.7

%

Automotive

Cardo (12)(18)(19)

First Lien Senior Secured Loan

SOFR

5.25

%

10.58

%

5/12/2028

$

10,800

10,800

10,800

Gills Point S (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.75

%

10.88

%

5/17/2029

$

9,875

9,875

9,875

Intoxalock (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.10

%

9.95

%

11/1/2028

$

16,970

16,847

16,969

JHCC Holdings, LLC (15)(19)(34)(35)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.25

%

9.85

%

9/9/2027

$

8,186

8,121

8,186

JHCC Holdings, LLC (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.25

%

9.85

%

9/9/2027

$

16,323

16,192

16,323

Automotive Total

$

61,835

$

62,153

774.1

%

Banking, Finance, Insurance & Real Estate

Morrow Sodali Global LLC (12)(18)(19)

First Lien Senior Secured Loan

SOFR

5.60

%

10.45

%

4/25/2028

$

2,201

2,181

2,201

Morrow Sodali Global LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.73

%

10.58

%

4/25/2028

$

7,780

7,708

7,780

Banking, Finance, Insurance & Real Estate Total

$

9,889

$

9,981

124.3

%

Beverage, Food & Tobacco

AgroFresh Solutions (15)(19)(35)

First Lien Senior Secured Loan

SOFR

6.35

%

11.20

%

3/31/2029

$

7,980

7,902

7,900

Beverage, Food & Tobacco Total

$

7,902

$

7,900

98.4

%

Capital Equipment

AXH Air Coolers (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.50

%

11.81

%

10/31/2029

$

22,899

22,779

22,899

DiversiTech (12)(17)

First Lien Senior Secured Loan

SOFR

4.01

%

8.62

%

12/22/2028

$

1,984

1,987

1,991

Capital Equipment Total

$

24,766

$

24,890

310.0

%

Chemicals, Plastics & Rubber

Duraco (19)(32)(35)

First Lien Senior Secured Loan

SOFR

6.50

%

11.49

%

6/6/2029

$

9,000

8,868

8,910

INEOS US Petrochem (12)(18)

First Lien Senior Secured Loan

SOFR

3.85

%

8.70

%

3/14/2030

$

1,985

1,987

1,989

Prince\Ferro (12)(17)

First Lien Senior Secured Loan

SOFR

4.25

%

9.46

%

4/23/2029

$

1,985

1,970

1,940

V Global Holdings LLC (12)(16)(19)(34)

First Lien Senior Secured Loan

SOFR

5.90

%

10.97

%

12/22/2027

$

19,962

19,886

19,014

Chemicals, Plastics & Rubber Total

$

32,711

$

31,853

396.7

%

Construction & Building

Service Master (18)(19)(26)(34)(35)

First Lien Senior Secured Loan

SOFR

5.86 % ( 1.00 % PIK)

11.71

%

8/16/2027

$

18,727

18,727

18,727

Construction & Building Total

$

18,727

$

18,727

233.2

%

77


Interest

Maturity

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Consumer Goods: Durable

New Milani Group LLC (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.50

%

10.20

%

6/6/2026

$

9,843

9,843

9,843

Stanton Carpet (12)(15)(19)

Second Lien Senior Secured Loan

SOFR

9.15

%

14.47

%

3/31/2028

$

5,000

4,939

5,000

TLC Purchaser, Inc. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.76

%

10.70

%

10/11/2027

$

27,015

25,980

27,015

Consumer Goods: Durable Total

$

40,762

$

41,858

521.3

%

Consumer Goods: Non-Durable

Evriholder (12)(19)(32)(35)

First Lien Senior Secured Loan

SOFR

6.85

%

11.70

%

1/24/2028

$

16,035

15,890

15,955

FL Hawk Intermediate Holdings, Inc. (12)(15)(19)

Second Lien Senior Secured Loan

SOFR

9.01

%

13.62

%

8/19/2028

$

5,004

5,004

5,004

RoC Skincare (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

6.00

%

11.13

%

2/21/2031

$

16,169

15,940

16,169

Solaray, LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.60

%

11.53

%

12/15/2025

$

9,889

9,889

9,616

WU Holdco, Inc. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.15

%

9.60

%

3/26/2027

$

6,428

6,411

6,411

WU Holdco, Inc. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.15

%

9.60

%

3/26/2027

$

6,205

6,205

6,205

Consumer Goods: Non-Durable Total

$

59,339

$

59,360

739.3

%

Consumer Goods: Wholesale

WSP (15)(19)(26)

First Lien Senior Secured Loan

SOFR

1.15 % ( 4.00 % PIK)

10.40

%

4/27/2028

$

3,212

3,185

2,585

WSP (7)(14)(19)(26)

First Lien Senior Secured Loan

8.00 % PIK

8.00

%

4/27/2028

$

2,039

1,978

637

Consumer Goods: Wholesale Total

$

5,163

$

3,222

40.1

%

Containers, Packaging & Glass

ASP-r-pac Acquisition Co LLC (12)(16)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.26

%

11.52

%

12/29/2027

$

22,644

22,501

22,475

Iris Holding, Inc. (12)(17)(34)

First Lien Senior Secured Loan

SOFR

4.85

%

10.10

%

6/28/2028

$

10,584

10,206

10,017

Containers, Packaging & Glass Total

$

32,707

$

32,492

404.7

%

Energy: Electricity

WCI Gigawatt Purchaser (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

6.01

%

11.13

%

11/19/2027

$

20,305

20,115

20,305

WCI Gigawatt Purchaser (15)(19)(35)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.01

%

11.13

%

11/19/2027

$

4,711

4,644

4,711

WCI Gigawatt Purchaser (15)(19)(35)

First Lien Senior Secured Loan

SOFR

6.26

%

11.38

%

11/19/2027

$

3,398

3,398

3,398

Energy: Electricity Total

$

28,157

$

28,414

353.9

%

FIRE: Finance

Allworth Financial Group, L.P. (12)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.00

%

9.85

%

12/23/2027

$

2,101

2,095

2,095

Allworth Financial Group, L.P. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.00

%

9.85

%

12/23/2027

$

8,280

8,280

8,280

Citadel (12)(18)

First Lien Senior Secured Loan

SOFR

2.25

%

7.10

%

7/29/2030

$

1,990

1,998

1,991

Congress Wealth (15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.60

%

10.20

%

6/30/2029

$

4,684

4,684

4,684

Hudson River Trading (12)(18)(35)

First Lien Senior Secured Loan

SOFR

3.26

%

8.32

%

3/20/2028

$

4,967

4,955

4,967

Insigneo Financial Group LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.60

%

11.93

%

8/1/2028

$

7,400

7,400

7,400

Insigneo Financial Group LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.60

%

11.68

%

8/1/2028

$

3,825

3,825

3,825

FIRE: Finance Total

$

33,237

$

33,242

414.0

%

FIRE: Insurance

Acrisure LLC (12)(18)

First Lien Senior Secured Loan

SOFR

3.25

%

8.21

%

11/6/2030

1,971

1,972

1,956

Asurion LLC (12)(18)(34)

First Lien Senior Secured Loan

SOFR

4.10

%

8.95

%

8/19/2028

$

3,975

3,940

3,916

Margaux Acquisition Inc. (16)(19)(34)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.65

%

10.98

%

12/19/2025

$

8,942

8,942

8,942

Margaux Acquisition Inc. (12)(16)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.65

%

10.98

%

12/19/2025

$

15,582

15,582

15,582

Simplicity (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.40

%

11.00

%

12/2/2026

$

5,429

5,429

5,429

Simplicity (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.40

%

11.00

%

12/2/2026

$

24,108

23,735

24,108

FIRE: Insurance Total

$

59,600

$

59,933

746.5

%

78


Interest

Maturity

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Forest Products & Paper

Multi-Color Corp (12)(17)(35)

First Lien Senior Secured Loan

SOFR

5.10

%

9.95

%

10/29/2028

$

3,974

3,884

3,893

Forest Products & Paper Total

$

3,884

$

3,893

48.5

%

Healthcare & Pharmaceuticals

AEG Vision (12)(18)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.90

%

10.50

%

3/27/2026

$

1,167

1,167

1,167

Apollo Intelligence (12)(16)(19)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

10.56

%

5/31/2028

$

10,584

10,518

10,584

Beacon Specialized Living (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

10.35

%

3/25/2028

$

8,978

8,890

8,978

HealthDrive (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.10

%

10.95

%

8/20/2029

$

18,563

18,563

18,563

Pharmacy Partners (12)(19)(32)(34)(35)

First Lien Senior Secured Loan

SOFR

6.50

%

11.56

%

2/28/2029

$

21,890

21,639

21,890

SunMed Group Holdings, LLC (12)(16)(19)

First Lien Senior Secured Loan

SOFR

5.60

%

10.85

%

6/16/2028

$

9,460

9,460

9,460

WellSky (16)(34)

First Lien Senior Secured Loan

SOFR

3.36

%

8.21

%

3/10/2028

$

1,990

1,998

1,989

Healthcare & Pharmaceuticals Total

$

72,235

$

72,631

904.6

%

High Tech Industries

AMI US Holdings Inc. (3)(12)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

10/1/2026

$

AMI US Holdings Inc. (15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.35

%

10.20

%

10/1/2026

$

2,584

2,584

2,584

AMI US Holdings Inc. (3)(12)(18)(19)

First Lien Senior Secured Loan - Revolver

SOFR

10/1/2026

$

AMI US Holdings Inc. (18)(19)(34)

First Lien Senior Secured Loan

SOFR

5.35

%

10.20

%

10/1/2026

$

5,594

5,594

5,594

Applitools (16)(19)(26)

First Lien Senior Secured Loan

SOFR

6.25 % PIK

10.85

%

5/25/2029

$

12,020

11,945

11,840

E-Tech Group (12)(15)(19)(35)

First Lien Senior Secured Loan - Revolver

SOFR

5.50

%

10.35

%

4/9/2030

$

7,979

7,902

7,900

Gainwell Acquisition (12)(16)

First Lien Senior Secured Loan

SOFR

4.10

%

8.70

%

10/1/2027

$

2,752

2,650

2,627

Element Buyer, Inc. (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.85

%

10.70

%

7/19/2026

$

16,187

16,187

16,187

Element Buyer, Inc. (12)(15)(19)(34)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.85

%

10.70

%

7/19/2026

$

10,767

10,767

10,767

Logrhythm (15)(19)(35)

First Lien Senior Secured Loan

SOFR

7.50

%

12.10

%

7/2/2029

$

7,955

7,722

7,717

NearMap (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

11.03

%

12/9/2029

$

16,247

16,093

16,247

Proofpoint (12)(17)

First Lien Senior Secured Loan

SOFR

3.00

%

7.85

%

8/31/2028

$

1,985

1,989

1,986

SensorTower (12)(19)(31)(34)(35)

First Lien Senior Secured Loan

SOFR

7.50

%

12.44

%

3/15/2029

$

21,536

21,267

21,320

Superna Inc. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.50

%

11.44

%

3/6/2028

$

33,199

32,911

32,701

High Tech Industries Total

$

137,611

$

137,470

1712.2

%

Hotel, Gaming & Leisure

Aimbridge Acquisition Co., Inc. (12)(18)(19)

Second Lien Senior Secured Loan

SOFR

7.61

%

12.82

%

2/1/2027

$

6,000

5,774

5,820

Concert Golf Partners Holdco (12)(16)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

4.75

%

9.63

%

4/1/2030

$

20,332

20,058

20,332

Pyramid Global Hospitality (12)(19)(24)(34)(35)

First Lien Senior Secured Loan

SOFR

4.90

%

10.15

%

1/19/2028

$

15,760

15,473

15,760

Hotel, Gaming & Leisure Total

$

41,305

$

41,912

522.0

%

Media: Diversified & Production

Internet Brands (12)(17)

First Lien Senior Secured Loan

SOFR

4.25

%

9.10

%

5/3/2028

$

2,977

2,967

2,962

Media: Diversified & Production Total

$

2,967

$

2,962

36.9

%

Retail

New Look (Delaware) Corporation (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.65

%

10.25

%

5/26/2028

$

9,482

9,212

9,387

Petco (12)(16)

First Lien Senior Secured Loan

SOFR

3.51

%

8.12

%

3/3/2028

$

2,000

1,867

1,906

Thrasio, LLC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

10.11 % PIK

15.54

%

6/18/2029

$

3,232

3,232

2,844

Thrasio, LLC (15)(19)(26)

First Lien Senior Secured Loan

SOFR

10.11 % PIK

15.54

%

6/18/2029

$

1,054

1,054

1,054

Thrasio, LLC (14)(19)

Equity Interest

52

5,369

1,908

Thrasio, LLC (14)(19)

Equity Interest

6

597

213

Thrasio, LLC (14)(19)

Equity Interest

4,098

Retail Total

$

21,331

$

17,312

215.6

%

79


Interest

Maturity

Market

% of Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Services: Business

Allbridge (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

10.35

%

6/5/2030

$

17,479

17,351

17,479

Avalon Acquiror, Inc. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.25

%

10.85

%

3/10/2028

$

32,136

31,932

31,815

Discovery Senior Living (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

10.76

%

3/18/2030

$

16,915

16,767

16,915

Smartronix (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

6.10

%

10.35

%

11/23/2028

$

12,837

12,679

12,837

Smartronix (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.10

%

10.35

%

11/23/2028

$

5,721

5,721

5,721

Smartronix (15)(19)(35)

First Lien Senior Secured Loan

SOFR

6.10

%

10.35

%

11/23/2028

$

8,684

8,501

8,684

TEI Holdings Inc. (17)(35)

First Lien Senior Secured Loan

SOFR

4.75

%

9.35

%

4/9/2031

$

10,589

10,636

10,633

Services: Business Total

$

103,587

$

104,084

1296.4

%

Services: Consumer

Eagle Parent Corp (12)(17)(19)

First Lien Senior Secured Loan

SOFR

4.25

%

8.85

%

4/2/2029

$

3,293

3,286

3,131

MZR Buyer, LLC (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.85

%

11.70

%

12/22/2026

$

27,300

27,256

26,481

Services: Consumer Total

$

30,542

$

29,612

368.8

%

Telecommunications

Inmarsat (12)(17)

First Lien Senior Secured Loan

SOFR

4.50

%

9.35

%

9/27/2029

$

1,990

1,886

1,872

Meriplex Communications, Ltd. (12)(16)(19)(34)

First Lien Senior Secured Loan

SOFR

5.10

%

9.95

%

7/17/2028

$

14,830

14,677

14,607

Taoglas (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

7.25

%

11.85

%

2/28/2029

$

18,512

18,258

18,142

Telecommunications Total

$

34,821

$

34,621

431.2

%

Transportation: Cargo

A&R Logistics, Inc. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.90

%

12.22

%

8/3/2026

$

29,000

29,000

27,839

Gulf Winds International (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

7.60

%

12.45

%

12/16/2028

$

14,123

13,876

13,841

Gulf Winds International (12)(15)(19)(35)

First Lien Senior Secured Loan

SOFR

7.60

%

12.45

%

12/16/2028

$

10,954

10,884

10,735

RoadOne (15)(19)(34)

First Lien Senior Secured Loan

SOFR

6.25

%

11.10

%

12/29/2028

$

6,916

6,765

6,916

RoadOne (18)(19)(34)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.25

%

11.10

%

12/29/2028

$

1,063

1,062

1,063

Transportation: Cargo Total

$

61,587

$

60,394

752.2

%

Transportation: Consumer

PrimeFlight Acquisition LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.50

%

10.10

%

5/1/2029

$

6,539

6,539

6,539

PrimeFlight Acquisition LLC (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.50

%

10.58

%

5/1/2029

$

22,943

22,475

22,943

Transportation: Consumer Total

$

29,014

$

29,482

367.2

%

Wholesale

Abracon Group Holding, LLC. (16)(19)(34)

First Lien Senior Secured Loan

SOFR

6.15

%

11.44

%

7/6/2028

$

11,760

11,609

9,408

Blackbird Purchaser, Inc. (16)(19)(35)

First Lien Senior Secured Loan

SOFR

5.50

%

10.10

%

12/19/2030

$

5,378

5,378

5,378

Hultec (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.65

%

10.25

%

3/31/2029

6,401

6,246

6,401

SureWerx (16)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.25

%

9.85

%

12/28/2029

$

8,240

8,081

8,240

Wholesale Total

$

31,314

$

29,427

366.5

%

Total

$

1,138,806

$

1,132,919

14110.30

%

(1)
The investments bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (“SOFR”) which reset daily, monthly, quarterly or semiannually. Investments or a portion thereof may bear Payment-in-Kind (“PIK”). For each, the Company has provided the PIK or the spread over SOFR and the current weighted average interest rate in effect at September 30, 2024 . Certain investments are subject to a SOFR interest rate floor.
(2)
Tick mark not used
(3)
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The investment may be subject to an unused/letter of credit facility fee.
(4)
Percentages are based on SLP's net assets (in thousands) of $( 8,029 ) as of September 30, 2024 .
(5)
Tick mark not used
(6)
Tick mark not used
(7)
Loan was on non-accrual status as of September 30, 2024 .
(8)
Tick mark not used
(9)
The principal amount (par amount) for all debt securities is denominated in U.S. dollars, unless otherwise noted. £ represents Pound Sterling, € represents Euro, NOK represents

80


Norwegian Krone, AUD represents Australian Dollar, CAD represents Canadian Dollar and DKK represents Danish Krone.
(10)
Tick mark not used
(11)
Tick mark not used
(12)
Assets or a portion thereof are pledged as collateral for the 2018-1 Issuer.
(13)
Tick mark not used
(14)
Non-income producing
(15)
Loan includes interest rate floor of 1.00 %.
(16)
Loan includes interest rate floor of 0.75 %.
(17)
Loan includes interest rate floor of 0.50 %.
(18)
Loan includes interest rate floor of 0.00 %.
(19)
Security valued using unobservable inputs (Level 3).
(20)
Tick mark not used
(21)
Tick mark not used
(22)
Tick mark not used
(23)
Tick mark not used
(24)
Loan includes interest rate floor of 1.25 %.
(25)
Tick mark not used
(26)
Denotes that all or a portion of the debt investment includes PIK interest during the period.
(27)
Tick mark not used
(28)
Tick mark not used
(29)
Tick mark not used
(30)
Tick mark not used
(31)
Loan includes interest rate floor of 2.00 %
(32)
Loan includes interest rate floor of 1.50 %.
(33)
Tick mark not used
(34)
Assets or a portion thereof are pledged as collateral for the 2023-1 Issuer.
(35)
Assets or a portion thereof are pledged as collateral for the 2024-1 Issuer.

81


Below is a listing of SLP's individual investments as of December 31, 2023:

Senior Loan Program, LLC

Consolidated Schedule of Investments

As of December 31, 2023

Interest

Maturity

Market

% of
Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Aerospace & Defense

Forward Slope (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.85

%

12.20

%

8/22/2029

$

18,703

18,703

18,235

Robinson Helicopter (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.60

%

11.96

%

6/30/2028

$

31,582

31,229

31,582

Saturn Purchaser Corp. (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.60

%

11.01

%

7/23/2029

$

21,142

21,050

21,142

Whitcraft-Paradigm (15)(19)(34)

First Lien Senior Secured Loan

SOFR

7.00

%

12.35

%

2/15/2029

$

9,925

9,836

9,925

Aerospace & Defense Total

$

80,818

$

80,884

529.7

%

Automotive

Cardo (12)(18)(19)

First Lien Senior Secured Loan

SOFR

5.15

%

10.54

%

5/12/2028

$

10,800

10,800

10,800

Gills Point S (15)(19)(34)

First Lien Senior Secured Loan

SOFR

7.00

%

12.38

%

5/17/2029

$

9,950

9,950

9,950

Intoxalock (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.50

%

11.96

%

11/1/2028

$

17,099

16,953

17,099

JHCC Holdings, LLC (19)(34)(35)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.25

%

10.75

%

9/9/2025

$

8,248

8,177

8,248

JHCC Holdings, LLC (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.25

%

10.75

%

9/9/2025

$

16,488

16,352

16,488

Automotive Total

$

62,232

$

62,585

409.9

%

Banking, Finance, Insurance & Real Estate

Morrow Sodali Global LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.63

%

11.09

%

4/25/2028

$

7,840

7,752

7,761

Banking, Finance, Insurance & Real Estate Total

$

7,752

$

7,761

50.8

%

Chemicals, Plastics & Rubber

Hultec (15)(19)(34)

First Lien Senior Secured Loan

SOFR

6.40

%

11.79

%

3/31/2029

$

6,450

6,273

6,257

V Global Holdings LLC (12)(16)(19)(34)

First Lien Senior Secured Loan

SOFR

6.00

%

11.43

%

12/22/2027

$

20,115

20,021

19,461

Chemicals, Plastics & Rubber Total

$

26,294

$

25,718

168.4

%

Construction & Building

AXH Air Coolers (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.75

%

12.19

%

10/31/2029

$

18,750

18,563

18,563

Service Master (15)(19)(26)(34)

First Lien Senior Secured Loan

SOFR

6.11 % ( 1.00 % PIK)

12.47

%

8/16/2027

$

9,965

9,965

9,965

YLG Holdings, Inc. (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.10

%

10.48

%

10/31/2025

$

20,349

20,349

20,348

Construction & Building Total

$

48,877

$

48,876

320.1

%

Consumer Goods: Durable

New Milani Group LLC (15)(19)(35)

First Lien Senior Secured Loan

SOFR

5.50

%

10.96

%

6/6/2024

$

9,921

9,921

9,921

Stanton Carpet (12)(15)(19)

Second Lien Senior Secured Loan

SOFR

9.15

%

14.56

%

3/31/2028

$

5,000

4,928

5,000

TLC Purchaser, Inc. (12)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

2.26 % ( 6.25 % PIK)

14.15

%

10/13/2025

$

10,521

9,964

9,863

Consumer Goods: Durable Total

$

24,813

$

24,784

162.3

%

Consumer Goods: Non-Durable

FL Hawk Intermediate Holdings, Inc. (12)(15)(19)

Second Lien Senior Secured Loan

SOFR

9.26

%

14.61

%

8/19/2028

$

5,004

5,004

5,004

RoC Opco LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

7.60

%

12.95

%

2/25/2025

$

8,663

8,663

8,663

Solaray, LLC (12)(15)(19)

First Lien Senior Secured Loan

SOFR

6.60

%

11.97

%

12/15/2025

$

10,524

10,524

10,024

WU Holdco, Inc. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.65

%

11.00

%

3/26/2026

$

6,461

6,461

6,363

WU Holdco, Inc. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.65

%

11.00

%

3/26/2026

$

6,254

6,254

6,160

Consumer Goods: Non-Durable Total

$

36,906

$

36,214

237.2

%

82


Interest

Maturity

Market

% of
Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Consumer Goods: Wholesale

WSP (12)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

6.40 % ( 0.75 % PIK)

12.53

%

4/27/2027

$

5,627

5,564

4,840

Consumer Goods: Wholesale Total

$

5,564

$

4,840

31.7

%

Containers, Packaging & Glass

ASP-r-pac Acquisition Co LLC (12)(16)(19)(34)

First Lien Senior Secured Loan

SOFR

6.26

%

11.64

%

12/29/2027

$

22,819

22,641

22,020

Iris Holding, Inc. (17)(34)

First Lien Senior Secured Loan

SOFR

4.75

%

10.23

%

6/28/2028

$

9,875

9,505

9,150

Containers, Packaging & Glass Total

$

32,146

$

31,170

204.1

%

FIRE: Finance

Allworth Financial Group, L.P. (12)(15)(19)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.50

%

10.96

%

12/23/2026

$

2,112

2,112

2,090

Allworth Financial Group, L.P. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.50

%

10.96

%

12/23/2026

$

8,345

8,345

8,261

Congress Wealth (18)(19)(34)

First Lien Senior Secured Loan

SOFR

6.85

%

12.20

%

6/30/2029

$

4,719

4,719

4,719

FIRE: Finance Total

$

15,176

$

15,070

98.7

%

FIRE: Insurance

Margaux Acquisition Inc. (16)(19)(34)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.90

%

11.29

%

12/19/2024

$

9,012

9,012

9,012

Margaux Acquisition Inc. (12)(16)(19)(34)

First Lien Senior Secured Loan

SOFR

5.75

%

11.23

%

12/19/2024

$

11,254

11,254

11,254

Simplicity (18)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.40

%

11.75

%

12/2/2026

$

19,900

19,393

19,601

FIRE: Insurance Total

$

39,659

$

39,867

261.1

%

Healthcare & Pharmaceuticals

Apollo Intelligence (12)(18)(19)(35)

First Lien Senior Secured Loan

SOFR

5.75

%

11.12

%

5/31/2028

$

10,665

10,585

10,612

CPS Group Holdings, Inc. (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.25

%

10.75

%

3/3/2025

$

19,603

19,574

19,603

HealthDrive (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.10

%

11.46

%

8/20/2029

$

18,703

18,703

18,703

SunMed Group Holdings, LLC (12)(16)(19)

First Lien Senior Secured Loan

SOFR

5.60

%

10.96

%

6/16/2028

$

9,533

9,533

9,533

Healthcare & Pharmaceuticals Total

$

58,395

$

58,451

382.8

%

High Tech Industries

AMI US Holdings Inc. (3)(12)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

4/1/2025

$

AMI US Holdings Inc. (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.25

%

10.71

%

4/1/2025

$

2,784

2,784

2,784

AMI US Holdings Inc. (3)(12)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

4/1/2025

$

AMI US Holdings Inc. (15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.25

%

10.71

%

4/1/2025

$

6,026

6,026

6,026

Applitools (19)(32)

First Lien Senior Secured Loan

SOFR

6.25

%

11.61

%

5/25/2029

$

11,003

10,915

10,811

Element Buyer, Inc. (15)(19)(34)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.00

%

11.46

%

7/19/2026

$

9,974

9,974

9,974

NearMap (18)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

7.25

%

12.61

%

12/9/2029

$

16,247

16,071

16,247

Superna Inc. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.50

%

11.88

%

3/6/2028

$

33,454

33,100

32,283

Ventiv Holdco, Inc. (12)(15)(19)(26)

First Lien Senior Secured Loan

SOFR

5.60 % ( 1.00 % PIK)

11.95

%

9/3/2025

$

9,891

9,891

9,891

High Tech Industries Total

$

88,761

$

88,016

576.5

%

83


Interest

Maturity

Market

% of
Members

Portfolio Company

Investment Type

Index (1)

Spread (1)

Rate

Date

Principal (9)

Cost

Value

Equity (4)

U.S. Dollars

Hotel, Gaming & Leisure

Aimbridge Acquisition Co., Inc. (12)(18)(19)

Second Lien Senior Secured Loan

SOFR

7.50

%

12.97

%

2/1/2027

$

6,000

5,701

5,610

Concert Golf Partners Holdco (12)(16)(19)(34)

First Lien Senior Secured Loan

SOFR

5.50

%

11.25

%

4/2/2029

$

20,488

20,166

20,488

Pyramid Global Hospitality (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

8.00

%

13.41

%

1/19/2027

$

15,880

15,496

15,880

Saltoun (7)(12)(18)(19)(26)

First Lien Senior Secured Loan

13.75 % PIK

13.75

%

4/11/2028

$

11,454

11,045

6,071

Hotel, Gaming & Leisure Total

$

52,408

$

48,049

314.7

%

Retail

New Look (Delaware) Corporation (15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.65

