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Avenu Midco LLC, First lien senior secured loan2025-06-300001287750Actfy Buyer, Inc., First lien senior secured loan2025-06-300001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP ., First lien senior secured loan2025-06-300001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP ., First lien senior secured loan 12025-06-300001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP ., Limited partnership interest2025-06-300001287750arcc:ActivateHoldingsUSCorp.AndCrossPointCapitalASSPVLPMember2025-06-300001287750Adonis Bidco Inc.., First lien senior secured loan2025-06-300001287750Adonis Bidco Inc.., First lien senior secured loan 12025-06-300001287750arcc:AdonisBidcoInc.Member2025-06-300001287750AI Titan Parent, Inc., First lien senior secured loan2025-06-300001287750Anaplan, Inc., First lien senior secured loan2025-06-300001287750APG Intermediate Holdings Corporation and APG Holdings, LLC, Class A membership units2025-06-300001287750Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., First lien senior secured loan2025-06-300001287750Aptean, Inc. and Aptean Acquiror Inc., First lien senior secured loan2025-06-300001287750Artifact Bidco, Inc.., First lien senior secured loan2025-06-300001287750Auctane, Inc., First lien senior secured loan2025-06-300001287750Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc., First lien senior secured revolving loan2025-06-300001287750Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc.., First lien senior secured loan2025-06-300001287750Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc.,Series A Preferred Shares2025-06-300001287750arcc:BanyanSoftwareHoldingsLLCAndBanyanSoftwareIntermediateInc.Member2025-06-300001287750BCPE Pequod Buyer, Inc., First lien senior secured loan2025-06-300001287750BCTO Ignition Purchaser, Inc., Senior subordinated loan2025-06-300001287750BCTO Ignition Purchaser, Inc., Senior subordinated loan 12025-06-300001287750arcc:BCTOIgnitionPurchaserInc.Member2025-06-300001287750Bobcat Purchaser, LLC and Bobcat Topco, L.P., First lien senior secured loan2025-06-300001287750Bobcat Purchaser, LLC and Bobcat Topco, L.P., Class A-1 units2025-06-300001287750arcc:BobcatPurchaserLLCAndBobcatTopcoLPMember2025-06-300001287750Borrower R365 Holdings LLC, First lien senior secured loan 12025-06-300001287750Borrower R365 Holdings LLC, First lien senior secured loan 22025-06-300001287750arcc:BorrowerR365HoldingsLLCMember2025-06-300001287750Bottomline Technologies, Inc., First lien senior secured loan2025-06-300001287750Businessolver.com, Inc., First lien senior secured loan2025-06-300001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., First lien senior secured revolving loan 12025-06-300001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Second lien senior secured loan2025-06-300001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A preferred shares2025-06-300001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A-2 preferred shares2025-06-300001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Series A-3 preferred shares2025-06-300001287750arcc:CardinalParentIncAndPackersSoftwareIntermediateHoldingsIncMember2025-06-300001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc., First lien senior secured revolving loan2025-06-300001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc., First lien senior secured loan2025-06-300001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc., Series A preferred stock2025-06-300001287750arcc:CentralsquareTechnologiesLLCAndSupermooseNewcoInc.Member2025-06-300001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P.., Second lien senior secured notes2025-06-300001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Limited partnership interests2025-06-300001287750arcc:CloudSoftwareGroupIncPicardParentIncCloudSoftwareGroupHoldingsIncPicardHoldCoLLCAndElliottAltoCoInvestorAggregatorLPMember2025-06-300001287750Community Brands ParentCo, LLC, Class A units2025-06-300001287750Computer Services, Inc., First lien senior secured loan2025-06-300001287750Computer Services, Inc., First lien senior secured loan 12025-06-300001287750Computer Services, Inc., First lien senior secured loan 22025-06-300001287750arcc:ComputerServicesInc.Member2025-06-300001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., Common units2025-06-300001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., Series A common units2025-06-300001287750arcc:ConsilioMidcoLimitedCompusoftUSLLCAndConsilioInvestmentHoldingsLPMember2025-06-300001287750CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, First lien senior secured revolving loan2025-06-300001287750CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Second lien senior secured loan2025-06-300001287750CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Limited partnership units2025-06-300001287750arcc:CoreLogicIncAndTVIIICelestialCoInvestLPMember2025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 12025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 22025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 32025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 42025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 52025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 62025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 72025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., Preferred equity2025-06-300001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., Common equity2025-06-300001287750arcc:CoritySoftwareIncCoritySoftwareUSAIncAndCorityParentIncMember2025-06-300001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured loan 2025-06-300001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Second lien senior secured loan2025-06-300001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Series A preferred shares2025-06-300001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Class A-1 common stock2025-06-300001287750arcc:CornerstoneOnDemandIncAndSunshineSoftwareHoldingsIncMember2025-06-300001287750Coupa Holdings, LLC and Coupa Software Incorporated, First lien senior secured loan2025-06-300001287750Databricks, Inc., First lien senior secured loan2025-06-300001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured revolving loan 12025-06-300001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured revolving loan 22025-06-300001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured loan 12025-06-300001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured loan 22025-06-300001287750arcc:DatixBidcoLimitedAndRLDatixHoldingsUSAInc.Member2025-06-300001287750Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Second lien senior secured loan2025-06-300001287750Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A preferred shares2025-06-300001287750Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A units2025-06-300001287750arcc:DcertBuyerIncDCertPreferredHoldingsIncAndDestinyDigitalHoldingsLPMember2025-06-300001287750Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 12025-06-300001287750Denali Holdco LLC and Denali Apexco LP, Class A units2025-06-300001287750arcc:DenaliHoldcoLLCAndDenaliApexcoLPMember2025-06-300001287750Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured revolving loan2025-06-300001287750Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan2025-06-300001287750Diligent Corporation and Diligent Preferred Issuer, Inc., Preferred stock2025-06-300001287750arcc:DiligentCorporationAndDiligentPreferredIssuerIncMember2025-06-300001287750DriveCentric Holdings, LLC., First lien senior secured revolving loan2025-06-300001287750Echo Purchaser, Inc., First lien senior secured loan2025-06-300001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., First lien senior secured loan2025-06-300001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., Preferred units2025-06-300001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., Class A common units2025-06-300001287750arcc:EclipseTopcoInc.EclipseInvestorParentL.P.AndEclipseBuyerInc.Member2025-06-300001287750Edmunds Govtech, Inc., First lien senior secured revolving loan2025-06-300001287750Edmunds Govtech, Inc., First lien senior secured loan2025-06-300001287750arcc:EdmundsGovtechIncMember2025-06-300001287750Einstein Parent, Inc., First lien senior secured loan2025-06-300001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 12025-06-300001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 22025-06-300001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 32025-06-300001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., Preferred equity2025-06-300001287750arcc:ElemicaParentIncEZElemicaHoldingsIncMember2025-06-300001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan 12025-06-300001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured loan2025-06-300001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., Preferred stock2025-06-300001287750arcc:EnverusHoldingsIncAndTitanDIPreferredHoldingsIncMember2025-06-300001287750EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., First lien senior secured loan2025-06-300001287750EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Second lien senior secured loan2025-06-300001287750EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Partnership units2025-06-300001287750arcc:EPPurchaserLLCAndTPGVIIIEPCoInvestIILPMember2025-06-300001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT, First lien senior secured loan2025-06-300001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Limited partnership interest2025-06-300001287750arcc:EResearchTechnologyIncAndAstorgVIICoInvestERTMember2025-06-300001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured revolving loan2025-06-300001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured loan2025-06-300001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., Limited partner interests2025-06-300001287750arcc:ESHAResearchLLCAndRMCFVICIVXLVIIILPMember2025-06-300001287750Extrahop Networks, Inc., First lien senior secured loan 12025-06-300001287750Extrahop Networks, Inc., First lien senior secured loan 22025-06-300001287750arcc:ExtraHopNetworksIncMember2025-06-300001287750Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L., First lien senior secured loan2025-06-300001287750Forescout Technologies, Inc., First lien senior secured loan 2025-06-300001287750GHP-VGS Purchaser LLC, First lien senior secured loan2025-06-300001287750GI Ranger Intermediate LLC, First lien senior secured loan 12025-06-300001287750GI Ranger Intermediate LLC, First lien senior secured loan 22025-06-300001287750arcc:GIRangerIntermediateLLCMember2025-06-300001287750Goldeneye Parent, LLC, First lien senior secured loan2025-06-300001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 2025-06-300001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 1 2025-06-300001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Senior subordinated loan2025-06-300001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Preferred units2025-06-300001287750arcc:GraphPADSoftwareLLCInsightfulScienceIntermediateILLCAndInsightfulScienceHoldingsLLCMember2025-06-300001287750Guidepoint Security Holdings, LLC, First lien senior secured loan 12025-06-300001287750Guidepoint Security Holdings, LLC, First lien senior secured loan 22025-06-300001287750arcc:GuidepointSecurityHoldingsLLCMember2025-06-300001287750Heavy Construction Systems Specialists, LLC, First lien senior secured loan 12025-06-300001287750Heavy Construction Systems Specialists, LLC, First lien senior secured loan 22025-06-300001287750arcc:HeavyConstructionSystemsSpecialistsLLCMember2025-06-300001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured revolving loan2025-06-300001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured loan2025-06-300001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Senior subordinated loan2025-06-300001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Company units2025-06-300001287750arcc:HuskiesParentIncGIInsurityParentLLCAndGIInsurityTopcoLPMember2025-06-300001287750Hyland Software, Inc., First lien senior secured loan 2025-06-300001287750iCapital, Inc., Common stock2025-06-300001287750Icefall Parent, Inc., First lien senior secured loan2025-06-300001287750ID.me, Inc., First lien senior secured revolving loan2025-06-300001287750ID.me, Inc., First lien senior secured loan2025-06-300001287750ID.me, Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:ID.meInc.Member2025-06-300001287750Internet Truckstop Group LLC, First lien senior secured loan2025-06-300001287750IQN Holding Corp., First lien senior secured revolving loan2025-06-300001287750IQN Holding Corp., First lien senior secured loan 2025-06-300001287750arcc:IQNHoldingCorp.Member2025-06-300001287750JAMS Holdings LP and Jams Buyer LLC, First lien senior secured loan 2025-06-300001287750JAMS Holdings LP and Jams Buyer LLC, Preferred units2025-06-300001287750arcc:JAMSHoldingsLPAndJamsBuyerLLCMember2025-06-300001287750Kaseya Inc. and Knockout Intermediate Holdings I Inc., Preferred stock2025-06-300001287750LeanTaaS Holdings, Inc., First lien senior secured loan2025-06-300001287750Majesco and Magic Topco, L.P., First lien senior secured loan2025-06-300001287750Majesco and Magic Topco, L.P., Class A units2025-06-300001287750Majesco and Magic Topco, L.P., Class B units2025-06-300001287750arcc:MajescoAndMagicTopcoLPMember2025-06-300001287750Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured loan2025-06-300001287750Metatiedot Bidco OY and Metatiedot US, LLC., First lien senior secured loan 12025-06-300001287750arcc:MetatiedotBidcoOYAndMetatiedotUSLLCMember2025-06-300001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 12025-06-300001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 22025-06-300001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 32025-06-300001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, Limited partnership interest2025-06-300001287750arcc:MimecastBorrowercoIncAndMagnesiumCoInvestSCSpMember2025-06-300001287750Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured revolving loan2025-06-300001287750Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured loan2025-06-300001287750Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., Limited partner interests2025-06-300001287750arcc:MinistryBrandsHoldingsLLCAndRCPMBInvestmentsBLPMember2025-06-300001287750Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc., First lien senior secured loan2025-06-300001287750Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc., Series A preferred stock2025-06-300001287750arcc:ModernizingMedicineInc.AndModMedSoftwareMidcoHoldingsInc.Member2025-06-300001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured revolving loan2025-06-300001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured loan2025-06-300001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, Class A units2025-06-300001287750arcc:MoonrakerAcquisitionCoLLCAndMoonrakerHoldCoLLCMember2025-06-300001287750Motor Vehicle Software Corporation, First lien senior secured loan2025-06-300001287750MRI Software LLC., First lien senior secured revolving loan2025-06-300001287750MRI Software LLC, First lien senior secured loan 12025-06-300001287750MRI Software LLC, First lien senior secured loan 22025-06-300001287750arcc:MRISoftwareLLCMember2025-06-300001287750Netsmart, Inc. and Netsmart Technologies, Inc., First lien senior secured loan2025-06-300001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 12025-06-300001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 22025-06-300001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 32025-06-300001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 42025-06-300001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 52025-06-300001287750arcc:NorthStarAcquisitioncoLLCAndToucanBidcoLimitedMember2025-06-300001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 12025-06-300001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 22025-06-300001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 32025-06-300001287750arcc:OptimizelyNorthAmericaInc.AndOptimizelySwedenHoldingsABMember2025-06-300001287750PCMI Parent, LLC and PCMI Ultimate Holdings, LP, First lien senior secured loan2025-06-300001287750PCMI Parent, LLC and PCMI Ultimate Holdings, LP, Class A units2025-06-300001287750PCMI Parent, LLC and PCMI Ultimate Holdings, LP, Class B units2025-06-300001287750arcc:PCMIParentLLCAndPCMIUltimateHoldingsLPMember2025-06-300001287750PDDS HoldCo, Inc., First lien senior secured revolving loan2025-06-300001287750PDDS HoldCo, Inc., First lien senior secured loan2025-06-300001287750arcc:PDDSHoldCoIncMember2025-06-300001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured revolving loan 12025-06-300001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan2025-06-300001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Series A preferred stock2025-06-300001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Class A units2025-06-300001287750arcc:PDITAHoldingsIncPeachtreeParentIncAndInsightPDIHoldingsLLCMember2025-06-300001287750Petvisor Holdings, LLC, First lien senior secured loan 12025-06-300001287750Petvisor Holdings, LLC, First lien senior secured loan 22025-06-300001287750Petvisor Holdings, LLC, First lien senior secured loan 32025-06-300001287750arcc:PetvisorHoldingsLLCMember2025-06-300001287750Ping Identity Holding Corp., First lien senior secured loan2025-06-300001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC, First lien senior secured loan 12025-06-300001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC, First lien senior secured loan 22025-06-300001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC, Common