%

11.00

%

5/26/2028

$

9,555

9,227

9,316

Thrasio, LLC (7)(12)(15)(19)

First Lien Senior Secured Loan

SOFR

9.26

%

14.61

%

12/18/2026

$

9,085

9,085

3,634

Retail Total

$

18,312

$

12,950

84.8

%

Services: Business

AMCP Clean Acquisition Company, LLC (18)(35)

First Lien Senior Secured Loan

SOFR

4.40

%

9.79

%

7/10/2025

$

8,275

7,744

7,812

AMCP Clean Acquisition Company, LLC (18)(35)

First Lien Senior Secured Loan - Delayed Draw

SOFR

4.40

%

9.79

%

7/10/2025

$

1,647

1,541

1,554

Avalon Acquiror, Inc. (12)(18)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.25

%

11.60

%

3/10/2028

$

32,382

32,132

31,492

Refine Intermediate, Inc. (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

4.60

%

9.95

%

3/3/2027

$

19,712

19,712

19,712

Smartronix (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.85

%

11.57

%

11/23/2028

$

12,936

12,748

12,807

Smartronix (15)(19)(35)

First Lien Senior Secured Loan

SOFR

6.10

%

11.59

%

11/23/2028

$

8,750

8,532

8,663

TEI Holdings Inc. (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.25

%

10.76

%

12/23/2026

$

18,389

18,389

18,389

WCI Gigawatt Purchaser (12)(15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.76

%

11.13

%

11/19/2027

$

20,433

20,197

20,229

WCI Gigawatt Purchaser (15)(19)(35)

First Lien Senior Secured Loan - Delayed Draw

SOFR

5.76

%

11.13

%

11/19/2027

$

4,748

4,663

4,700

Services: Business Total

$

125,658

$

125,358

821.0

%

Services: Consumer

Eagle Parent Corp (12)(16)

First Lien Senior Secured Loan

SOFR

4.25

%

9.60

%

4/2/2029

$

3,310

3,301

3,286

MZR Buyer, LLC (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.75

%

12.21

%

12/22/2026

$

27,513

27,453

27,513

Services: Consumer Total

$

30,754

$

30,799

201.7

%

Telecommunications

Meriplex Communications, Ltd. (16)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

5.00

%

10.46

%

7/17/2028

$

14,937

14,753

14,788

Taoglas (15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

7.25

%

12.60

%

2/28/2029

$

18,653

18,354

18,000

Telecommunications Total

$

33,107

$

32,788

214.8

%

Transportation: Cargo

A&R Logistics, Inc. (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.00

%

11.48

%

5/3/2025

$

29,230

29,230

29,084

Grammer Purchaser, Inc. (3)(12)(15)(19)

First Lien Senior Secured Loan - Revolver

SOFR

4.85

%

10.21

%

9/30/2024

$

237

237

237

Grammer Purchaser, Inc. (12)(15)(19)

First Lien Senior Secured Loan

SOFR

5.00

%

10.39

%

9/30/2024

$

3,428

3,428

3,428

Gulf Winds International (18)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

7.10

%

12.46

%

12/16/2028

$

14,231

13,938

14,231

Omni Intermediate (15)(19)(34)

First Lien Senior Secured Loan

SOFR

5.15

%

10.54

%

11/23/2026

$

7,159

7,159

7,159

Omni Intermediate (12)(15)(19)

Second Lien Senior Secured Loan

SOFR

9.15

%

14.54

%

12/30/2027

$

5,000

5,000

5,000

RoadOne (19)(34)

First Lien Senior Secured Loan

SOFR

6.25

%

11.72

%

12/29/2028

$

6,969

6,790

6,969

RoadOne (3)(18)(19)(34)

First Lien Senior Secured Loan - Delayed Draw

SOFR

6.25

%

11.72

%

12/29/2028

$

1,071

1,068

1,071

Transportation: Cargo Total

$

66,850

$

67,179

440.0

%

Transportation: Consumer

PrimeFlight Acquisition LLC (12)(15)(19)(34)(35)

First Lien Senior Secured Loan

SOFR

6.85

%

12.28

%

5/1/2029

$

19,900

19,351

19,900

Transportation: Consumer Total

$

19,351

$

19,900

130.3

%

Wholesale

Abracon Group Holding, LLC. (18)(19)(34)

First Lien Senior Secured Loan

SOFR

6.00

%

11.54

%

7/6/2028

$

11,850

11,668

10,369

SureWerx (18)(19)(34)

First Lien Senior Secured Loan

SOFR

6.75

%

12.10

%

12/28/2029

$

8,302

8,120

8,302

Wholesale Total

$

19,788

$

18,671

122.3

%

Total

$

893,621

$

879,930

5762.9

%

84


(1)
The investments bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (“SOFR”) which reset daily, monthly, quarterly or semiannually. Investments or a portion thereof may bear Payment-in-Kind (“PIK”). For each, the Company has provided the PIK or the spread over SOFR and the current weighted average interest rate in effect at December 31, 2023. Certain investments are subject to a SOFR interest rate floor.
(2)
Tick mark not used
(3)
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The investment may be subject to an unused/letter of credit facility fee.
(4)
Percentages are based on SLP's net assets (in thousands) of $ 15,269 as of December 31, 2023 .
(5)
Tick mark not used
(6)
Tick mark not used
(7)
Loan was on non-accrual status as of December 31, 2023 .
(8)
Tick mark not used
(9)
The principal amount (par amount) for all debt securities is denominated in U.S. dollars, unless otherwise noted. £ represents Pound Sterling, € represents Euro, NOK represents Norwegian Krone, AUD represents Australian Dollar, CAD represents Canadian Dollar and DKK represents Danish Krone.
(10)
Tick mark not used
(11)
Tick mark not used
(12)
Assets or a portion thereof are pledged as collateral for the 2018-1 Issuer.
(13)
Tick mark not used
(14)
Tick mark not used
(15)
Loan includes interest rate floor of 1.00 %.
(16)
Loan includes interest rate floor of 0.75 %.
(17)
Loan includes interest rate floor of 0.50 %.
(18)
Loan includes interest rate floor of 0.00 %.
(19)
Security valued using unobservable inputs (Level 3).
(20)
Tick mark not used
(21)
Tick mark not used
(22)
Tick mark not used
(23)
Tick mark not used
(24)
Tick mark not used
(25)
Tick mark not used
(26)
Denotes that all or a portion of the debt investment includes PIK interest during the period.
(27)
Tick mark not used
(28)
Tick mark not used
(29)
Tick mark not used
(30)
Tick mark not used
(31)
Tick mark not used
(32)
Loan includes interest rate floor of 1.50 %.
(33)
Tick mark not used
(34)
Assets or a portion thereof are pledged as collateral for the 2023-1 Issuer.
(35)
Assets or a portion thereof are pledged as collateral for the MM_23_3 Credit Facility.

85


Below is the financial information for SLP:

Selected Balance Sheet Information

As of

As of

September 30, 2024

December 31, 2023

Investments at fair value (amortized cost of $ 1,138,806 and $ 893,621 , respectively)

$

1,132,919

$

879,930

Cash

52,114

10,303

Restricted cash and cash equivalents

254,697

89,516

Prepaid expenses

4,364

4,718

Deferred financing costs (net of accumulated amortization of $ 0 and $ 46 , respectively)

654

Interest receivable on investments

9,204

6,808

Receivable for capital call

Total assets

$

1,453,298

$

991,929

Interest payable on debt

$

19,321

$

18,669

Interest payable on subordinated notes

7,399

5,929

Debt (net of unamortized debt issuance costs of $ 7,537 and $ 4,628 , respectively)

1,132,963

713,494

Subordinated notes payable to members

293,000

232,000

Distributions payable

3,213

5,068

Payable for investments purchased

3,928

Accounts payable and accrued expenses

1,503

1,500

Total liabilities

$

1,461,327

$

976,660

Members’ deficit

( 8,029

)

( 7,211

)

Noncontrolling interests

22,480

Total members' equity (deficit)

$

( 8,029

)

$

15,269

Total liabilities and members’ equity

$

1,453,298

$

991,929

Selected Statement of Operations Information

For the Three Months Ended

For the Nine Months Ended

September 30, 2024

September 30, 2023

September 30, 2024

September 30, 2023

Investment income

Interest income

$

35,878

$

25,002

$

94,317

$

62,658

Total investment income

35,878

25,002

94,317

62,658

Expenses

Interest and debt financing expenses

23,666

12,329

59,127

29,185

Interest expense on members' subordinated notes

7,387

5,929

19,429

13,396

Professional fees and other expenses

1,731

1,164

4,795

2,896

Total expenses

32,784

19,422

83,351

45,477

Net investment income

3,094

5,580

10,966

17,181

Net realized and unrealized gains (losses)

Net realized gain (loss) on investments

79

( 952

)

( 7,702

)

( 879

)

Net realized loss on extinguishment of debt

( 1,139

)

Net change in unrealized appreciation on investments

( 1,785

)

1,383

7,807

( 1,992

)

Net gain (loss) on investments

( 1,706

)

431

( 1,034

)

( 2,871

)

Net increase from operations

1,388

6,011

9,932

14,310

Less: net increase (decrease) attributable to noncontrolling interests

( 1,055

)

66

( 3,517

)

Net increase in members' capital from operations

$

1,388

$

4,956

$

9,998

$

10,793

86


Note 4. Fair Value Measurements

Fair Value Disclosures

The following table presents fair value measurements of investments by major class, cash equivalents and derivatives as of September 30, 2024, according to the fair value hierarchy:

Fair Value Measurements

Level 1

Level 2

Level 3

Measured at Net Asset Value (2)

Total

Investments:

First Lien Senior Secured Loan

$

$

7,615

$

1,513,906

$

$

1,521,521

Second Lien Senior Secured Loan

55,358

55,358

Subordinated Debt

46,979

46,979

Preferred Equity

171,277

171,277

Equity Interest

220,178

220,178

Warrants

766

766

Subordinated Note Investment Vehicles (1)

337,224

337,224

Preferred Equity Interest Investment Vehicles (1)

10

10

Equity Interest Investment Vehicles (1)

54,637

54,637

Total Investments

$

$

7,615

$

2,345,688

$

54,647

$

2,407,950

Cash equivalents

$

28,088

$

$

$

$

28,088

Forward currency exchange contracts (liability)

$

$

( 6,549

)

$

$

$

( 6,549

)

(1)
Includes debt and equity investment in ISLP and SLP.
(2)
In accordance with ASC Subtopic 820-10, Fair Value Measurements and Disclosures, or ASC 820-10, our preferred equity and equity investments in ISLP and SLP are measured using the net asset value per share (or its equivalent) as a practical expedient for fair value, and have not been classified in the fair value hierarchy.

The following table presents fair value measurements of investments by major class, cash equivalents and derivatives as of December 31, 2023, according to the fair value hierarchy:

Fair Value Measurements

Measured at

Net Asset

Level 1

Level 2

Level 3

Value (2)

Total

Investments:

First Lien Senior Secured Loans

$

$

21,435

$

1,442,988

$

$

1,464,423

Second Lien Senior Secured Loans

68,439

68,439

Subordinated Debt

45,877

45,877

Structured Products

22,618

22,618

Preferred Equity 

104,428

104,428

Equity Interests

221,355

221,355

Warrants

511

511

Subordinated Notes in Investment Vehicles (1)

306,724

306,724

Preferred Equity Interests in Investment Vehicles (1)

( 1,793

)

( 1,793

)

Equity Interests in Investment Vehicles (1)

65,761

65,761

Total Investments

$

$

21,435

$

2,212,940

$

63,968

$

2,298,343

Cash equivalents

$

73,670

$

$

$

$

73,670

Forward currency exchange contracts (liability)

$

$

( 2,260

)

$

$

$

( 2,260

)

(1)
Includes debt and equity investments in ISLP and SLP
(2)
In accordance with ASC Subtopic 820‑10, Fair Value Measurements and Disclosures, or ASC 820‑10, our equity investment in ISLP and SLP is measured using the net asset value per share (or its equivalent) as a practical expedient for fair value, and have not been classified in the fair value hierarchy.

87


The following table provides a reconciliation of the beginning and ending balances for investments that use Level 3 inputs for the nine months ended September 30, 2024:

First Lien

Second Lien

Subordinated

Senior

Senior

Notes in

Secured

Equity

Secured

Investment

Structured

Preferred

Subordinated

Total

Loans

Interests

Loans

Vehicles (1)

Products

Equity

Debt

Warrants

Investments

Balance as of January 1, 2024

$

1,442,988

$

221,355

$

68,439

$

306,724

$

22,618

$

104,428

$

45,877

$

511

$

2,212,940

Purchases of investments and other adjustments to cost

923,099

24,344

30,500

56,922

273

1,035,138

Paid-in-kind interest income

16,130

268

400

1,924

18,722

Net accretion of discounts (amortization of premiums)

3,470

133

( 29

)

106

3,680

Principal repayments and sales of investments

( 878,391

)

( 18,900

)

( 8,774

)

( 22,414

)

( 3,470

)

( 931,949

)

Net change in unrealized appreciation on investments

10,883

( 10,663

)

( 4,560

)

1,433

10,634

( 1,201

)

257

6,783

Net realized gain (loss) on investments

( 4,273

)

3,909

14

( 1,637

)

2,363

( 2

)

374

Balance as of September 30, 2024

$

1,513,906

$

220,178

$

55,358

$

337,224

$

$

171,277

$

46,979

$

766

$

2,345,688

Change in unrealized appreciation attributable to investments still held at September 30, 2024

$

2,159

$

( 4,000

)

$

( 4,567

)

$

$

$

14,215

$

( 1,201

)

$

256

$

6,862

(1)
Represents debt investment in ISLP and SLP.

Transfers between levels, if any, are recognized at the beginning of the year in which transfers occur. For the nine months ended September 30, 2024, transfers from Level 2 to Level 3, if any, were primarily due to decreased price transparency. For the nine months ended September 30, 2024, transfers from Level 3 to Level 2, if any, were primarily due to increased price transparency.

The following table provides a reconciliation of the beginning and ending balances for investments that use Level 3 inputs for the twelve months ended December 31, 2023:

First Lien

Second Lien

Subordinated

Senior

Senior

Notes in

Secured

Equity

Secured

Investment

Structured

Preferred

Subordinated

Total

Loans

Interests

Loans

Vehicles (1)

Products

Equity

Debt

Warrants

Investments

Balance as of January 1, 2023

$

1,554,258

$

210,689

$

93,950

$

237,974

$

22,763

$

80,945

$

43,922

$

524

$

2,245,025

Purchases of investments and other adjustments to cost

691,211

19,868

68,750

40,331

820,160

Paid-in-kind interest

20,521

272

1,516

22,309

Net accretion of discounts (amortization of premiums)

4,288

327

131

4,746

Principal repayments and sales of investments

( 815,383

)

( 3,347

)

( 28,157

)

( 29,677

)

( 876,564

)

Net change in unrealized appreciation on investments

36,970

( 6,648

)

2,861

( 145

)

( 6,177

)

308

( 13

)

27,156

Net realized gains (losses) on investments

( 56,396

)

793

( 814

)

19,006

( 37,411

)

Transfers to Level 3

7,519

7,519

Balance as of December 31, 2023

$

1,442,988

$

221,355

$

68,439

$

306,724

$

22,618

$

104,428

$

45,877

$

511

$

2,212,940

Change in unrealized appreciation attributable to investments still held at December 31, 2023

$

2,726

$

( 5,708

)

$

( 456

)

$

$

( 145

)

$

( 6,177

)

$

308

$

112

$

( 9,340

)

(1)
Represents debt investment in ISLP and SLP.

Transfers between levels, if any, are recognized at the beginning of the year in which transfers occur. For the twelve months ended December 31, 2023, transfers from Level 2 to Level 3 were primarily due to decreased price transparency. For the twelve months ended December 31, 2023, transfers from Level 3 to Level 2, if any, were primarily due to increased price transparency.

Significant Unobservable Inputs

ASC 820 requires disclosure of quantitative information about the significant unobservable inputs used in the valuation of assets and liabilities classified as Level 3 within the fair value hierarchy. Disclosure of this information is not required in circumstances where a valuation (unadjusted) is obtained from a third-party pricing service and the information regarding the unobservable inputs is not reasonably available to the Company and as such, the disclosures provided below exclude those investments valued in that manner.

88


The valuation techniques and significant unobservable inputs used in Level 3 fair value measurements of assets as of September 30, 2024 were as follows:

As of September 30, 2024

Significant

Range of Significant

Fair Value of

Unobservable

Unobservable Inputs

Level 3 Assets (1)

Valuation Technique

Inputs

(Weighted Average (2) )

First Lien Senior Secured Loans

$

1,138,484

Discounted cash flows

Comparative Yields

7.9

%

18.8

%

( 10.8 %)

First Lien Senior Secured Loans

41,563

Comparable company multiple

EBITDA Multiple

6.8

x

10.0

x

( 7.9 x)

First Lien Senior Secured Loans

21,939

Comparable company multiple

Revenue Multiple

2.8

x

First Lien Senior Secured Loans

7,339

Discounted cash flows

Discount Rate

16.3

%

First Lien Senior Secured Loans

10,635

Collateral coverage

Recovery Rate

100.0

%

Second Lien Senior Secured Loans

54,730

Discounted cash flows

Comparative Yields

12.8

%

13.0

%

( 12.9 %)

Second Lien Senior Secured Loans

628

Comparable company multiple

EBITDA Multiple

10.0

x

Subordinated Notes in Investment Vehicles

337,224

Collateral coverage

Recovery Rate

100.0

%

Subordinated Debt

46,706

Discounted cash flows

Comparative Yields

12.1

%

16.0

%

( 15.5 %)

Equity Interests

126,484

Discounted cash flows

Discount Rate

13.4

%

16.4

%

( 15.1 %)

Equity Interests

64,241

Comparable company multiple

EBITDA Multiple

6.5

x

24.3

x

( 12.2 x)

Equity Interests

9,205

Comparable company multiple

Revenue Multiple

0.7

x

15.3

x

( 7.0 x)

Preferred equity

68,313

Comparable company multiple

EBITDA Multiple

5.8

x

14.5

x

( 10.9 x)

Preferred equity

44,267

Comparable company multiple

Revenue Multiple

4.0

x

8.5

x

( 7.2 x)

Preferred equity

16,562

Discounted cash flows

Comparative Yields

13.3

%

15.9

%

( 15.2 %)

Preferred equity

3,150

Discounted cash flows

Discount Rate

13.0

%

Warrants

766

Discounted cash flows

Discount Rate

25.0

%

Total investments

$

1,992,236

(1)
Included within the Level 3 assets of $ 2,345,688 is an amount of $ 353,452 for which the Advisor did not develop the unobservable inputs for the determination of fair value (examples include single source quotation and prior or pending transactions such as investments originated in the quarter or imminent payoffs).
(2)
Weighted average is calculated by weighing the significant unobservable input by the relative fair value of each investment in the category.

The Company used the income approach and market approach to determine the fair value of certain Level 3 assets as of September 30, 2024. The significant unobservable inputs used in the income approach are the comparative yield and discount rate. The comparative yield and discount rate are used to discount the estimated future cash flows expected to be received from the underlying investment. An increase/decrease in the comparative yield or discount rate would result in a decrease/increase, respectively, in the fair value. The significant unobservable inputs used in the market approach are the comparable company multiple and the recovery rate. The multiple is used to estimate the enterprise value of the underlying investment. An increase/decrease in the multiple would result in an increase/decrease, respectively, in the fair value. The recovery rate represents the extent to which proceeds can be recovered. An increase/decrease in the recovery rate would result in an increase/decrease, respectively, in the fair value.

89


The valuation techniques and significant unobservable inputs used in Level 3 fair value measurements of assets as of December 31, 2023 were as follows:

As of December 31, 2023

Significant

Range of Significant

Fair Value of

Unobservable

Unobservable Inputs

Level 3 Assets (1)

Valuation Technique

Inputs

(Weighted Average (2) )

First Lien Senior Secured Loans

$

1,238,070

Discounted cash flows

Comparative Yields

5.9

%

22.0

%

( 11.8 %)

First Lien Senior Secured Loans

66,833

Comparable company multiple

EBITDA Multiple

0.4

x

23.0

x

( 14.2 x)

First Lien Senior Secured Loans

76,044

Comparable company multiple

EBITDA Multiple

7.8

x

Probably weighting of alternative outcomes

25.0

%

75.0

%

First Lien Senior Secured Loans

9,975

Discounted cash flows

Discount Rate

15.2

%

First Lien Senior Secured Loans

11,344

Collateral coverage

Recovery Rate

100.0

%

Second Lien Senior Secured Loans

68,439

Discounted cash flows

Comparative Yields

12.1

%

23.5

%

( 14.6 %)

Subordinated Notes in Investment Vehicles

306,724

Collateral coverage

Recovery Rate

100.0

%

Subordinated Debt

45,877

Discounted cash flows

Comparative Yields

13.3

%

14.4

%

( 14.3 %)

Structured Products

22,618

Discounted cash flows

Comparative Yields

14.5

%

Equity Interests

133,493

Discounted cash flows

Discount Rate

13.4

%

16.4

%

( 15.4 %)

Equity Interests

65,820

Comparable company multiple

EBITDA Multiple

5.5

x

24.5

x

( 11.7 x)

Equity Interests

10,280

Comparable company multiple

EBITDA Multiple

8.0

x

Probably weighting of alternative outcomes

25.0

%

75.0

%

Preferred equity

51,143

Comparable company multiple

EBITDA Multiple

4.6

x

23.0

x

( 10.5 x)

Preferred equity

4,990

Discounted cash flows

Comparative Yields

11.6

%

Preferred equity

6,505

Discounted cash flows

Discount Rate

18.0

%

Warrants

511

Comparable company multiple

EBITDA Multiple

8.0

x

23.0

x

( 9.8 x)

Total investments

$

2,118,666

(1)
Included within the Level 3 assets of $ 2,212,940 is an amount of $ 94,274 for which the Advisor did not develop the unobservable inputs for the determination of fair value (examples include single source quotation and prior or pending transactions such as investments originated in the quarter or imminent payoffs).
(2)
Weighted average is calculated by weighing the significant unobservable input by the relative fair value of each investment in the category .

The Company used the income approach and market approach to determine the fair value of certain Level 3 assets as of December 31, 2023. The significant unobservable inputs used in the income approach are the comparative yield and discount rate. The comparative yield and discount rate are used to discount the estimated future cash flows expected to be received from the underlying investment. An increase/decrease in the comparative yield or discount rate would result in a decrease/increase, respectively, in the fair value. The significant unobservable inputs used in the market approach are the comparable company multiple and the recovery rate. The multiple is used to estimate the enterprise value of the underlying investment. An increase/ decrease in the multiple would result in an increase/decrease, respectively, in the fair value. The recovery rate represents the extent to which proceeds can be recovered. An increase/decrease in the recovery rate would result in an increase/decrease, respectively, in the fair value.

Debt Not Carried at Fair Value

Fair value is estimated by using market quotations or 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. If the Company’s debt obligations were carried at fair value, the fair value and level would have been as follows:

As of

Level

September 30, 2024

December 31, 2023

2019-1 Debt

2

$

352,830

$

343,136

March 2026 Notes

2

289,234

279,596

October 2026 Notes

2

284,736

270,903

Sumitomo Credit Facility

3

353,699

311,000

Total Debt

$

1,280,499

$

1,204,635

90


Note 5. Related Party Transactions

Investment Advisory Agreement

The Company entered into the first amended and restated investment advisory agreement as of November 14, 2018 (the “Prior Advisory Agreement”) with the Advisor, pursuant to which the Advisor manages the Company’s investment program and related activities. On November 28, 2018, the Board, including a majority of the Independent Directors, approved a second amended and restated advisory agreement (the “Amended Advisory Agreement”) between the Company and the Advisor. On February 1, 2019, Shareholders approved the Amended Advisory Agreement which replaced the Prior Advisory Agreement.

Base Management Fee

The Company pays the Advisor a base management fee (the “Base Management Fee”), accrued and payable quarterly in arrears. The Base Management Fee is calculated at an annual rate of 1.5 % ( 0.375 % per quarter) of the average value of the Company’s gross assets (excluding cash and cash equivalents, but including assets purchased with borrowed amounts) at the end of each of the two most recently completed calendar quarters. Such amount shall be appropriately adjusted (based on the actual number of days elapsed relative to the total number of days in such calendar quarter) for any share issuance or repurchases by the Company during a calendar quarter. The Base Management Fee for any partial quarter will be appropriately prorated. Effective February 1, 2019, the base management fee has been revised to a tiered management fee structure so that the base management fee of 1.5 % ( 0.375 % per quarter) of the average value of the Company’s gross assets (excluding cash and cash equivalents, but including assets purchased with borrowed amounts) will continue to apply to assets held at an asset coverage ratio down to 200 %, but a lower base management fee of 1.0 % ( 0.25 % per quarter) of the average value of the Company’s gross assets (excluding cash and cash equivalents, but including assets purchased with borrowed amounts) will apply to any amount of assets attributable to leverage decreasing the Company’s asset coverage ratio below 200 %.

For the three months ended September 30, 2024 and 2023, management fees were $ 8.9 million and $ 9.1 million , respectively. For the nine months ended September 30, 2024 and 2023, management fees were $ 26.5 million and $ 27.2 million , respectively.

As of September 30, 2024 and December 31, 2023, $ 8.9 million and $ 8.9 million , respectively, remained payable related to the base management fee accrued in base management fee payable on the consolidated statements of assets and liabilities.

Incentive Fee

The incentive fee consists of two parts that are determined independently of each other such that one component may be payable even if the other is not.

The first part, the Incentive Fee based on income is calculated and payable quarterly in arrears as detailed below.

The second part, the capital gains incentive fee, is determined and payable in arrears as detailed below.

Incentive Fee on Pre-Incentive Fee Net Investment Income

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 incentive fee). Pre-incentive fee net investment income includes, in the case of investments with a deferred interest feature such as market discount, original issue discount (“OID”), 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.

Pre-incentive fee net investment income does not include any realized or unrealized capital gains or losses or unrealized capital appreciation or depreciation. Because of the structure of the incentive fee, it is possible that the Company may pay an incentive fee in a quarter where the Company incurs a loss. For example, if the Company receives pre-incentive fee net investment income in excess of the Hurdle rate for a quarter, the Company will pay the applicable incentive fee even if the Company has incurred a loss in that quarter due to realized and unrealized capital losses.

91


The incentive fee based on income is calculated and payable quarterly in arrears based on the aggregate pre-incentive fee net investment income in respect of the current calendar quarter and the eleven preceding calendar quarters (the “Trailing Twelve Quarters”). This calculation is referred to as the “ Three-Year Lookback.”

Pre-incentive fee net investment income in respect of the relevant Trailing Twelve Quarters is compared to a “Hurdle Amount” equal to the product of (i) the hurdle rate of 1.5 % per quarter ( 6 % annualized) and (ii) the sum of our net assets (defined as total assets less indebtedness and before taking into account any incentive fees payable during the period) at the beginning of each applicable calendar quarter comprising the relevant Trailing Twelve Quarters. The Hurdle Amount will be calculated after making appropriate adjustments to our NAV at the beginning of each applicable calendar quarter for our subscriptions (which shall include all issuances by us of shares of our Common Stock, including issuances pursuant to the Company’s dividend reinvestment plan) and distributions during the applicable calendar quarter.

The quarterly incentive fee based on income is calculated, subject to the Incentive Fee Cap (as defined below), based on the amount by which (A) aggregate pre-incentive fee net investment income in respect of the relevant Trailing Twelve Quarters exceeds (B) the Hurdle Amount for such Trailing Twelve Quarters. The amount of the excess of (A) over (B) described in this paragraph for such Trailing Twelve Quarters is referred to as the “Excess Income Amount.” The incentive fee based on income that is paid to the Advisor in respect of a particular calendar quarter will equal the Excess Income Amount less the aggregate incentive fees based on income that were paid to the Advisor in the preceding eleven calendar quarters (or portion thereof) comprising the relevant Trailing Twelve Quarters.

The incentive fee based on income for each calendar quarter is determined as follows:

(i)
No incentive fee based on income is payable to the Advisor for any calendar quarter for which there is no Excess Income Amount;
(ii)
100 % of the aggregate pre-incentive fee net investment income in respect of the Trailing Twelve Quarters with respect to that portion of such pre-incentive fee net investment income, if any, that exceeds the Hurdle Amount, but is less than or equal to an amount, which the Company refers to as the “Catch-up Amount,” determined as the sum of 1.8182 % multiplied by our NAV at the beginning of each applicable calendar quarter comprising the relevant Trailing Twelve Quarters; and
(iii)
17.5 % of the aggregate pre-incentive fee net investment income in respect of the Trailing Twelve Quarters that exceeds the Catch-up Amount.

Incentive Fee Cap

The incentive fee based on income is subject to a cap (the “Incentive Fee Cap”). The Incentive Fee Cap in respect of any calendar quarter is an amount equal to 17.5 % of the Cumulative Net Return (as defined below) during the relevant Trailing Twelve Quarters less the aggregate incentive fees based on income that were paid to the Advisor in the preceding eleven calendar quarters (or portion thereof) comprising the relevant Trailing Twelve Quarters.

“Cumulative Net Return” during the relevant Trailing Twelve Quarters means (x) the pre-incentive fee net investment income in respect of the relevant Trailing Twelve Quarters less (y) any Net Capital Loss, if any, in respect of the relevant Trailing Twelve Quarters. If, in any quarter, the Incentive Fee Cap is zero or a negative value, the Company will pay no incentive fee based on income to the Advisor in respect of that quarter. If, in any quarter, the Incentive Fee Cap for such quarter is a positive value but is less than the incentive fee based on income that is payable to the Advisor for such quarter calculated as described above, the Company will pay an incentive fee based on income to the Advisor equal to the Incentive Fee Cap in respect of such quarter. If, in any quarter, the Incentive Fee Cap for such quarter is equal to or greater than the incentive fee based on income that is payable to the Advisor for such quarter calculated as described above, the Company will pay an incentive fee based on income to the Advisor equal to the incentive fee calculated as described above for such quarter without regard to the Incentive Fee Cap.

“Net Capital Loss” in respect of a particular period means the difference, if positive, between (i) aggregate capital losses, whether realized or unrealized, in respect of such period and (ii) aggregate capital gains, whether realized or unrealized, in respect of such period.

For the three months ended September 30, 2024 and 2023, the Company incurred $ 7.0 million and $ 3.0 million , respectively, of income incentive fees (before waivers), which are included in incentive fees on the consolidated statements of operations.

For the nine months ended September 30, 2024 and 2023, the Company incurred $ 24.2 million and $ 18.1 million , respectively, of income incentive fees (before waivers), which are included in incentive fees on the consolidated statements of operations.

92


As of September 30, 2024 and December 31, 2023, there was $ 7.0 million and $ 7.3 million , respectively, related to the income incentive fee accrued in incentive fee payable on the consolidated statements of assets and liabilities.

The Amended Advisory Agreement approved by Stockholders on February 1, 2019 incorporates (i) a three-year lookback provision and (ii) a cap on quarterly income incentive fee payments based on net realized or unrealized capital loss, if any, during the applicable three-year lookback period.

Annual Incentive Fee Based on Capital Gains

The second part of the incentive fee is a capital gains incentive fee that will be determined and payable in arrears in cash as of the end of each fiscal year (or upon termination of the Amended Advisory Agreement, as of the termination date), and equals to 17.5 % of our realized capital gains as of the end of the fiscal year. In determining the capital gains incentive fee payable to the Advisor, the Company calculates the cumulative aggregate realized capital gains and cumulative aggregate realized capital losses since our inception, and the aggregate unrealized capital depreciation as of the date of the calculation, as applicable, with respect to each of the investments in our portfolio. For this purpose, cumulative aggregate realized capital gains, if any, equals the sum of the differences between the net sales price of each investment, when sold, and the cost of such investment. Cumulative aggregate realized capital losses equals the sum of the amounts by which the net sales price of each investment, when sold, is less than the cost of such investment. Aggregate unrealized capital depreciation equals the sum of the difference, if negative, between the valuation of each investment as of the applicable calculation date and the cost of such investment. At the end of the applicable year, the amount of capital gains that serves as the basis for our calculation of the capital gains incentive fee equals the cumulative aggregate realized capital gains less cumulative aggregate realized capital losses, less aggregate unrealized capital depreciation, with respect to our portfolio of investments. If this number is positive at the end of such year, then the capital gains incentive fee for such year will equal to 17.5 % of such amount, less the aggregate amount of any capital gains incentive fees paid in respect of our portfolio in all prior years.

There was no capital gains incentive fee payable to the Advisor under the Amended Advisory Agreement as of September 30, 2024 and December 31, 2023.

US GAAP requires that the incentive fee accrual consider the cumulative aggregate unrealized capital appreciation of investments or other financial instruments in the calculation, as an 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 Amended Advisory Agreement (“GAAP Incentive Fee”). There can be no assurance that such unrealized appreciation will be realized in the future. Accordingly, such fee, as calculated and accrued, would not necessarily be payable under the Amended Advisory Agreement, and may never be paid based upon the computation of incentive fees in subsequent period.

For the three months ended September 30, 2024 and 2023, the Company accrued $ 0.0 million and $ 0.0 million of incentive fees related to the GAAP Incentive Fee, which is included in incentive fees on the consolidated statements of operations. For the nine months ended September 30, 2024 and 2023, the Company accrued $ 0.0 million and $ 0.0 million of incentive fees related to the GAAP Incentive Fee, which is included in incentive fees on the consolidated statements of operations. As of September 30, 2024 and December 31, 2023, there was $ 0.0 million and $ 0.0 million related to the GAAP Incentive Fee accrued in incentive fee payable on the consolidated statements of assets and liabilities, respectively.

Administration Agreement

The Company has entered into an administration agreement (the “Administration Agreement”) with the advisor, pursuant to which the Administrator will provide the administrative services necessary for us to operate, and the Company will utilize the Administrator’s office facilities, equipment and recordkeeping services. Pursuant to the Administration Agreement, the Administrator has agreed to oversee our public reporting requirements and tax reporting and monitor our expenses and the performance of professional services rendered to us by others. The Administrator has also hired a sub-administrator to assist in the provision of administrative services. The Company will reimburse the Administrator for its costs and expenses and our allocable portion of overhead incurred by it in performing its obligations under the Administration Agreement, including certain compensation paid to or compensatory distributions received by our officers (including our Chief Compliance Officer and Chief Financial Officer) and any of their respective staff who provide services to us, operations staff who provide services to us, and internal audit staff, if any, to the extent internal audit performs a role in our Sarbanes-Oxley internal control assessment. Our allocable portion of overhead will be determined by the Administrator, which expects to use various methodologies such as allocation based on the percentage of time certain individuals devote, on an estimated basis, to the business and affairs of the Company, and will be subject to oversight by the Board.

The Company incurred expenses related to the Administrator of $ 0.7 million and $ 0.4 million for the three months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. The Company incurred expenses related to the Administrator of $ 1.8 million and $ 0.8 million for the nine

93


months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. As of September 30, 2024 and December 31, 2023, respectively, there were $ 0.7 million and $ 0.4 million related to the Administrator that were payable and included in “accounts payable and accrued expenses” in the consolidated statements of assets and liabilities. The sub-administrator is paid its compensation for performing its sub-administrative services under the sub-administration agreement. The Company incurred expenses related to the sub-administrator of $ 0.1 million and $ 0.1 million for the three months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. The Company incurred expenses related to the sub-administrator of $ 0.4 million and $ 0.4 million for the nine months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. The Administrator will not seek reimbursement in the event that any such reimbursements would cause any distributions to our stockholders to constitute a return of capital. In addition, the Administrator is permitted to delegate its duties under the Administration Agreement to affiliates or third parties and the Company will reimburse the expenses of these parties incurred and paid by the Advisor on our behalf.

Resource Sharing Agreement

The Company’s investment activities are managed by the Advisor, an investment adviser that is registered with the SEC under the Advisers Act. The Advisor is responsible for originating prospective investments, conducting research and due diligence investigations on potential investments, analyzing investment opportunities, negotiating and structuring our investments and monitoring our investments and portfolio companies on an ongoing basis.

The Advisor has entered into a Resource Sharing Agreement (the “Resource Sharing Agreement”) with Bain Capital Credit, LP (“Bain Capital Credit”), pursuant to which Bain Capital Credit provides the Advisor with experienced investment professionals (including the members of the Advisor’s Credit Committee) and access to the resources of Bain Capital Credit so as to enable the Advisor to fulfill its obligations under the Amended Advisory Agreement. Through the Resource Sharing Agreement, the Advisor intends to capitalize on the significant deal origination, credit underwriting, due diligence, investment structuring, execution, portfolio management and monitoring experience of Bain Capital Credit’s investment professionals. There can be no assurance that Bain Capital Credit will perform its obligations under the Resource Sharing Agreement. The Resource Sharing Agreement may be terminated by either party on 60 days ’ notice, which if terminated may have a material adverse consequence on the Company’s operations.

Co-investments

The Company will invest alongside our affiliates, subject to compliance with applicable regulations and our allocation procedures. Certain types of negotiated co-investments will be made only in accordance with the terms of the exemptive order the Company received from the SEC initially on August 23, 2016, as amended on March 23, 2018 and December 22, 2021 (the “Order”). Under the terms of the Order, a “required majority” (as defined in Section 57(o) of the 1940 Act) of our independent directors must be able to reach certain conclusions in connection with a co-investment transaction, including that (1) the terms of the proposed transaction are reasonable and fair to us and our stockholders and do not involve overreaching of us or our stockholders on the part of any person concerned, and (2) the transaction is consistent with the interests of our stockholders and is consistent with our Board’s approved criteria. In certain situations where co-investment with one or more funds managed by the Advisor or its affiliates is not covered by the Order, the personnel of the Advisor or its affiliates will need to decide which funds will proceed with the investment. Such personnel will make these determinations based on policies and procedures, which are designed to reasonably ensure that investment opportunities are allocated fairly and equitably among affiliated funds over time and in a manner that is consistent with applicable laws, rules and regulations.

Revolving Advisor Loan

On March 27, 2020, the Company entered into an unsecured revolving loan agreement (the “Revolving Advisor Loan”) with the Advisor. The Revolving Advisor Loan had a maximum credit limit of $ 50.0 million and matured on March 27, 2023. The Revolving Advisor Loan accrued interest at the Applicable Federal Rate from the date of such loan until the loan was repaid in full. Please see Note 6 for additional details.

Related Party Commitments

As of September 30, 2024 and December 31, 2023, the Advisor held 14,064.30 and 449,699.30 shares of the Company’s common stock, respectively. An affiliate of the Advisor is the investment manager to certain pooled investment vehicles which are investors in the Company. These investors held 13,541,810.66 and 12,875,920.66 shares of the Company at September 30, 2024 and December 31, 2023, respectively.

94


Non-Controlled/Affiliate and Controlled Affiliate Investments

Transactions during the nine months ended September 30, 2024 in which the issuer was either an Affiliated Person or an Affiliated Person that the Company is deemed to Control are as follows:

Portfolio Company

Fair Value
as of
December 31,
2023

Gross
Additions

Gross
Reductions

Change in
Unrealized
Appreciation

Realized
Gains
(Losses)

Fair Value
as of
September 30,
2024

Dividend,
Interest, and
PIK Income

Other
Income

Non-Controlled/affiliate investment

ADT Pizza, LLC Equity Interest (1)

$

12,801

$

$

$

( 3,403

)

$

$

9,398

$

( 54

)

$

Ansett Aviation Training First Lien Senior Secured Loan

4,817

90

4,907

290

Ansett Aviation Training Equity Interest (1)

7,516

2,151

9,667

BCC Middle Market CLO 2018-1, LLC Equity Interest

22,618

( 22,415

)

1,433

( 1,636

)

821

Blackbrush Oil & Gas, L.P. Equity Interest (1)

1

( 1

)

( 28

)

Blackbrush Oil & Gas, L.P. Preferred Equity (1)

3,498

( 3,470

)

( 2,391

)

2,363

DC Blox Preferred Equity

5,435

5,435

13

DC Blox Preferred Equity

37,842

37,842

67

DC Blox Preferred Equity

3,851

1,596

5,447

10

DC Blox Equity Interest (1)

Direct Travel, Inc First Lien Senior Secured Loan

4,841

( 4,841

)

138

Direct Travel, Inc First Lien Senior Secured Loan - Delayed Draw

3,500

( 3,500

)

100

Direct Travel, Inc First Lien Senior Secured Loan - Delayed Draw

1,782

( 1,782

)

60

Direct Travel, Inc First Lien Senior Secured Loan

59,944

( 59,944

)

2,027

Direct Travel, Inc First Lien Senior Secured Loan - Delayed Draw

5,775

( 5,775

)

151

Direct Travel, Inc First Lien Senior Secured Loan

202

( 202

)

6

Direct Travel, Inc Equity Interest (1)

10,280

( 6,999

)

( 10,281

)

7,000

Walker Edison Equity Interest (1)

421

( 421

)

Walker Edison First Lien Senior Secured Loan (1)

5,972

461

( 3,450

)

2,983

384

Walker Edison First Lien Senior Secured Loan - Revolver

3,182

3,182

260

Walker Edison First Lien Senior Secured Loan - Delayed Draw (1)

1,862

( 1,093

)

769

47

Walker Edison First Lien Senior Secured Loan - Delayed Draw (1)

821

52

( 468

)

405

52

Total Non-Controlled/affiliate investment

$

147,971

$

44,068

$

( 108,928

)

$

( 10,803

)

$

7,727

$

80,035

$

4,344

$

Controlled affiliate investment

Bain Capital Senior Loan Program, LLC Subordinated Note Investment Vehicles

115,995

$

30,500

$

$

$

$

146,495

$

9,823

$

Bain Capital Senior Loan Program, LLC Preferred Equity Interest Investment Vehicles

( 1,793

)

1,803

10

1,623

Bain Capital Senior Loan Program, LLC Equity Interest Investment Vehicles

( 379

)

( 1,460

)

( 1,839

)

4,598

BCC Jetstream Holdings Aviation (On II), LLC First Lien Senior Secured Loan (1)

6,619

3

6,622

BCC Jetstream Holdings Aviation (On II), LLC Equity Interest (1)

BCC Jetstream Holdings Aviation (Off I), LLC Equity Interest

10,944

( 51

)

10,893

Gale Aviation (Offshore) Co Equity Interest

88,419

( 11,900

)

( 1,518

)

75,001

8,599

International Senior Loan Program, LLC Equity Interest Investment Vehicles

66,140

( 9,664

)

56,476

5,703

International Senior Loan Program, LLC Subordinated Note Investment Vehicles

190,729

190,729

19,125

Legacy Corporate Lending HoldCo, LLC Equity Interest (1)

810

90

900

Legacy Corporate Lending HoldCo, LLC Preferred Equity (1)

34,875

2,025

36,900

Legacy Corporate Lending HoldCo, LLC Equity Interest (1)

Lightning Holdings B, LLC Equity Interest (1)

44,653

3,637

3,193

51,483

Total Controlled affiliate investment

$

557,012

$

36,252

$

( 11,900

)

$

( 7,694

)

$

$

573,670

$

49,471

$

Total

$

704,983

$

80,320

$

( 120,828

)

$

( 18,497

)

$

7,727

$

653,705

$

53,815

$

(1) Non-income producing.

95


Transactions during the year ended December 31, 2023 in which the issuer was either an Affiliated Person or an Affiliated Person that the Company is deemed to Control are as follows:

Fair Value

Fair Value

as of

Change in

Realized

as of

Dividend,

December 31,

Gross

Gross

Unrealized

Gains

December 31,

Interest, and

Other

Portfolio Company

2022

Additions

Reductions

Appreciation

(Losses)

2023

PIK Income

Income

Non-Controlled/affiliate investment

ADT Pizza, LLC, Equity Interest (1)

$

14,581

$

11

$

$

( 1,791

)

$

$

12,801

$

$

Ansett Aviation Training First Lien Senior Secured Loan

4,818

( 1

)

4,817

376

Ansett Aviation Training Equity Interest (1)

5,310

2,206

7,516

( 159

)

BCC Middle Market CLO 2018-1, LLC. Equity Interest

22,763

( 145

)

22,618

4,814

Blackbrush Oil & Gas, L.P. First Lien Senior Secured Loan

9,040

139

( 9,178

)

( 1

)

978

Blackbrush Oil & Gas, L.P. Equity Interest (1)

1

1

Blackbrush Oil & Gas, L.P. Preferred Equity (1)

30,785

( 29,677

)

( 16,616

)

19,006

3,498

Direct Travel, Inc. First Lien Senior Secured Loan

4,841

4,841

574

Direct Travel, Inc. First Lien Senior Secured Loan - Delayed Draw

3,440

60

3,500

444

Direct Travel, Inc. First Lien Senior Secured Loan - Delayed Draw

1,741

41

1,782

221

Direct Travel, Inc. First Lien Senior Secured Loan

58,721

1,223

59,944

8,240

Direct Travel, Inc. First Lien Senior Secured Loan - Delayed Draw

4,125

1,650

5,775

583

Direct Travel, Inc. First Lien Senior Secured Loan

202

202

25

Direct Travel, Inc. Equity Interest (1)

13,033

( 2,753

)

10,280

Walker Edison First Furniture Company LLC Equity Interest (1)

5,592

( 5,171

)

421

Walker Edison First Furniture Company LLC First Lien Senior Secured Loan

5,972

5,972

555

Walker Edison First Furniture Company LLC First Lien Senior Secured Loan - Revolver

3,182

3,182

330

Walker Edison First Furniture Company LLC First Lien Senior Secured Loan - Delayed Draw

821

821

32

Total Non-Controlled/affiliate investment

$

173,400

$

18,691

$

( 38,855

)

$

( 24,271

)

$

19,006

$

147,971

$

17,013

$

Controlled affiliate investment

Bain Capital Senior Loan Program, LLC Subordinated Note Investment Vehicles

$

50,995

$

65,000

$

$

$

$

115,995

$

9,626

$

Bain Capital Senior Loan Program, LLC Class A Preferred Equity Interests Investment Vehicles

( 644

)

( 1,149

)

( 1,793

)

2,623

Bain Capital Senior Loan Program, LLC Class B Equity Interests Investment Vehicles

3,347

( 3,726

)

( 379

)

7,433

BCC Jetstream Holdings Aviation (On II), LLC, First Lien Senior Secured Loan (1)

6,400

219

6,619

( 1,010

)

BCC Jetstream Holdings Aviation (On II), LLC, Equity Interest (1)

BCC Jetstream Holdings Aviation (Off I), LLC, Equity Interest (1)

10,388

556

10,944

Gale Aviation (Offshore) Co, Equity Interest

91,326

( 1,155

)

( 1,752

)

88,419

12,352

International Senior Loan Program, LLC, Equity Interest Investment Vehicle

62,630

1,250

2,260

66,140

8,736

International Senior Loan Program, LLC, Subordinated Note Investment Vehicle

186,979

3,750

190,729

25,161

Legacy Corporate Lending HoldCo, LLC Class A Common Equity (1)

810

810

Legacy Corporate Lending HoldCo, LLC Preferred Equity (1)

34,875

34,875

( 225

)

Legacy Corporate Lending HoldCo, LLC Class B Common Equity (1)

Lightning Holdings Equity Interest (1)

27,209

9,635

7,809

44,653

Total Controlled affiliate investment

$

438,630

$

115,320

$

( 1,155

)

$

4,217

$

$

557,012

$

64,696

$

Total

$

612,030

$

134,011

$

( 40,010

)

$

( 20,054

)

$

19,006

$

704,983

$

81,709

$

(1) Non-income producing.

Note 6. Debt

In accordance with applicable SEC staff guidance and interpretations, as a BDC, with certain exceptions, effective February 2, 2019, the Company is permitted to borrow amounts such that its asset coverage ratio is at least 150 % after such borrowing (if certain requirements are met), rather than 200 %, as previously required. As of September 30, 2024 and December 31, 2023, the Company’s asset coverage ratio based on aggregated borrowings outstanding was 187.8 % and 189.9 % , respectively.

96


The Company’s outstanding borrowings as of September 30, 2024 and December 31, 2023 were as follows:

As of September 30, 2024

As of December 31, 2023

Total Aggregate

Principal

Total Aggregate

Principal

Principal Amount

Amount

Carrying

Principal Amount

Amount

Carrying

Committed

Outstanding

Value (1)

Committed

Outstanding

Value (1)

2019-1 Debt

$

352,500

$

352,500

$

351,326

$

352,500

$

352,500

$

351,229

March 2026 Notes

300,000

300,000

298,371

300,000

300,000

297,522

October 2026 Notes

300,000

300,000

297,211

300,000

300,000

296,182

Sumitomo Credit Facility (2)

855,000

353,699

353,699

665,000

311,000

311,000

Total Debt

$

1,807,500

$

1,306,199

$

1,300,607

$

1,617,500

$

1,263,500

$

1,255,933

(1)
Carrying value represents aggregate principal amount outstanding less unamortized debt issuance costs.
(2)
On January 26, 2022, Gale Aviation (Offshore) Co investment, a controlled affiliate investment of the Company, entered into a letter of credit agreement with Sumitomo Mitsui Banking Corporation for $ 14.7 million. On October 2, 2023, $ 4.0 million of the letter of credit agreement was terminated. On July 4, 2024, the remaining $ 10.7 million of the letter of credit agreement was terminated.

The combined weighted average interest rate (excluding deferred upfront financing costs and unused fees) of the aggregate borrowings outstanding for the nine months ended September 30, 2024 and year ended December 31, 2023 were 5.1 % and 5.2 % , respectively.

The combined weighted average borrowings outstanding for the nine months ended September 30, 2024 and year ended December 31, 2023 were $ 1.3 billion and $ 1.4 billion , respectively.

The following table shows the contractual maturities of our debt obligations as of September 30, 2024:

Payments Due by Period

Less than

More than

Total

1 year

1 — 3 years

3 — 5 years

5 years

2019-1 Debt

$

352,500

$

$

$

$

352,500

March 2026 Notes

300,000

300,000

October 2026 Notes

300,000

300,000

Sumitomo Credit Facility

353,699

353,699

Total Debt Obligations

$

1,306,199

$

$

600,000

$

353,699

$

352,500

2019‑1 Debt

On August 28, 2019, the Company, through BCC Middle Market CLO 2019‑1 LLC (the “2019‑1 Issuer”), a Cayman Islands limited liability company and a wholly-owned and consolidated subsidiary of the Company, and BCC Middle Market CLO 2019‑1 Co-Issuer, LLC (the “Co-Issuer” and, together with the Issuer, the “Co-Issuers”), a Delaware limited liability company, completed its $ 501.0 million term debt securitization (the “2019‑1 CLO Transaction”). The notes issued in connection with the 2019‑1 CLO Transaction (the “2019‑1 Notes”) are secured by a diversified portfolio of the Co-Issuers consisting primarily of middle market loans, the majority of which are senior secured loans (the “2019‑1 Portfolio”). The Co-Issuers also issued Class A‑1L Loans (the “Loans” and, together with the 2019‑1 Notes, the “2019‑1 Debt”). The Loans are also secured by the 2019‑1 Portfolio. At the 2019‑1 closing date, the 2019‑1 Portfolio was comprised of assets transferred from the Company and its consolidated subsidiaries. All transfers were eliminated in consolidation and there were no realized gains or losses recognized in the 2019‑1 CLO Transaction.

On November 30, 2021, the Co-Issuers refinanced the 2019‑1 CLO Transaction through a private placement of $ 410 million of senior secured and senior deferrable notes consisting of: (i) $ 282.5 million of Class A‑1‑R Senior Secured Floating Rate Notes, which currently bear interest at the applicable reference rate plus 1.50 % per annum; (ii) $ 55 million of Class A‑2‑R Senior Secured Floating Rate Notes, which bear interest at the applicable reference rate plus 2.00 % per annum; (iii) $ 47.5 million of Class B-R Senior Deferrable Floating Rate Notes, which bear interest at the applicable reference rate plus 2.60 % per annum; and (iv) $ 25.0 million of Class C-R Senior Deferrable Floating Rate Notes, which bear interest at the applicable reference rate plus 3.75 % per annum (collectively, the “2019‑1 CLO Reset Notes”). As part of the transactions, the 2019-1 Issuer was redomiciled from Cayman to Jersey. The 2019‑1 CLO Reset Notes are scheduled to mature on October 15, 2033 and the reinvestment period ends October 15, 2025. The Company retained $ 32.5 million of the Class B-R Notes and $ 25.0 million of the Class C-R Notes. The retained notes by the Company are eliminated in consolidation. The transaction resulted in a realized loss on the extinguishment of debt of $ 2.3 million from the acceleration of

97


unamortized debt issuance costs. The obligations of the 2019-1 Issuer under the 2019-1 CLO Transaction are non-recourse to the Company.

On June 15, 2023, the Company entered into a Second Supplemental Indenture (“2019-1 Supplemental Indenture”), dated as of June 15, 2023, pursuant to Section 8.1(xxxi) of the Indenture, dated as of November 30, 2021, between BCC Middle Market CLO 2019-1, LTD, as issuer, and Wells Fargo Bank, National Association, as trustee. The 2019-1 Supplemental Indenture provides for, among other things, an adoption of an alternate reference rate of Term SOFR plus 0.26 %, effective July 1, 2023.

The 2019‑1 CLO Reset Notes was executed through a private placement of the following 2019‑1 Debt:

Interest rate at

2019-1 Debt

Principal Amount

Spread above Index

September 30, 2024

Class A-1-R

$

282,500

1.50

% + 3 Month SOFR

7.06

%

Class A-2-R

55,000

2.00

% + 3 Month SOFR

7.56

%

Class B-R

15,000

2.60

% + 3 Month SOFR

8.16

%

Total 2019-1 Debt

352,500

Membership Interests

102,250

Non-interest bearing

Not applicable

Total

$

454,750

The Company serves as portfolio manager of the 2019‑1 Issuer pursuant to a portfolio management agreement between the Company and the 2019‑1 Issuer. For so long as the Company serves as portfolio manager, the Company will not charge any management fee or subordinated interest to which it may be entitled.

During the reinvestment period, pursuant to the indenture and loan agreement governing the 2019‑1 Notes and Loans, respectively, all principal collections received on the underlying collateral may be used by the 2019‑1 Issuer to purchase new collateral under the direction of the Company in its capacity as portfolio manager of the 2019‑1 Issuer and in accordance with the 2019‑1 Issuer investment strategy and the terms of the indenture and loan agreement, as applicable.