units2025-06-300001287750arcc:PluralsightIncMember2025-06-300001287750Poseidon IntermediateCo, Inc., First lien senior secured loan2025-06-300001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, First lien senior secured loan2025-06-300001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, Senior subordinated loan2025-06-300001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, Class A units2025-06-300001287750arcc:PracticeTekPurchaserLLCPracticeTekMidCoLLCAndGSVPracticeTekHoldingsLLCMember2025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 12025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 22025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 32025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 52025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 42025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., Class B units2025-06-300001287750arcc:ProjectPotterBuyerLLCAndProjectPotterParentLPMember2025-06-300001287750Proofpoint, Inc., First lien senior secured loan2025-06-300001287750QBS Parent, Inc., First lien senior secured loan 12025-06-300001287750QF Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750QF Holdings, Inc., First lien senior secured loan 12025-06-300001287750QF Holdings, Inc., First lien senior secured loan 22025-06-300001287750QF Holdings, Inc., First lien senior secured loan 32025-06-300001287750QF Holdings, Inc., First lien senior secured loan 42025-06-300001287750QF Holdings, Inc., First lien senior secured loan 62025-06-300001287750arcc:QFHoldingsIncMember2025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured revolving loan2025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 12025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 22025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 32025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 42025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, Class A common units2025-06-300001287750arcc:RaptorTechnologiesLLCSycamoreBidcoLTDAndRocketParentLLCMember2025-06-300001287750Regent Education, Inc., Warrant to purchase shares of common stock 12025-06-300001287750Regent Education, Inc., Warrant to purchase shares of common stock 22025-06-300001287750arcc:RegentEducationIncMember2025-06-300001287750Relativity ODA LLC, First lien senior secured loan2025-06-300001287750Revalize, Inc., First lien senior secured revolving loan2025-06-300001287750Revalize, Inc., First lien senior secured loan2025-06-300001287750arcc:RevalizeIncMember2025-06-300001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 12025-06-300001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 22025-06-300001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc., Class A common stock2025-06-300001287750arcc:RMSHoldcoIILLCRMSGroupHoldingsIncMember2024-12-310001287750arcc:RMSHoldcoIILLCRMSGroupHoldingsIncMember2025-06-300001287750Runway Bidco, LLC, First lien senior secured loan2025-06-300001287750Sapphire Software Buyer, Inc., First lien senior secured loan2025-06-300001287750Severin Acquisition, LLC, First lien senior secured revolving loan2025-06-300001287750Severin Acquisition, LLC, First lien senior secured loan2025-06-300001287750arcc:SeverinAcquisitionLLCMember2025-06-300001287750Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured revolving loan2025-06-300001287750Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured loan2025-06-300001287750Smarsh Inc. and Skywalker TopCo, LLC, Common units2025-06-300001287750arcc:SmarshIncAndSkywalkerTopCoLLCMember2025-06-300001287750SocialFlow, Inc., Warrant to purchase shares of Series C preferred stock2025-06-300001287750SoundCloud Limited, Common stock2025-06-300001287750Spaceship Purchaser, Inc., First lien senior secured revolving loan2025-06-300001287750Spaceship Purchaser, Inc., First lien senior secured loan2025-06-300001287750arcc:SpaceshipPurchaserInc.Member2025-06-300001287750Spark Purchaser, Inc., First lien senior secured loan2025-06-300001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured revolving loan2025-06-300001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 32025-06-300001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 12025-06-300001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 22025-06-300001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, Limited partner interests2025-06-300001287750arcc:SpiritRRHoldingsIncAndWinterfellCoInvestSCSpMember2025-06-300001287750Storable, Inc. and EQT IX Co-Investment (E) SCSP, Limited partnership interests2025-06-300001287750Sundance Group Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Sundance Group Holdings, Inc., First lien senior secured loan2025-06-300001287750arcc:SundanceGroupHoldingsIncMember2025-06-300001287750Superman Holdings, LLC, First lien senior secured loan2025-06-300001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured revolving loan2025-06-300001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 12025-06-300001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 22025-06-300001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 32025-06-300001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., Class A-2 units2025-06-300001287750arcc:TamarackIntermediateLLCAndTamarackParentLLCMember2025-06-300001287750TCP Hawker Intermediate LLC, First lien senior secured revolving loan2025-06-300001287750TCP Hawker Intermediate LLC, First lien senior secured loan 12025-06-300001287750TCP Hawker Intermediate LLC, First lien senior secured loan 22025-06-300001287750arcc:TCPHawkerIntermediateLLCMember2025-06-300001287750Transit Technologies LLC, First lien senior secured loan2025-06-300001287750UKG Inc. and H&F Unite Partners, L.P., Limited partnership interests2025-06-300001287750UserZoom Technologies, Inc., First lien senior secured loan2025-06-300001287750Vamos Bidco, Inc., First lien senior secured loan2025-06-300001287750Victors Purchaser, LLC and WP Victors Co-Investment, L.P., First lien senior secured loan2025-06-300001287750Victors Purchaser, LLC and WP Victors Co-Investment, L.P., Partnership units2025-06-300001287750arcc:VictorsPurchaserLLCAndWPVictorsCoInvestmentL.P.Member2025-06-300001287750Viper Bidco, Inc., First lien senior secured loan 12025-06-300001287750Viper Bidco, Inc., First lien senior secured loan 22025-06-300001287750arcc:ViperBidcoInc.Member2025-06-300001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured revolving loan2025-06-300001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured loan2025-06-300001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., Senior subordinated loan2025-06-300001287750arcc:WebPTInc.AndWPTIntermediateHoldcoInc.Member2025-06-300001287750Wellington Bidco Inc. and Wellington TopCo LP, First lien senior secured revolving loan2025-06-300001287750Wellington Bidco Inc. and Wellington TopCo LP, First lien senior secured loan2025-06-300001287750Wellington Bidco Inc. and Wellington TopCo LP, Class A-2 preferred units2025-06-300001287750arcc:WellingtonBidcoInc.AndWellingtonTopCoLPMember2025-06-300001287750Wellness AcquisitionCo, Inc., First lien senior secured loan2025-06-300001287750Wellness AcquisitionCo, Inc., First lien senior secured loan 12025-06-300001287750Wellness AcquisitionCo, Inc., First lien senior secured loan 22025-06-300001287750arcc:WellnessAcquisitionCoIncMember2025-06-300001287750WorkWave Intermediate II, LLC, First lien senior secured revolving loan2025-06-300001287750WorkWave Intermediate II, LLC, First lien senior secured loan 12025-06-300001287750WorkWave Intermediate II, LLC, First lien senior secured loan 22025-06-300001287750WorkWave Intermediate II, LLC, First lien senior secured loan 32025-06-300001287750arcc:WorkWaveIntermediateIILLCMember2025-06-300001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, First lien senior secured loan2025-06-300001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, Series A preferred stock2025-06-300001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, Class A common units2025-06-300001287750arcc:ZenDeskIncZoroTopCoIncAndZoroTopCoLPMember2025-06-300001287750ZocDoc, Inc., First lien senior secured loan2025-06-300001287750arcc:SoftwareAndServicesMember2025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 12025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 22025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured loan2025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, Class A preferred units2025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, Class A common units2025-06-300001287750arcc:AbsoluteDentalGroupLLCAndAbsoluteDentalEquityLLCMember2025-06-300001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, First lien senior secured loan2025-06-300001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Second lien senior secured loan2025-06-300001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Membership units 2025-06-300001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Class A common units2025-06-300001287750arcc:ADGLLCAndRCIVGEDCInvestorLLCMember2025-06-300001287750Advarra Holdings, Inc., First lien senior secured loan2025-06-300001287750Aerin Medical Inc., First lien senior secured loan2025-06-300001287750Aerin Medical Inc., Series G preferred shares2025-06-300001287750arcc:AerinMedicalInc.Member2025-06-300001287750AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Series A preferred shares2025-06-300001287750AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Preferred units2025-06-300001287750AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Class B common units2025-06-300001287750arcc:AHRFundingHoldingsIncAndAHRParentHoldingsLPMember2025-06-300001287750Amerivet Partners Management, Inc. and AVE Holdings LP, Subordinated loan2025-06-300001287750Amerivet Partners Management, Inc. and AVE Holdings LP, Class A units2025-06-300001287750Amerivet Partners Management, Inc. and AVE Holdings LP, Class C units2025-06-300001287750arcc:AmerivetPartnersManagementIncAndAVEHoldingsLPMember2025-06-300001287750Artivion, Inc., First lien senior secured revolving loan2025-06-300001287750Artivion, Inc., First lien senior secured loan2025-06-300001287750arcc:ArtivionIncMember2025-06-300001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, First lien senior secured loan2025-06-300001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, Series A preferred stock2025-06-300001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, Class A units2025-06-300001287750arcc:AthenaHealthGroupIncMinervaHoldcoIncAndBCPECoInvestALPMember2025-06-300001287750Avalign Holdings, Inc. and Avalign Technologies, Inc., First lien senior secured revolving loan2025-06-300001287750Avalign Holdings, Inc. and Avalign Technologies, Inc., First lien senior secured loan2025-06-300001287750arcc:AvalignHoldingsInc.AndAvalignTechnologiesInc.Member2025-06-300001287750BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP, First lien senior secured loan2025-06-300001287750Bambino Group Holdings, LLC, Class A preferred units2025-06-300001287750BrightStar Group Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750BrightStar Group Holdings, Inc., First lien senior secured loan2025-06-300001287750arcc:BrightStarGroupHoldingsInc.Member2025-06-300001287750BVI Medical, Inc. and BVI Group Limited, First lien senior secured loan2025-06-300001287750BVI Medical, Inc. and BVI Group Limited, Ordinary shares2025-06-300001287750arcc:BVIMedicalInc.AndBVIGroupLimitedMember2025-06-300001287750Color Intermediate, LLC, First lien senior secured loan2025-06-300001287750Comprehensive EyeCare Partners, LLC, First lien senior secured revolving loan2025-06-300001287750Comprehensive EyeCare Partners, LLC, First lien senior secured loan2025-06-300001287750arcc:ComprehensiveEyeCarePartnersLLCMember2025-06-300001287750Convey Health Solutions, Inc., First lien senior secured loan2025-06-300001287750Convey Health Solutions, Inc., First lien senior secured loan 22025-06-300001287750Convey Health Solutions, Inc., First lien senior secured loan 32025-06-300001287750arcc:ConveyHealthSolutionsIncMember2025-06-300001287750Cradle Lux Bidco S.A.R.L., First lien senior secured loan 12025-06-300001287750Cradle Lux Bidco S.A.R.L., First lien senior secured loan 22025-06-300001287750arcc:CradleLuxBidcoS.A.R.L.Member2025-06-300001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured revolving loan2025-06-300001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured loan2025-06-300001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, Class A shares2025-06-300001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, Common units2025-06-300001287750arcc:CrownCTParentIncCrownCTHoldCoIncAndCrownCTManagementLLCMember2025-06-300001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan2025-06-300001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, Class A preferred units2025-06-300001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, Common stock2025-06-300001287750arcc:CVPHoldcoIncAndOMERSWildcatsInvestmentHoldingsLLCMember2025-06-300001287750Empower Payments Investor, LLC, First lien senior secured loan2025-06-300001287750Empower Payments Investor, LLC, First lien senior secured loan 12025-06-300001287750arcc:EmpowerPaymentsInvestorLLCMember2025-06-300001287750Evolent Health LLC and Evolent Health, Inc., First lien senior secured loan2025-06-300001287750Evolent Health LLC and Evolent Health, Inc., Series A preferred shares2025-06-300001287750arcc:EvolentHealthLLCAndEvolentHealthInc.Member2025-06-300001287750GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, First lien senior secured loan2025-06-300001287750GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Class A units2025-06-300001287750arcc:GHXUltimateParentCorporationCommerceParentIncAndCommerceTopcoLLCMember2025-06-300001287750Global Medical Response, Inc. and GMR Buyer Corp., First lien senior secured loan2025-06-300001287750Global Medical Response, Inc. and GMR Buyer Corp., Series B preferred shares2025-06-300001287750Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase units of common stock 12025-06-300001287750Global Medical Response, Inc. and GMR Buyer Corp., Warrants to purchase shares of common stock2025-06-300001287750Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase units of common stock 22025-06-300001287750arcc:GlobalMedicalResponseIncAndGMRBuyerCorpMember2025-06-300001287750Himalaya TopCo LLC, First lien senior secured loan2025-06-300001287750Honor Technology, Inc., Warrant to purchase shares of Series D-2 preferred stock2025-06-300001287750HuFriedy Group Acquisition LLC, First lien senior secured revolving loan2025-06-300001287750HuFriedy Group Acquisition LLC, First lien senior secured loan2025-06-300001287750arcc:HuFriedyGroupAcquisitionLLCMember2025-06-300001287750KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan2025-06-300001287750Lifescan Global Corporation, First lien senior secured loan2025-06-300001287750Lifescan Global Corporation, Second lien senior secured loan2025-06-300001287750arcc:LifescanGlobalCorporationMember2025-06-300001287750LivTech Purchaser, Inc., First lien senior secured loan2025-06-300001287750Napa Management Services Corporation and ASP NAPA Holdings, LLC, Preferred units2025-06-300001287750Napa Management Services Corporation and ASP NAPA Holdings, LLC, Senior preferred units2025-06-300001287750Napa Management Services Corporation and ASP NAPA Holdings, LLC, Class A units2025-06-300001287750arcc:NapaManagementServicesCorporationAndASPNAPAHoldingsLLCMember2025-06-300001287750Next Holdco, LLC, First lien senior secured loan2025-06-300001287750NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured revolving loan2025-06-300001287750NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured loan2025-06-300001287750NMN Holdings III Corp. and NMN Holdings LP, Partnership units2025-06-300001287750arcc:NMNHoldingsIIICorpAndNMNHoldingsLPMember2025-06-300001287750Nomi Health, Inc., First lien senior secured loan 12025-06-300001287750Nomi Health, Inc., First lien senior secured loan 22025-06-300001287750Nomi Health, Inc., Warrant to purchase shares of Series B preferred stock2025-06-300001287750Nomi Health, Inc., Warrant to purchase units of Class A common stock2025-06-300001287750arcc:NomiHealthIncMember2025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 12025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 22025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 32025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Preferred units2025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Preferred stock2025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Class A common units2025-06-300001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Common units2025-06-300001287750arcc:OlympiaAcquisitionIncOlympiaTopCoLPAndAsclepiusHoldingsLLCMember2025-06-300001287750Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Second lien senior secured loan2025-06-300001287750Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Class R common units2025-06-300001287750arcc:PathwayVetAllianceLLCAndJediGroupHoldingsLLCMember2025-06-300001287750PetVet Care Centers, LLC, First lien senior secured loan2025-06-300001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured revolving loan2025-06-300001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured loan2025-06-300001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, Class A units2025-06-300001287750arcc:PremiseHealthHoldingCorpAndOMERSBluejayInvestmentHoldingsLPMember2025-06-300001287750Revival Animal Health, LLC, First lien senior secured revolving loan2025-06-300001287750Revival Animal Health, LLC, First lien senior secured loan2025-06-300001287750Revival