The Company has agreed to hold on an ongoing basis the membership interests with an aggregate dollar purchase price at least equal to 5 % of the aggregate amount of all obligations issued by the 2019‑1 Co-Issuers for so long as the 2019‑1 Debt remains outstanding.

The 2019‑1 Issuer pays ongoing administrative expenses to the trustee, independent accountants, legal counsel, rating agencies and independent managers in connection with developing and maintaining reports, and providing required services in connection with the administration of the 2019‑1 Issuer.

As of September 30, 2024, there were 56 first lien senior secured loans with a total fair value of approximately $ 470.8 million and cash of $ 23.6 million securing the 2019-1 Debt. As of December 31, 2023, there were 49 first lien and second lien senior secured loans with a total fair value of approximately $ 453.7 million and cash of $ 52.8 million securing the 2019-1 Debt. Assets that are pledged as collateral for the 2019-1 Debt are not directly available to the creditors of the Company to satisfy any obligations of the Company other than the Company’s obligations under the indenture and loan agreement governing the 2019-1 Debt. The creditors of the 2019-1 Co-Issuers have received security interests in such assets and such assets are not intended to be available to the creditors of the Company (or an affiliate of the Company). The 2019-1 Portfolio must meet certain requirements, including asset mix and concentration, term, agency rating, collateral coverage, minimum coupon, minimum spread and sector diversity requirements in the indenture and loan agreement governing the 2019-1 Debt. As of September 30, 2024, the Company was in compliance with its covenants related to the 2019-1 Debt.

Costs of the offering of $ 1.5 million were incurred in connection with the 2019‑1 CLO Reset Notes which have been recorded as debt issuance costs and presented as a reduction to the outstanding principal amount of the 2019‑1 Debt on the consolidated statements of assets and liabilities and are being amortized over the life using the effective interest method. The balance of the unamortized debt issuance costs was $ 1.2 million and $ 1.3 million as of September 30, 2024 and December 31, 2023, respectively.

98


For the three months ended September 30, 2024 and 2023, the components of interest expense related to the 2019‑1 Co-Issuers were as follows:

For the Three Months Ended September 30,

2024

2023

Borrowing interest expense

$

6,478

$

6,433

Amortization of deferred financing costs and upfront commitment fees

33

33

Total interest and debt financing expenses

$

6,511

$

6,466

For the nine months ended September 30, 2024 and 2023, the components of interest expense related to the 2019‑1 Co-Issuers were as follows:

For the Nine Months Ended September 30,

2024

2023

Borrowing interest expense

$

19,333

$

18,038

Amortization of deferred financing costs and upfront commitment fees

97

97

Total interest and debt financing expenses

$

19,430

$

18,135

Revolving Advisor Loan

On March 27, 2020, the Company entered into the Revolving Advisor Loan with the Advisor. The Revolving Advisor Loan had a maximum credit limit of $ 50.0 million and matured on March 27, 2023. The Revolving Advisor Loan accrued interest at the Applicable Federal Rate from the date of such loan until the loan was repaid in full.

For the three and nine months ended September 30, 2024 and 2023, the Revolving Advisor Loan did not incur any interest expense.

March 2026 Notes

On March 10, 2021, the Company and U.S. Bank National Association (the “Trustee”), entered into an Indenture (the “Base Indenture”) and First Supplemental Indenture (the “First Supplemental Indenture,” and together with the Base Indenture, the “Indenture”) between the Company and the Trustee. The First Supplemental Indenture relates to the Company’s issuance of $ 300.0 million aggregate principal amount of its 2.95 % notes due 2026 (the “March 2026 Notes”).

The March 2026 Notes will mature on March 10, 2026 and may be redeemed in whole or in part at the Company’s option at any time or from time to time at the redemption prices set forth in the Indenture. The March 2026 Notes bear interest at a rate of 2.95 % per year payable semi-annually on March 10th and September 10th of each year, commencing on September 10, 2021. The March 2026 Notes are general unsecured obligations of the Company that rank senior in right of payment to all of the Company’s existing and future indebtedness that is expressly subordinated in right of payment to the March 2026 Notes, rank pari passu with all existing and future unsecured unsubordinated indebtedness issued by the Company, rank effectively junior to any of the Company’s secured indebtedness (including unsecured indebtedness that the Company later secures) to the extent of the value of the assets securing such indebtedness, and rank structurally junior to all existing and future indebtedness (including trade payables) incurred by the Company’s subsidiaries, financing vehicles or similar facilities.

The net proceeds to the Company were approximately $ 294.3 million, after deducting the underwriting discounts and commissions of $ 4.4 million and offering expenses of $ 1.3 million.

99


As of September 30, 2024 and December 31, 2023, the components of the carrying value of the March 2026 Notes were as follows:

September 30, 2024

December 31, 2023

Principal amount of debt

$

300,000

$

300,000

Unamortized debt issuance cost

( 934

)

( 1,421

)

Original issue discount, net of accretion

( 695

)

( 1,057

)

Carrying value of March 2026 Notes

$

298,371

$

297,522

For the three months ended September 30, 2024 and 2023, the components of interest expense related to the March 2026 Notes were as follows:

For the Three Months Ended September 30,

2024

2023

Borrowing interest expense

$

2,212

$

2,213

Amortization of debt issuance cost

164

163

Accretion of original issue discount

121

121

Total interest and debt financing expenses

$

2,497

$

2,497

For the nine months ended September 30, 2024 and 2023, the components of interest expense related to the March 2026 Notes were as follows:

For the Nine Months Ended September 30,

2024

2023

Borrowing interest expense

$

6,638

$

6,638

Amortization of debt issuance cost

487

485

Accretion of original issue discount

362

360

Total interest and debt financing expenses

$

7,487

$

7,483

October 2026 Notes

On October 13, 2021, the Company and the Trustee entered into a Second Supplemental Indenture (the “Second Supplemental Indenture”) to the Indenture between the Company and the Trustee. The Second Supplemental Indenture relates to the Company’s issuance of $ 300.0 million aggregate principal amount of its 2.55 % notes due 2026 (the “October 2026 Notes,” and together with the March 2026 Notes, the “2026 Notes”).

The October 2026 Notes will mature on October 13, 2026 and may be redeemed in whole or in part at the Company’s option at any time or from time to time at the redemption prices set forth in the Indenture. The October 2026 Notes bear interest at a rate of 2.55 % per year payable semi-annually on April 13 and October 13 of each year, commencing on April 13, 2022. The October 2026 Notes are general unsecured obligations of the Company that rank senior in right of payment to all of the Company’s existing and future indebtedness that is expressly subordinated in right of payment to the October 2026 Notes, rank pari passu with all existing and future unsecured unsubordinated indebtedness issued by the Company, rank effectively junior to any of the Company’s secured indebtedness (including unsecured indebtedness that the Company later secures) to the extent of the value of the assets securing such indebtedness, and rank structurally junior to all existing and future indebtedness (including trade payables) incurred by the Company’s subsidiaries, financing vehicles or similar facilities.

The net proceeds to the Company were approximately $ 293.1 million, after deducting the underwriting discounts and commissions of $ 6.2 million and offering expenses of $ 0.7 million.

100


As of September 30, 2024 and December 31, 2023, the components of the carrying value of the October 2026 Notes were as follows:

September 30, 2024

December 31, 2023

Principal amount of debt

$

300,000

$

300,000

Unamortized debt issuance cost

( 1,487

)

( 2,035

)

Original issue discount, net of accretion

( 1,302

)

( 1,783

)

Carrying value of October 2026 Notes

$

297,211

$

296,182

For the three months ended September 30, 2024 and 2023, the components of interest expense related to the October 2026 Notes were as follows:

For the Three Months Ended September 30,

2024

2023

Borrowing interest expense

$

1,913

$

1,913

Amortization of debt issuance cost

184

184

Accretion of original issue discount

161

162

Total interest and debt financing expenses

$

2,258

$

2,259

For the nine months ended September 30, 2024 and 2023, the components of interest expense related to the October 2026 Notes were as follows:

For the Nine Months Ended September 30,

2024

2023

Borrowing interest expense

$

5,738

$

5,738

Amortization of debt issuance cost

548

546

Accretion of original issue discount

481

479

Total interest and debt financing expenses

$

6,767

$

6,763

Sumitomo Credit Facility

On December 24, 2021, the Company entered into a senior secured revolving credit agreement (as amended to date, the “Sumitomo Credit Agreement” or the “Sumitomo Credit Facility”) as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. The Credit Agreement is effective as of December 24, 2021.

The facility amount under the Sumitomo Credit Agreement is $ 300.0 million with an accordion provision to permit increases to the total facility amount up to $ 1.0 billion. Proceeds of the loans under the Sumitomo Credit Agreement may be used for general corporate purposes of the Company, including, without limitation, repaying outstanding indebtedness, making distributions, contributions and investments, and acquisition and funding, and such other uses as permitted under the Sumitomo Credit Agreement. The maturity date is December 24, 2026.

On July 6, 2022, the Company entered into the First Amendment to the Sumitomo Credit Agreement. The First Amendment provides for an upsize in the total commitments from lenders under the revolving credit facility governed by the Sumitomo Credit Agreement from $ 300.0 million to $ 385.0 million. The First Amendment also replaced the LIBOR benchmark provisions under the Sumitomo Credit Agreement with SOFR benchmark provisions, including applicable credit spread adjustments.

On July 22, 2022, the Company entered into the Increasing Lender/Joinder Lender Agreement (the “Joinder Agreement”), dated as of July 22, 2022, pursuant to Section 2.08(e) of the Sumitomo Credit Agreement. The Joinder Agreement provides for, among other things, an upsize in the total commitments from lenders under the revolving credit facility governed by the Sumitomo Credit Agreement from $ 385.0 million to $ 485.0 million.

On August 24, 2022, the Company entered into the Second Amendment, which provides for, among other things, an upsize in the total commitments from lenders under the Sumitomo Credit Agreement from $ 485.0 million to $ 635.0 million.

101


On December 14, 2022, the Company entered into a second Increasing Lender/Joinder Lender Agreement (the “Second Joinder Agreement”), dated as of December 14, 2022, pursuant to Section 2.08(e) of the Sumitomo Credit Agreement. The Second Joinder Agreement provides for, among other things, an upsize in the total commitments from lenders under the revolving credit facility governed by the Sumitomo Credit Agreement from $ 635.0 million to $ 665.0 million.

On May 20, 2024, the Company entered into the Third Amendment to Senior Secured Revolving Credit Agreement and First Amendment to Guarantee and Security Agreement (the “Third Amendment”), which amends the Sumitomo Credit Agreement. The Third Amendment provides for, among other things, (i) an extension of the revolver availability period from December 24, 2025 to May 19, 2028, (ii) an extension of the scheduled maturity date from December 24, 2026 to May 18, 2029, (iii) the conversion of a portion of the existing revolver availability into term loan availability, (iv) an upsize in the total facility amount from $ 665,000,000 to $ 855,000,000 , (v) an increase in the accordion provision to permit increases to a total facility amount of up to $ 1,500,000,000 , (vi) the reduction of the credit adjustment spread for term benchmark loans denominated in Dollars, from 0.10 % for one-month tenor loans, 0.15 % for three-month tenor loans and 0.25 % for six-month tenor loans to 0.10 % for all loan tenors, and (vii) the joinder of new lenders to the Sumitomo Credit Agreement.

Interest under the Sumitomo Credit Agreement for (i) loans for which the Company elects the base rate option, (A) if the borrowing base is equal to or greater than the product of 1.60 and the revolving credit exposure, is payable at an “alternate base rate” (which is the greater of zero and the highest of (a) the prime rate as published in the print edition of The Wall Street Journal, Money Rates Section, (b) the federal funds effective rate plus 0.5 % and (c) the one-month Eurocurrency rate plus 1 % per annum) plus 0.75 % per annum and (B) if the borrowing base is less than the product of 1.60 and the revolving credit exposure, the alternate base rate plus 0.875 % per annum; (ii) loans for which the Company elects the Eurocurrency option, (A) if the borrowing base is equal to or greater than the product of 1.60 and the revolving credit exposure, is payable at a rate equal to the Eurocurrency rate plus 1.75 % per annum and (B) if the borrowing base is less than the product of 1.60 and the revolving credit exposure, is payable at a rate equal to the Eurocurrency rate plus 1.875 % per annum; and (iii) loans for which the Company elects the risk-free-rate option, (A) if the borrowing base is equal to or greater than the product of 1.60 and the revolving credit exposure, is payable at a rate equal to risk-free-rate plus 1.8693 % per annum and (B) if the borrowing base is less than the product of 1.60 and the revolving credit exposure, is payable at a rate equal to risk-free-rate plus 1.9943 % per annum. The Company pays a used commitment fee of 37.5 basis points ( 0.375 %) on the average daily unused amount of the dollar commitment.

The Sumitomo Credit Agreement includes customary affirmative and negative covenants, including certain limitations on the incurrence of additional indebtedness and liens, as well as usual and customary events of default for revolving credit facilities of this nature. As of September 30, 2024, the Company was in compliance with its covenants related to the Sumitomo Credit Facility.

As of September 30, 2024 and December 31, 2023, there were $ 353.7 million and $ 311.0 million of borrowings under the Sumitomo Credit Facility.

For the three months ended September 30, 2024 and 2023, the components of interest expense related to the Sumitomo Credit Facility were as follows:

For the Three Months Ended September 30,

2024

2023

Borrowing interest expense

$

6,079

$

9,152

Unused facility fee

508

165

Accretion of original issue discount

264

236

Total interest and debt financing expenses

$

6,851

$

9,553

For the nine months ended September 30, 2024 and 2023, the components of interest expense related to the Sumitomo Credit Facility were as follows:

For the Nine Months Ended September 30,

2024

2023

Borrowing interest expense

$

17,738

$

27,271

Unused facility fee

1,262

430

Accretion of original issue discount

1,120

702

Total interest and debt financing expenses

$

20,120

$

28,403

102


Note 7. Derivatives

The Company is subject to foreign currency exchange rate risk in the normal course of pursuing its investment objectives. The value of foreign investments held by the Company may be significantly affected by changes in foreign currency exchange rates. The dollar value of a foreign security generally decreases when the value of the dollar rises against the foreign currency in which the security is denominated and tends to increase when the value of the dollar declines against such foreign currency.

The Company may enter into forward currency exchange contracts to reduce the Company’s exposure to foreign currency exchange rate fluctuations in the value of foreign currencies, as described in Note 2. The fair value of derivative contracts open as of September 30, 2024 and December 31, 2023 is included on the consolidated schedules of investments by contract. The Company had collateral receivable of $ 9.7 million for September 30, 2024 and collateral receivable of $ 7.6 million for December 31, 2023 with the counterparties on foreign currency exchange contracts. Collateral amounts posted are included in collateral on forward currency exchange contracts on the consolidated statements of assets and liabilities. Collateral payable is included in collateral payable on forward currency exchange contracts on the consolidated statements of assets and liabilities.

For the three and nine months ended September 30, 2024, the Company’s average U.S. dollar notional exposure to forward currency exchange contracts were $ 126.8 million and $ 129.0 million , respectively.

For the three and nine months ended September 30, 2023 the Company's average U.S. dollar notional exposure to forward currency exchange contracts were $ 199.5 million and $ 192.1 million , respectively.

By using derivative instruments, the Company is exposed to the counterparty’s credit risk—the risk that derivative counterparties may not perform in accordance with the contractual provisions offset by the value of any collateral received. The Company’s exposure to credit risk associated with counterparty non-performance is limited to collateral posted and the unrealized gains inherent in such transactions that are recognized in the consolidated statements of assets and liabilities. The Company minimizes counterparty credit risk through credit monitoring procedures, executing master netting arrangements and managing margin and collateral requirements, as appropriate.

The Company presents forward currency exchange contracts on a net basis by counterparty on the consolidated statements of assets and liabilities. The Company has elected not to offset assets and liabilities in the consolidated statements of assets and liabilities that may be received or paid as part of collateral arrangements, even when an enforceable master netting arrangement or other arrangement is in place that provides the Company, in the event of counterparty default, the right to liquidate collateral and the right to offset a counterparty’s rights and obligations.

The following table presents both gross and net information about derivative instruments eligible for offset in the consolidated statements of assets and liabilities as of September 30, 2024:

Net amount of

Gross amount of

assets or

Gross amount of

(liabilities)

(liabilities)

Account in the

assets on the

on the

presented on the

consolidated

consolidated

consolidated

consolidated

statements of

statements of

statements of

statements of

Cash Collateral

assets

assets and

assets and

assets and

paid

Net

Counterparty

and liabilities

liabilities

liabilities

liabilities

(received) (1)

Amounts (2)

Bank of New York

Unrealized depreciation on forward currency contracts

$

485

$

( 3,623

)

$

( 3,138

)

$

$

( 3,138

)

Citibank

Unrealized depreciation on forward currency contracts

$

0 (3)

$

( 3,232

)

$

( 3,232

)

$

$

( 3,232

)

Wells Fargo

Unrealized depreciation on forward currency contracts

$

389

$

( 568

)

$

( 179

)

$

$

( 179

)

(1)
Amount excludes excess cash collateral paid.
(2)
Net amount represents the net amount due (to) from counterparty in the event of default based on the contractual set-off rights under the agreement. Net amount excludes any over-collateralized amounts.
(3)
Less than $ 500

103


The following table presents both gross and net information about derivative instruments eligible for offset in the consolidated statements of assets and liabilities as of December 31, 2023:

Net amount of

Gross amount of

assets or

Gross amount of

(liabilities)

(liabilities)

Account in the

assets on the

on the

presented on the

consolidated

consolidated

consolidated

consolidated

statements of

statements of

statements of

statements of

Cash Collateral

assets

assets and

assets and

assets and

paid

Net

Counterparty

and liabilities

liabilities

liabilities

liabilities

(received) (1)

Amounts (2)

Bank of New York

Unrealized appreciation on forward currency contracts

$

1,300

$

( 2,247

)

$

( 947

)

$

$

( 947

)

Citibank

Unrealized appreciation on forward currency contracts

$

879

$

( 2,192

)

$

( 1,313

)

$

$

( 1,313

)

(1)
Amount excludes excess cash collateral paid.
(2)
Net amount represents the net amount due (to) from counterparty in the event of default based on the contractual set-off rights under the agreement. Net amount excludes any over-collateralized amounts.

The effect of transactions in derivative instruments to the consolidated statements of operations during the three months ended September 30, 2024 and 2023 was as follows:

For the Three Months Ended September 30,

2024

2023

Net realized gain (loss) on forward currency exchange contracts

$

20

$

( 221

)

Net change in unrealized appreciation (depreciation) on forward currency exchange contracts

( 5,693

)

7,107

Total net realized and unrealized gain (loss) on forward currency exchange contracts

$

( 5,673

)

$

6,886

Included in total net gains (losses) on the consolidated statements of operations is net gains (losses) of $ 5.6 million and ($ 6.3 ) million related to realized and unrealized gains and losses on investments, foreign currency holdings and non-investment assets and liabilities attributable to the changes in foreign currency exchange rates for the three months ended September 30, 2024 and 2023, respectively. Including the total net realized and unrealized gains (losses) on forward currency exchange contracts of ($ 5.7 ) million and $ 6.9 million , respectively, included in the above table, the net impact of foreign currency on total net gains (losses) on the consolidated statements of operations is ($ 0.1 ) million and $ 0.5 million for the three months ended September 30, 2024 and 2023, respectively.

The effect of transactions in derivative instruments to the consolidated statements of operations during the nine months ended September 30, 2024 and 2023 was as follows:

For the Nine Months Ended September 30,

2024

2023

Net realized gains (losses) on forward currency exchange contracts

$

1,916

$

( 2,606

)

Net change in unrealized appreciation (depreciation) on forward currency exchange contracts

( 4,289

)

5,792

Total net realized and unrealized gains (losses) on forward currency exchange contracts

$

( 2,373

)

$

3,186

104


Included in total net gains (losses) on the consolidated statements of operations is net gains (losses) of $ 3.3 million and ($ 1.7 ) million related to realized and unrealized gains and losses on investments, foreign currency holdings and non-investment assets and liabilities attributable to the changes in foreign currency exchange rates for the nine months ended September 30, 2024 and 2023, respectively. Including the total net realized and unrealized gains (losses) on forward currency exchange contracts of ($ 2.4 ) million and $ 3.2 million , respectively, included in the above table, the net impact of foreign currency on total net gains (losses) on the consolidated statements of operations is $ 0.9 million and $ 1.5 million for the nine months ended September 30, 2024 and 2023 , respectively.

Note 8. Distributions

The Company’s distributions are recorded on the record date. The following table summarizes distributions declared during the nine months ended September 30, 2024:

Amount

Total

Date Declared

Record Date

Payment Date

Per Share

Distributions

February 27, 2024

March 28, 2024

April 30, 2024

$

0.42

$

27,116

February 27, 2024

March 28, 2024

April 30, 2024

$

0.03

$

1,937

(1)

May 6, 2024

June 28, 2024

July 29, 2024

$

0.42

$

27,116

May 6, 2024

June 28, 2024

July 29, 2024

$

0.03

$

1,937

(1)

August 6, 2024

September 30, 2024

October 31, 2024

$

0.42

$

27,116

August 6, 2024

September 30, 2024

October 31, 2024

$

0.03

$

1,937

(1)

Total distributions declared

$

1.35

$

87,159

(1) Represents a special dividend .

The distributions declared during the nine months ended September 30, 2024 were derived from investment company taxable income and net capital gain, if any.

The Company’s distributions are recorded on the record date. The following table summarizes distributions declared during the nine months ended September 30, 2023:

Amount

Total

Date Declared

Record Date

Payment Date

Per Share

Distributions

February 28, 2023

March 31, 2023

April 28, 2023

$

0.38

$

24,534

May 9, 2023

June 30, 2023

July 31, 2023

$

0.38

$

24,534

August 8, 2023

September 29, 2023

October 31, 2023

$

0.42

$

27,116

Total distributions declared

$

1.18

$

76,184

The distributions declared during the nine months ended September 30, 2023 were derived from investment company taxable income and net capital gain, if any.

The federal income tax characterization of distributions declared and paid for the fiscal year will be determined at fiscal year-end based upon the Company’s investment company taxable income for the full fiscal year and distributions paid during the full year.

Note 9. Common Stock/Capital

The Company has authorized 100,000,000,000 shares of common stock with a par value of $ 0.001 per share. The Company has authorized 10,000,000,000 shares of its preferred stock with a par value of $ 0.001 per share. Shares of preferred stock have not been issued.

Prior to the IPO, the Company had issued 43,982,137.46 shares in the private placement of the Company’s common shares (the “Private Offering”). Each investor had entered into a separate subscription agreement relating to the Company’s common stock (the “Subscription Agreements”). Each investor had made a capital commitment to purchase shares of the Company’s common stock pursuant to the Subscription Agreements. Investors were required to make capital contributions to purchase shares of the Company’s common stock each time the Company delivered a drawdown notice, which were delivered at least 10 business days prior to the required funding date in an aggregate amount not to exceed their respective capital commitments. The number of shares to be issued to a stockholder was determined by dividing the total dollar amount of the contribution by a stockholder by the net asset value per share of the common stock as of the last day of the Company’s fiscal quarter or such other date and price per share as determined by the Board in accordance with the requirements of the 1940 Act. As of December 31, 2018, aggregate commitments relating to the Private Offering

105


were $ 1.3 billion. All outstanding commitments related to these Subscription Agreements were cancelled due to the completion of the IPO on November 15, 2018. As of September 30, 2024 and December 31, 2023, the Advisors contributed in aggregate $ 8.9 million and $ 8.9 million to the Company and received 488,212.35 and 488,212.35 shares of the Company, respectively. At September 30, 2024 and December 31, 2023 , the Advisor owned 0.02 % and 0.70 % , respectively, of the outstanding common stock of the Company.

On November 19, 2018, the Company closed its IPO issuing 7,500,000 shares of common stock at a public offering price of $ 20.25 per share. Shares of common stock of the Company began trading on the New York Stock Exchange under the symbol “BCSF” on November 15, 2018. The offering generated proceeds, before expenses, of $ 147.3 million. All outstanding commitments were cancelled due to the completion of the initial public offering.

There have been no shares issued or proceeds received related to capital drawdowns delivered pursuant to the Subscription Agreements, issuance of common stock, or shares issued pursuant to the dividend reinvestment plan during the three months ended September 30, 2024 and 2023 . There have been no shares issued or proceeds received related to capital drawdowns delivered pursuant to the Subscription Agreements, issuance of common stock, or shares issued pursuant to the dividend reinvestment plan during the nine months ended September 30, 2024 and 2023.

On May 7, 2019, the Board authorized the Company to repurchase up to $ 50 million of its outstanding common stock in accordance with safe harbor rules under the Exchange Act. Any such repurchases will depend upon market conditions and there is no guarantee that the Company will repurchase any particular number of shares or any shares at all. As of September 30, 2024 , there have been no repurchases of common stock.

Note 10. Commitments and Contingencies

Commitments

The Company’s investment portfolio may contain debt investments that are in the form of lines of credit and unfunded delayed draw commitments, which require the Company to provide funding when requested by portfolio companies in accordance with the terms of the underlying loan agreements.

106


As of September 30, 2024, the Company had $ 432.2 million of unfunded commitments under loan and financing agreements as follows:

Portfolio Company & Investment

Expiration Date (1)

Unfunded Commitments (2)

A&R Logistics, Inc. - Revolver

8/3/2026

1,458

Advanced Aircrew - Revolver

7/26/2030

650

AEG Vision - Delayed Draw

3/27/2026

4,881

AEG Vision - Delayed Draw

3/27/2026

17,813

Allbridge - Delayed Draw

6/5/2030

2,841

Allbridge - Revolver

6/5/2030

3,825

Allworth Financial Group, L.P. - Revolver

12/23/2027

2,440

Apollo Intelligence - Delayed Draw

5/31/2028

9,611

Apollo Intelligence - Revolver

5/31/2028

2,931

Applitools - Revolver

5/25/2028

3,430

Appriss Holdings, Inc. - Revolver

5/6/2027

715

Arctic Glacier U.S.A., Inc. - Revolver

5/24/2028

1,941

ASP-r-pac Acquisition Co LLC - Revolver

12/29/2027

1,462

ATS - Revolver

7/12/2029

2,010

Avalon Acquiror, Inc. - Revolver

3/10/2028

2,521

Awayday - Delayed Draw

9/6/2031

7,914

Awayday - Revolver

9/6/2030

3,518

AXH Air Coolers - Delayed Draw

10/31/2029

7,339

AXH Air Coolers - Revolver

10/31/2029

5,504

Beacon Specialized Living - Delayed Draw

3/25/2028

12,836

Beacon Specialized Living - Revolver

3/25/2028

1,282

Beneficium - Delayed Draw

6/28/2031

9,658

BTX Precision - Delayed Draw

7/25/2030

8,424

BTX Precision - Delayed Draw

7/25/2030

5,616

BTX Precision - Revolver

7/25/2030

4,211

Caribou Bidco Limited - Delayed Draw

2/1/2029

23

CB Nike IntermediateCo Ltd - Revolver

10/31/2025

44

Chase Industries, Inc. - Revolver

5/12/2025

740

Choreo - Delayed Draw

2/18/2028

8,000

City BBQ - Delayed Draw

9/4/2030

13,267

City BBQ - Revolver

9/4/2030

4,738

Concert Golf Partners Holdco LLC - Revolver

4/2/2029

2,492

Congress Wealth - Delayed Draw

6/30/2029

1,334

Congress Wealth - Delayed Draw

6/30/2029

10,751

Congress Wealth - Revolver

6/30/2029

1,102

Cube - Delayed Draw

5/20/2031

78

Cube - Delayed Draw

5/20/2031

8,651

Cube - First Lien Senior Secured Loan

2/20/2025

22

Darcy Partners - Revolver

6/1/2028

297

Datix Bidco Limited - Delayed Draw

4/30/2031

2,861

Datix Bidco Limited - Revolver

10/28/2024

13

Datix Bidco Limited - Revolver

10/30/2030

2,283

Discovery Senior Living - Revolver

3/18/2030

2,360

DTIQ - Delayed Draw

9/30/2029

5,375

107


Portfolio Company & Investment

Expiration Date (1)

Unfunded Commitments (2)

DTIQ - Revolver

9/30/2029

4,032

Duraco - Revolver

6/6/2029

1,394

Efficient Collaborative Retail Marketing Company, LLC - Revolver

12/31/2025

1,425

EHE Health - Revolver

8/7/2030

3,447

Electronic Merchant Systems - Revolver

8/1/2030

1,959

Element Buyer, Inc. - Revolver

7/19/2026

4,250

E-Tech Group - Revolver

4/9/2030

1,168

Forward Slope - Revolver

8/22/2029

8,884

Galeria - Delayed Draw

4/8/2029

11,806

Gills Point S - Delayed Draw

5/17/2029

6,580

Gills Point S - Revolver

5/17/2029

166

GSP Holdings, LLC - Revolver

11/6/2025

227

Gulf Winds International - Revolver

12/16/2028

2,911

HealthDrive - Delayed Draw

8/20/2029

5,675

HealthDrive - Revolver

8/20/2029

2,754

Hellers - Delayed Draw

9/27/2030

525

ImageTrend - Revolver

1/31/2029

3,000

Intoxalock - Revolver

11/1/2028

3,430

JHCC Holdings, LLC - Revolver

9/9/2027

1,913

Kellstrom Commercial Aerospace, Inc. - Revolver

7/1/2025

4,265

LogRhythm - Revolver

7/2/2029

835

Mach Acquisition R/C - Revolver

10/19/2026

2,511

Margaux Acquisition Inc. - Revolver

12/19/2025

957

Margaux UK Finance Limited - Revolver

12/19/2025

301

McLarens Acquisition Inc. - Delayed Draw

12/16/2025

6,451

Morrow Sodali - Revolver

4/25/2027

1,101

MRHT - Revolver

2/1/2029

16,102

Nafinco - Delayed Draw

8/29/2031

2,394

Nafinco - Revolver

5/30/2031

897

NearMap - Revolver

12/9/2029

4,652

New Look Vision Group - Revolver

5/26/2026

1,591

OGH Bidco Limited - Delayed Draw

6/29/2029

5,281

Parcel2Go - Delayed Draw

7/17/2028

37

PCF - Delayed Draw

11/1/2028

4,718

Pharmacy Partners - Revolver

2/28/2029

5,491

Pyramid Global Hospitality - Revolver

1/19/2028

3,482

Reconomy - Delayed Draw

7/12/2029

9,381

Revalize, Inc. - Revolver

4/15/2027

603

RoadOne - Revolver

12/29/2028

4,119

108


Portfolio Company & Investment

Expiration Date (1)

Unfunded Commitments (2)

RoC Skincare - Revolver

2/21/2030

1,871

Saturn Purchaser Corp. - Revolver

7/22/2029

4,883

SensorTower - Revolver

3/15/2029

1,057

Service Master - Revolver

8/16/2027

10,126

Simplicity - Delayed Draw

12/2/2026

1,783

Simplicity - Revolver

12/2/2026

143

Simplicity - Revolver

12/2/2026

1,454

Smartronix - Revolver

11/23/2027

6,321

Solaray, LLC - Revolver

12/15/2025

2,115

Spotless Brands - Delayed Draw

7/25/2028

16,499

Spring Finco BV - Delayed Draw

7/15/2029

4,142

Superna Inc. - Delayed Draw

3/6/2028

2,631

Superna Inc. - Revolver

3/6/2028

2,631

SureWerx - Delayed Draw

12/28/2029

2,013

SureWerx - Revolver

12/28/2029

486

Taoglas - Delayed Draw

2/28/2029

3,636

Taoglas - Revolver

2/28/2029

147

TES Global - Delayed Draw

1/27/2029

16

Titan Cloud Software, Inc - Revolver

9/7/2028

4,857

TLC Purchaser, Inc. - Revolver

10/11/2027

2,666

V Global Holdings LLC - Revolver

12/22/2027

2,295

Vessco Water - Delayed Draw

7/24/2031

2,847

Vessco Water - Revolver

7/24/2031

1,112

Walker Edison - Delayed Draw

3/31/2027

159

WCI Gigawatt Purchaser - Revolver

11/19/2027

3,754

Wealth Enhancement Group (WEG) - Delayed Draw

10/2/2028

8,427

Wealth Enhancement Group (WEG) - Revolver

10/2/2028

736

Webcentral - Delayed Draw

12/18/2030

3,441

Whitcraft-Paradigm - Delayed Draw

2/15/2029

4,640

Whitcraft-Paradigm - Revolver

2/28/2029

1,068

WSP - Revolver

4/27/2027

248

WU Holdco, Inc. - Revolver

3/26/2027

4,025

Total

$

432,206

(1)
Commitments are generally subject to borrowers meeting certain criteria such as compliance with covenants and certain operational metrics. These amounts may remain outstanding until the commitment period of an applicable loan expires, which may be shorter than its maturity.
(2)
Unfunded commitments denominated in currencies other than U.S. dollars have been converted to U.S. dollars using the applicable foreign currency exchange rate as of September 30, 2024.

109


As of December 31, 2023, the Company had $ 266.1 million of unfunded commitments under loan and financing agreements as follows:

Portfolio Company & Investment

Expiration Date (1)

Unfunded Commitments (2)

9 Story Media Group Inc. - Revolver

4/30/2026

$

441

A&R Logistics, Inc. - Revolver

5/5/2025

3,499

Abracon Group Holding, LLC. - Delayed Draw

7/6/2028

2,221

Allworth Financial Group, L.P. - Revolver

12/23/2026

2,440

Apollo Intelligence - Delayed Draw

6/1/2028

9,611

Apollo Intelligence - Revolver

6/1/2028

2,643

Applitools - Revolver

5/25/2028

3,430

Appriss Holdings, Inc. - Revolver

5/6/2027

753

Arctic Glacier U.S.A., Inc. - Revolver

5/24/2028

1,925

ASP-r-pac Acquisition Co LLC - Revolver

12/29/2027

3,253

Avalon Acquiror, Inc. - Revolver

3/10/2028

3,361

AXH Air Coolers - Delayed Draw

10/31/2029

7,339

AXH Air Coolers - Revolver

10/31/2029

4,404

Caribou Bidco Limited - Delayed Draw

2/1/2029

22

CB Nike IntermediateCo Ltd - Revolver

10/31/2025

44

Chase Industries, Inc. - Revolver

5/12/2025

1,720

Concert Golf Partners Holdco LLC - Delayed Draw

4/2/2029

369

Concert Golf Partners Holdco LLC - Revolver

3/31/2028

2,492

Congress Wealth - Delayed Draw

6/30/2029

1,334

Congress Wealth - Revolver

6/30/2029

1,102

CPS Group Holdings, Inc. - Revolver

3/3/2025

4,341

Darcy Partners - Revolver

6/1/2028

349

Datix Bidco Limited - Revolver

10/28/2024

4

Direct Travel, Inc. - Delayed Draw

10/2/2025

975

Efficient Collaborative Retail Marketing Company, LLC - Revolver

12/31/2025

2,267

Element Buyer, Inc. - Revolver

7/19/2026

4,250

Forward Slope - Revolver

8/22/2029

4,146

Gills Point S - Revolver

5/17/2029

518

Gills Point S - Delayed Draw

5/17/2029

569

Grammer Purchaser, Inc. - Revolver

9/30/2024

159

GSP Holdings, LLC - Revolver

11/6/2025

2,267

Gulf Winds International - Revolver

12/16/2028

5,292

HealthDrive - Delayed Draw

8/20/2029

1,297

HealthDrive - Delayed Draw

8/20/2029

6,284

HealthDrive - Revolver

8/20/2029

2,754

ImageTrend - Revolver

1/31/2029

4,000

Intoxalock - Revolver

11/1/2028

3,087

JHCC Holdings, LLC - Revolver

9/9/2025

2,833

110


Portfolio Company & Investment

Expiration Date (1)

Unfunded Commitments (2)

Kellstrom Commercial Aerospace, Inc. - Revolver

7/1/2025

4,261

Mach Acquisition R/C - Revolver

10/19/2026

2,511

Margaux Acquisition Inc. - Revolver

12/19/2025

2,872

Margaux UK Finance Limited - Revolver

12/19/2024

635

McLarens Acquisition Inc. - Delayed Draw

12/16/2025

7,000

Meriplex Communications, Ltd. - Delayed Draw

7/17/2028

4,939

Meriplex Communications, Ltd. - Revolver

7/17/2028

2,824

Morrow Sodali - Revolver

4/25/2028

1,595

MRHT - Delayed Draw

2/1/2029

5,595

MZR Buyer, LLC - Revolver

12/22/2026

2,257

NearMap - Revolver

12/9/2029

4,652

New Look Vision Group - Revolver

5/26/2026

1,859

OGH Bidco Limited - Delayed Draw

6/29/2029

5,017

Omni Intermediate - Revolver

11/30/2026

160

Parcel2Go - Delayed Draw

7/17/2028

35

Pyramid Global Hospitality - Revolver

1/19/2027

3,482

Reconomy - Delayed Draw

6/25/2029

7,118

Refine Intermediate, Inc. - Revolver

9/3/2026

5,340

Revalize, Inc. - Revolver

4/15/2027

1,005

RoadOne - Delayed Draw

12/29/2028

1,707

RoadOne - Revolver

12/29/2028

4,119

RoC Opco LLC - Revolver

2/25/2025

10,241

Saturn Purchaser Corp. - Revolver

7/22/2029

4,883

Service Master - Revolver

8/16/2027

7,991

Simplicity - Delayed Draw

12/2/2026

5,470

Simplicity - Revolver

12/2/2026

1,454

Smartronix - Revolver

11/23/2027

6,321

Solaray, LLC - Revolver

12/15/2025

1,406

Spring Finco BV - Delayed Draw

7/15/2029

4,285

Sunmed Group Holdings, LLC - Revolver

6/16/2027

1,229

Superna Inc. - Delayed Draw

3/6/2028

2,631

Superna Inc. - Revolver

3/6/2028

2,631

SureWerx - Delayed Draw

12/28/2029

2,013

SureWerx - Revolver

12/29/2028

496

Taoglas - Revolver

2/28/2029

550

Taoglas - Delayed Draw

2/28/2029

3,636

TEI Holdings Inc. - Revolver

12/23/2025

4,528

Titan Cloud Software, Inc - Revolver

9/7/2028

5,714

TLC Purchaser, Inc. - Revolver

10/13/2025

6,398

V Global Holdings LLC - Revolver

12/22/2025

5,712

Ventiv Holdco, Inc. - Revolver

9/3/2025

1,005

Walker Edison - Delayed Draw

3/31/2027

1,990

WCI Gigawatt Purchaser - Revolver

11/19/2027

3,218

WCI Gigawatt Purchaser - Revolver

11/19/2027

1,901

Whitcraft-Paradigm - Revolver

2/28/2029

2,048

WSP - Revolver

4/27/2027

449

WU Holdco, Inc. - Revolver

3/26/2025

2,592

YLG Holdings, Inc. - Revolver

10/31/2025

8,545

Total

$

266,115

(1)
Commitments are generally subject to borrowers meeting certain criteria such as compliance with covenants and certain operational metrics. These amounts may remain outstanding until the commitment period of an applicable loan expires, which may be shorter than its maturity.
(2)
Unfunded commitments denominated in currencies other than U.S. dollars have been converted to U.S. dollars using the applicable foreign currency exchange rate as of December 31, 2023 .

Contingencies

In the normal course of business, the Company may enter into certain contracts that provide a variety of indemnities. The Company’s maximum exposure under these indemnities is unknown as it would involve future claims that may be made against the Company. Currently, the Company is not aware of any such claims and no such claims are expected to occur. As such, the Company does not consider it necessary to record a liability in this regard.

111


Note 11. Financial Highlights

The following is a schedule of financial highlights for the nine months ended September 30, 2024 and 2023:

For the Nine Months Ended September 30,

2024

2023

Per share data:

Net asset value at beginning of period

$

17.60

$

17.29

Net investment income (1)

1.57

1.65

Net realized gain (loss) (1)(7)

0.02

( 1.07

)

Net change in unrealized appreciation (1)(2)(8)

( 0.08

)

0.85

Net increase in net assets resulting from operations (1)(9)(10)

1.51

1.43

Shareholder distributions from income (3)

( 1.35

)

( 1.18

)

Net asset value at end of period

$

17.76

$

17.54

Net assets at end of period

$

1,146,588

$

1,132,519

Shares outstanding at end of period

64,562,265

64,562,265

Per share market value at end of period

$

16.60

$

15.31

Total return based on market value (12)

19.60

%

40.24

%

Total return based on net asset value (4)

8.79

%

8.46

%

Ratios:

Ratio of net investment income to average net assets (5)(11)(13)

12.64

%

13.34

%

Ratio of total expenses to average net assets (5)(11)(13)

13.04

%

13.23

%

Supplemental data:

Ratio of interest and debt financing expenses to average net assets (5)(13)

6.30

%

7.25

%

Ratio of expenses (without incentive fees) to average net assets (5)(11)(13)

10.92

%

11.62

%

Ratio of incentive fees and management fees, net of contractual and voluntary waivers, to average net assets (5)(11)(13)

5.22

%

4.86

%

Average principal debt outstanding

$

1,268,012

$

1,466,088

Portfolio turnover (6)

43.51

%

25.69

%

(1)
The per share data was derived by using the weighted average shares outstanding during the period.
(2)
Net change in unrealized appreciation on investments per share may not be consistent with the consolidated statements of operations due to the timing of shareholder transactions.
(3)
The per share data for distributions reflects the actual amount of distributions declared during the period.
(4)
Total return based on net asset value is calculated as the change in net asset value per share during the period, assuming dividends and distributions, including those distributions that have been declared. Total return does not include upfront sales load and has not been annualized.
(5)
The computation of average net assets during the period is based on averaging net assets for the periods reported.
(6)
Portfolio turnover rate is calculated using the lesser of year-to-date sales or year-to-date purchases over the average of the invested assets at fair value for the periods reported.
(7)
Net realized gain (loss) includes net realized gain (loss) on investments, net realized gain (loss) on forward currency exchange contracts, net realized gain (loss) on foreign currency transactions, and net realized gain (loss) on extinguishment of debt.
(8)
Net change in unrealized appreciation includes net change in unrealized appreciation (depreciation) on investments, net change in unrealized appreciation on forward currency exchange contracts and net change in unrealized appreciation on foreign currency translation.
(9)
The sum of quarterly per share amounts presented in previously filed financial statements on Form 10‑Q may not equal earnings per share. This is due to changes in the number of weighted average shares outstanding and the effects of rounding.
(10)
Net increase in net assets resulting from operations per share in these financial highlights may be different from the net increase (decrease) in net assets per share on the consolidated statements of operations due to changes in the number of weighted average shares outstanding and the effects of rounding.

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(11)
The ratio of voluntary incentive fee waiver to average net assets was 0.00 % and 0.00 % for the nine months ended September 30, 2024 and 2023, respectively (Note 5). The ratio of voluntary management fee waiver to average net assets was 0.00 % and 0.00 % for the nine months ended September 30, 2024 and 2023, respectively (Note 5). The ratio of net investment income without the voluntary incentive fee waiver and voluntary management fee waiver to average net assets for the nine months ended September 30, 2024 would be 12.64 %. The ratio of net investment income without the voluntary incentive fee waiver to average net assets for the nine months ended September 30, 2023 would be 13.34 %. The ratio of total expenses without the voluntary incentive fee waiver and voluntary management fee waiver to average net assets for the nine months ended September 30, 2024 would be 13.04 %. The ratio of total expenses without the voluntary incentive fee waiver to average net assets for the nine months ended September 30, 2023 would be 13.23 %.
(12)
Total return based on market value is calculated as the change in market value per share during the period, assuming dividends and distributions, including those distributions that have been declared. Total return does not include upfront sales load and has not been annualized.
(13)
Ratio is annualized. Incentive fees, voluntary incentive fee waivers, and voluntary management fee waivers, if any, included within the ratio are not annualized.

Note 12. Subsequent Events

The Company’s management has evaluated the events and transactions that have occurred through November 5, 2024 , the issuance date of the consolidated financial statements, and noted no items requiring disclosure in this Form 10-Q or adjustment of the consolidated financial statements.

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

The following discussion and other parts of this report contain forward-looking information that involves risks and uncertainties. The discussion and analysis contained in this section refers to our financial condition, results of operations and cash flows. The information contained in this section should be read in conjunction with the consolidated financial statements and notes thereto appearing elsewhere in this report. Please see “Forward-Looking Statements” for a discussion of the uncertainties, risks and assumptions associated with this discussion and analysis. Our actual results could differ materially from those anticipated by such forward-looking information due to factors discussed under “Forward-Looking Statements” appearing elsewhere in this report.

Overview

Bain Capital Specialty Finance, Inc. (the “Company”, “we”, “our” and “us”) is an externally managed specialty finance company focused on lending to middle market companies. We have elected to be regulated as a business development company (a “BDC”) under the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “1940 Act”). We are managed by the Advisor, a subsidiary of Bain Capital Credit, LP (“Bain Capital Credit”). Our Advisor is registered as an investment adviser with the SEC under the Investment Advisers Act of 1940, as amended (the “Advisers Act”). Our Advisor also provides the administrative services necessary for us to operate (in such capacity, our “Administrator”). Since we commenced operations on October 13, 2016 through September 30, 2024, we have invested approximately $8,132.9 million in aggregate principal amount of debt and equity investments prior to any subsequent exits or repayments. We seek to generate current income and, to a lesser extent, capital appreciation through direct originations of secured debt, including first lien, first lien/last-out, unitranche and second lien debt, investments in strategic joint ventures, equity investments and, to a lesser extent, corporate bonds.

On November 19, 2018, we closed our initial public offering (the “IPO”) issuing 7,500,000 shares of our common stock at a public offering price of $20.25 per share. Shares of common stock of the Company began trading on the New York Stock Exchange under the symbol “BCSF” on November 15, 2018.

Our primary focus is capitalizing on opportunities within our Senior Direct Lending strategy, which seeks to provide risk-adjusted returns and current income to our stockholders by investing primarily in middle-market companies with between $10.0 million and $150.0 million in annual earnings before interest, taxes, depreciation and amortization (“EBITDA”). However, we may, from time to time, invest in larger or smaller companies. We generally seek to retain effective voting control in respect of the loans or particular classes of securities in which we invest through maintaining affirmative voting positions or negotiating consent rights that allow us to retain a blocking position. We focus on senior investments with a first or second lien on collateral and strong structures and documentation intended to protect the lender. We may also invest in mezzanine debt and other junior securities, including common and preferred equity, on an opportunistic basis, and in secondary purchases of assets or portfolios but such investments are not the principal focus of our investment strategy. In addition, we may invest, from time to time, in distressed debt, debtor-in-possession loans, structured products, structurally subordinate loans, investments with deferred interest features, zero-coupon securities and defaulted securities.

We generate revenues primarily through receipt of interest income from the investments we hold. In addition, we generate income from various loan origination and other fees, dividends on direct equity investments and capital gains on the sales of investments. The companies in which we invest use our capital for a variety of reasons, including to support organic growth, to fund changes of control, to fund acquisitions, to make capital investments and for refinancing and recapitalizations.

Investments

Our level of investment activity may vary substantially from period to period depending on many factors, including the amount of debt and equity capital available to middle-market companies, the level of merger and acquisition activity for such companies, the level of investment and capital expenditures of such companies, the general economic environment, the amount of capital we have available to us and the competitive environment for the type of investments we make.

As a BDC, we may not acquire any assets other than “qualifying assets” specified in the 1940 Act, unless, at the time the acquisition is made, at least 70% of our total assets are qualifying assets (with certain limited exceptions). Qualifying assets include investments in “eligible portfolio companies.” Pursuant to rules adopted by the SEC, “eligible portfolio companies” include certain companies that do not have any securities listed on a national securities exchange and public companies whose securities are listed on a national securities exchange but whose market capitalization is less than $250 million.

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As a BDC, we may also invest up to 30% of our portfolio opportunistically in “non-qualifying” portfolio investments, such as investments in non-U.S. companies.

Revenues

We primarily generate revenue in the form of interest income on debt investments and distributions on equity investments and, to a lesser extent, capital gains, if any, on equity securities that we may acquire in portfolio companies. Some of our investments may provide for deferred interest payments or payment-in-kind (“PIK”) interest. The principal amount of the debt investments and any accrued but unpaid interest generally becomes due at the maturity date. In addition, we may generate revenue in the form of commitment, origination, structuring or diligence fees, fees for providing managerial assistance and consulting fees. Loan origination fees, original issue discount and market discount or premium are capitalized, and we accrete or amortize such amounts into or against income over the life of the loan. We record contractual prepayment premiums on loans and debt securities as interest income.

Our debt investment portfolio consists of primarily floating rate loans. As of September 30, 2024 and December 31, 2023, 90.8% and 93.8%, respectively, of our debt investments, based on fair value, bore interest at floating rates, which may be subject to interest rate floors. Variable-rate investments subject to a floor generally reset periodically to the applicable floor, only if the floor exceeds the index. Trends in base interest rates, such as SOFR, may affect our net investment income over the long term. In addition, our results may vary from period to period depending on the interest rates of new investments made during the period compared to investments that were sold or repaid during the period; these results reflect the characteristics of the particular portfolio companies that we invested in or exited during the period and not necessarily any trends in our business or macroeconomic trends.

Dividend income on preferred equity investments 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 investments is recorded on the record date for private portfolio companies and on the ex-dividend date for publicly traded portfolio companies.

Expenses

Our primary operating expenses include the payment of fees to our Advisor under the Amended Advisory Agreement, our allocable portion of overhead expenses under the administration agreement (the “Administration Agreement”) and other operating costs, including those described below. The Base Management Fee and Incentive Fee compensate our Advisor for its work in identifying, evaluating, negotiating, closing and monitoring our investments. We bear all other out-of-pocket costs and expenses of our operations and transactions, including:

our operational and organizational costs;
the costs of any public offerings of our common stock and other securities, including registration and listing fees;
costs of calculating our net asset value (including the cost and expenses of any third-party valuation services);
fees and expenses payable to third parties relating to evaluating, making and disposing of investments, including our Advisor’s or its affiliates’ travel expenses, research costs and out-of-pocket fees and expenses associated with performing due diligence and reviews of prospective investments, monitoring our investments and, if necessary, enforcing our rights;
interest payable on debt and other borrowing costs, if any, incurred to finance our investments;
costs of effecting sales and repurchases of our common stock and other securities;
distributions on our common stock;
transfer agent and custody fees and expenses;
the allocated costs incurred by the Administrator in providing managerial assistance to those portfolio companies that request it;
other expenses incurred by the Administrator or us in connection with administering our business, including payments made to third-party providers of goods or services;
brokerage fees and commissions;

115


federal and state registration fees;
U.S. federal, state and local taxes;
Independent Director fees and expenses;
costs associated with our reporting and compliance obligations under the 1940 Act and applicable U.S. federal and state securities laws;
costs of any reports, proxy statements or other notices to our stockholders, including printing costs;
costs of holding stockholder meetings;
our fidelity bond;
directors’ and officers’ errors and omissions liability insurance, and any other insurance premiums;
litigation, indemnification and other non-recurring or extraordinary expenses;
direct costs and expenses of administration and operation, including printing, mailing, long distance telephone, staff, audit, compliance, tax and legal costs;
fees and expenses associated with marketing efforts;
dues, fees and charges of any trade association of which we are a member; and
all other expenses reasonably incurred by us or the Administrator in connection with administering our business.

To the extent that expenses to be borne by us are paid by the Administrator, we will generally reimburse the Administrator for such expenses. To the extent the Administrator outsources any of its functions, the Company will pay the fees associated with such functions on a direct basis without profit to the Administrator. We will also reimburse the Administrator for its costs and expenses and our allocable portion of overhead incurred by it in performing its obligations under the Administration Agreement, including certain rent and compensation paid to or compensatory distributions received by our officers (including our Chief Compliance Officer and Chief Financial Officer) and any of their respective staff who provide services to us, operations staff who provide services to us, internal audit staff, if any, to the extent internal audit performs a role in our Sarbanes-Oxley internal control assessment and fees paid to third-party providers for goods or services. Our allocable portion of overhead will be determined by the Administrator, which expects to use various methodologies such as allocation based on the percentage of time certain individuals devote, on an estimated basis, to our business and affairs, and will be subject to oversight by our Board. We incurred expenses related to the Administrator of $0.7 million and $0.4 million for the three months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. We incurred expenses related to the Administrator of $1.8 million and $0.8 million for the nine months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. The sub-administrator is paid its compensation for performing its sub-administrative services under the sub-administration agreement. We incurred expenses related to the sub-administrator of $0.1 million and $0.1 million for the three months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. The sub-administrator is paid its compensation for performing its sub-administrative services under the sub-administration agreement. We incurred expenses related to the sub-administrator of $0.4 million and $0.4 million for the nine months ended September 30, 2024 and 2023, respectively, which is included in other general and administrative expenses on the consolidated statements of operations. The Administrator will not be reimbursed to the extent that such reimbursements would cause any distributions to our stockholders to constitute a return of capital. All of the foregoing expenses are ultimately borne by our stockholders.

Leverage

We may borrow money from time to time. However, our ability to incur indebtedness (including by issuing preferred stock), is limited by applicable regulations such that our asset coverage, as defined in the 1940 Act, must equal at least 150%. In determining whether to borrow money, we will analyze the maturity, covenant package and rate structure of the proposed borrowings as well as the risks of such borrowings compared to our investment outlook. As of September 30, 2024, the Company’s asset coverage was 187.8%.

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Investment Decision Process

The Advisor’s investment process can be broken into five processes: (1) Sourcing and Idea Generation, (2) Investment Diligence & Recommendation, (3) Credit Committee Approval, (4) Portfolio Construction and (5) Portfolio & Risk Management.

Sourcing and Idea Generation

The investment decision-making process begins with sourcing ideas. Bain Capital Credit’s Private Credit Group interacts with a broad and deep set of global sourcing contacts, enabling the group to generate a large set of middle-market investment opportunities. Further enhancing the sourcing capability of the core Private Credit Group are Bain Capital Credit’s industry groups, Trading Desk, and the Bain Capital Special Situations team. The team has extensive contacts with private equity firms. Relationships with banks, a variety of advisors and intermediaries and a handful of unique independent sponsors compose the remainder of the relationships. Through these sourcing efforts the Private Credit Group has built a sustainable deal funnel, which has generated hundreds of opportunities to review annually.