Animal Health, LLC, First lien senior secured loan 12025-06-300001287750arcc:RevivalAnimalHealthLLCMember2025-06-300001287750RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 12025-06-300001287750RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 22025-06-300001287750arcc:RTISurgicalIncAndPioneerSurgicalTechnologyIncMember2025-06-300001287750SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC, Common units2025-06-300001287750SOC Telemed, Inc. and PSC Spark Holdings, LP, First lien senior secured loan2025-06-300001287750SOC Telemed, Inc. and PSC Spark Holdings, LP, Class A-2 units2025-06-300001287750SOC Telemed, Inc. and PSC Spark Holdings, LP, Warrant to purchase units of common stock2025-06-300001287750arcc:SOCTelemedIncAndPSCSparkHoldingsLPMember2025-06-300001287750Spruce Bidco II Inc., First lien senior secured loan 12025-06-300001287750Spruce Bidco II Inc., First lien senior secured loan 22025-06-300001287750Spruce Bidco II Inc., First lien senior secured loan 32025-06-300001287750arcc:SpruceBidcoIIInc.Member2025-06-300001287750Surescripts, LLC, First lien senior secured loan2025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured revolving loan 12025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 12025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 22025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 12025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 22025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-1 preferred shares2025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-2 preferred shares2025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-3 preferred shares2025-06-300001287750arcc:SymplrSoftwareIncAndSymplrSoftwareIntermediateHoldingsIncMember2025-06-300001287750Tempus AI, Inc., First lien senior secured loan 12025-06-300001287750Tempus AI, Inc., First lien senior secured loan 22025-06-300001287750Tempus AI, Inc., First lien senior secured loan 32025-06-300001287750Tempus AI, Inc., First lien senior secured loan 42025-06-300001287750Tempus AI, Inc., Common units2025-06-300001287750arcc:TempusLabsIncMember2025-06-300001287750Therapy Brands Holdings LLC, Second lien senior secured loan2025-06-300001287750U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Second lien senior secured loan2025-06-300001287750U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Common stock2025-06-300001287750arcc:USAnesthesiaPartnersIncUSAnesthesiaPartnersHoldingsIncMember2025-06-300001287750U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P., First lien senior secured loan2025-06-300001287750U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P. , Limited partnership interest2025-06-300001287750arcc:U.S.UrologyPartnersLLCAndGeneralAtlanticUSUBlockerCollectionHoldcoL.P.Member2025-06-300001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, First lien senior secured revolving loan2025-06-300001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, First lien senior secured loan2025-06-300001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, Class A interests2025-06-300001287750arcc:UnitedDigestiveMSOParentLLCAndKolnCoInvestUnblockedLPMember2025-06-300001287750Viant Medical Holdings, Inc., First lien senior secured loan2025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 12025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 22025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 32025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 42025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 52025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., Class A-2 units 12025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., Class A-2 units 22025-06-300001287750arcc:VPPIntermediateHoldingsLLCAndVPPGroupHoldingsLPMember2025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured revolving loan2025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 12025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 22025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 82025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 32025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 42025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 52025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 62025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 72025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, Class A preferred units2025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, Common units2025-06-300001287750arcc:WSHPFCAcquisitionLLCMember2025-06-300001287750us-gaap:HealthcareSectorMember2025-06-300001287750Aduro Advisors, LLC, First lien senior secured loan2025-06-300001287750AQ Sage Buyer, LLC, First lien senior secured revolving loan2025-06-300001287750AQ Sage Buyer, LLC, First lien senior secured loan2025-06-300001287750arcc:AQSageBuyerLLCMember2025-06-300001287750BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, First lien senior secured loan2025-06-300001287750BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Senior subordinated loan2025-06-300001287750BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Common units2025-06-300001287750arcc:BCCBlueprintHoldingsILLCAndBCCBlueprintInvestmentsLLCMember2025-06-300001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 12025-06-300001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 22025-06-300001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 32025-06-300001287750arcc:BeaconPointeHarmonyLLCMember2025-06-300001287750Clearstead Advisors, LLC, First lien senior secured revolving loan2025-06-300001287750Clearstead Advisors, LLC, First lien senior secured loan2025-06-300001287750arcc:ClearsteadAdvisorsLLCMember2025-06-300001287750Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 12025-06-300001287750Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 22025-06-300001287750Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 32025-06-300001287750arcc:ConveraInternationalHoldingsLimitedAndConveraInternationalFinancialSARLMember2025-06-300001287750Corient Holdings, Inc., Series A preferred stock2025-06-300001287750CrossCountry Mortgage, LLC and CrossCountry Holdco, LLC, Series D preferred units2025-06-300001287750eCapital Finance Corp., Senior subordinated loan 12025-06-300001287750eCapital Finance Corp., Senior subordinated loan 22025-06-300001287750eCapital Finance Corp., Senior subordinated loan 32025-06-300001287750eCapital Finance Corp., Senior subordinated loan 42025-06-300001287750eCapital Finance Corp., Senior subordinated loan 52025-06-300001287750eCapital Finance Corp., Senior subordinated loan 62025-06-300001287750eCapital Finance Corp., Senior subordinated loan 72025-06-300001287750arcc:ECapitalFinanceCorpMember2025-06-300001287750Endeavor Bidco LLC and Endeavor TopCo, Inc., First lien senior secured loan2025-06-300001287750Endeavor Bidco LLC and Endeavor TopCo, Inc., Class A common units2025-06-300001287750arcc:EndeavorBidcoLLCAndEndeavorTopCoInc.Member2025-06-300001287750EP Wealth Advisors, LLC, First lien senior secured loan 12025-06-300001287750EP Wealth Advisors, LLC, First lien senior secured loan 22025-06-300001287750arcc:EPWealthAdvisorsLLCMember2025-06-300001287750GAPCO AIV InterHodlco (CP), L.P., Senior subordinated loan2025-06-300001287750GTCR F Buyer Corp. and GTCR (D) Investors LP, First lien senior secured loan2025-06-300001287750GTCR F Buyer Corp. and GTCR (D) Investors LP, First lien senior secured loan 12025-06-300001287750GTCR F Buyer Corp. and GTCR (D) Investors LP, Limited partnership interests2025-06-300001287750arcc:GTCRFBuyerCorpAndGTCRDInvestorsLPMember2025-06-300001287750HighTower Holding, LLC, Senior subordinated loan2025-06-300001287750Ivy Hill Asset Management, L.P., Subordinated revolving loan2025-06-300001287750Ivy Hill Asset Management, L.P., Member interest2025-06-300001287750arcc:IvyHillAssetManagementLPMember2025-06-300001287750Lido Advisors, LLC, First lien senior secured revolving loan2025-06-300001287750Lido Advisors, LLC, First lien senior secured loan 42025-06-300001287750Lido Advisors, LLC, First lien senior secured loan 52025-06-300001287750Lido Advisors, LLC, First lien senior secured loan 12025-06-300001287750Lido Advisors, LLC, First lien senior secured loan 22025-06-300001287750Lido Advisors, LLC, First lien senior secured loan 32025-06-300001287750arcc:LidoAdvisorsLLCMember2025-06-300001287750Mai Capital Management Intermediate LLC, First lien senior secured revolving loan2025-06-300001287750Mai Capital Management Intermediate LLC, First lien senior secured loan2025-06-300001287750arcc:MaiCapitalManagementIntermediateLLCMember2025-06-300001287750Medlar Bidco Limited, First lien senior secured loan2025-06-300001287750Medlar Bidco Limited, First lien senior secured loan 12025-06-300001287750arcc:MedlarBidcoLimitedMember2025-06-300001287750Monica Holdco (US) Inc., First lien senior secured loan12025-06-300001287750Monica Holdco (US) Inc., First lien senior secured loan22025-06-300001287750arcc:MonicaHoldcoUSIncMember2025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan2025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 12025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 22025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 32025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., Limited partnership interests2025-06-300001287750arcc:PathstoneFamilyOfficeLLCAndKelsoXITailwindCoInvestmentLPMember2025-06-300001287750PCIA SPV-3, LLC and ASE Royal Aggregator, LLC, First lien senior secured loan2025-06-300001287750PCIA SPV-3, LLC and ASE Royal Aggregator, LLC, Preferred units2025-06-300001287750arcc:PCIASPV3LLCAndASERoyalAggregatorLLCMember2025-06-300001287750PCS MidCo, Inc. and PCS Parent, L.P., First lien senior secured revolving loan2025-06-300001287750PCS MidCo, Inc. and PCS Parent, L.P., First lien senior secured loan2025-06-300001287750PCS MidCo, Inc. and PCS Parent, L.P., Class A units2025-06-300001287750arcc:PCSMidCoInc.AndPCSParentL.P.Member2025-06-300001287750Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP, First lien senior secured loan2025-06-300001287750Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP, Limited partnership interest2025-06-300001287750arcc:PerigonWealthManagementLLCPerigonWealthAdvisorsHoldingsCompanyLLCAndCWCFundICoInvestPrismLPMember2025-06-300001287750Petrus Buyer, Inc., First lien senior secured loan 12025-06-300001287750Petrus Buyer, Inc., First lien senior secured loan 22025-06-300001287750Petrus Buyer, Inc., First lien senior secured loan 32025-06-300001287750arcc:PetrusBuyerInc.Member2025-06-300001287750RFS Opco LLC, First lien senior secured loan12025-06-300001287750RFS Opco LLC, First lien senior secured loan22025-06-300001287750arcc:RFSOpcoLLCMember2025-06-300001287750Rialto Management Group, LLC, First lien senior secured revolving loan 2025-06-300001287750Rialto Management Group, LLC, First lien senior secured loan 2025-06-300001287750arcc:RialtoManagementGroupLLCMember2025-06-300001287750RWA Wealth Partners, LLC, First lien senior secured revolving loan2025-06-300001287750RWA Wealth Partners, LLC, First lien senior secured loan2025-06-300001287750arcc:RWAWealthPartnersLLCMember2025-06-300001287750Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC, First lien senior secured loan2025-06-300001287750The Edelman Financial Center, LLC, Second lien senior secured loan2025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured loan2025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured loan 12025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Senior subordinated loan2025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Series A preferred units2025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Common units2025-06-300001287750arcc:TheMatherGroupLLCTVGTMGTopcoIncAndTVGTMGHoldingsLLCMember2025-06-300001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, First lien senior secured loan2025-06-300001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A preferred units2025-06-300001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A common units2025-06-300001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B common units 12025-06-300001287750arcc:TheUltimusGroupMidcoLLCTheUltimusGroupLLCAndTheUltimusGroupAggregatorLPMember2025-06-300001287750TPG IX Cardiff Debt HoldCo I, LLC, TPG IX Cardiff Debt Holdco II, LLC, TPG IX Cardiff CI I, L.P., and TPG IX Cardiff CI II, L.P., First lien senior secured loan2025-06-300001287750TPG IX Cardiff Debt HoldCo I, LLC, TPG IX Cardiff Debt Holdco II, LLC, TPG IX Cardiff CI I, L.P., and TPG IX Cardiff CI II, L.P., Limited partnership interest2025-06-300001287750arcc:TPGIXCardiffDebtHoldCoILLCTPGIXCardiffDebtHoldcoIILLCTPGIXCardiffCIIL.P.AndTPGIXCardiffCIIIL.P.Member2025-06-300001287750Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured revolving loan2025-06-300001287750Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 12025-06-300001287750Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 22025-06-300001287750Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 32025-06-300001287750Waverly Advisors, LLC and WAAM Topco, LLC, Class A units2025-06-300001287750arcc:WaverlyAdvisorsLLCAndWAAMTopcoLLCMember2025-06-300001287750Wealth Enhancement Group, LLC, First lien senior secured loan2025-06-300001287750Wealth Enhancement Group, LLC, First lien senior secured loan 12025-06-300001287750Wealth Enhancement Group, LLC, First lien senior secured loan 22025-06-300001287750Wealth Enhancement Group, LLC, First lien senior secured loan 32025-06-300001287750Wealth Enhancement Group, LLC, First lien senior secured loan 42025-06-300001287750Wealth Enhancement Group, LLC, First lien senior secured loan 52025-06-300001287750arcc:WealthEnhancementGroupLLCMember2025-06-300001287750Wellington-Altus Financial Inc., First lien senior secured revolving loan2025-06-300001287750Wellington-Altus Financial Inc., First lien senior secured loan2025-06-300001287750Wellington-Altus Financial Inc., Common stock2025-06-300001287750arcc:WellingtonAltusFinancialInc.Member2025-06-300001287750us-gaap:FinancialServicesSectorMember2025-06-300001287750Accommodations Plus Technologies LLC, First lien senior secured loan2025-06-300001287750Aero Operating LLC, First lien senior secured loan2025-06-300001287750Aero Operating LLC, First lien senior secured loan 12025-06-300001287750arcc:AeroOperatingLLCMember2025-06-300001287750Aldinger Company Inc, First lien senior secured revolving loan2025-06-300001287750Aldinger Company Inc, First lien senior secured loan 12025-06-300001287750Aldinger Company Inc, First lien senior secured loan 22025-06-300001287750arcc:AldingerCompanyIncMember2025-06-300001287750AMCP Clean Acquisition Company, LLC, First lien senior secured loan 12025-06-300001287750AMCP Clean Acquisition Company, LLC, First lien senior secured loan 22025-06-300001287750arcc:AMCPCleanAcquisitionCompanyLLCMember2025-06-300001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., First lien senior secured loan2025-06-300001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc. Senior subordinated loan 12025-06-300001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 22025-06-300001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 32025-06-300001287750arcc:ArgenbrightHoldingsVLLCAndAmberstoneSecurityGroupLimitedMember2025-06-300001287750ATI Restoration, LLC, First lien senior secured revolving loan2025-06-300001287750ATI Restoration, LLC, First lien senior secured loan 12025-06-300001287750ATI Restoration, LLC, First lien senior secured loan 22025-06-300001287750ATI Restoration, LLC, First lien senior secured loan 32025-06-300001287750arcc:ATIRestorationLLCMember2025-06-300001287750Bluejack Fire Acquisition, Inc. and Bluejack Fire Holdings LLC, First lien senior secured loan2025-06-300001287750Bluejack Fire Acquisition, Inc. and Bluejack Fire Holdings LLC, Class A-1 units2025-06-300001287750arcc:BluejackFireAcquisitionInc.AndBluejackFireHoldingsLLCMember2025-06-300001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured revolving loan2025-06-300001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured loan2025-06-300001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Second lien senior secured loan2025-06-300001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Class A units2025-06-300001287750arcc:CapstoneAcquisitionHoldingsInc.CapstoneLogisticsHoldingsInc.AndCapstoneParentHoldingsLPMember2025-06-300001287750Compex Legal Services, Inc., First lien senior secured revolving loan2025-06-300001287750Compex Legal Services, Inc., First lien senior secured loan2025-06-300001287750arcc:CompexLegalServicesIncMember2025-06-300001287750Divisions Holding Corporation, Divisions, Inc. and RC V Tecmo Investor LLC, First lien senior secured loan2025-06-300001287750Divisions Holding Corporation, Divisions, Inc. and RC V Tecmo Investor LLC, Common member units2025-06-300001287750arcc:DivisionsHoldingCorporationDivisionsInc.AndRCVTecmoInvestorLLCMember2025-06-300001287750Dorado Bidco, Inc., First lien senior secured loan2025-06-300001287750DP Flores Holdings, LLC, First lien senior secured loan2025-06-300001287750Drogon Bidco Inc. & Drogon Aggregator LP, First lien senior secured loan2025-06-300001287750Drogon Bidco Inc. & Drogon Aggregator LP, Class A-2 common units2025-06-300001287750arcc:DrogonBidcoInc.DrogonAggregatorLPMember2025-06-300001287750DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class A common stock2025-06-300001287750DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class B common stock2025-06-300001287750arcc:DTIHoldcoIncAndOPEDTIHoldingsIncMember2025-06-300001287750Duraserv LLC, First lien senior secured loan12025-06-300001287750Duraserv LLC, First lien senior secured loan22025-06-300001287750arcc:DuraservLLCMember2025-06-300001287750Elevation Services Parent Holdings, LLC, First lien senior secured revolving loan 12025-06-300001287750Elevation Services Parent Holdings, LLC, First lien senior secured loan 12025-06-300001287750Elevation Services Parent Holdings, LLC, First lien senior secured loan 22025-06-300001287750arcc:ElevationServicesParentHoldingsLLCMember2025-06-300001287750EMB Purchaser, Inc., First lien senior secured loan2025-06-300001287750Firebird Acquisition Corp, Inc., First lien senior secured revolving loan2025-06-300001287750Firebird Acquisition Corp, Inc., First lien senior secured loan2025-06-300001287750Firebird Acquisition Corp, Inc., First lien senior secured loan 12025-06-300001287750arcc:FirebirdAcquisitionCorpInc.Member2025-06-300001287750FlyWheel Acquireco, Inc., First lien senior secured revolving loan2025-06-300001287750FlyWheel Acquireco, Inc.,First lien senior secured loan2025-06-300001287750arcc:FlyWheelAcquirecoIncMember2025-06-300001287750Frontline Road Safety Operations, LLC, First lien senior secured revolving loan2025-06-300001287750Frontline Road Safety Operations, LLC, First lien senior secured loan 12025-06-300001287750Frontline Road Safety Operations, LLC, First lien senior secured loan 22025-06-300001287750arcc:FrontlineRoadSafetyOperationsLLCMember2025-06-300001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured revolving loan2025-06-300001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 12025-06-300001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 22025-06-300001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 32025-06-300001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, Class A units2025-06-300001287750arcc:HHStellaIncAndBedrockParentHoldingsLPMember2025-06-300001287750HP RSS Buyer, Inc., First lien senior secured loan 12025-06-300001287750HP RSS Buyer, Inc., First lien senior secured loan 22025-06-300001287750arcc:HPRSSBuyerInc.Member2025-06-300001287750IRI Group Holdings, Inc. and Circana, LLC, First lien senior secured revolving loan 12025-06-300001287750IRI Group Holdings, Inc. and Circana, LLC, First lien senior secured loan2025-06-300001287750arcc:IRIGroupHoldingsInc.CircanaLLCAndIRINPDCoInvestAggregatorL.PMember2025-06-300001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured revolving loan 12025-06-300001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured loan 12025-06-300001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured loan 22025-06-300001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., Class A units2025-06-300001287750arcc:ISQHawkeyeHoldcoIncAndISQHawkeyeHoldingsLPMember2025-06-300001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, First lien senior secured loan 12025-06-300001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, First lien senior secured loan 22025-06-300001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, Preferred units2025-06-300001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, Class A common units2025-06-300001287750arcc:KellermeyerBergensonsServicesLLCMember2025-06-300001287750Kings Buyer, LLC, First lien senior secured revolving loan2025-06-300001287750Kings Buyer, LLC, First lien senior secured loan2025-06-300001287750arcc:KingsBuyerLLCMember2025-06-300001287750KPS Global LLC and Cool Group LLC, First lien senior secured loan2025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 12025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 22025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 12025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 22025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 32025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 42025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC, Class A units2025-06-300001287750arcc:LaboratoriesBidcoLLCAndLaboratoriesTopcoLLCMember2025-06-300001287750LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP, First lien senior secured loan2025-06-300001287750LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP, Class A common units2025-06-300001287750arcc:LBCWoodlandsPurchaserLLCAndLBCWoodlandsHoldingsLPMember2025-06-300001287750Lightbeam Bidco, Inc., First lien senior secured revolving loan2025-06-300001287750Lightbeam Bidco, Inc., First lien senior secured loan 12025-06-300001287750Lightbeam Bidco, Inc., First lien senior secured loan 22025-06-300001287750Lightbeam Bidco, Inc.2025-06-300001287750LJP Purchaser, Inc. and LJP Topco, LP, First lien senior secured loan2025-06-300001287750LJP Purchaser, Inc. and LJP Topco, LP, Class A units2025-06-300001287750arcc:LJPPurchaserIncAndLJPTopcoLPMember2025-06-300001287750Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., First lien senior secured loan2025-06-300001287750MSIS Holdings, Inc. and MS Precision Parent, LP, First lien senior secured revolving loan2025-06-300001287750MSIS Holdings, Inc. and MS Precision Parent, LP, First lien senior secured loan2025-06-300001287750MSIS Holdings, Inc. and MS Precision Parent, LP, Class A-1 units2025-06-300001287750arcc:MSISHoldingsInc.AndMSPrecisionParentLPMember2025-06-300001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured revolving loan2025-06-300001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 12025-06-300001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 22025-06-300001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 32025-06-300001287750arcc:NASLLCAndNationwideMarketingGroupLLCMember2025-06-300001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured loan 12025-06-300001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured loan 22025-06-300001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured notes2025-06-300001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., Second lien senior secured loan2025-06-300001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., Limited partnership interests2025-06-300001287750arcc:NeptuneBidcoUSIncAndElliottMetronCoInvestorAggregatorLPMember2025-06-300001287750Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1, Limited partner interest2025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured revolving loan2025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 62025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 72025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 82025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 92025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 12025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 22025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 32025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 42025-06-300001287750North Haven Stack Buyer, LLC, First lien senior secured loan 52025-06-300001287750arcc:NorthHavenStackBuyerLLCMember2025-06-300001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, First lien senior secured loan 12025-06-300001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, First lien senior secured loan 22025-06-300001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, Warrant to purchase units of Class A common units 12025-06-300001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, Warrant to purchase units of Class A common units 22025-06-300001287750arcc:PriorityWasteHoldingsLLCPriorityWasteHoldingsIndianaLLCAndPriorityWasteSuperHoldingsLLCMember2025-06-300001287750Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 12025-06-300001287750Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 22025-06-300001287750Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, Class A units2025-06-300001287750arcc:PritchardIndustriesLLCAndLJPritchardTopCoHoldingsLLCMember2025-06-300001287750PS Operating Company LLC and PS Op Holdings LLC, First lien senior secured revolving loan2025-06-300001287750PS Operating Company LLC and PS Op Holdings LLC, First lien senior secured loan2025-06-300001287750PS Operating Company LLC and PS Op Holdings LLC, Common unit2025-06-300001287750arcc:PSOperatingCompanyLLCAndPSOPHoldingsLLCMember2025-06-300001287750PSC Parent, Inc., First lien senior secured revolving loan2025-06-300001287750PSC Parent, Inc., First lien senior secured loan2025-06-300001287750arcc:PSCParentInc.Member2025-06-300001287750PYE-Barker Fire & Safety, LLC, First lien senior secured revolving loan2025-06-300001287750PYE-Barker Fire & Safety, LLC, First lien senior secured loan2025-06-300001287750arcc:PYEBarkerFireSafetyLLCMember2025-06-300001287750R2 Acquisition Corp., Common stock2025-06-300001287750RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 12025-06-300001287750RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 22025-06-300001287750arcc:RECommunityHoldingsGPLLCAndRECommunityHoldingsLPMember2025-06-300001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured revolving loan2025-06-300001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan 12025-06-300001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan 22025-06-300001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., Limited partner interests2025-06-300001287750arcc:RegistrarIntermediateLLCAndPSPRegistrarCoInvestmentFundLPMember2025-06-300001287750Research Now Group, LLC and Dynata, LLC and New Insight Holdings, Inc., Common units2025-06-300001287750Research Now Group, LLC and Dynata, LLC and New Insight Holdings, Inc., Warrants to purchase shares of common stock2025-06-300001287750arcc:ResearchNowGroupLLCAndDynataLLCAndNewInsightHoldingsInc.Member2025-06-300001287750Rodeo AcquisitionCo LLC, First lien senior secured revolving loan2025-06-300001287750Rodeo AcquisitionCo LLC, First lien senior secured loan2025-06-300001287750arcc:RodeoAcquisitionCoLLCMember2025-06-300001287750Saturn Purchaser Corp., First lien senior secured loan 12025-06-300001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured revolving loan2025-06-300001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan 12025-06-300001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan 22025-06-300001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., Class A units2025-06-300001287750arcc:SchillLandscapingAndLawnCareServicesLLCTenderLawnCareULCAndLandscapeParallelPartnersLPMember2025-06-300001287750Shermco Intermediate Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 32025-06-300001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 42025-06-300001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 52025-06-300001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 12025-06-300001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 22025-06-300001287750arcc:ShermcoIntermediateHoldingsIncMember2025-06-300001287750SSE Buyer, Inc.,Supply SourceEnterprises, Inc.,Impact ProductsLLC, The SafetyZone, LLC and SSEParent, LP, Limited partnership class A-1 units2025-06-300001287750SSE Buyer, Inc.,Supply SourceEnterprises, Inc.,Impact ProductsLLC, The SafetyZone, LLC and SSEParent, LP, Limited partnership class A-2 units2025-06-300001287750arcc:SSEBuyerIncSupplySourceEnterprisesIncImpactProductsLLCTheSafetyZoneLLCAndSSEParentLPMember2025-06-300001287750Startec Equity, LLC, Member interest2025-06-300001287750SV Newco 2, Inc. and Site 2020 Incorporated, First lien senior secured loan 12025-06-300001287750SV Newco 2, Inc. and Site 2020 Incorporated, First lien senior secured loan 22025-06-300001287750arcc:SVNewco2Inc.AndSite2020IncorporatedMember2025-06-300001287750Systems Planning and Analysis, Inc., First lien senior secured revolving loan2025-06-300001287750Systems Planning and Analysis, Inc., First lien senior secured loan2025-06-300001287750arcc:SystemsPlanningAndAnalysisInc.Member2025-06-300001287750The Hiller Companies, LLC, First lien senior secured revolving loan2025-06-300001287750The Hiller Companies, LLC, First lien senior secured loan2025-06-300001287750arcc:TheHillerCompaniesLLCMember2025-06-300001287750Thermostat Purchaser III, Inc., First lien senior secured revolving loan2025-06-300001287750Thermostat Purchaser III, Inc., Second lien senior secured loan2025-06-300001287750arcc:ThermostatPurchaserIIIIncMember2025-06-300001287750TSS Buyer, LLC, First lien senior secured loan2025-06-300001287750TSS Buyer, LLC, First lien senior secured loan 12025-06-300001287750arcc:TSSBuyerLLCMember2025-06-300001287750Unity Purchaser, LLC and Unity Ultimate Holdings, LP, First lien senior secured loan2025-06-300001287750Unity Purchaser, LLC and Unity Ultimate Holdings, LP, Class A-1 units2025-06-300001287750arcc:UnityPurchaserLLCAndUnityUltimateHoldingsLPMember2025-06-300001287750UP Intermediate II LLC and UPBW Blocker LLC, First lien senior secured revolving loan2025-06-300001287750UP Intermediate II LLC and UPBW Blocker LLC, First lien senior secured loan2025-06-300001287750UP Intermediate II LLC and UPBW Blocker LLC, Common units 12025-06-300001287750UP Intermediate II LLC and UPBW Blocker LLC, Common units 22025-06-300001287750arcc:UPIntermediateIILLCAndUPBWBlockerLLCMember2025-06-300001287750Valcourt Holdings II, LLC and Jobs Holdings, Inc., First lien senior secured loan2025-06-300001287750Visual Edge Technology, Inc., First lien senior secured loan2025-06-300001287750Visual Edge Technology, Inc., Senior preferred stock2025-06-300001287750Visual Edge Technology, Inc., Junior preferred stock2025-06-300001287750Visual Edge Technology, Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:VisualEdgeTechnologyIncMember2025-06-300001287750VRC Companies, LLC, Senior subordinated loan2025-06-300001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, First lien senior secured loan2025-06-300001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, First lien senior secured loan 12025-06-300001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, Class A preferred units2025-06-300001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, Class A common units2025-06-300001287750arcc:W.S.ConnellyCo.LLCAndWSCUltimateHoldingsLLCMember2025-06-300001287750Wash Encore Holdings, LLC, First lien senior secured loan 12025-06-300001287750Wash Encore Holdings, LLC, First lien senior secured loan 22025-06-300001287750arcc:WashEncoreHoldingsLLCMember2025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured revolving loan2025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 12025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 22025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, Class A units2025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, Class B units2025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, Class C units2025-06-300001287750arcc:XIFINIncAndACPChargerCoInvestLLCMember2025-06-300001287750Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc., First lien senior secured revolving loan2025-06-300001287750Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc., First lien senior secured loan2025-06-300001287750arcc:ZincBuyerCorporationAndMarmicFireSafetyCo.Inc.Member2025-06-300001287750arcc:CommercialAndProfessionalServicesMember2025-06-30000128775015484880 Canada Inc. and 15484910 Canada Inc., First lien senior secured revolving loan2025-06-30000128775015484880 Canada Inc. and 15484910 Canada Inc., First lien senior secured loan2025-06-30000128775015484880 Canada Inc. and 15484910 Canada Inc., Senior subordinated loan2025-06-30000128775015484880 Canada Inc. and 15484910 Canada Inc., Class A2 shares2025-06-300001287750arcc:A15484880CanadaInc.And15484910CanadaInc.Member2025-06-300001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 12025-06-300001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 22025-06-300001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 32025-06-300001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 42025-06-300001287750arcc:AccessionRiskManagementGroupIncAndRSCInsuranceBrokerageIncMember2025-06-300001287750Acrisure, LLC, First lien senior secured loan2025-06-300001287750AQ Sunshine, Inc., First lien senior secured revolving loan2025-06-300001287750AQ Sunshine, Inc., First lien senior secured loan2025-06-300001287750arcc:AQSunshineIncMember2025-06-300001287750Ardonagh Midco 3 Limited, Ardonagh Group Finco Pty Limited, and MDCP Co-Investors (Jade I), L.P., First lien senior secured loan2025-06-300001287750Ardonagh Midco 3 Limited, Ardonagh Group Finco Pty Limited, and MDCP Co-Investors (Jade I), L.P., Limited partnership interest2025-06-300001287750arcc:ArdonaghMidco3LimitedArdonaghGroupFincoPtyLimitedAndMDCPCoInvestorsJadeIL.P.Member2025-06-300001287750Benecon Midco II LLC and Benecon Holdings, LLC, First lien senior secured loan 12025-06-300001287750Benecon Midco II LLC and Benecon Holdings, LLC, First lien senior secured loan2025-06-300001287750Benecon Midco II LLC and Benecon Holdings, LLC, Class A units2025-06-300001287750arcc:BeneconMidcoIILLCAndBeneconHoldingsLLCMember2025-06-300001287750Captive Resources Midco, LLC, First lien senior secured loan2025-06-300001287750Daylight Beta Parent LLC and CFCo, LLC, First lien senior secured loan 12025-06-300001287750Daylight Beta Parent LLC and CFCo, LLC, First lien senior secured loan 22025-06-300001287750Daylight Beta Parent LLC and CFCo, LLC, Class B units2025-06-300001287750arcc:DaylightBetaParentLLCAndCFCoLLCMember2025-06-300001287750Diamond Mezzanine 24 LLC, First lien senior secured loan2025-06-300001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, First lien senior secured revolving loan2025-06-300001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, First lien senior secured loan2025-06-300001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, Limited partnership interest2025-06-300001287750arcc:DOXAInsuranceHoldingsLLCAndRocketCoInvestSLPMember2025-06-300001287750Forza Insurance Holdings, LLC, First lien senior secured