Investment Diligence & Recommendation

Our Advisor utilizes Bain Capital Credit’s bottom-up approach to investing, and it starts with the due diligence. The Private Credit Group works with the close support of Bain Capital Credit’s industry groups on performing due diligence. This process typically begins with a detailed review of the offering memorandum as well as Bain Capital Credit’s own independent diligence efforts, including in-house materials and expertise, third-party independent research and interviews, and hands-on field checks where appropriate. For deals that progress beyond an initial stage, the team will schedule one or more meetings with company management, facilities visits and also meetings with the sponsor in order to ask more detailed questions and to better understand the sponsor’s view of the business and plans for it going forward. The team’s diligence work is summarized in investment memorandums and accompanying credit packs. Work product also includes full models and covenant analysis. The approval process itself is iterative, involving multiple levels of discussion and approval.

Credit Committee Approval

Given Bain Capital Credit’s broad and diverse range of investment strategies, we tailor our investment decision-making process by strategy to provide a robust and comprehensive discussion of both individual investments and the applicable portfolio(s) under consideration. We believe that this flexible approach provides a rigorous investment decision-making process that allows us to be nimble across a variety of market environments while still maintaining high credit underwriting standards.

Our investments require approval from at least the Private Credit Investment Committee, which includes three Partners in the Private Credit Group as standing members: Michael Ewald, Mike Boyle, and Carolyn Hastings. Ad hoc members may also be included in the Private Credit Investment Committee for certain types of investments.

Portfolio Construction

Portfolio construction is largely the responsibility of the portfolio managers. The portfolio managers will construct the portfolio using a set of approved investments. While the decision to buy generally requires approval from at least the Private Credit Investment Committee, the decision to sell securities is at the sole discretion of the portfolio managers. For middle-market holdings, the path to exit an investment is discussed at credit committee meetings, including restructurings, acquisitions and sale to strategic buyers. Since most middle-market investments are illiquid, exits are driven primarily by a sale of the portfolio company or a refinancing of the portfolio company’s debt.

Portfolio & Risk Management

Our Advisor utilizes Bain Capital Credit’s Private Credit Group for the daily monitoring of its respective credits after an investment has been made. Our Advisor believes that the ongoing monitoring of financial performance and market developments of portfolio investments is critical to successful investment management. Accordingly, our Advisor is actively involved in an on-going portfolio review process and attends board meetings. To the extent a portfolio investment is not meeting our Advisor’s expectations, our Advisor takes corrective action when it deems appropriate, which may include raising interest rates, gaining a more influential role on its board, taking warrants and, where appropriate, restructuring the balance sheet to take control of the company. Our Advisor will utilize the Bain Capital Credit Risk and Oversight Committee. The Risk and Oversight Committee is responsible for monitoring and reviewing risk management, including portfolio risk, counterparty risk and firm-wide risk issues. In addition to the methods noted above, there are a number of proprietary methods and tools used through all levels of Bain Capital Credit to manage portfolio risk.

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Portfolio and Investment Activity

During the three months ended September 30, 2024, we invested $413.1 million, including PIK, in 83 portfolio companies, and had $248.0 million in aggregate amount of principal repayments and sales, resulting in a net increase in investments of $165.1 million for the period. Of the $413.1 million invested during the three months ended September 30, 2024, $86.2 million was related to drawdowns on delayed draw term loans and revolvers of our portfolio companies.

During the three months ended September 30, 2023, we invested $114.2 million, including PIK, in 59 portfolio companies, and had $102.8 million in aggregate amount of principal repayments and sales, resulting in a net increase in investments of $11.4 million for the period. Of the $114.2 million invested during the three months ended September 30, 2023, $47.2 million was related to drawdowns on delayed draw term loans and revolvers of our portfolio companies.

During the nine months ended September 30, 2024, we invested $1,122.9 million, including PIK, in 134 portfolio companies, and had $1,017.6 million in aggregate amount of principal repayments and sales, resulting in a net increase in investments of $105.2 million for the period. Of the $1,122.9 million invested during the nine months ended September 30, 2024, $186.9 million was related to drawdowns on delayed draw term loans and revolvers of our portfolio companies.

During the nine months ended September 30, 2023, we invested $630.8 million, including PIK, in 91 portfolio companies, and had $616.2 million in aggregate amount of principal repayments and sales, resulting in a net increase in investments of $14.6 million for the period. Of the $630.8 million invested during the nine months ended September 30, 2023, $160.1 million was related to drawdowns on delayed draw term loans and revolvers of our portfolio companies.

The following table shows the composition of the investment portfolio and associated yield data as of September 30, 2024 (dollars in thousands):

As of September 30, 2024

Weighted Average

Yield (1)

at

Percentage of

Percentage of

Amortized

Market

Amortized Cost

Total Portfolio

Fair Value

Total Portfolio

Cost

Value

First Lien Senior Secured Loan

$

1,540,482

63.9

%

$

1,521,521

63.2

%

11.9

%

11.9

%

Second Lien Senior Secured Loan

61,227

2.5

55,358

2.3

14.3

14.3

Subordinated Debt

47,703

2.0

46,979

2.0

13.8

13.8

Preferred Equity

142,986

5.9

171,277

7.1

9.6

9.5

Equity Interest

216,694

9.0

220,178

9.1

11.4

11.4

Warrants

478

0.0

766

0.0

N/A

N/A

Subordinated Note in Investment Vehicles (2)

337,224

14.0

337,224

14.0

11.9

11.9

Preferred Equity Interest in Investment Vehicles (2)

10

0.0

10

0.0

N/A

N/A

Equity Interests in Investment Vehicles (2)

66,209

2.7

54,637

2.3

18.6

22.5

Total

$

2,413,013

100

%

$

2,407,950

100.0

%

12.1

%

12.1

%

(1)
Weighted average yields are computed as (a) the annual stated interest rate or yield earned on the relevant accruing debt and other income producing securities, divided by (b) the total relevant investments at amortized cost or at fair value, as applicable. The weighted average yield does not represent the total return to our stockholders.
(2)
Represents debt and equity investment in ISLP and SLP.

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The following table shows the composition of the investment portfolio and associated yield data as of December 31, 2023 (dollars in thousands):

As of December 31, 2023

Weighted Average

Yield (1)

at

Percentage of

Percentage of

Amortized

Market

Amortized Cost

Total Portfolio

Fair Value

Total Portfolio

Cost

Value

First Lien Senior Secured Loans

$

1,495,237

65.0

%

$

1,464,423

63.8

%

12.2

%

12.4

%

Second Lien Senior Secured Loans

69,749

3.0

68,439

3.0

14.6

14.9

Subordinated Debt

45,400

2.0

45,877

2.0

13.8

13.6

Structured Products

24,050

1.0

22,618

1.0

17.2

18.3

Preferred Equity

86,766

3.8

104,428

4.5

10.0

7.8

Equity Interests

207,209

9.0

221,355

9.6

14.2

14.3

Warrants

480

0.0

511

0.0

N/A

N/A

Subordinated Notes in Investment Vehicles (2)

306,724

13.3

306,724

13.3

12.2

12.2

Preferred Equity Interests in Investment Vehicles (2)

10

0.0

(1,793

)

(0.1

)

N/A

N/A

Equity Interests in Investment Vehicles (2)

66,209

2.9

65,761

2.9

27.2

27.4

Total

$

2,301,834

100.0

%

$

2,298,343

100.0

%

13.0

%

13.1

%

(1)
Weighted average yields are computed as (a) the annual stated interest rate or yield earned on the relevant accruing debt and other income producing securities, divided by (b) the total relevant investments at amortized cost or at fair value, as applicable. The weighted average yield does not represent the total return to our stockholders.
(2)
Represents debt and equity investment in ISLP and SLP.

The following table presents certain selected information regarding our investment portfolio as of September 30, 2024:

As of

September 30, 2024

Number of portfolio companies

159

Percentage of debt bearing a floating rate (1)

90.8

%

Percentage of debt bearing a fixed rate (1)

9.2

%

(1)
Measured on a fair value basis. Subordinated Notes in Investment Vehicles are included in floating rate.

The following table presents certain selected information regarding our investment portfolio as of December 31, 2023:

As of

December 31, 2023

Number of portfolio companies

137

Percentage of debt bearing a floating rate (1)

93.8

%

Percentage of debt bearing a fixed rate (1)

6.2

%

(1)
Measured on a fair value basis. Subordinated Notes in Investment Vehicles are included in floating rate.

The following table shows the amortized cost and fair value of our performing and non-accrual investments as of September 30, 2024 (dollars in thousands):

As of September 30, 2024

Amortized Cost

Percentage at
Amortized Cost

Fair Value

Percentage at
Fair Value

Performing

$

2,367,959

98.1

%

$

2,380,572

98.9

%

Non-accrual

45,054

1.9

27,378

1.1

Total

$

2,413,013

100.0

%

$

2,407,950

100.0

%

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The following table shows the amortized cost and fair value of our performing and non-accrual investments as of December 31, 2023 (dollars in thousands):

As of December 31, 2023

Percentage at

Amortized

Percentage at

Amortized Cost

Cost

Fair Value

Fair Value

Performing

$

2,258,601

98.1

%

$

2,271,055

98.8

%

Non-accrual

43,233

1.9

27,288

1.2

Total

$

2,301,834

100.0

%

$

2,298,343

100.0

%

Loans or debt securities are placed on non-accrual status when there is reasonable doubt that principal or interest will be collected. Accrued interest generally is reversed when a loan or debt security is placed on non-accrual status. Interest payments received on non-accrual loans or debt securities may be recognized as income or applied to principal depending upon management’s judgment. Non-accrual loans and debt securities are restored to accrual status when past due principal and interest is paid and, in management’s judgment, are likely to remain current. We may make exceptions to this treatment if the loan has sufficient collateral value and is in the process of collection. As of September 30, 2024, there were nine loans from five issuers placed on non-accrual in the Company’s portfolio. As of December 31, 2023, there were five loans from three issuers placed on non-accrual in the Company’s portfolio.

The following table shows the amortized cost and fair value of the investment portfolio, cash and cash equivalents and foreign cash as of September 30, 2024 (dollars in thousands):

As of September 30, 2024

Amortized
Cost

Percentage
of Total

Fair
Value

Percentage
of Total

First Lien Senior Secured Loan

$

1,540,482

62.3

%

$

1,521,521

61.8

%

Second Lien Senior Secured Loan

61,227

2.5

55,358

2.2

Subordinated Debt

47,703

1.9

46,979

1.9

Preferred Equity

142,986

5.8

171,277

6.9

Equity Interest

216,694

8.8

220,178

8.9

Warrants

478

0.0

766

0.0

Subordinated Notes in Investment Vehicles (1)

337,224

13.6

337,224

13.7

Preferred Equity Interest Investment Vehicles (1)

10

0.0

10

0.0

Equity Interest in Investment Vehicles (1)

66,209

2.7

54,637

2.2

Cash and cash equivalents

25,336

1.0

25,336

1.0

Foreign cash

4,657

0.2

5,125

0.2

Restricted cash and cash equivalents

29,292

1.2

29,292

1.2

Total

$

2,472,298

100.0

%

$

2,467,703

100.0

%

(1)
Represents debt and equity investment in ISLP and SLP

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The following table shows the amortized cost and fair value of the investment portfolio, cash and cash equivalents and foreign cash as of December 31, 2023 (dollars in thousands):

As of December 31, 2023

Amortized
Cost

Percentage
of Total

Fair
Value

Percentage
of Total

First Lien Senior Secured Loans

$

1,495,237

61.9

%

$

1,464,423

60.9

%

Second Lien Senior Secured Loans

69,749

2.9

68,439

2.8

Subordinated Debt

45,400

1.9

45,877

1.9

Structured Products

24,050

1.0

22,618

0.9

Preferred Equity

86,766

3.6

104,428

4.3

Equity Interests

207,209

8.6

221,355

9.2

Warrants

480

0.0

511

0.0

Subordinated Notes in Investment Vehicles (1)

306,724

12.7

306,724

12.7

Preferred Equity Interest in Investment Vehicles (1)

10

0.0

(1,793

)

(0.1

)

Equity Interests in Investment Vehicles (1)

66,209

2.7

65,761

2.7

Cash and cash equivalents

42,995

1.8

42,995

1.8

Foreign cash

6,865

0.3

6,405

0.3

Restricted cash and cash equivalents

63,084

2.6

63,084

2.6

Total

$

2,414,778

100.0

%

$

2,410,827

100.0

%

(1)
Represents debt and equity investment in ISLP and SLP

Our Advisor monitors our portfolio companies on an ongoing basis. It monitors the financial trends of each portfolio company to determine if they are meeting their respective business plans and to assess the appropriate course of action for each company. The Advisor has several methods of evaluating and monitoring the performance and fair value of our investments, which may include the following:

assessment of success in adhering to the portfolio company’s business plan and compliance with covenants;
periodic or regular contact with portfolio company management and, if appropriate, the financial or strategic sponsor to discuss financial position, requirements and accomplishments;
comparisons to our other portfolio companies in the industry, if any;
attendance at and participation in board meetings or presentations by portfolio companies; and
review of monthly and quarterly financial statements and financial projections of portfolio companies.

Our Advisor rates the investments in our portfolio at least quarterly and it is possible that the rating of a portfolio investment may be reduced or increased over time. For investments rated 3 or 4, our Advisor enhances its level of scrutiny over the monitoring of such portfolio company. Our internal performance ratings do not constitute any rating of investments by a nationally recognized statistical rating organization or represent or reflect any third-party assessment of any of our investments.

An investment is rated 1 if, in the opinion of our Advisor, it is performing above underwriting expectations, and the business trends and risk factors are generally favorable, which may include the performance of the portfolio company or the likelihood of a potential exit.
An investment is rated 2 if, in the opinion of our Advisor, it is performing as expected at the time of our underwriting and there are generally no concerns about the portfolio company’s performance or ability to meet covenant requirements, interest payments or principal amortization, if applicable. All new investments or acquired investments in new portfolio companies are initially given a rating of 2.
An investment is rated 3 if, in the opinion of our Advisor, the investment is performing below underwriting expectations and there may be concerns about the portfolio company’s performance or trends in the industry, including as a result of factors such as declining performance, non-compliance with debt covenants or delinquency in loan payments (but generally not more than 180 days past due).

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An investment is rated 4 if, in the opinion of our Advisor, the investment is performing materially below underwriting expectations. For debt investments, most of or all of the debt covenants are out of compliance and payments are substantially delinquent. Investments rated 4 are not anticipated to be repaid in full, if applicable, and there is significant risk that we may realize a substantial loss on our investment.

The following table shows the composition of our portfolio on the 1 to 4 rating scale as of September 30, 2024 (dollars in thousands):

As of September 30, 2024

Investment Performance Rating

Fair Value

Percentage
of Total

Number of
Companies
(1)

Percentage
of Total

1

$

2,492

0.1

%

2

1.3

%

2

2,298,486

95.5

146

91.8

3

61,532

2.6

6

3.8

4

45,440

1.8

5

3.1

Total

$

2,407,950

100.0

%

159

100.0

%

(1)
Number of investment rated companies may not agree to total portfolio companies due to investments across investment types and structures.

The following table shows the composition of our portfolio on the 1 to 4 rating scale as of December 31, 2023 (dollars in thousands):

As of December 31, 2023

Percentage of

Number of

Percentage of

Investment Performance Rating

Fair Value

Total

Companies (1)

Total

1

$

2,465

0.1

%

2

1.5

%

2

2,186,211

95.1

125

91.2

3

80,530

3.5

7

5.1

4

29,137

1.3

3

2.2

Total

$

2,298,343

100.0

%

137

100.0

%

(1)
Number of investment rated companies may not agree to total portfolio companies due to investments across investment types and structures.

Results of Operations

Our operating results for the three months ended September 30, 2024 and 2023 were as follows (dollars in thousands):

For the Three Months Ended

September 30,

2024

2023

Total investment income

$

72,540

$

72,390

Total expenses, net of fee waivers

37,531

36,102

Net investment income before taxes

35,009

36,288

Less: Income taxes, including excise tax

1,025

640

Net investment income

33,984

35,648

Net realized (gain) loss

2,808

(51,767

)

Net change in unrealized appreciation

(3,696

)

49,975

Net increase in net assets resulting from operations

$

33,096

$

33,856

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Our operating results for the nine months ended September 30, 2024 and 2023 were as follows (dollars in thousands):

For the Nine Months Ended

September 30,

2024

2023

Total investment income

$

219,310

$

222,842

Total expenses, net of fee waivers

115,059

113,792

Net investment income before taxes

104,251

109,050

Less: Income taxes, including excise tax

3,200

2,332

Net investment income

101,051

106,718

Net realized gain (loss)

1,124

(69,566

)

Net change in unrealized appreciation

(4,894

)

55,160

Net increase in net assets resulting from operations

$

97,281

$

92,312

Net increase in net assets resulting from operations can vary from period to period as a result of various factors, including additional financing, new investment commitments, the recognition of realized gains and losses and changes in unrealized appreciation and depreciation on the investment portfolio. Due to these factors, comparisons may not be meaningful.

Investment Income

The composition of our investment income for the three months ended September 30, 2024 and 2023 was as follows (dollars in thousands):

For the Three Months Ended

September 30,

2024

2023

Interest income

$

55,420

$

57,233

Dividend income

6,185

8,568

PIK income

5,231

5,581

Other income

5,704

1,008

Total investment income

$

72,540

$

72,390

Interest income from investments, which includes interest and accretion of discounts and fees, decreased to $55.4 million for the three months ended September 30, 2024 from $57.2 million for the three months ended September 30, 2023, primarily due to a decrease in the investment portfolio. Dividend income decreased to $6.2 million for the three months ended September 30, 2024 from $8.6 million for the three months ended September 30, 2023, primarily due to no dividend income from the 2018-1 Issuer interests, which were sold to SLP in the first quarter, and a decrease in dividend income on Gale Aviation in the third quarter. Other income increased to approximately $5.7 million for the three months ended September 30, 2024 from $1.0 million for the three months ended September 30, 2023, primarily due to an increase in commitment, closing and consent fees earned on certain investments.

The composition of our investment income for the nine months ended September 30, 2024 and 2023 was as follows (dollars in thousands):

For the Nine Months Ended

September 30,

2024

2023

Interest income

$

166,121

$

172,283

Dividend income

22,690

25,689

PIK income

16,399

16,692

Other income

14,100

8,178

Total investment income

$

219,310

$

222,842

Interest income from investments, which includes interest and accretion of discounts and fees, decreased to $166.1 million for the nine months ended September 30, 2024 from $172.3 million for the nine months ended September 30, 2023, primarily due to a decrease in the investment portfolio. Dividend income decreased to $22.7 million for the nine months ended September 30, 2024 from $25.7 million for the nine months ended September 30, 2023, primarily due to a decrease in dividend income from the 2018-1 Issuer interests which were sold to SLP during the first quarter of 2024, and a decrease in dividend income on Gale Aviation in the third quarter. Other income increased to approximately $14.1 million for the nine months ended September 30, 2024 from $8.2 million for the nine months ended September 30, 2023, primarily due to an increase in amendment, closing and consent fees earned on certain

123


investments. As of September 30, 2024, the weighted average yield of our investment portfolio decreased to 12.1% from 12.9% as of September 30, 2023, at amortized cost.

Operating Expenses

The composition of our operating expenses for the three months ended September 30, 2024 and 2023 were as follows (dollars in thousands):

For the Three Months Ended

September 30,

2024

2023

Interest and debt financing expenses

$

18,117

$

20,775

Base management fee

8,897

9,140

Incentive fee

7,020

3,011

Professional fees

870

760

Directors fees

173

182

Other general and administrative expenses

2,454

2,234

Total expenses, net of fee waivers

$

37,531

$

36,102

The composition of our operating expenses for the nine months ended September 30, 2024 and 2023 were as follows (dollars in thousands):

For the Nine Months Ended

September 30,

2024

2023

Interest and debt financing expenses

$

53,804

$

60,784

Base management fee

26,484

27,166

Incentive fee

24,176

18,129

Professional fees

2,700

1,792

Directors fees

521

535

Other general and administrative expenses

7,374

5,386

Total expenses, net of fee waivers

$

115,059

$

113,792

Interest and Debt Financing Expenses

Interest and debt financing expenses on our borrowings totaled approximately $18.1 million and $20.8 million for the three months ended September 30, 2024 and 2023, respectively. Interest and debt financing expense for the three months ended September 30, 2024 as compared to September 30, 2023 decreased primarily due to decreased usage of our Sumitomo Credit Facility. Interest and debt financing expenses on our borrowings totaled approximately $53.8 million and $60.8 million for the nine months ended September 30, 2024 and 2023, respectively. Interest and debt financing expense for the nine months ended September 30, 2024 as compared to September 30, 2023 decreased primarily due to decreased usage of our Sumitomo Credit Facility. The weighted average principal debt balance outstanding for the three months ended September 30, 2024 was $1.3 billion compared to $1.4 billion for the three months ended September 30, 2023. The weighted average principal debt balance outstanding for the nine months ended September 30, 2024 was $1.3 billion compared to $1.5 billion for the nine months ended September 30, 2023.

The combined weighted average interest rate (excluding deferred upfront financing costs and unused fees) of the aggregate borrowings outstanding for the nine months ended September 30, 2024 and year ended December 31, 2023 were 5.1% and 5.2%, respectively.

Management Fee

Management fee (net of waivers) decreased to $8.9 million for the three months ended September 30, 2024 from $9.1 million for the three months ended September 30, 2023. Management fee (gross of waivers) decreased to $8.9 million for the three months ended September 30, 2024 from $9.1 million for the three months ended September 30, 2023, primarily due to a decrease in total assets throughout the three months ended September 30, 2024 compared to the three months ended September 30, 2023. Management fee waived for the three months ended September 30, 2024 and 2023 were $0.0 million and $0.0 million, respectively.

Management fee (net of waivers) decreased to $26.5 million for the nine months ended September 30, 2024 from $27.2 million for the nine months ended September 30, 2023. Management fee (gross of waivers) decreased to $26.5 million for the nine months

124


ended September 30, 2024 from $27.2 million for the nine months ended September 30, 2023, primarily due to a decrease in total assets throughout the nine months ended September 30, 2024 compared to the nine months ended September 30, 2023. Management fee waived for the nine months ended September 30, 2024 and 2023 were $0.0 million and $0.0 million, respectively.

Incentive Fee

Incentive fee (net of waivers) increased to $7.0 million for the three months ended September 30, 2024 from $3.0 million for the three months ended September 30, 2023 primarily due to the mechanics of the Trailing Twelve Quarters aspect of the incentive fee calculation. Incentive fee waivers related to pre-incentive fee net investment income consisted of voluntary waivers of $0.0 million for the three months ended September 30, 2024 and $0.0 million for the three months ended September 30, 2023. For the three months ended September 30, 2024, there were no incentive fees related to the GAAP Incentive Fee. Incentive fee (net of waivers) increased to $24.2 million for the nine months ended September 30, 2024 from $18.1 million for the nine months ended September 30, 2023 primarily due to the mechanics of the Trailing Twelve Quarters aspect of the incentive fee calculation. Incentive fee waivers related to pre-incentive fee net investment income consisted of voluntary waivers of $0.0 million for the nine months ended September 30, 2024 and $0.0 million for the nine months ended September 30, 2023. For the nine months ended September 30, 2024, there were no incentive fees related to the GAAP Incentive Fee.

Professional Fees and Other General and Administrative Expenses

Professional fees and other general and administrative expenses increased to $3.3 million for the three months ended September 30, 2024 from $3.0 million for the three months ended September 30, 2023, primarily due to an increase in costs associated with servicing our investment portfolio.

Professional fees and other general and administrative expenses increased to $10.1 million for the nine months ended September 30, 2024 from $7.2 million for the nine months ended September 30, 2023, primarily due to an increase in costs associated with servicing our investment portfolio.

Net Realized and Unrealized Gains and Losses

The following table summarizes our net realized and unrealized gains (losses) for the three months ended September 30, 2024 and 2023 (dollars in thousands):

For the Three Months Ended September 30,

2024

2023

Net realized gain on investments

$

4,637

$

729

Net realized loss on investments

(1,384

)

(51,602

)

Net realized gain on foreign currency transactions

9

Net realized loss on foreign currency transactions

(474

)

(673

)

Net realized gain on forward currency exchange contracts

20

291

Net realized loss on forward currency exchange contracts

(512

)

Net realized gains (losses)

$

2,808

$

(51,767

)

Change in unrealized appreciation on investments

$

30,838

$

68,734

Change in unrealized depreciation on investments

(29,839

)

(25,587

)

Net change in unrealized appreciation on investments

999

43,147

Unrealized appreciation on foreign currency translation

998

(279

)

Unrealized appreciation on forward currency exchange contracts

(5,693

)

7,107

Net change in unrealized appreciation on foreign currency and forward currency exchange contracts

(4,695

)

6,828

Net change in unrealized appreciation

$

(3,696

)

$

49,975

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For the three months ended September 30, 2024 and 2023, we had net realized gains (losses) on investments of $3.3 million and ($50.9) million, respectively, which was primarily driven by full or partial sales or paydowns of our investments . For the three months ended September 30, 2024 and 2023, we had net realized (losses) on foreign currency transactions of ($0.5) million and ($0.7) million, respectively. For the three months ended September 30, 2024 and 2023, we had realized gains (losses) on forward currency contracts of $0.0 million and ($0.2) million, respectively, primarily as a result of settling GBP forward contracts.

For the three months ended September 30, 2024, we had $30.8 million in unrealized appreciation on 83 portfolio company investments, which was offset by $29.8 million in unrealized depreciation on 78 portfolio company investments. Unrealized appreciation for the three months ended September 30, 2024 resulted from an increase in fair value, primarily due to positive valuation adjustments. Unrealized depreciation for the three months ended September 30, 2024 resulted from a decrease in fair value, primarily due to a widening of credit spreads and negative valuation adjustments.

For the three months ended September 30, 2023, we had $68.7 million in unrealized appreciation on 62 portfolio company investments, which was offset by $25.6 million in unrealized depreciation on 81 portfolio company investments. Unrealized depreciation for the three months ended September 30, 2023 resulted from a decrease in fair value, primarily due to a widening of credit spreads and negative valuation adjustments. Unrealized appreciation for the three months ended September 30, 2023 resulted from an increase in fair value, primarily due to positive valuation adjustments.

For the three months ended September 30, 2024 and 2023, we had unrealized appreciation on forward currency exchange contracts of ($5.7) million and $7.1 million, respectively. For the three months ended September 30, 2024, unrealized depreciation on forward currency exchange contracts was primarily due to GBP, EUR and AUD forward contracts.