loan2025-06-300001287750Foundation Risk Partners, Corp., First lien senior secured loan 12025-06-300001287750Foundation Risk Partners, Corp., First lien senior secured loan 22025-06-300001287750Foundation Risk Partners, Corp., First lien senior secured loan 32025-06-300001287750Foundation Risk Partners, Corp., First lien senior secured loan 42025-06-300001287750arcc:FoundationRiskPartnersCorpMember2025-06-300001287750Galway Borrower LLC, First lien senior secured revolving loan2025-06-300001287750Galway Borrower LLC, First lien senior secured loan2025-06-300001287750arcc:GalwayBorrowerLLCMember2025-06-300001287750Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc., First lien senior secured loan2025-06-300001287750Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc., First lien senior secured loan 12025-06-300001287750Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc., First lien senior secured loan 22025-06-300001287750Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc., Series A preferred shares2025-06-300001287750arcc:HigginbothamInsuranceAgencyInc.AndHIGIntermediateInc.Member2025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 12025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 22025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 32025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 42025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 12025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 22025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 32025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 42025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A common units2025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC, Series C common units2025-06-300001287750arcc:HighStreetBuyerIncAndHighStreetHoldcoLLCMember2025-06-300001287750Inszone Mid, LLC and INSZ Holdings, LLC, First lien senior secured loan 12025-06-300001287750Inszone Mid, LLC and INSZ Holdings, LLC, First lien senior secured loan 22025-06-300001287750Inszone Mid, LLC and INSZ Holdings, LLC, Limited partnership interests2025-06-300001287750Inszone Mid, LLC and INSZ Holdings, LLC, Common units2025-06-300001287750arcc:InszoneMidLLCAndINSZHoldingsLLCMember2025-06-300001287750Keystone Agency Partners LLC, First lien senior secured loan 12025-06-300001287750Keystone Agency Partners LLC, First lien senior secured loan 22025-06-300001287750Keystone Agency Partners LLC, First lien senior secured loan 32025-06-300001287750arcc:KeystoneAgencyPartnersLLCMember2025-06-300001287750King Risk Partners, LLC, First lien senior secured loan2025-06-300001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, First lien senior secured revolving loan2025-06-300001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, First lien senior secured loan2025-06-300001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, Class A2 units2025-06-300001287750arcc:OakBridgeInsuranceAgencyLLCAndMapleAcquisitionHoldingsLPMember2025-06-300001287750Patriot Growth Insurance Services, LLC, First lien senior secured loan2025-06-300001287750People Corporation, First lien senior secured revolving loan2025-06-300001287750People Corporation, First lien senior secured loan 12025-06-300001287750People Corporation, First lien senior secured loan 42025-06-300001287750People Corporation, First lien senior secured loan 22025-06-300001287750People Corporation, First lien senior secured loan 32025-06-300001287750arcc:PeopleCorporationMember2025-06-300001287750SageSure Holdings, LLC and SageSure LLC, First lien senior secured loan 12025-06-300001287750SageSure Holdings, LLC and SageSure LLC, First lien senior secured loan 22025-06-300001287750SageSure Holdings, LLC and SageSure LLC, Series A units2025-06-300001287750arcc:SageSureHoldingsLLCInsightCatastropheGroupLLCMember2025-06-300001287750SCM Insurance Services Inc., First lien senior secured loan2025-06-300001287750SelectQuote, Inc. and SQ ABS Issuer, LLC, First lien senior secured notes 12025-06-300001287750SelectQuote, Inc. and SQ ABS Issuer, LLC, First lien senior secured notes 22025-06-300001287750SelectQuote, Inc. and SQ ABS Issuer, LLC, First lien senior secured loan2025-06-300001287750SelectQuote, Inc. and SQ ABS Issuer, LLC, Warrant to purchase shares of common stock2025-06-300001287750arcc:SelectQuoteInc.AndSQABSIssuerLLCMember2025-06-300001287750SG Acquisition, Inc., First lien senior secured loan2025-06-300001287750SIG Parent Holdings, LLC, First lien senior secured loan2025-06-300001287750Slaine Holdings LLC, Senior subordinated loan2025-06-300001287750THG Acquisition, LLC, First lien senior secured revolving loan2025-06-300001287750THG Acquisition, LLC, First lien senior secured loan 12025-06-300001287750THG Acquisition, LLC, First lien senior secured loan 22025-06-300001287750arcc:THGAcquisitionLLCMember2025-06-300001287750Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC, First lien senior secured loan2025-06-300001287750World Insurance Associates, LLC and World Associates Holdings, LLC, First lien senior secured loan2025-06-300001287750us-gaap:InsuranceSectorMember2025-06-300001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., First lien senior secured loan2025-06-300001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Second lien senior secured loan2025-06-300001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Class A preferred units2025-06-300001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Series A preferred shares2025-06-300001287750arcc:BalrogAcquisitionInc.BalrogTopcoInc.AndBalrogParentL.P.Member2025-06-300001287750Bamboo Purchaser, Inc., First lien senior secured loan2025-06-300001287750BGI Purchaser, Inc., First lien senior secured revolving loan2025-06-300001287750BGI Purchaser, Inc., First lien senior secured loan2025-06-300001287750arcc:BGIPurchaserInc.Member2025-06-300001287750BR PJK Produce, LLC, First lien senior secured loan 12025-06-300001287750BR PJK Produce, LLC, First lien senior secured loan 22025-06-300001287750arcc:BRPJKProduceLLCMember2025-06-300001287750BradyPlus Holdings, LLC, First lien senior secured loan2025-06-300001287750City Line Distributors LLC and City Line Investments LLC, First lien senior secured loan2025-06-300001287750City Line Distributors LLC and City Line Investments LLC, Class A units2025-06-300001287750arcc:CityLineDistributorsLLCAndCityLineInvestmentsLLCMember2025-06-300001287750DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured revolving loan2025-06-300001287750DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured loan2025-06-300001287750DecoPac, Inc. and KCAKE Holdings Inc., Common stock2025-06-300001287750arcc:DecoPacIncAndKCAKEHoldingsIncMember2025-06-300001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured revolving loan2025-06-300001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 12025-06-300001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 22025-06-300001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 32025-06-300001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 42025-06-300001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., Common units2025-06-300001287750arcc:DisplayHoldingCompanyIncSaldonHoldingsIncAndFastsignsHoldingsIncMember2025-06-300001287750FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured revolving loan2025-06-300001287750FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured loan2025-06-300001287750arcc:FSSquaredHoldingCorpAndFSSquaredLLCMember2025-06-300001287750GPM Investments, LLC and ARKO Corp., Common stock2025-06-300001287750GPM Investments, LLC and ARKO Corp., Warrant to purchase common stock2025-06-300001287750arcc:GPMInvestmentsLLCAndARKOCorpMember2025-06-300001287750Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, First lien senior secured revolving loan2025-06-300001287750Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, First lien senior secured loan2025-06-300001287750Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, Limited partnership interest2025-06-300001287750arcc:HillsDistributionIncHillsIntermediateFTHoldingsLLCAndGMPHillsLPMember2025-06-300001287750JWC/KI Holdings, LLC, Membership units2025-06-300001287750LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P., First lien senior secured loan2025-06-300001287750LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P., Limited partnership interests2025-06-300001287750arcc:LJPerimeterBuyerIncAndLJPerimeterCoInvestLPMember2025-06-300001287750Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 12025-06-300001287750Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 22025-06-300001287750Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, Class A common units2025-06-300001287750arcc:MarconeYellowstoneBuyerIncAndMarconeYellowstoneHoldingsLLCMember2025-06-300001287750Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, First lien senior secured revolving loan2025-06-300001287750Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, Series A preferred stock2025-06-300001287750Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, Class A-1 units2025-06-300001287750arcc:MavisTireExpressServicesTopcoCorpMetisHoldCoIncAndMetisTopCoLPMember2025-06-300001287750McKenzie Creative Brands, LLC, First lien senior secured loan2025-06-300001287750McKenzie Creative Brands, LLC, First lien senior secured loan 12025-06-300001287750arcc:McKenzieCreativeBrandsLLCMember2025-06-300001287750Monolith Brands Group, Inc., Series A-1 preferred stock2025-06-300001287750Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP, Limited partnership interests2025-06-300001287750Mountaineer Merger Corporation, First lien senior secured revolving loan2025-06-300001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured revolving loan2025-06-300001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan 12025-06-300001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan 32025-06-300001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan2025-06-300001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, Class B limited liability company interest2025-06-300001287750arcc:MrGreensIntermediateLLCFloridaVegInvestmentsLLCMRGTexasLLCAndRestaurantProduceAndServicesBlockerLLCMember2025-06-300001287750North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, First lien senior secured loan2025-06-300001287750North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, Class A units2025-06-300001287750arcc:NorthHavenFalconBuyerLLCAndNorthHavenFalconHoldingCompanyLLCMember2025-06-300001287750Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc., First lien senior secured loan2025-06-300001287750Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc., Class B common stock2025-06-300001287750arcc:PhoenixYWBuyerInc.AndPhoenixYWParentInc.Member2025-06-300001287750Reddy Ice LLC, First lien senior secured revolving loan 12025-06-300001287750Reddy Ice LLC, First lien senior secured revolving loan 22025-06-300001287750Reddy Ice LLC, First lien senior secured revolving loan 32025-06-300001287750Reddy Ice LLC, First lien senior secured loan2025-06-300001287750arcc:ReddyIceLLCMember2025-06-300001287750Royal Borrower, LLC and Royal Parent, LP, First lien senior secured revolving loan2025-06-300001287750Royal Borrower, LLC and Royal Parent, LP, First lien senior secured loan2025-06-300001287750Royal Borrower, LLC and Royal Parent, LP, Class A preferred units2025-06-300001287750arcc:RoyalBorrowerLLCAndRoyalParentLPMember2025-06-300001287750SFE Intermediate Holdco LLC, First lien senior secured loan 12025-06-300001287750SFE Intermediate Holdco LLC, First lien senior secured loan 22025-06-300001287750SFE Intermediate Holdco LLC, First lien senior secured loan 32025-06-300001287750arcc:SFEIntermediateHoldcoLLCMember2025-06-300001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 12025-06-300001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 22025-06-300001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 32025-06-300001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 42025-06-300001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 52025-06-300001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., Common stock2025-06-300001287750arcc:ShurCoAcquisitionIncAndShurCoHoldCoIncMember2025-06-300001287750US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., First lien senior secured loan2025-06-300001287750US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., Limited partner interests2025-06-300001287750arcc:USSaltInvestorsLLCAndEmeraldLakePearlAcquisitionALPMember2025-06-300001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., First lien senior secured revolving loan2025-06-300001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., First lien senior secured loan2025-06-300001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., Common units2025-06-300001287750arcc:WorldwideProduceAcquisitionLLCAndREPWWPCoinvestIVLPMember2025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured revolving loan2025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 12025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 22025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 32025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 42025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 52025-06-300001287750ZB Holdco LLC and ZB TopCo LLC, Series A units2025-06-300001287750arcc:ZBHoldcoLLCAndZBTopCoLLCMember2025-06-300001287750arcc:RetailingAndDistributionMember2025-06-300001287750Aimbridge Topco, LLC, Common Units2025-06-300001287750American Residential Services L.L.C. and Aragorn Parent Holdings LP, Series A preferred units2025-06-300001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, First lien senior secured loan2025-06-300001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, Series B common units2025-06-300001287750arcc:ApexServicePartnersLLCMember2025-06-300001287750Belfor Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured revolving loan 12025-06-300001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured revolving loan 22025-06-300001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 12025-06-300001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 22025-06-300001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, Class A units2025-06-300001287750arcc:ClarionHomeServicesGroupLLCAndLBCBreezeHoldingsLLCMember2025-06-300001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 12025-06-300001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 22025-06-300001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., Common stock2025-06-300001287750arcc:CMGHoldCoLLCAndCMGBuyerHoldingsIncMember2025-06-300001287750Concert Golf Partners Holdco LLC, First lien senior secured loan2025-06-300001287750Concert Golf Partners Holdco LLC, First lien senior secured loan12025-06-300001287750arcc:ConcertGolfPartnersHoldcoLLCMember2025-06-300001287750CST Holding Company, First lien senior secured loan 12025-06-300001287750CST Holding Company, First lien senior secured loan 22025-06-300001287750arcc:CSTHoldingCompanyMember2025-06-300001287750Davidson Hotel Company LLC, First lien senior secured loan2025-06-300001287750Equinox Holdings, Inc., First lien senior secured loan2025-06-300001287750Equinox Holdings, Inc., Second lien senior secured loan2025-06-300001287750arcc:EquinoxHoldingsInc.Member2025-06-300001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured revolving loan2025-06-300001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan2025-06-300001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, Preferred units2025-06-300001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, Class A units2025-06-300001287750arcc:EssentialServicesHoldingCorporationAndOMERSMahomesInvestmentHoldingsLLCMember2025-06-300001287750Eternal Aus Bidco Pty Ltd, First lien senior secured loan2025-06-300001287750Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc., First lien senior secured loan 12025-06-300001287750Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc., First lien senior secured loan 22025-06-300001287750arcc:ExcelFitnessConsolidatorLLCHealthBuyerLLCAndExcelFitnessHoldingsInc.Member2025-06-300001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured revolving loan2025-06-300001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured loan2025-06-300001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, Common units2025-06-300001287750arcc:FitnessVenturesHoldingsInc.AndMeaningfulPartnersFitnessVenturesCoInvestmentLPMember2025-06-300001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 12025-06-300001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 22025-06-300001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 32025-06-300001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 42025-06-300001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., Series A preferred stock2025-06-300001287750arcc:FlinnScientificIncAndWCIQuantumHoldingsIncMember2025-06-300001287750Flint OpCo, LLC, First lien senior secured loan 12025-06-300001287750Flint OpCo, LLC, First lien senior secured loan 22025-06-300001287750arcc:FlintOpCoLLCMember2025-06-300001287750GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, First lien senior secured revolving loan2025-06-300001287750GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, First lien senior secured loan2025-06-300001287750GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, Class A common units2025-06-300001287750arcc:GSSEERGroupBorrowerLLCAndGSSEERGroupHoldingsLLCMember2025-06-300001287750Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured revolving loan2025-06-300001287750Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan2025-06-300001287750Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan12025-06-300001287750arcc:HeliosServicePartnersLLCAndAstraServicePartnersLLCMember2025-06-300001287750HGC Holdings, LLC, First lien senior secured loan2025-06-300001287750HGC Holdings, LLC, First lien senior secured loan12025-06-300001287750arcc:HGCHoldingsLLCMember2025-06-300001287750IFH Franchisee Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750IFH Franchisee Holdings, LLC, First lien senior secured loan2025-06-300001287750arcc:IFHFranchiseeHoldingsLLCMember2025-06-300001287750Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured revolving loan2025-06-300001287750Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 12025-06-300001287750Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 22025-06-300001287750Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 32025-06-300001287750arcc:InfinityHomeServicesHoldCoIncAndIHSParentHoldingsLPMember2025-06-300001287750Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 42025-06-300001287750Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., Class A units2025-06-300001287750arcc:InfinityHomeServicesHoldcoInc.DAngeloSonsConstructionLimitedAndIHSParentHoldingsL.P.Member2025-06-300001287750Jenny C Acquisition, Inc., Senior subordinated loan2025-06-300001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured revolving loan2025-06-300001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured loan 12025-06-300001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured loan 22025-06-300001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., Limited partnership interests2025-06-300001287750arcc:LeviathanIntermediateHoldcoLLCAndLeviathanHoldingsLPMember2025-06-300001287750ME Equity LLC, Common stock2025-06-300001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured revolving loan2025-06-300001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured loan 12025-06-300001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured loan 22025-06-300001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, Preferred units2025-06-300001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, Class A units2025-06-300001287750arcc:ModigentLLCAndOMERSPMCInvestmentHoldingsLLCMember2025-06-300001287750Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., First lien senior secured revolving loan2025-06-300001287750Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., First lien senior secured loan2025-06-300001287750Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., Class A preferred units2025-06-300001287750Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., Class B common units2025-06-300001287750arcc:MustangProspectsHoldcoLLCMustangProspectsPurchaserLLCAndSenskeAcquisitionInc.Member2025-06-300001287750North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured revolving loan2025-06-300001287750North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured loan 12025-06-300001287750North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured loan 22025-06-300001287750North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured loan 32025-06-300001287750arcc:NorthHavenFairwayBuyerLLCAndFairwayLawnsLLCMember2025-06-300001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan12025-06-300001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan2025-06-300001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan22025-06-300001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, Common units2025-06-300001287750arcc:NorthwindsHoldingIncAndNorthwindsServicesGroupLLCMember2025-06-300001287750OTG Concessions Management, LLC and Octa Parent Holdings, LLC, Second lien notes2025-06-300001287750OTG Concessions Management, LLC and Octa Parent Holdings, LLC, Participation rights2025-06-300001287750arcc:OTGManagementLLCMember2025-06-300001287750PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan 12025-06-300001287750PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan 22025-06-300001287750PestCo Holdings, LLC and PestCo, LLC, Class A units2025-06-300001287750arcc:PestCoHoldingsLLCAndPestCoLLCMember2025-06-300001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., First lien senior secured revolving loan2025-06-300001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., First lien senior secured loan2025-06-300001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., Common stock2025-06-300001287750arcc:PinnacleMEPIntermediateHoldcoLLCAndBPCPPinnacleHoldingsInc.Member2025-06-300001287750Premiere Buyer, LLC, First lien senior secured loan2025-06-300001287750Premiere Buyer, LLC, First lien senior secured loan12025-06-300001287750arcc:PremiereBuyerLLCMember2025-06-300001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 12025-06-300001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 22025-06-300001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, Preferred membership units2025-06-300001287750arcc:PyramidManagementAdvisorsLLCAndPyramidInvestorsLLCMember2025-06-300001287750Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P., First lien senior secured loan2025-06-300001287750Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P., Limited partnership interest2025-06-300001287750arcc:QuickQuackCarWashHoldingsLLCAndKKRGameChangerCoInvestFeederIIL.P.Member2025-06-300001287750Radiant Intermediate Holding, LLC, First lien senior secured loan2025-06-300001287750Redwood Services LP, First lien senior secured loan 12025-06-300001287750Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc., First lien senior secured loan2025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 12025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 22025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 42025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 52025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 12025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 22025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., Class A units2025-06-300001287750arcc:TaymaxGroupLPTaymaxGroupGPLLCPFSalemCanadaULCAndTCPFitParentLPMember2025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan2025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 12025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 22025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 32025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 42025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 52025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, Class A units2025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, Class C units2025-06-300001287750arcc:TheArcticomGroupLLCAndAMCPMechanicalHoldingsLPMember2025-06-300001287750Triwizard Holdings, Inc. and Triwizard Parent, LP, First lien senior secured revolving loan 12025-06-300001287750Triwizard Holdings, Inc. and Triwizard Parent, LP, Class A-2 common units2025-06-300001287750arcc:TriwizardHoldingsInc.AndTriwizardParentLPMember2025-06-300001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured loan 12025-06-300001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured loan 22025-06-300001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, Class B common units2025-06-300001287750arcc:VertexServicePartnersLLCAndVertexServicePartnersHoldingsLLCMember2025-06-300001287750Wrench Group LLC, First lien senior secured loan2025-06-300001287750YE Brands Holdings, LLC, First lien senior secured loan 12025-06-300001287750YE Brands Holdings, LLC, First lien senior secured loan 22025-06-300001287750YE Brands Holdings, LLC, First lien senior secured loan 32025-06-300001287750YE Brands Holdings, LLC, First lien senior secured loan 42025-06-300001287750arcc:YEBrandsHoldingsLLCMember2025-06-300001287750ZBS Mechanical Group Co-Invest Fund 2, LLC and ZBS Mechanical Group Co-Invest II Fund 2, LLC, Membership interest 12025-06-300001287750ZBS Mechanical Group Co-Invest Fund 2, LLC and ZBS Mechanical Group Co-Invest II Fund 2, LLC, Membership interest 22025-06-300001287750arcc:ZBSMechanicalGroupCoInvestFund2LLCAndZBSMechanicalGroupCoInvestIIFund2LLCMember2025-06-300001287750arcc:ConsumerServicesMember2025-06-30000128775022 HoldCo Limited, Senior subordinated loan2025-06-3000012877503 Step Sports LLC and 3 Step Holdings, LLC, First lien senior secured revolving loan2025-06-3000012877503 Step Sports LLC and 3 Step Holdings, LLC, First lien senior secured loan2025-06-300001287750arcc:A3StepSportsLLCMember2025-06-300001287750Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan2025-06-300001287750Aventine Intermediate LLC & Aventine Holdings II LLC, Senior subordinated loan2025-06-300001287750Aventine Intermediate LLC & Aventine Holdings II LLC, Second lien senior secured loan2025-06-300001287750arcc:AventineIntermediateLLCAventineHoldingsIILLCMember2025-06-300001287750Axiomatic, LLC, Class A-1 units2025-06-300001287750Bad Vibes Forever, LLC and Bad Vibes Forever Publishing, LLC, First lien senior secured loan2025-06-300001287750CFC Funding LLC, Loan instrument units2025-06-300001287750CMW Parent LLC (fka Black Arrow, Inc.), Series A units2025-06-300001287750Dundee Eros, LP, Limited partnership interest2025-06-300001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 12025-06-300001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 22025-06-300001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 32025-06-300001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Ordinary shares2025-06-300001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Warrant to purchase shares of ordinary shares 12025-06-300001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Warrant to purchase shares of ordinary shares 22025-06-300001287750arcc:EagleFootballHoldingsBidCoLimitedAndEagleFootballHoldingsLimitedMember2025-06-300001287750Fever Labs, Inc., First lien senior secured revolving loan2025-06-300001287750Fever Labs, Inc., First lien senior secured loan2025-06-300001287750Fever Labs, Inc., Series B redeemable preferred stock2025-06-300001287750Fever Labs, Inc., Series E-5 Convertible Shares2025-06-300001287750Fever Labs, Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:FeverLabsInc.Member2025-06-300001287750FinEquity Holdings, LLC, Class A common interest 12025-06-300001287750FinEquity Holdings, LLC, Class A common interest 22025-06-300001287750FinEquity Holdings, LLC, Class A common interest 32025-06-300001287750arcc:FinEquityHoldingsLLCMember2025-06-300001287750Global Music Rights, LLC, First lien senior secured loan2025-06-300001287750GSM Rights Fund II LP, Class B Interest2025-06-300001287750League One Volleyball Clubs, LLC and League One Volleyball, Inc., Series B preferred stock2025-06-300001287750League One Volleyball Clubs, LLC and League One Volleyball, Inc., Series C preferred stock2025-06-300001287750League One Volleyball Clubs, LLC and League One Volleyball, Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:LeagueOneVolleyballClubsLLCAndLeagueOneVolleyballInc.Member2025-06-300001287750Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P., First lien senior secured revolving loan 12025-06-300001287750Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P., First lien senior secured loan2025-06-300001287750Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P. ,Limited partnership interest2025-06-300001287750arcc:LegendsHospitalityHoldingCompanyLLCASMBuyerInc.LegendsASMHoldcoILLCAndStadiumCoinvestBIIIL.P.Member2025-06-300001287750LiveBarn Inc., Middle preferred shares2025-06-300001287750Miami Beckham United LLC, Class A preferred units2025-06-300001287750Miami Beckham United LLC, Class B preferred units2025-06-300001287750arcc:MiamiBeckhamUnitedLLCMember2025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 22025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 72025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 32025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 42025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 52025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 62025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 12025-06-300001287750Production Resource Group, L.L.C. and PRG III, LLC, Class A units2025-06-300001287750arcc:ProductionResourceGroupLLCAndPRGIIILLCMember2025-06-300001287750Professional Fighters League, LLC and PFL MMA, Inc., First lien senior secured loan2025-06-300001287750Professional Fighters League, LLC and PFL MMA, Inc., Second lien senior secured loan2025-06-300001287750Professional Fighters League, LLC and PFL MMA, Inc., Series E preferred stock2025-06-300001287750Professional Fighters League, LLC and PFL MMA, Inc., Warrant to purchase shares of common stock 12025-06-300001287750Professional Fighters League, LLC and PFL MMA, Inc., Warrant to purchase shares of common stock 22025-06-300001287750arcc:ProfessionalFightersLeagueLLCAndPFLMMAIncMember2025-06-300001287750Sandlot Action Sports, LLC., Common units2025-06-300001287750South Florida Motorsports, LLC, Class A common interest2025-06-300001287750Storm Investment S.a.r.l., First lien senior secured loan2025-06-300001287750Storm Investment S.a.r.l., Class A redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class B redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class C redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class D redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class E redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class F redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class G redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class H redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Class I redeemable shares2025-06-300001287750Storm Investment S.a.r.l., Ordinary shares2025-06-300001287750arcc:StormInvestmentS.a.r.l.AndAtleticoHoldcoS.L.Member2025-06-300001287750The Teaching Company Holdings, Inc., Preferred stock2025-06-300001287750The Teaching Company Holdings, Inc., Common stock2025-06-300001287750arcc:TheTeachingCompanyHoldingsIncMember2025-06-300001287750WRE Sports Investments LLC., First lien senior secured loan2025-06-300001287750arcc:SportsMediaAndEntertainmentMember2025-06-300001287750ACAS Equity Holdings Corporation, Common stock2025-06-300001287750Constellation Wealth Capital Fund, L.P.,Limited partner interests2025-06-300001287750CREST Exeter Street Solar 2004-1, Preferred shares2025-06-300001287750CWC Fund I Co-Invest (ALTI) LP, Limited partnership interest2025-06-300001287750European Capital UK SME Debt LP, Limited partnership interest2025-06-300001287750HCI Equity, LLC, Member interest2025-06-300001287750Linden Structured Capital Fund II-A LP., Limited partnership interest2025-06-300001287750Partnership Capital Growth Investors III, L.P., Limited partnership interest2025-06-300001287750PCG-Ares Sidecar Investment II, L.P., Limited partnership interest2025-06-300001287750PCG-Ares Sidecar Investment, L.P., Limited partnership interest2025-06-300001287750Piper Jaffray Merchant Banking Fund I, L.P., Limited partnership interest2025-06-300001287750Senior Direct Lending Program, LLC, Subordinated certificates2025-06-300001287750Senior Direct Lending Program, LLC, Membership interest2025-06-300001287750arcc:SeniorDirectLendingProgramLLCMember2025-06-300001287750arcc:InvestmentFundsAndVehiclesMember2025-06-300001287750Apex Clean Energy TopCo, LLC, Class A common units2025-06-300001287750BNZ TopCo B.V.,Senior subordinated loan2025-06-300001287750PosiGen, Inc., Warrant to purchase shares of series D-1 preferred stock2025-06-300001287750PosiGen, Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:PosiGenIncMember2025-06-300001287750Potomac Intermediate Holdings II LLC, Series A units2025-06-300001287750Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, First lien senior secured loan2025-06-300001287750Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, Senior subordinated loan2025-06-300001287750arcc:SunrunAtlasDepositor20192LLCAndSunrunAtlasHoldings20192LLCMember2025-06-300001287750Sunrun Luna Holdco 2021, LLC, Senior subordinated revolving loan 12025-06-300001287750Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, First lien senior secured loan2025-06-300001287750Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, Senior subordinated loan2025-06-300001287750arcc:SunrunXanaduIssuer20191LLCAndSunrunXanaduHoldings20191LLCMember2025-06-300001287750arcc:IndependentPowerAndRenewableElectricityProducersMember2025-06-300001287750AI Aqua Merger Sub, Inc.., First lien senior secured loan2025-06-300001287750Airx Climate Solutions, Inc., First lien senior secured loan2025-06-300001287750Airx Climate Solutions, Inc., First lien senior secured loan 12025-06-300001287750arcc:AirxClimateSolutionsInc.Member2025-06-300001287750Align Precision Group, LLC, First lien senior secured loan2025-06-300001287750Align Precision Group, LLC, First lien senior secured loan12025-06-300001287750arcc:AlignPrecisionGroupLLCMember2025-06-300001287750API Military Inc. and Allclear Group LLC, First lien senior secured loan2025-06-300001287750API Military Inc. and Allclear Group LLC, First lien senior secured loan12025-06-300001287750API Military Inc. and Allclear Group LLC, First lien senior secured loan22025-06-300001287750API Military Inc. and Allclear Group LLC, Membership Interest2025-06-300001287750arcc:APIMilitaryInc.AndAllclearGroupLLCMember2025-06-300001287750Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured loan2025-06-300001287750Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., Common stock2025-06-300001287750arcc:ArrowheadHoldcoCompanyAndArrowheadGSHoldingsIncMember2025-06-300001287750BGIF IV Fearless Utility Services, Inc., First lien senior secured revolving loan2025-06-300001287750BGIF IV Fearless Utility Services, Inc., First lien