The following table summarizes our net realized and unrealized gains (losses) for the nine months ended September 30, 2024 and 2023 (dollars in thousands):

For the Nine Months Ended September 30,

2024

2023

Net realized gain on investments

$

13,868

$

2,579

Net realized loss on investments

(13,772

)

(64,332

)

Net realized gain on foreign currency transactions

Net realized loss on foreign currency transactions

(888

)

(5,207

)

Net realized gain on forward currency exchange contracts

1,949

410

Net realized loss on forward currency exchange contracts

(33

)

(3,016

)

Net realized gains (losses)

$

1,124

$

(69,566

)

Change in unrealized appreciation on investments

$

63,458

$

77,649

Change in unrealized depreciation on investments

(65,030

)

(31,896

)

Net change in unrealized appreciation on investments

(1,572

)

45,753

Unrealized appreciation on foreign currency translation

967

3,615

Unrealized appreciation on forward currency exchange contracts

(4,289

)

5,792

Net change in unrealized appreciation on foreign currency and forward currency exchange contracts

(3,322

)

9,407

Net change in unrealized appreciation

$

(4,894

)

$

55,160

For the nine months ended September 30, 2024 and 2023, we had net realized gains (losses) on investments of $0.1 million and ($61.8) million, respectively, which was primarily driven by full or partial sales or paydowns of our investments. For the nine months ended September 30, 2024 and 2023, we had net realized losses on foreign currency transactions of ($0.9) million and ($5.2) million, respectively. For the nine months ended September 30, 2024 and 2023, we had net realized gains (losses) on forward currency contracts of $1.9 million and ($2.6) million, respectively, primarily as a result of settling AUD, CAD, EUR, GBP and NOK forward contracts.

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For the nine months ended September 30, 2024, we had $63.5 million in unrealized appreciation on 92 portfolio company investments, which was offset by $65.0 million in unrealized depreciation on 76 portfolio company investments. Unrealized appreciation for the nine months ended September 30, 2024 resulted from an increase in fair value, primarily due to positive valuation adjustments. Unrealized depreciation for the nine months ended September 30, 2024 resulted from a decrease in fair value, primarily due to a widening of credit spreads and negative valuation adjustments.

For the nine months ended September 30, 2023, we had $77.6 million in unrealized appreciation on 80 portfolio company investments, which was offset by ($31.9) million in unrealized depreciation on 68 portfolio company investments. Unrealized depreciation for the nine months ended September 30, 2023 resulted from a decrease in fair value, primarily due to a widening of credit spreads and negative valuation adjustments. Unrealized appreciation for the nine months ended September 30, 2023 resulted from an increase in fair value, primarily due to positive valuation adjustments.

For the nine months ended September 30, 2024 and 2023, we had unrealized appreciation on forward currency exchange contracts of ($4.3) million and $5.8 million, respectively. For the nine months ended September 30, 2024, unrealized depreciation on forward currency exchange contracts was primarily due to AUD, GBP, and NOK forward contracts.

The following table summarizes the impact of foreign currency for the three months ended September 30, 2024 and 2023 (dollars in thousands):

For the Three Months Ended September 30,

2024

2023

Net change in unrealized appreciation on investments due to foreign currency

$

4,034

$

(5,512

)

Net realized gain on investments due to foreign currency

1,014

121

Net change in unrealized appreciation on foreign currency translation

998

(279

)

Net realized loss on foreign currency transactions

(465

)

(673

)

Net change in unrealized appreciation on forward currency exchange contracts

(5,693

)

7,107

Net realized gain (loss) on forward currency exchange contracts

20

(221

)

Foreign currency impact to net increase (decrease) in net assets resulting from operations

$

(92

)

$

543

Included in total net losses on the consolidated statements of operations were gains (losses) of $5.6 million and ($6.3) million related to realized and unrealized gains and losses on investments, foreign currency holdings and non-investment assets and liabilities attributable to the changes in foreign currency exchange rates for the three months ended September 30, 2024 and 2023, respectively. Including the total net realized and unrealized gains (losses) on forward currency exchange contracts of ($5.7) million and $6.9 million, respectively, included in the above table, the net impact of foreign currency on total net gains (losses) on the consolidated statements of operations is ($0.1) million and $0.5 million for the three months ended September 30, 2024 and 2023, respectively.

The following table summarizes the impact of foreign currency for the nine months ended September 30, 2024 and 2023 (dollars in thousands):

For the Nine Months Ended September 30,

2024

2023

Net change in unrealized appreciation on investments due to foreign currency

$

2,351

$

(1,096

)

Net realized gain on investments due to foreign currency

832

1,016

Net change in unrealized appreciation on foreign currency translation

967

3,615

Net realized loss on foreign currency transactions

(888

)

(5,207

)

Net change in unrealized appreciation on forward currency exchange contracts

(4,289

)

5,792

Net realized gain (loss) on forward currency exchange contracts

1,916

(2,606

)

Foreign currency impact to net increase in net assets resulting from operations

$

889

$

1,514

Included in total net losses on the consolidated statements of operations were gains (losses) of $3.3 million and ($1.7) million related to realized and unrealized gains and losses on investments, foreign currency holdings and non-investment assets and liabilities attributable to the changes in foreign currency exchange rates for the nine months ended September 30, 2024 and 2023, respectively. Including the total net realized and unrealized gains (losses) on forward currency exchange contracts of ($2.4) million and $3.2 million, respectively, included in the above table, the net impact of foreign currency on total net gains on the consolidated statements of operations is $0.9 million and $1.5 million for the nine months ended September 30, 2024 and 2023, respectively.

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Net Increase (Decrease) in Net Assets Resulting from Operations

For the three months ended September 30, 2024 and 2023, the net increase in net assets resulting from operations was $33.1 million and $33.9 million, respectively. Based on the weighted average shares of common stock outstanding for the three months ended September 30, 2024 and 2023, our per share net increase in net assets resulting from operations was $0.51 and $0.52, respectively.

For the nine months ended September 30, 2024 and 2023, the increase in net assets resulting from operations was $97.3 million and $92.3 million, respectively. Based on the weighted average shares of common stock outstanding for the nine months ended September 30, 2024 and 2023, our per share net increase in net assets resulting from operations was $1.51 and $1.43, respectively.

Financial Condition, Liquidity and Capital Resources

Our liquidity and capital resources are derived primarily from proceeds from equity issuances, advances from our credit facilities, 2019‑1 Debt, March 2026 Notes, October 2026 Notes, the Sumitomo Credit Facility and cash flows from operations. The primary uses of our cash are for (1) investments in portfolio companies and other investments and to comply with certain portfolio diversification requirements; (2) the cost of operations (including payments to the Advisor under the Investment Advisory and Administration Agreements); (3) debt service, repayment, and other financing costs; and (4) cash distributions to the holders of our common shares.

We intend to continue to generate cash primarily from cash flows from operations, future borrowings and future offerings of securities. We may from time to time raise additional equity or debt capital through registered offerings, enter into additional debt facilities, or increase the size of existing facilities or issue debt securities. Any such incurrence or issuance would be subject to prevailing market conditions, our liquidity requirements, contractual and regulatory restrictions and other factors. We are required to meet an asset coverage ratio, defined under the 1940 Act as the ratio of our total assets (less all liabilities and indebtedness not represented by senior securities) to our outstanding senior securities, of at least 150% after each issuance of senior securities. As of September 30, 2024 and December 31, 2023, our asset coverage ratio was 187.8% and 189.9%, respectively.

At September 30, 2024 and December 31, 2023, we had $59.8 million and $112.5 million in cash, foreign cash, restricted cash and cash equivalents, respectively.

At September 30, 2024, we had approximately $501.3 million of availability on our Sumitomo Credit Facility, subject to existing terms and regulatory requirements. At December 31, 2023 we had approximately $343.3 million of availability on our Sumitomo Credit Facility subject to existing terms and regulatory requirements.

For the nine months ended September 30, 2024, cash, foreign cash, restricted cash, and cash equivalents decreased by $52.7 million. During the nine months ended September 30, 2024, we used ($7.1) million in cash for operating activities. The increase in cash used in operating activities was primarily related to purchases of investments of $1,097.8 million, which was offset by proceeds from principal payments and sales of investments of $1,001.5 million and a net increase in assets resulting from operations of $97.3 million.

During the nine months ended September 30, 2024, we used $45.7 million for financing activities, primarily on repayments of our Sumitomo Credit Facility of $522.3 million and distributions paid during the period of $85.2 million, partially offset by borrowings of $565.0 million.

For the nine months ended September 30, 2023, cash, foreign cash, restricted cash, and cash equivalents decreased by $20.3 million. During the nine months ended September 30, 2023, we provided $70.6 million in cash for operating activities. The increase in cash provided by operating activities was primarily related to cash generated from earnings of $92.3 million outpacing net increase in investments of $14.6 million.

During the nine months ended September 30, 2023, we used $89.3 million for financing activities, primarily due to borrowings and repayments on our Sumitomo Credit Facility and paying our quarterly dividend to shareholders.

Equity

On November 19, 2018, we closed our IPO issuing 7,500,000 shares of common stock at a public offering price of $20.25 per share. Shares of common stock of the Company began trading on the New York Stock Exchange under the symbol “BCSF” on November 15, 2018. The offering generated net proceeds, after expenses, of $145.4 million. All outstanding capital commitments from the Company’s Private Offering were cancelled as of the completion of the IPO.

128


During the nine months ended September 30, 2024, we did not issue shares of our common stock to investors who have opted into our dividend reinvestment plan. During the nine months ended September 30, 2023, we did not issue shares of our common stock to investors who have opted into our dividend reinvestment plan.

On May 7, 2019, the Company’s Board authorized the Company to repurchase up to $50 million of its outstanding common stock in accordance with safe harbor rules under the Exchange Act. Any such repurchases will depend upon market conditions and there is no guarantee that the Company will repurchase any particular number of shares or any shares at all. As of September 30, 2024, there have been no repurchases of common stock.

Debt

The Company’s outstanding borrowings as of September 30, 2024 and December 31, 2023 were as follows:

As of September 30, 2024

As of December 31, 2023

Total Aggregate

Principal

Total Aggregate

Principal

Principal Amount

Amount

Carrying

Principal Amount

Amount

Carrying

Committed

Outstanding

Value (1)

Committed

Outstanding

Value (1)

2019-1 Debt

$

352,500

$

352,500

$

351,326

$

352,500

$

352,500

$

351,229

March 2026 Notes

300,000

300,000

298,371

300,000

300,000

297,522

October 2026 Notes

300,000

300,000

297,211

300,000

300,000

296,182

Sumitomo Credit Facility (2)

855,000

353,699

353,699

665,000

311,000

311,000

Total Debt

$

1,807,500

$

1,306,199

$

1,300,607

$

1,617,500

$

1,263,500

$

1,255,933

(1)
Carrying value represents aggregate principal amount outstanding less unamortized debt issuance costs.
(2)
On January 26, 2022, Gale Aviation (Offshore) Co investment, a controlled affiliate investment of the Company, entered into a letter of credit agreement with Sumitomo Mitsui Banking Corporation for $14.7 million. On October 2, 2023, $4.0 million of the letter of credit agreement was terminated. On July 4, 2024, the remaining $10.7 million of the letter of credit agreement was terminated.

Distribution Policy

The Company’s distributions are recorded on the record date. The following table summarizes distributions declared during the nine months ended September 30, 2024 (dollars in thousands, except per share):

Amount

Total

Date Declared

Record Date

Payment Date

Per Share

Distributions

February 27, 2024

March 28, 2024

April 30, 2024

$

0.42

$

27,116

February 27, 2024

March 28, 2024

April 30, 2024

$

0.03

$

1,937

(1)

May 6, 2024

June 28, 2024

July 29, 2024

$

0.42

$

27,116

May 6, 2024

June 28, 2024

July 29, 2024

$

0.03

$

1,937

(1)

August 6, 2024

September 30, 2024

October 31, 2024

$

0.42

$

27,116

August 6, 2024

September 30, 2024

October 31, 2024

$

0.03

$

1,937

(1)

Total distributions declared

$

1.35

$

87,159

(1) Represents a special dividend.

The Company’s distributions are recorded on the record date. The following table summarizes distributions declared during the nine months ended September 30, 2023 (dollars in thousands, except per share):

Amount

Total

Date Declared

Record Date

Payment Date

Per Share

Distributions

February 28, 2023

March 31, 2023

April 28, 2023

$

0.38

$

24,534

May 9, 2023

June 30, 2023

July 31, 2023

$

0.38

$

24,534

August 8, 2023

September 29, 2023

October 31, 2023

$

0.42

$

27,116

Total distributions declared

$

1.18

$

76,184

Distributions to common stockholders are recorded on the record date. To the extent that we have income available, we intend to distribute quarterly distributions to our stockholders. Our quarterly distributions, if any, will be determined by the Board. Any distributions to our stockholders will be declared out of assets legally available for distribution.

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We have elected to be treated, and intend to operate in a manner so as to continuously qualify, as a RIC under Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”), beginning with our taxable year ended December 31, 2016. To qualify for and maintain RIC tax treatment, among other things, we must distribute dividends to our stockholders in respect of each taxable year of an amount generally at least equal to 90% of the sum of our net ordinary income and net short-term capital gains in excess of our net long-term capital losses. In order to avoid the imposition of certain excise taxes imposed on RICs, we must distribute dividends to our stockholders in respect of each calendar year of an amount at least equal to the sum of: (1) 98% of our net ordinary income (taking into account certain deferrals and elections) for such calendar year; (2) 98.2% of our capital gains in excess of capital losses, adjusted for certain ordinary losses, generally for the one-year period ending on October 31 of such calendar year; and (3) the sum of any net ordinary income plus capital gains net income for preceding years that were not distributed during such years and on which we paid no federal income tax.

We intend to distribute net capital gains (i.e., net long-term capital gains in excess of net short-term capital losses), if any, at least annually out of the assets legally available for such distributions. However, we may decide in the future to retain all or a portion of our net capital gains for investment, incur a corporate-level tax on such capital gains, and elect to treat such capital gains as deemed distributions to our stockholders.

We have adopted a dividend reinvestment plan that provides for the reinvestment of cash dividends and distributions. Prior to the IPO, stockholders who “opted in” to our dividend reinvestment plan had their cash dividends and distributions automatically reinvested in additional shares of our common stock, rather than receiving cash dividends and distributions. Subsequent to the IPO, stockholders who do not “opt out” of our dividend reinvestment plan will have their cash dividends and distributions automatically reinvested in additional shares of our common stock, rather than receiving cash dividends and distributions. Stockholders could elect to “opt in” or “opt out” of our dividend reinvestment plan in their subscription agreements, through the private offering. The elections of stockholders prior to the IPO shall remain effective after the IPO.

The U.S. federal income tax characterization of distributions declared and paid for the fiscal year will be determined at fiscal year-end based upon our investment company taxable income for the full fiscal year and distributions paid during the full year.

Commitments and Off-Balance Sheet Arrangements

We may become a party to financial instruments with off-balance sheet risk in the normal course of our business to fund investments and to meet the financial needs of our portfolio companies. These instruments may include commitments to extend credit and involve, to varying degrees, elements of liquidity and credit risk in excess of the amount recognized on the statements of assets and liabilities.

Related Party Transactions

We have entered into a number of business relationships with affiliated or related parties, including the Amended Advisory Agreement and the Administration Agreement.

In addition to the aforementioned agreements, we, our Advisor and Bain Capital Credit have been granted exemptive relief from the SEC to permit greater flexibility to negotiate the terms of co-investments if the Board determines that it would be advantageous for us to co-invest with other Bain Capital Credit Clients in a manner consistent with our investment objectives, positions, policies, strategies and restrictions as well as regulatory requirements and other pertinent Bain Capital Credit Clients funds, accounts and investment vehicles managed by Bain Capital Credit may afford us additional investment opportunities and an ability to achieve greater diversification. Accordingly, our exemptive order permits us to invest with Bain Capital Credit Clients in the same portfolio companies under circumstances in which such investments would otherwise not be permitted by the 1940 Act. Our exemptive relief permitting co-investment transactions generally applies only if our Independent Directors and Directors who have no financial interest in such transaction review and approve in advance each co-investment transaction. The exemptive relief imposes other conditions with which we must comply to engage in co-investment transactions.

Recent Developments

See “ Item 1. Financial Statements - Notes to Consolidated Financial Statements - Note 12. Subsequent Events ” for a summary of recent developments.

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Significant Accounting Estimates and Critical Accounting Policies

Basis of Presentation

The Company’s unaudited consolidated financial statements have been prepared in accordance with US GAAP. The Company’s unaudited consolidated financial statements and related financial information have been prepared pursuant to the requirements for reporting on Form 10‑Q and Articles 1, 6, 10 and 12 of Regulation S-X. These consolidated financial statements reflect adjustments that in the opinion of the Company are necessary for the fair statement of the financial position and results of operations for the periods presented herein and are not necessarily indicative of the full fiscal year. We have determined we meet the definition of an investment company and follow the accounting and reporting guidance in the FASB Accounting Standards Codification (“ASC”) Topic 946 — Financial Services — Investment Companies (“ASC 946”). Our financial currency is U.S. dollars and these consolidated financial statements have been prepared in that currency.

Use of Estimates

The preparation of the consolidated financial statements in conformity with US GAAP requires us to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates and such differences could be material.

Revenue Recognition

We record our investment transactions on a trade date basis. We record realized gains and losses based on the specific identification method. We record interest income, adjusted for amortization of premium and accretion of discount, on an accrual basis. Discount and premium to par value on investments acquired are accreted and amortized, respectively, into interest income over the life of the respective investment using the effective interest method. Loan origination fees, original issue discount and market discount or premium are capitalized and amortized into or against interest income using the effective interest method or straight-line method, as applicable. We record any prepayment premiums, unamortized upfront loan origination fees and unamortized discounts received upon prepayment of a loan or debt security as interest income.

Dividend income on preferred equity investments 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 investments is recorded on the record date for such distributions in the case of private portfolio companies, and on the ex-dividend date for publicly traded portfolio companies. Distributions received from a limited liability company or limited partnership investment are evaluated to determine if the distribution should be recorded as dividend income or a return of capital.

Certain investments may have contractual PIK interest or dividends. PIK represents accrued interest or accumulated dividends that are added to the loan principal of the investment on the respective interest or dividend payment dates rather than being paid in cash and generally becomes due at maturity or upon being called by the issuer. We record PIK as interest or dividend income, as applicable. If at any point we believe PIK may not be realized, we place the investment generating PIK on non-accrual status.

Certain structuring fees and amendment fees are recorded as other income when earned. We record administrative agent fees received as other income when the services are rendered.

Valuation of Portfolio Investments

The Advisor shall value the investments owned by the Company, subject at all times to the oversight of the Board. The Advisor shall follow its own written valuation policies and procedures as approved by the Board when determining valuations. A short summary of the Advisor’s valuation policies is below.

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Investments for which market quotations are readily available are typically valued at such market quotations. Pursuant to Rule 2a-5 under the 1940 Act, the Board designates the Advisor as Valuation Designee to perform fair value determinations for the Company for investments that do not have readily available market quotations. Market quotations are obtained from an independent pricing service, where available. If a price cannot be obtained from an independent pricing service or if the independent pricing service is not deemed to be current with the market, certain investments held by the Company will be valued on the basis of prices provided by principal market makers. Generally, investments marked in this manner will be marked at the mean of the bid and ask of the independent broker quotes obtained. To validate market quotations, the Company utilizes a number of factors to determine if the quotations are representative of fair value, including the source and number of quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available will be valued at a price that reflects such security’s fair value.

With respect to unquoted portfolio investments, the Company will value each investment considering, among other measures, discounted cash flow models, comparable company multiple models, comparisons of financial ratios of peer companies that are public, and other factors. When an external event such as a purchase transaction, public offering or subsequent equity sale occurs, the Company will use the pricing indicated by the external event to corroborate and/or assist us in our valuation. 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 differ significantly from the values that would have been used had a readily available market value existed for such investments, and the differences could be material.

With respect to investments for which market quotations are not readily available, in particular, illiquid/hard to value assets, the Advisor will typically undertake a multi-step valuation process, which includes among other things, the below:

The Company’s quarterly valuation process begins with each portfolio company or investment being initially valued by the investment professionals of the Advisor responsible for the portfolio investment;
Preliminary valuation conclusions are then documented and discussed with the Company’s senior management and the Advisor;
Generally investments that constitute a material portion of the Company’s portfolio are periodically reviewed by an independent valuation firm; and
The Board and Audit Committee provide oversight with respect to the valuation process, including requesting such materials as they deem appropriate.

In following this approach, the types of factors that are taken into account in the fair value pricing of investments include, as relevant, but are not limited to: comparison to publicly traded securities, including factors such as yield, maturity and measures of credit quality; the enterprise value of a portfolio company; the nature and realizable value of any collateral; the portfolio company’s ability to make payments and its earnings and discounted cash flows; and the markets in which the portfolio company does business. In cases where an independent valuation firm provides fair valuations for investments, the independent valuation firm provides a fair valuation report, a description of the methodology used to determine the fair value and their analysis and calculations to support their concluded ranges.

Contractual Obligations

We have entered into the Amended Advisory Agreement with our Advisor (which supersedes the Prior Investment Advisory Agreement dated November 14, 2018 we had previously entered into). Our Advisor has agreed to serve as our investment adviser in accordance with the terms of the Amended Advisory Agreement. Under the Amended Advisory Agreement, we have agreed to pay an annual base management fee as well as an incentive fee based on our investment performance.

On November 28, 2018, our Board, including a majority of our Independent Directors, approved the Amended Advisory Agreement. On February 1, 2019 the Company’s stockholders approved the Amended Advisory Agreement. Pursuant to this Agreement, effective February 1, 2019, the base management fee of 1.5% (0.375% per quarter) of the average value of the Company’s gross assets (excluding cash and cash equivalents, but including assets purchased with borrowed amounts) will continue to apply to assets held at an asset coverage ratio of 200%, but a lower base management fee of 1.0% (0.25% per quarter) of the average value of the Company’s gross assets (excluding cash and cash equivalents, but including assets purchased with borrowed amounts) will apply to any amount of assets attributable to leverage decreasing the Company’s asset coverage ratio below 200%. The Amended Advisory Agreement incorporates (i) a three-year lookback provision and (ii) a cap on quarterly income incentive fee payments based on net realized or unrealized capital loss, if any, during the applicable three-year lookback period.

We have entered into an Administration Agreement with the Administrator pursuant to which the Administrator will furnish us with administrative services necessary to conduct our day-to-day operations. We reimburse the Administrator for its costs and expenses and our allocable portion of overhead incurred by it in performing its obligations under the Administration Agreement,

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including certain compensation paid to or compensatory distributions received by our officers (including our Chief Compliance Officer and Chief Financial Officer) and any of their respective staff who provide services to us, operations staff who provide services to us, and internal audit staff, if any, to the extent internal audit performs a role in our Sarbanes-Oxley internal control assessment.

If any of our contractual obligations discussed above are terminated, our costs may increase under any new agreements that we enter into as replacements. We would also likely incur expenses in locating alternative parties to provide the services we expect to receive under our Amended Advisory Agreement and Administration Agreement.

The following table shows the contractual maturities of our debt obligations as of September 30, 2024 (dollars in thousands):

Payments Due by Period

Less than

More than

Total

1 year

1 — 3 years

3 — 5 years

5 years

2019-1 Debt

$

352,500

$

$

$

$

352,500

March 2026 Notes

300,000

300,000

October 2026 Notes

300,000

300,000

Sumitomo Credit Facility

353,699

353,699

Total Debt Obligations

$

1,306,199

$

$

600,000

$

353,699

$

352,500

Item 3. Quantitative and Qualitative Disclosures About Market Risk

We are subject to financial market risks, including changes in interest rates. We will generally invest in illiquid loans and securities including debt and equity securities of middle-market companies. Because we expect that there will not be a readily available market for many of the investments in our portfolio, we expect to value many of our portfolio investments at fair value as determined in good faith by the Board using a documented valuation policy and a consistently applied valuation process. 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 differ significantly from the values that would have been used had a readily available market value existed for such investments, and the differences could be material. There have been no material quantitative changes in reported market risk exposures in comparison to the information reported in the prior period.

Assuming that the statement of financial condition as of September 30, 2024 were to remain constant and that we took no actions to alter our existing interest rate sensitivity, the following table shows the annualized impact of hypothetical base rate changes in interest rates (dollars in thousands):

Net Increase

Increase

Increase

(Decrease) in Net

(Decrease) in

(Decrease) in

Investment

Change in Interest Rates

Interest Income

Interest Expense

Income

Down 100 basis points

$

(17,189

)

$

(7,062

)

$

(8,355

)

Down 200 basis points

(34,071

)

(14,124

)

(16,456

)

Down 300 basis points

(50,726

)

(21,186

)

(24,371

)

Up 100 basis points

17,189

7,062

8,355

Up 200 basis points

34,378

14,124

16,710

Up 300 basis points

51,567

21,186

25,064

From time to time, we may make investments that are denominated in a foreign currency. These investments are translated into U.S. dollars at the balance sheet date, exposing us to movements in foreign exchange rates. We may employ hedging techniques to minimize these risks, but we cannot assure you that such strategies will be effective or without risk to us. We may seek to utilize instruments such as, but not limited to, forward contracts to seek to hedge against fluctuations in the relative values of our portfolio positions from changes in currency exchange rates.

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Item 4. Controls and Procedures

Evaluation of Disclosure Controls and Procedures

As of September 30, 2024 (the end of the period covered by this report), our management has carried out an evaluation, under the supervision of and with the participation of our Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of our disclosure controls and procedures (as defined in Rule 13a‑15 and 15d‑15(e) under the Exchange Act). Based on that evaluation our Chief Executive Officer and Chief Financial Officer have concluded that our current disclosure controls and procedures are effective to provide reasonable assurance that information required to be disclosed by us in the reports we file or submit 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 Chief Executive Officer and Chief Financial Officer as appropriate to allow timely decisions regarding required disclosure. In designing and evaluating our disclosure controls and procedures, management recognizes that any controls and procedures, no matter how well designed and operated, can provide only reasonable assurance of achieving their objectives, and management necessarily applies its judgment in evaluating the benefits of possible controls and procedures relative to their costs.

Changes in Internal Controls 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, that occurred during our most recently completed fiscal quarter ended September 30, 2024 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

PART II. OTHER INFORMATION

Item 1. Legal Proceedings

We are not currently subject to any material legal proceedings, nor, to our knowledge, is any material legal proceeding threatened against us. From time to time, we may be a party to certain legal proceedings in the ordinary course of business, including proceedings relating to the enforcement of our rights under loans to or other contracts with our portfolio companies.

Item 1A. Risk Factors

In addition to the other information set forth in this report, you should carefully consider the factors described below and discussed in Part I, “Item 1A. Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2023, which could materially affect our business, financial condition and/or operating results. The risks described in our Annual Report on Form 10-K are not the only risks we face. Additional risks and uncertainties are not currently known to us or that we currently deem to be immaterial also may materially adversely affect our business, financial condition and/or operating results.

Item 2. Unregistered Sales of Equity Securities, Use of Proceeds, and Issuer Purchases of Equity Securities

The Company did not engage in any unregistered sales of equity securities, issue any common stock under the Company's dividend reinvestment plan, or purchase any common stock during the three months ended September 30, 2024.

Item 3. Default Upon Senior Securities

Not applicable.

Item 4. Mine Safety Disclosures

Not applicable.

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Item 5. Other Information

Rule 10b5-1 Trading Plans

During the fiscal quarter ended September 30, 2024 , none of our directors or executive officers adopted or terminated any contract, instruction or written plan for the purchase or sale of our securities to satisfy the affirmative defense conditions of Rule 10b5-1(c) or any “non-Rule 10b5-1 trading arrangement.”

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Item 6. Exhibits, Financi al Statement Schedules

The following exhibits are included, or incorporated by reference, in this Quarterly Report on Form 10-Q for the nine months ended September 30, 2024 (and are numbered in accordance with Item 601 of Regulation S-K under the Securities Act).