senior secured loan2025-06-300001287750arcc:BGIFIVFearlessUtilityServicesInc.Member2025-06-300001287750Burgess Point Purchaser Corporation, First lien senior secured loan2025-06-300001287750CPIG Holdco Inc., First lien senior secured loan2025-06-300001287750DFS Holding Company, Inc., First lien senior secured loan2025-06-300001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured revolving loan 12025-06-300001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured loan2025-06-300001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, Common units2025-06-300001287750arcc:DynamicNCAerospaceHoldingsLLCAndDynamicNCInvestmentHoldingsLPMember2025-06-300001287750EIS Legacy Holdco, LLC, First lien senior secured loan2025-06-300001287750ESCP PPG Holdings, LLC, Class A-1 units2025-06-300001287750ESCP PPG Holdings, LLC, Class A-2 units2025-06-300001287750arcc:ESCPPPGHoldingsLLCMember2025-06-300001287750Generator US Buyer, Inc. and Total Power Limited, First lien senior secured revolving loan2025-06-300001287750Generator US Buyer, Inc. and Total Power Limited, First lien senior secured loan 12025-06-300001287750Generator US Buyer, Inc. and Total Power Limited, First lien senior secured loan 22025-06-300001287750arcc:GeneratorUSBuyerInc.AndTotalPowerLimitedMember2025-06-300001287750Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC, First lien senior secured revolving loan2025-06-300001287750Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC, Member Units2025-06-300001287750arcc:GroundPenetratingRadarSystemsLLCAndRCVIBuckeyeHoldingsLLCMember2025-06-300001287750GSV Purchaser, Inc., First lien senior secured loan 2025-06-300001287750Harvey Tool Company, LLC, First lien senior secured loan 12025-06-300001287750Harvey Tool Company, LLC, First lien senior secured loan 22025-06-300001287750arcc:HarveyToolCompanyLLCMember2025-06-300001287750Helix Acquisition Holdings, Inc., First lien senior secured loan2025-06-300001287750Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC, First lien senior secured revolving loan2025-06-300001287750Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC, First lien senior secured loan2025-06-300001287750arcc:HorizonAvionicsBuyerLLCAndHorizonCTSBuyerLLCMember2025-06-300001287750HPCC Parent, Inc. and Patriot Container Corp., First lien senior secured loan2025-06-300001287750HPCC Parent, Inc. and Patriot Container Corp., Common stock2025-06-300001287750arcc:HPCCParentInc.AndPatriotContainerCorp.Member2025-06-300001287750Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Senior subordinated loan2025-06-300001287750Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Class A common stock2025-06-300001287750arcc:ImagingBusinessMachinesLLCAndScannerHoldingsCorporationMember2025-06-300001287750Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured loan2025-06-300001287750Kene Acquisition, Inc. and Kene Holdings, L.P., Class A units2025-06-300001287750arcc:KeneAcquisitionIncAndKeneHoldingsLPMember2025-06-300001287750LTG Acquisition, Inc., Class A membership units2025-06-300001287750NCWS Intermediate, Inc. and NCWS Holdings LP, Class A-2 common units2025-06-300001287750OPH NEP Investment, LLC, First lien senior secured loan2025-06-300001287750OPH NEP Investment, LLC, Senior subordinated loan2025-06-300001287750OPH NEP Investment, LLC, Class B common units2025-06-300001287750arcc:OPHNEPInvestmentLLCMember2025-06-300001287750Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC, Second lien senior secured loan2025-06-300001287750Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured revolving loan2025-06-300001287750Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured revolving loan12025-06-300001287750Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured loan2025-06-300001287750arcc:ParisUSHoldcoInc.1001028292OntarioInc.Member2025-06-300001287750PumpTech, LLC and Impel CV-B, LP, First lien senior secured revolving loan2025-06-300001287750PumpTech, LLC and Impel CV-B, LP, First lien senior secured loan2025-06-300001287750PumpTech, LLC and Impel CV-B, LP, Limited partnership interest2025-06-300001287750arcc:PumpTechLLCAndImpelCVBLPMember2025-06-300001287750Qnnect, LLC and Connector TopCo, LP, Limited partnership interests2025-06-300001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 12025-06-300001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 22025-06-300001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured loan2025-06-300001287750arcc:RadiusAerospaceIncAndRadiusAerospaceEuropeLimitedMember2025-06-300001287750Radwell Parent, LLC, First lien senior secured revolving loan2025-06-300001287750Radwell Parent, LLC, First lien senior secured loan 2025-06-300001287750arcc:RadwellParentLLCMember2025-06-300001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation,First lien senior secured revolving loan2025-06-300001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured revolving loan2025-06-300001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured loan 2025-06-300001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured revolving loan 22025-06-300001287750arcc:SunkRockFoundryPartnersLPHatterasElectricalManufacturingHoldingCompanyAndSigmaElectricManufacturingCorporationMember2025-06-300001287750Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P., First lien senior secured loan2025-06-300001287750Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P., Series A common units2025-06-300001287750arcc:SunvairAerospaceGroupInc.AndGBHeliosHoldingsL.P.Member2025-06-300001287750Two Six Labs, LLC, First lien senior secured revolving loan2025-06-300001287750Two Six Labs, LLC, First lien senior secured loan2025-06-300001287750arcc:TwoSixLabsLLCMember2025-06-300001287750Werner Finco LP, First lien senior secured loan2025-06-300001287750arcc:CapitalGoodsMember2025-06-300001287750Abzena Holdings, Inc. and Astro Group Holdings Ltd., Class A ordinary shares2025-06-300001287750ADMA Biologics Inc., First lien senior secured loan2025-06-300001287750Alcami Corporation and ACM Note Holdings, LLC, First lien senior secured loan2025-06-300001287750Alcami Corporation and ACM Note Holdings, LLC, Senior subordinated loan2025-06-300001287750arcc:AlcamiCorporationAndACMHoldingsILLCMember2025-06-300001287750Bamboo US BidCo LLC, First lien senior secured loan2025-06-300001287750Bamboo US BidCo LLC, First lien senior secured loan12025-06-300001287750arcc:BambooUSBidCoLLCMember2025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured revolving loan2025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 12025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 22025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 32025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Preferred units2025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Series A preferred shares2025-06-300001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Class A common units2025-06-300001287750arcc:CobaltBuyerSubIncCobaltHoldingsILPAndCobaltIntermediateIIncMember2025-06-300001287750Creek Parent, Inc. and Creek Feeder, L.P., First lien senior secured revolving loan2025-06-300001287750CCreek Parent, Inc. and Creek Feeder, L.P., First lien senior secured loan 2025-06-300001287750Creek Parent, Inc. and Creek Feeder, L.P., Limited partnership interest2025-06-300001287750arcc:CreekParentInc.AndCreekFeederL.P.Member2025-06-300001287750Gula Buyer Inc. and Gula Co-Invest II, L.P., First lien senior secured loan, 0.0932, SOFR (M), 0.05, 45590, 48122, 125200000, 125200000, 1252000002025-06-300001287750Gula Buyer Inc. and Gula Co-Invest II, L.P., Common units2025-06-300001287750arcc:GulaBuyerInc.AndGulaCoInvestIIL.P.Member2025-06-300001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 12025-06-300001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 22025-06-300001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 12025-06-300001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 22025-06-300001287750arcc:NMCSkincareIntermediateHoldingsIILLCMember2025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured revolving loan2025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 12025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 22025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 32025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 42025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Senior subordinated loan 32025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Class A preferred units2025-06-300001287750arcc:NorthAmericanScienceAssociatesLLCCardinalPurchaserLLCAndCardinalTopcoHoldingsLPMember2025-06-300001287750Verista, Inc., First lien senior secured revolving loan2025-06-300001287750Verista, Inc., First lien senior secured loan2025-06-300001287750arcc:VeristaInc.Member2025-06-300001287750WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P., First lien senior secured loan2025-06-300001287750WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P., Limited partnership interest2025-06-300001287750arcc:WCIBXCPurchaserLLCAndWCIBXCInvestmentHoldingsL.P.Member2025-06-300001287750arcc:PharmaceuticalsBiotechnologyAndLifeSciencesMember2025-06-300001287750Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC, First lien senior secured loan 12025-06-300001287750Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC, First lien senior secured loan 22025-06-300001287750Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC, Common units2025-06-300001287750arcc:AdonisAcquisitionHoldingsLLCAndAdonisAcquisitionHoldingsParentLLCMember2025-06-300001287750AP Adhesives Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750AP Adhesives Holdings, LLC, First lien senior secured loan2025-06-300001287750arcc:APAdhesivesHoldingsLLCMember2025-06-300001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured revolving loan2025-06-300001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan2025-06-300001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan 12025-06-300001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, Class A units2025-06-300001287750arcc:ASPRPacAcquisitionCoLLCAndASPRPacHoldingsLPMember2025-06-300001287750Bulab Holdings, Inc. and Buckman PPC Co-Invest LP, First lien senior secured loan2025-06-300001287750Bulab Holdings, Inc. and Buckman PPC Co-Invest LP, First lien senior secured loan 12025-06-300001287750Bulab Holdings, Inc. and Buckman PPC Co-Invest LP, Limited partnership interest2025-06-300001287750arcc:BulabHoldingsInc.AndBuckmanPPCCoInvestLPMember2025-06-300001287750Halex Holdings, Inc., Common stock2025-06-300001287750Meyer Laboratory, LLC and Meyer Parent, LLC, First lien senior secured revolving loan2025-06-300001287750Meyer Laboratory, LLC and Meyer Parent, LLC, First lien senior secured loan2025-06-300001287750Meyer Laboratory, LLC and Meyer Parent, LLC, Common units2025-06-300001287750arcc:MeyerLaboratoryLLCAndMeyerParentLLCMember2025-06-300001287750MP Midco Holdings, LLC and MP Topco Holdings, LLC (fka H-Food Holdings, LLC), First lien senior secured loan2025-06-300001287750MP Midco Holdings, LLC and MP Topco Holdings, LLC (fka H-Food Holdings, LLC) Common units2025-06-300001287750arcc:MPMidcoHoldingsLLCAndMPTopcoHoldingsLLCFkaHFoodHoldingsLLCMember2025-06-300001287750NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, First lien senior secured revolving loan 12025-06-300001287750NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, First lien senior secured revolving loan 22025-06-300001287750NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, First lien senior secured loan2025-06-300001287750NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, Limited partnership interest2025-06-300001287750arcc:NCPMSIBuyerInc.AndNCPMSICoInvestLPMember2025-06-300001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 12025-06-300001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 22025-06-300001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 12025-06-300001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 22025-06-300001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., Class A units2025-06-300001287750arcc:NelipakHoldingCompanyNelipakEuropeanHoldingsCooperatiefUAKNPAKHoldingsLPAndPAKNKNetherlandsTreasuryBVMember2025-06-300001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 12025-06-300001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 22025-06-300001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class A preferred units2025-06-300001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class C units2025-06-300001287750arcc:NovipaxBuyerLLCAndNovipaxParentHoldingCompanyLLCMember2025-06-300001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, First lien senior secured loan2025-06-300001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Second lien senior secured loan2025-06-300001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Preferred units2025-06-300001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Preferred units 12025-06-300001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Co-Invest units2025-06-300001287750arcc:PlaskolitePPCIntermediateIILLCAndPlaskolitePPCBlockerLLCMember2025-06-300001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan2025-06-300001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 12025-06-300001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 22025-06-300001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 32025-06-300001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 42025-06-300001287750arcc:PrecisionConceptsInternationalLLCAndPrecisionConceptsCanadaCorporationMember2025-06-300001287750Reagent Chemical & Research, LLC, First lien senior secured revolving loan2025-06-300001287750Reagent Chemical & Research, LLC, First lien senior secured loan2025-06-300001287750arcc:ReagentChemicalResearchLLCMember2025-06-300001287750SCI PH Parent, Inc., Series B shares2025-06-300001287750arcc:MaterialsSectorMember2025-06-300001287750760203 N.B. LTD., First lien senior secured revolving loan2025-06-300001287750760203 N.B. LTD., First lien senior secured revolving loan 12025-06-300001287750760203 N.B. LTD., First lien senior secured revolving loan 22025-06-300001287750760203 N.B. LTD., First lien senior secured loan 32025-06-300001287750arcc:A760203N.B.LTD.Member2025-06-300001287750Bowhunter Holdings, LLC, Common units2025-06-300001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., First lien senior secured loan2025-06-300001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Senior subordinated loan 12025-06-300001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Senior subordinated loan 22025-06-300001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Class A limited partnership interests2025-06-300001287750arcc:CentricBrandsLLCAndCentricBrandsGPLLCMember2025-06-300001287750DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 12025-06-300001287750DRS Holdings III, Inc. and DRS Holdings I, Inc., Common stock2025-06-300001287750arcc:DRSHoldingsIIIIncAndDRSHoldingsIIncMember2025-06-300001287750Implus Footcare, LLC, First lien senior secured loan 42025-06-300001287750Implus Footcare, LLC, First lien senior secured loan 12025-06-300001287750Implus Footcare, LLC, First lien senior secured loan 22025-06-300001287750Implus Footcare, LLC, First lien senior secured loan 32025-06-300001287750arcc:ImplusFootcareLLCMember2025-06-300001287750Johnnie-O Inc. and Johnnie-O Holdings Inc., First lien senior secured loan2025-06-300001287750Johnnie-O Inc. and Johnnie-O Holdings Inc., Series A convertible preferred stock2025-06-300001287750Johnnie-O Inc. and Johnnie-O Holdings Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:JohnnieOIncAndJohnnieOHoldingsIncMember2025-06-300001287750Lew's Intermediate Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750Lew's Intermediate Holdings, LLC, First lien senior secured loan2025-06-300001287750arcc:LewsIntermediateHoldingsLLCMember2025-06-300001287750Pelican Products, Inc., First lien senior secured revolving loan2025-06-300001287750Pelican Products, Inc., Second lien senior secured loan2025-06-300001287750arcc:PelicanProductsIncMember2025-06-300001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured revolving loan2025-06-300001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 12025-06-300001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 22025-06-300001287750arcc:RawlingsSportingGoodsCompanyIncAndEastonDiamondSportsLLCMember2025-06-300001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 32025-06-300001287750Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, First lien senior secured loan 22025-06-300001287750Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, Limited partnership interest2025-06-300001287750arcc:RawlingsSportingGoodsCompanyInc.AndSEPDiamondFundL.P.Member2025-06-300001287750Reef Lifestyle, LLC, First lien senior secured revolving loan 12025-06-300001287750Reef Lifestyle, LLC, First lien senior secured revolving loan 22025-06-300001287750Reef Lifestyle, LLC, First lien senior secured loan 12025-06-300001287750Reef Lifestyle, LLC, First lien senior secured loan 22025-06-300001287750arcc:ReefLifestyleLLCMember2025-06-300001287750S Toys Holdings LLC (fka The Step2 Company, LLC), Common units2025-06-300001287750S Toys Holdings LLC (fka The Step2 Company, LLC), Class B common units2025-06-300001287750S Toys Holdings LLC (fka The Step2 Company, LLC), Warrant to purchase units2025-06-300001287750arcc:SToysHoldingsLLCFkaTheStep2CompanyLLCMember2025-06-300001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 12025-06-300001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 22025-06-300001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 