Exhibit
Number

Description of Document

3.1

Amended and Restated Certificate of Incorporation (incorporated by reference to Exhibit 3.1 to the Company’s Registration Statement on Form 10 (File No. 000‑55528) filed on October 6, 2016).

3.2

Bylaws (incorporated by reference to Exhibit 3.2 to the Company’s Registration Statement on Form 10 (File No. 000‑55528) filed on October 6, 2016).

4.1

Dividend Reinvestment Plan (incorporated by reference to Exhibit 10.5 to the Company’s Registration Statement on Form 10 (File No. 000‑55528) filed on October 6, 2016).

10.1

Second Amended and Restated Investment Advisory Agreement, dated November 28, 2018, by and between the Company and the Advisor (incorporated by reference to Exhibit 10.1 to the Company’s Current Report on Form 8‑K (File No. 814‑01175), filed on February 1, 2019).

10.2

Administration Agreement, dated October 6, 2016, by and between the Company and the Administrator (incorporated by reference to Exhibit 10.2 to the Company’s Registration Statement on Form 10 (File No. 000‑55528) filed on October 6, 2016).

10.3

Form of Advisory Fee Waiver Agreement by and between the Company and the Advisor (incorporated by reference to Exhibit 10.3 to the Company’s Registration Statement on Form 10 (File No. 000‑55528) filed on October 6, 2016).

10.4

Form of Custodian Agreement by and between the Company and U.S. Bank National Association (incorporated by reference to Exhibit 10.6 to the Company’s Registration Statement on Form 10 (File No. 000‑55528) filed on October 6, 2016).

10.5

Indenture, dated as of September 28, 2018, between BCC Middle Market CLO 2018‑1, LLC, as issuer, and Wells Fargo Bank, National Association, as trustee (incorporated by reference to Exhibit 10.9 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on October 17, 2018).

10.6

Portfolio Management Agreement, dated as of September 28, 2018, by and between BCC Middle Market CLO 2018‑1, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as portfolio manager (incorporated by reference to Exhibit 10.10 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on October 17, 2018).

10.7

Loan Sale Agreement, dated as of September 28, 2018, by and between BCC Middle Market CLO 2018‑1, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as the transferor (incorporated by reference to Exhibit 10.11 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on October 17, 2018).

10.8

Collateral Administration Agreement, dated as of September 28, 2018, by and between BCC Middle Market CLO 2018‑1, LLC, as issuer, Bain Capital Specialty Finance, Inc., as portfolio manager, and Wells Fargo Bank, National Association, as collateral administrator (incorporated by reference to Exhibit 10.12 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on October 17, 2018).

10.9

Master Participation Agreement, dated as of September 28, 2018, by and between BCSF I, LLC, as financing subsidiary, and BCC Middle Market CLO 2018‑1, LLC, as issuer (incorporated by reference to Exhibit 10.13 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on October 17, 2018).

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Exhibit
Number

Description of Document

10.10

Amended and Restated Indenture, dated as of November 30, 2021, between BCC Middle Market CLO 2019-1, LLC, as issuer, BCC Middle Market CLO 2019-1 Co-Issuer, LLC, as co-issuer and Wells Fargo Bank, National Association, as trustee. (incorporated by reference to Exhibit 10.10 to the Company’s Quarterly Report on Form 10-Q (File No. 814-01175), filed on May 5, 2022).

10.11

First Supplemental Indenture, dated as of August 2, 2022, between BCC Middle Market CLO 2019-1, LTD. (f/k/a BCC Middle Market CLO 2019-1, LLC), as Issuer, and Bain Capital Specialty Finance, in its capacity as Portfolio Manager under the Agreement on behalf of the Issuer, and together with its successors in such capacity, the “Portfolio Manager” (incorporated by reference to Exhibit 10.11 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 28, 2023).

10.12

Amended and Restated Portfolio Management Agreement, dated as of November 30, 2021, by and between BCC Middle Market CLO 2019-1, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as portfolio manager. (incorporated by reference to Exhibit 10.11 to the Company’s Quarterly Report on Form 10-Q (File No. 814-01175), filed on May 5, 2022)

10.13

First Amendment to Amended and Restated Portfolio Management Agreement, dated as of August 2, 2022, between BCC Middle Market CLO 2019-1, LTD. (f/k/a BCC Middle Market CLO 2019-1, LLC), as Issuer, BCC Middle Market CLO 2019-1 Co-Issuer, LLC, as Co-Issuer, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 10.13 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 28, 2023).

10.14

Loan Sale Agreement, dated as of August 28, 2019, by and between BCC Middle Market CLO 2019‑1, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as the transferor (incorporated by reference to Exhibit 10.18 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on November 6, 2019).

10.15

Collateral Administration Agreement, dated as of August 28, 2019, by and between BCC Middle Market CLO 2019‑1, LLC, as issuer, Bain Capital Specialty Finance, Inc., as portfolio manager, and Wells Fargo Bank, National Association, as collateral administrator (incorporated by reference to Exhibit 10.19 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on November 6, 2019).

10.16

Master Participation Agreement, dated as of August 28, 2019, by and between BCSF I, LLC, as financing subsidiary, and BCC Middle Market CLO 2019‑1, LLC, as issuer (incorporated by reference to Exhibit 10.20 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on November 6, 2019).

10.17

Master Participation Agreement, dated as of August 28, 2019, by and between BCSF II-C, LLC, as financing subsidiary, and BCC Middle Market CLO 2019‑1, LLC, as issuer (incorporated by reference to Exhibit 10.21 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on November 6, 2019).

10.18

Revolving Loan Agreement, dated March 27, 2020, by and between the Company, as Borrower, and BCSF Advisors, LP, as Lender (incorporated by reference to Exhibit 10.26 to the Company’s Quarterly Report on Form 10‑Q (File No. 814‑01175), filed on May 4, 2020).

10.19

Amended and Restated Limited Liability Company Agreement, dated February 9, 2021, of International Senior Loan Program, LLC, by and among the Company, Pantheon Private Debt Program SCSp SICAV—RAIF—Pantheon Senior Debt Secondaries II (USD), Pantheon Private Debt Program SCSp SICAV—RAIF—Tubera Credit 2020, Solutio Premium Private Debt I SCSp and Solutio Premium Private Debt II Master SCSp (incorporated by reference to Exhibit 10.31 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 24, 2021).

10.20

Underwriting Agreement, dated March 3, 2021, by and among Bain Capital Specialty Finance, Inc., BCSF Advisors, LP and Goldman Sachs & Co. LLC, as the representative of the underwriters (incorporated by reference to Exhibit 99.1 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on March 5, 2021).

10.21

Indenture, dated as of March 10, 2021, by and between the Company and U.S. Bank National Association, as trustee (incorporated by reference to Exhibit 99.1 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on March 10, 2021).

137


Exhibit
Number

Description of Document

10.22

First Supplemental Indenture, dated as of March 10, 2021, relating to the 2.950% Notes due 2026, by and between the Company and U.S. Bank National Association, as trustee (incorporated by reference to Exhibit 99.2 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on March 10, 2021).

10.23

Form of 2.950% Notes due 2026 (incorporated by reference to Exhibit 99.2 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on March 10, 2021).

10.24

Underwriting Agreement, dated October 5, 2021, by and among Bain Capital Specialty Finance, Inc., BCSF Advisors, LP, and Goldman Sachs & Co. LLC and SMBC Nikko Securities America Inc., as the representative of the underwriters (incorporated by reference to Exhibit 99.1 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on October 6, 2021).

10.25

Second Supplemental Indenture, dated as of October 13, 2021, relating to the 2.550% Notes due 2026, by and between the Company and U.S. Bank National Association, as trustee (incorporated by reference to Exhibit 99.1 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on October 13, 2021).

10.26

Form of 2.550% Notes due 2026 (incorporated by reference to Exhibit 99.1 to the Company’s Current Report on Form 8-K (File No. 814-01175), filed on October 13, 2021).

10.27

Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers (incorporated by reference to Exhibit 10.41 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 23, 2022).

10.28

First Amendment dated as of July 6, 2022 to Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (incorporated by reference to Exhibit 10.26 to the Company’s Quarterly Report on Form 10-Q (File No.814-01175) filed on November 9, 2022).

10.29

Increasing Lender/Joinder Lender Agreement, dated as of December 14, 2022, between the Company, the Lenders and Issuing Banks from time to time party thereto and Sumitomo Mitsui Banking Corporation, as Administrative Agent (in such capacity, the “Administrative Agent”); and (b) the Notice of Commitment Increase Request, dated as of December 14, 2022, provided by the Company to the Administrative Agent (the “Notice”) (incorporated by reference to Exhibit 10.29 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 28, 2023).

10.30

Increasing Lender/Joinder Lender Agreement dated as of July 22, 2022, pursuant to Section 2.08(e) of the Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (Incorporated by reference to Exhibit 10.28 to the Company’s Quarterly Report on Form 10 Q (File No. 814 01175), filed on August 3, 2022).

10.31

Second Amendment dated as of August 24, 2022 to Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (incorporated by reference to Exhibit 10.28 to the Company’s Quarterly Report on Form 10-Q (File No.814-01175) filed on November 9, 2022).

10.32

Third Amendment dated as of May 20, 2024 to Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (incorporated by reference to Exhibit 10.32 to the Company’s Quarterly Report on Form 10-Q (File No.814-01175) filed on August 6, 2024).

10.33

Amended and Restated Limited Liability Company Agreement, dated December 27, 2021, of Bain Capital Senior Loan Program, LLC. (incorporated by reference to Exhibit 10.42 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 23, 2022).

138


Exhibit
Number

Description of Document

10.34

First Supplemental Indenture dated as of June 15, 2023 among BCC Middle Market CLO 2018-1, LLC, as issuer, and Wells Fargo Bank, National Association, as trustee. (incorporated by reference to Exhibit 10.33 to the Company’s Quarterly Report on Form 10-Q (File No.814-01175) filed on August 8, 2023).

10.35

Second Supplemental Indenture dated as of June 15, 2023 among BCC Middle Market CLO 2019-1, Ltd., as issuer, BCC Middle Market CLO 2019-1 Co-Issuer, LLC, as co-issuer, and Wells Fargo Bank, National Association, as trustee. (incorporated by reference to Exhibit 10.34 to the Company’s Quarterly Report on Form 10-Q (File No.814-01175) filed on August 8, 2023).

10.36

Amendment dated September 11, 2023 to the Amended and Restated Limited Liability Company Agreement, dated February 9, 2021, of International Senior Loan Program, LLC, by and among the Company, Pantheon Private Debt Program SCSp SICAV—RAIF—Pantheon Senior Debt Secondaries II (USD), Pantheon Private Debt Program SCSp SICAV—RAIF—Tubera Credit 2020, Solutio Premium Private Debt I SCSp and Solutio Premium Private Debt II Master SCSp. (incorporated by reference to Exhibit 10.35 to the Company’s Quarterly Report on Form 10-Q (File No.814-01175) filed on November 6, 2023).

10.37

Second Amendment dated December 14, 2023 to the Amended and Restated Limited Liability Company Agreement, dated February 9, 2021, as amended on September 8, 2021 of International Senior Loan Program, LLC, by and among the Company, Pantheon Private Debt Program SCSp SICAV—RAIF—Pantheon Senior Debt Secondaries II (USD), Pantheon Private Debt Program SCSp SICAV—RAIF—Tubera Credit 2020, Solutio Premium Private Debt I SCSp, Solutio Premium Private Debt II Master SCSp, Pantheon Private Debt Program SICAV—RAIF—Pantheon Senior Debt Secondaries II (EUR) and Pantheon Private Debt Program SICAV—RAIF—Pantheon Senior Debt Secondaries II (GBP) (filed herewith). (incorporated by reference to Exhibit 10.36 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 27, 2024).

10.38

International Senior Loan Program, LLC Consolidated Financial Statements for year ending December 31, 2023. (incorporated by reference to Exhibit 10.37 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 27, 2024).

23.1

Consent of Independent Registered Public Accounting Firm (incorporated by reference to Exhibit 23.1 to the Company’s Annual Report on Form 10-K (File No. 814-01175) filed on February 27, 2024).

24.1

Powers of Attorney (incorporated by reference to Exhibit 24.1 to the Company’s Annual Report on Form 10-Q (File No. 814-01175) filed on May 6, 2024).

31.1*

Certification of Chief Executive Officer pursuant to Rule 13a‑14 under the Securities Exchange Act of 1934, as amended, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002, as amended.

31.2*

Certification of Chief Financial Officer pursuant to Rule 13a‑14 under the Securities Exchange Act of 1934, as amended, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002, as amended.

32*

Certification pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, as amended.

101.INS*

XBRL Instance Document

101.SCH*

Inline XBRL Taxonomy Extension Schema Document.

101.CAL*

Inline XBRL Taxonomy Extension Calculation Linkbase Document.

101.DEF*

Inline XBRL Taxonomy Extension Calculation Linkbase Document.

101.LAB*

Inline XBRL Taxonomy Extension Label Linkbase Document.

101.PRE*

Inline XBRL Taxonomy Extension Presentation Linkbase Document.

139


Exhibit
Number

Description of Document

104

Cover Page Interactive Data File - The cover page interactive data file does not appear in the Interactive Data File because its XBRL tags are embedded within the Inline XBRL document

* Filed herewith.

140


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.

Bain Capital Specialty Finance, Inc.

Date: November 5, 2024

By:

/s/ Michael A. Ewald

Name:

Michael A. Ewald

Title:

Chief Executive Officer

Date: November 5, 2024

By:

/s/ Amit Joshi

Name:

Amit Joshi

Title:

Chief Financial Officer

141


TABLE OF CONTENTS
Part I. Financial InformationItem 1. Consolidated Financial StatementsNote 1. OrganizationNote 2. Summary Of Significant Accounting PoliciesNote 3. InvestmentsNote 4. Fair Value MeasurementsNote 5. Related Party TransactionsNote 6. DebtNote 7. DerivativesNote 8. DistributionsNote 9. Common Stock/capitalNote 10. Commitments and ContingenciesNote 11. Financial HighlightsNote 12. Subsequent EventsItem 2. Management S Discussion and Analysis Of Financial Condition and Results Of OperationsItem 2. Management S Discussion and AnalysiItem 1. Financial Statements - Notes To Consolidated Financial Statements - Note 12. Subsequent EventsItem 3. Quantitative and Qualitative Disclosures About Market RiskItem 3. Quantitative and QualitativeItem 4. Controls and ProceduresItem 4. Controls andPart II. Other InformationItem 1. Legal ProceedingsItem 1A. Risk FactorsItem 2. Unregistered Sales Of Equity Securities, Use Of Proceeds, and Issuer Purchases Of Equity SecuritiesItem 3. Default Upon Senior SecuritiesItem 4. Mine Safety DisclosuresItem 5. Other InformationItem 6. Exhibits, Financial Statement SchedulesItem 6. Exhibits, Financi

Exhibits

3.1 Amended and Restated Certificate of Incorporation (incorporated by reference to Exhibit 3.1 to the Companys Registration Statement on Form 10 (File No. 00055528) filed on October 6, 2016). 3.2 Bylaws (incorporated by reference to Exhibit 3.2 to the Companys Registration Statement on Form 10 (File No. 00055528) filed on October 6, 2016). 4.1 Dividend Reinvestment Plan (incorporated by reference to Exhibit 10.5 to the Companys Registration Statement on Form 10 (File No. 00055528) filed on October 6, 2016). 10.1 Second Amended and Restated Investment Advisory Agreement, dated November 28, 2018, by and between the Company and the Advisor (incorporated by reference to Exhibit 10.1 to the Companys Current Report on Form 8K (File No. 81401175), filed on February 1, 2019). 10.2 Administration Agreement, dated October 6, 2016, by and between the Company and the Administrator (incorporated by reference to Exhibit 10.2 to the Companys Registration Statement on Form 10 (File No. 00055528) filed on October 6, 2016). 10.3 Form of Advisory Fee Waiver Agreement by and between the Company and the Advisor (incorporated by reference to Exhibit 10.3 to the Companys Registration Statement on Form 10 (File No. 00055528) filed on October 6, 2016). 10.4 Form of Custodian Agreement by and between the Company and U.S. Bank National Association (incorporated by reference to Exhibit 10.6 to the Companys Registration Statement on Form 10 (File No. 00055528) filed on October 6, 2016). 10.5 Indenture, dated as of September 28, 2018, between BCC Middle Market CLO 20181, LLC, as issuer, and Wells Fargo Bank, National Association, as trustee (incorporated by reference to Exhibit 10.9 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on October 17, 2018). 10.6 Portfolio Management Agreement, dated as of September 28, 2018, by and between BCC Middle Market CLO 20181, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as portfolio manager (incorporated by reference to Exhibit 10.10 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on October 17, 2018). 10.7 Loan Sale Agreement, dated as of September 28, 2018, by and between BCC Middle Market CLO 20181, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as the transferor (incorporated by reference to Exhibit 10.11 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on October 17, 2018). 10.8 Collateral Administration Agreement, dated as of September 28, 2018, by and between BCC Middle Market CLO 20181, LLC, as issuer, Bain Capital Specialty Finance, Inc., as portfolio manager, and Wells Fargo Bank, National Association, as collateral administrator (incorporated by reference to Exhibit 10.12 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on October 17, 2018). 10.9 Master Participation Agreement, dated as of September 28, 2018, by and between BCSF I, LLC, as financing subsidiary, and BCC Middle Market CLO 20181, LLC, as issuer (incorporated by reference to Exhibit 10.13 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on October 17, 2018). 10.10 Amended and Restated Indenture, dated as of November 30, 2021, between BCC Middle Market CLO 2019-1, LLC, as issuer, BCC Middle Market CLO 2019-1 Co-Issuer, LLC, as co-issuer and Wells Fargo Bank, National Association, as trustee. (incorporated by reference to Exhibit 10.10 to the Companys Quarterly Report on Form 10-Q (File No. 814-01175), filed on May 5, 2022). 10.11 First Supplemental Indenture, dated as of August 2, 2022, between BCC Middle Market CLO 2019-1, LTD. (f/k/a BCC Middle Market CLO 2019-1, LLC), as Issuer, and Bain Capital Specialty Finance, in its capacity as Portfolio Manager under the Agreement on behalf of the Issuer, and together with its successors in such capacity, the Portfolio Manager (incorporated by reference to Exhibit 10.11 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 28, 2023). 10.12 Amended and Restated Portfolio Management Agreement, dated as of November 30, 2021, by and between BCC Middle Market CLO 2019-1, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as portfolio manager. (incorporated by reference to Exhibit 10.11 to the Companys Quarterly Report on Form 10-Q (File No. 814-01175), filed on May 5, 2022) 10.13 First Amendment to Amended and Restated Portfolio Management Agreement, dated as of August 2, 2022, between BCC Middle Market CLO 2019-1, LTD. (f/k/a BCC Middle Market CLO 2019-1, LLC), as Issuer, BCC Middle Market CLO 2019-1 Co-Issuer, LLC, as Co-Issuer, and Wells Fargo Bank, National Association, as Trustee (incorporated by reference to Exhibit 10.13 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 28, 2023). 10.14 Loan Sale Agreement, dated as of August 28, 2019, by and between BCC Middle Market CLO 20191, LLC, as issuer, and Bain Capital Specialty Finance, Inc., as the transferor (incorporated by reference to Exhibit 10.18 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on November 6, 2019). 10.15 Collateral Administration Agreement, dated as of August 28, 2019, by and between BCC Middle Market CLO 20191, LLC, as issuer, Bain Capital Specialty Finance, Inc., as portfolio manager, and Wells Fargo Bank, National Association, as collateral administrator (incorporated by reference to Exhibit 10.19 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on November 6, 2019). 10.16 Master Participation Agreement, dated as of August 28, 2019, by and between BCSF I, LLC, as financing subsidiary, and BCC Middle Market CLO 20191, LLC, as issuer (incorporated by reference to Exhibit 10.20 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on November 6, 2019). 10.17 Master Participation Agreement, dated as of August 28, 2019, by and between BCSF II-C, LLC, as financing subsidiary, and BCC Middle Market CLO 20191, LLC, as issuer (incorporated by reference to Exhibit 10.21 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on November 6, 2019). 10.18 Revolving Loan Agreement, dated March 27, 2020, by and between the Company, as Borrower, and BCSF Advisors, LP, as Lender (incorporated by reference to Exhibit 10.26 to the Companys Quarterly Report on Form 10Q (File No. 81401175), filed on May 4, 2020). 10.19 Amended and Restated Limited Liability Company Agreement, dated February 9, 2021, of International Senior Loan Program, LLC, by and among the Company, Pantheon Private Debt Program SCSp SICAVRAIFPantheon Senior Debt Secondaries II (USD), Pantheon Private Debt Program SCSp SICAVRAIFTubera Credit 2020, Solutio Premium Private Debt I SCSp and Solutio Premium Private Debt II Master SCSp (incorporated by reference to Exhibit 10.31 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 24, 2021). 10.20 Underwriting Agreement, dated March 3, 2021, by and among Bain Capital Specialty Finance, Inc., BCSF Advisors, LP and Goldman Sachs & Co. LLC, as the representative of the underwriters (incorporated by reference to Exhibit 99.1 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on March 5, 2021). 10.21 Indenture, dated as of March 10, 2021, by and between the Company and U.S. Bank National Association, as trustee (incorporated by reference to Exhibit 99.1 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on March 10, 2021). 10.22 First Supplemental Indenture, dated as of March 10, 2021, relating to the 2.950% Notes due 2026, by and between the Company and U.S. Bank National Association, as trustee (incorporated by reference to Exhibit 99.2 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on March 10, 2021). 10.23 Form of 2.950% Notes due 2026 (incorporated by reference to Exhibit 99.2 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on March 10, 2021). 10.24 Underwriting Agreement, dated October 5, 2021, by and among Bain Capital Specialty Finance, Inc., BCSF Advisors, LP, and Goldman Sachs & Co. LLC and SMBC Nikko Securities America Inc., as the representative of the underwriters (incorporated by reference to Exhibit 99.1 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on October 6, 2021). 10.25 Second Supplemental Indenture, dated as of October 13, 2021, relating to the 2.550% Notes due 2026, by and between the Company and U.S. Bank National Association, as trustee (incorporated by reference to Exhibit 99.1 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on October 13, 2021). 10.26 Form of 2.550% Notes due 2026 (incorporated by reference to Exhibit 99.1 to the Companys Current Report on Form 8-K (File No. 814-01175), filed on October 13, 2021). 10.27 Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers (incorporated by reference to Exhibit 10.41 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 23, 2022). 10.28 First Amendment dated as of July 6, 2022 to Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (incorporated by reference to Exhibit 10.26 to the Companys Quarterly Report on Form 10-Q (File No.814-01175) filed on November 9, 2022). 10.29 Increasing Lender/Joinder Lender Agreement, dated as of December 14, 2022, between the Company, the Lenders and Issuing Banks from time to time party thereto and Sumitomo Mitsui Banking Corporation, as Administrative Agent (in such capacity, the Administrative Agent); and (b) the Notice of Commitment Increase Request, dated as of December 14, 2022, provided by the Company to the Administrative Agent (the Notice) (incorporated by reference to Exhibit 10.29 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 28, 2023). 10.30 Increasing Lender/Joinder Lender Agreement dated as of July 22, 2022, pursuant to Section 2.08(e) of the Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (Incorporated by reference to Exhibit 10.28 to the Companys Quarterly Report on Form 10 Q (File No. 814 01175), filed on August 3, 2022). 10.31 Second Amendment dated as of August 24, 2022 to Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (incorporated by reference to Exhibit 10.28 to the Companys Quarterly Report on Form 10-Q (File No.814-01175) filed on November 9, 2022). 10.32 Third Amendment dated as of May 20, 2024 to Revolving Credit Agreement, dated as of December 24, 2021, by and among the Company as Borrower, with Sumitomo Mitsui Banking Corporation, as Administrative Agent and Sole Book Runner, and with Sumitomo Mitsui Banking Corporation and MUFG Union Bank, N.A., as Joint Lead Arrangers. (incorporated by reference to Exhibit 10.32 to the Companys Quarterly Report on Form 10-Q (File No.814-01175) filed on August 6, 2024). 10.33 Amended and Restated Limited Liability Company Agreement, dated December 27, 2021, of Bain Capital Senior Loan Program, LLC. (incorporated by reference to Exhibit 10.42 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 23, 2022). 10.34 First Supplemental Indenture dated as of June 15, 2023 among BCC Middle Market CLO 2018-1, LLC, as issuer, and Wells Fargo Bank, National Association, as trustee. (incorporated by reference to Exhibit 10.33 to the Companys Quarterly Report on Form 10-Q (File No.814-01175) filed on August 8, 2023). 10.35 Second Supplemental Indenture dated as of June 15, 2023 among BCC Middle Market CLO 2019-1, Ltd., as issuer, BCC Middle Market CLO 2019-1 Co-Issuer, LLC, as co-issuer, and Wells Fargo Bank, National Association, as trustee. (incorporated by reference to Exhibit 10.34 to the Companys Quarterly Report on Form 10-Q (File No.814-01175) filed on August 8, 2023). 10.36 Amendment dated September 11, 2023 to the Amended and Restated Limited Liability Company Agreement, dated February 9, 2021, of International Senior Loan Program, LLC, by and among the Company, Pantheon Private Debt Program SCSp SICAVRAIFPantheon Senior Debt Secondaries II (USD), Pantheon Private Debt Program SCSp SICAVRAIFTubera Credit 2020, Solutio Premium Private Debt I SCSp and Solutio Premium Private Debt II Master SCSp. (incorporated by reference to Exhibit 10.35 to the Companys Quarterly Report on Form 10-Q (File No.814-01175) filed on November 6, 2023). 10.37 Second Amendment dated December 14, 2023 to the Amended and Restated Limited Liability Company Agreement, dated February 9, 2021, as amended on September 8, 2021 of International Senior Loan Program, LLC, by and among the Company, Pantheon Private Debt Program SCSp SICAVRAIFPantheon Senior Debt Secondaries II (USD), Pantheon Private Debt Program SCSp SICAVRAIFTubera Credit 2020, Solutio Premium Private Debt I SCSp, Solutio Premium Private Debt II Master SCSp, Pantheon Private Debt Program SICAVRAIFPantheon Senior Debt Secondaries II (EUR) and Pantheon Private Debt Program SICAVRAIFPantheon Senior Debt Secondaries II (GBP) (filed herewith). (incorporated by reference to Exhibit 10.36 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 27, 2024). 10.38 International Senior Loan Program, LLC Consolidated Financial Statements for year ending December 31, 2023. (incorporated by reference to Exhibit 10.37 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 27, 2024). 23.1 Consent of Independent Registered Public Accounting Firm (incorporated by reference to Exhibit 23.1 to the Companys Annual Report on Form 10-K (File No. 814-01175) filed on February 27, 2024). 24.1 Powers of Attorney (incorporated by reference to Exhibit 24.1 to the Companys Annual Report on Form 10-Q (File No. 814-01175) filed on May 6, 2024). 31.1* Certification of Chief Executive Officer pursuant to Rule 13a14 under the Securities Exchange Act of 1934, as amended, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002, as amended. 31.2* Certification of Chief Financial Officer pursuant to Rule 13a14 under the Securities Exchange Act of 1934, as amended, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002, as amended. 32* Certification pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, as amended.