32025-06-300001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, Class A common units2025-06-300001287750arcc:ShoesForCrewsGlobalLLCAndShoesForCrewsHoldingsLLCMember2025-06-300001287750St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured revolving loan2025-06-300001287750St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan 12025-06-300001287750St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan 22025-06-300001287750arcc:StAthenaGlobalLLCAndStAthenaGlobalHoldingsLimitedMember2025-06-300001287750Team Acquisition Corporation, First lien senior secured loan2025-06-300001287750arcc:ConsumerDurablesAndApparelSectorMember2025-06-300001287750American Seafoods Group LLC and American Seafoods Partners LLC, Class A units2025-06-300001287750American Seafoods Group LLC and American Seafoods Partners LLC, Warrant to purchase units of Class A units2025-06-300001287750arcc:AmericanSeafoodsGroupLLCAndAmericanSeafoodsPartnersLLCMember2025-06-300001287750Badia Spices, LLC, First lien senior secured loan2025-06-300001287750Berner Food & Beverage, LLC, First lien senior secured revolving loan2025-06-300001287750Berner Food & Beverage, LLC, First lien senior secured revolving 1 loan2025-06-300001287750Berner Food & Beverage, LLC, First lien senior secured loan2025-06-300001287750arcc:BernerFoodBeverageLLCMember2025-06-300001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured loan2025-06-300001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P., Common units2025-06-300001287750arcc:BraggLiveFoodProductsLLCAndSPCInvestmentCoLPMember2025-06-300001287750CHG PPC Parent LLC & PPC CHG Blocker LLC, Common units2025-06-300001287750Demakes Enterprises, LLC, First lien senior secured loan2025-06-300001287750Florida Food Products, LLC, First lien senior secured loan 12025-06-300001287750Florida Food Products, LLC, First lien senior secured loan 22025-06-300001287750Florida Food Products, LLC, Second lien senior secured loan2025-06-300001287750arcc:FloridaFoodProductsLLCMember2025-06-300001287750Forward Keystone Holdings, LP, Senior subordinated loan2025-06-300001287750Forward Keystone Holdings, LP, Common units2025-06-300001287750arcc:ForwardKeystoneHoldingsLPMember2025-06-300001287750Gotham Greens Holdings, PBC, First lien senior secured loan2025-06-300001287750Gotham Greens Holdings, PBC, Series E-1 preferred stock2025-06-300001287750Gotham Greens Holdings, PBC, Warrant to purchase shares of Series E-1 preferred stock2025-06-300001287750arcc:GothamGreensHoldingsPBCMember2025-06-300001287750KNPC HoldCo, LLC, First lien senior secured loan 12025-06-300001287750KNPC HoldCo, LLC, First lien senior secured loan 22025-06-300001287750KNPC HoldCo, LLC, First lien senior secured loan 32025-06-300001287750KNPC HoldCo, LLC, First lien senior secured loan 42025-06-300001287750arcc:KNPCHoldCoLLCMember2025-06-300001287750Max US Bidco Inc., First lien senior secured loan2025-06-300001287750Primo Water Holdings Inc / Triton Water Holdings Inc, First lien senior secured loan2025-06-300001287750Primo Water Holdings Inc / Triton Water Holdings Inc, Senior subordinated loan2025-06-300001287750arcc:PrimoWaterHoldingsIncTritonWaterHoldingsIncMember2025-06-300001287750RB Holdings InterCo, LLC, First lien senior secured revolving loan2025-06-300001287750RB Holdings InterCo, LLC, First lien senior secured loan2025-06-300001287750arcc:RBHoldingsInterCoLLCMember2025-06-300001287750Spindrift Beverage Co., Inc. and SBC Aggregator LP, First lien senior secured revolving loan2025-06-300001287750Spindrift Beverage Co., Inc. and SBC Aggregator LP, First lien senior secured loan2025-06-300001287750Spindrift Beverage Co., Inc. and SBC Aggregator LP, Limited partnership units2025-06-300001287750arcc:SpindriftBeverageCo.Inc.AndSBCAggregatorLPMember2025-06-300001287750Sugar PPC Buyer LLC, First lien senior secured loan2025-06-300001287750Sugar PPC Buyer LLC, First lien senior secured loan 12025-06-300001287750arcc:SugarPPCBuyerLLCMember2025-06-300001287750Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan2025-06-300001287750Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan 12025-06-300001287750Teasdale Foods, Inc. and Familia Group Holdings Inc., Warrant to purchase shares of common stock2025-06-300001287750arcc:TeasdaleFoodsIncAndFamiliaGroupHoldingsIncMember2025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 12025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 22025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 32025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 42025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC, Class A units2025-06-300001287750arcc:WatermillExpressLLCAndWatermillExpressHoldingsLLCMember2025-06-300001287750us-gaap:FoodAndBeverageSectorMember2025-06-300001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 12025-06-300001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 22025-06-300001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Preferred units 12025-06-300001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Preferred units 22025-06-300001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Class A common units2025-06-300001287750arcc:AutomotiveKeysGroupLLCAndAutomotiveKeysInvestorLLCMember2025-06-300001287750Collision SP Subco, LLC, First lien senior secured revolving loan2025-06-300001287750Collision SP Subco, LLC, First lien senior secured loan2025-06-300001287750arcc:CollisionSPSubcoLLCMember2025-06-300001287750Continental Acquisition Holdings, Inc., First lien senior secured loan 12025-06-300001287750Continental Acquisition Holdings, Inc., First lien senior secured loan 22025-06-300001287750arcc:ContinentalAcquisitionHoldingsIncMember2025-06-300001287750Faraday Buyer, LLC, First lien senior secured loan 12025-06-300001287750Faraday Buyer, LLC, First lien senior secured loan 22025-06-300001287750arcc:FaradayBuyerLLCMember2025-06-300001287750Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc., Warrant to purchase shares of Class A common stock2025-06-300001287750Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Co-invest units2025-06-300001287750New ChurcHill HoldCo LLC and Victory Topco, LP, First lien senior secured loan2025-06-300001287750New ChurcHill HoldCo LLC and Victory Topco, LP, Class A-2 common units2025-06-300001287750arcc:NewChurcHillHoldCoLLCAndVictoryTopcoLPMember2025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured revolving loan2025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 12025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 22025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 32025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 42025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP, Class A units2025-06-300001287750arcc:SunAcquirerCorpAndSunTopCoLPMember2025-06-300001287750Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP, First lien senior secured loan2025-06-300001287750Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP, Limited partnership interests2025-06-300001287750arcc:TelleTireAutoServiceLLCAndNextHorizonCapitalTireCoSPVLPMember2025-06-300001287750Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, First lien senior secured revolving loan2025-06-300001287750Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, First lien senior secured loan2025-06-300001287750Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, Class A common units2025-06-300001287750arcc:TruckLiteCo.LLCEccoHoldingsCorp.AndClarienceTechnologiesLLCMember2025-06-300001287750arcc:AutomobilesAndComponentsSectorMember2025-06-300001287750Beacon Wellness Brands, Inc. and CDI Holdings I Corp., First lien senior secured loan2025-06-300001287750Beacon Wellness Brands, Inc. and CDI Holdings I Corp., Common stock2025-06-300001287750arcc:BeaconWellnessBrandsIncAndCDIHoldingsICorpMember2025-06-300001287750Foundation Consumer Brands, LLC, First lien senior secured loan 12025-06-300001287750Foundation Consumer Brands, LLC, First lien senior secured loan 22025-06-300001287750arcc:FoundationConsumerBrandsLLCMember2025-06-300001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., First lien senior secured loan 12025-06-300001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., First lien senior secured loan 22025-06-300001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., Preferred units2025-06-300001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., Class B common units2025-06-300001287750arcc:LifeStylesBidcoLtdLifestylesIntermediateHoldcoLtdAndLifeStylesParentLPMember2025-06-300001287750pH Beauty Holdings III, Inc., First lien senior secured loan2025-06-300001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured revolving loan2025-06-300001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured loan2025-06-300001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., Limited partner interests2025-06-300001287750arcc:PremierSpecialtiesInc.AndRMCFVCIVXLIVL.P.Member2025-06-300001287750RD Holdco Inc., Senior subordinated loan 12025-06-300001287750RD Holdco Inc., Senior subordinated loan 22025-06-300001287750RD Holdco Inc., Common stock2025-06-300001287750arcc:RDHoldcoIncMember2025-06-300001287750Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured revolving loan2025-06-300001287750Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured loan 12025-06-300001287750Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured loan 22025-06-300001287750Silk Holdings III Corp. and Silk Holdings I Corp., Common stock2025-06-300001287750arcc:SilkHoldingsIIICorp.AndSilkHoldingsICorpOneMember2025-06-300001287750arcc:SilkHoldingsIIICorpAndSilkHoldingsICorpMember2025-06-300001287750TCI Buyer LLC and TCI Holdings, LP, First lien senior secured loan2025-06-300001287750TCI Buyer LLC and TCI Holdings, LP, Common stock2025-06-300001287750arcc:TCIBuyerLLCAndTCIHoldingsLPMember2025-06-300001287750Walnut Parent, Inc., First lien senior secured loan 12025-06-300001287750Walnut Parent, Inc., First lien senior secured loan 22025-06-300001287750arcc:WalnutParentIncMember2025-06-300001287750WU Holdco, Inc., First lien senior secured loan2025-06-300001287750arcc:HouseholdAndPersonalProductsMember2025-06-300001287750GNZ Energy Bidco Limited and Galileo Co-investment Trust I, First lien senior secured loan2025-06-300001287750GNZ Energy Bidco Limited and Galileo Co-investment Trust I, Common units2025-06-300001287750arcc:GNZEnergyBidcoLimitedAndGalileoCoInvestmentTrustIMember2025-06-300001287750HighPeak Energy, Inc., First lien senior secured loan2025-06-300001287750Murchison Oil and Gas, LLC and Murchison Holdings, LLC, Preferred units2025-06-300001287750Offen, Inc., First lien senior secured loan2025-06-300001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 12025-06-300001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 22025-06-300001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 32025-06-300001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 42025-06-300001287750VPROP Operating, LLC and V SandCo, LLC, Class A units2025-06-300001287750arcc:VPROPOperatingLLCAndVSandCoLLCMember2025-06-300001287750arcc:VPROPOperatingLLCAndVSandCoLLCMember2025-06-300001287750us-gaap:EnergySectorMember2025-06-300001287750Ferrellgas, L.P. and Ferrellgas Partners, L.P., Senior preferred units2025-06-300001287750Ferrellgas, L.P. and Ferrellgas Partners, L.P., Class B units2025-06-300001287750arcc:FerrellgasLPAndFerrelgasPartnersLPMember2025-06-300001287750Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc.2025-06-300001287750Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc., Class A common stock2025-06-300001287750arcc:OpalFuelsIntermediateHoldCoLLCAndOpalFuelsInc.Member2025-06-300001287750arcc:OpalFuelsIntermediateHoldCoLLCAndOpalFuelsInc.Member2025-06-300001287750Chariot Buyer LLC, Second lien senior secured loan2025-06-300001287750Everspin Technologies, Inc., Warrant to purchase shares of common stock2025-06-300001287750Excelitas Technologies Corp, First lien senior secured loan2025-06-300001287750FL Hawk Intermediate Holdings, Inc, First lien senior secured loan2025-06-300001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 12025-06-300001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 22025-06-300001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 32025-06-300001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., Limited partnership interests2025-06-300001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., Class A-2 units2025-06-300001287750arcc:PerkinElmerUSLLCAndNMPolarisCoInvestLPMember2025-06-300001287750Repairify, Inc. and Repairify Holdings, LLC, First lien senior secured revolving loan2025-06-300001287750Repairify, Inc. and Repairify Holdings, LLC, First lien senior secured loan2025-06-300001287750Repairify, Inc. and Repairify Holdings, LLC, Class A common units2025-06-300001287750arcc:RepairifyIncAndRepairifyHoldingsLLCMember2025-06-300001287750arcc:TechnologyHardwareAndEquipmentMember2025-06-300001287750Expereo USA, Inc. and Ristretto Bidco B.V. 2025-06-300001287750Expereo USA, Inc. and Ristretto Bidco B.V.2025-06-300001287750arcc:TelecommunicationServicesMember2025-06-300001287750Nordic Ferry Infrastructure AS, Senior subordinated loan 12025-06-300001287750Nordic Ferry Infrastructure AS, Senior subordinated loan 22025-06-300001287750arcc:TransportationMember2025-06-300001287750CAD, Canadian Imperial Bank of Commerce, 7/25/20252025-06-300001287750Euro, Canadian Imperial Bank of Commerce, 7/25/20252025-06-300001287750Euro, Royal Bank of Canada, 7/25/20252025-06-300001287750EGP, Royal Bank of Canada, 8/21/20262025-06-300001287750EGP, Canadian Imperial Bank of Commerce, 6/11/20272025-06-300001287750EGP, Royal Bank of Canada, 7/25/20252025-06-300001287750EGP, Canadian Imperial Bank of Commerce, 7/25/20252025-06-300001287750CAD, Canadian Imperial Bank of Commerce, 3/31/20282025-06-300001287750YEN, Royal Bank of Canada, 3/31/20282025-06-300001287750CAD, Canadian Imperial Bank of Commerce, 3/31/20272025-06-300001287750CAD, Royal Bank of Canada, 1/31/20282025-06-300001287750CAD, Royal Bank of Canada, 7/25/20252025-06-300001287750NZD, Royal Bank of Canada, 7/25/20252025-06-300001287750Euro, Canadian Imperial Bank of Commerce, 6/11/20272025-06-300001287750EGP, Royal Bank of Canada, 6/27/20282025-06-300001287750EGP, Canadian Imperial Bank of Commerce, 8/21/20262025-06-300001287750AUD, Canadian Imperial Bank of Commerce, 11/17/20262025-06-300001287750NOK, Canadian Imperial Bank of Commerce, 7/25/20252025-06-300001287750arcc:InterestRateSwap1Member2025-06-300001287750us-gaap:InterestRateSwapMemberus-gaap:DesignatedAsHedgingInstrumentMemberarcc:January2027NotesMember2025-06-300001287750arcc:InterestRateSwap2Member2025-06-300001287750us-gaap:InterestRateSwapMemberus-gaap:DesignatedAsHedgingInstrumentMemberarcc:March2029NotesMember2025-06-300001287750arcc:InterestRateSwap3Member2025-06-300001287750us-gaap:InterestRateSwapMemberus-gaap:DesignatedAsHedgingInstrumentMemberarcc:July2029NotesMember2025-06-300001287750arcc:InterestRateSwap4Member2025-06-300001287750us-gaap:InterestRateSwapMemberus-gaap:DesignatedAsHedgingInstrumentMemberarcc:September2030NotesMember2025-06-300001287750arcc:InterestRateSwap5Member2025-06-300001287750us-gaap:InterestRateSwapMemberus-gaap:DesignatedAsHedgingInstrumentMemberarcc:March2032NotesMember2025-06-300001287750us-gaap:InterestRateSwapMember2025-06-300001287750Apex Clean Energy TopCo, LLC2025-01-012025-06-300001287750Apex Clean Energy TopCo, LLC2025-06-300001287750APG Intermediate Holdings Corporation and APG Holdings, LLC2025-01-012025-06-300001287750APG Intermediate Holdings Corporation and APG Holdings, LLC2025-06-300001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P.2025-01-012025-06-300001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P.2025-06-300001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P.2025-01-012025-06-300001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P.2025-06-300001287750Daylight Beta Parent LLC and CFCo, LLC2025-01-012025-06-300001287750Daylight Beta Parent LLC and CFCo, LLC2025-06-300001287750ESCP PPG Holdings, LLC2025-01-012025-06-300001287750ESCP PPG Holdings, LLC2025-06-300001287750European Capital UK SME Debt LP2025-01-012025-06-300001287750European Capital UK SME Debt LP2025-06-300001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment 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LLC2025-06-300001287750Shoes For Crews Global, LLC and Shoes for Crews Holdings, LLC2025-01-012025-06-300001287750Shoes For Crews Global, LLC and Shoes for Crews Holdings, LLC2025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC2025-01-012025-06-300001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC2025-06-300001287750ACAS Equity Holdings Corporation2025-01-012025-06-300001287750ACAS Equity Holdings Corporation2025-06-300001287750ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.2025-01-012025-06-300001287750ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.2025-06-300001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC2025-01-012025-06-300001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC2025-06-300001287750Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC2025-01-012025-06-300001287750Adonis Acquisition Holdings LLC and Adonis Acquisition 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LLC2025-06-300001287750Global Music Rights, LLC2025-06-300001287750GNZ Energy Bidco Limited and Galileo Co-investment Trust I2025-06-300001287750Goldeneye Parent, LLC2025-06-300001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC2025-06-300001287750Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC2025-06-300001287750GS SEER Group Borrower LLC and GS SEER Group Holdings LLC2025-06-300001287750GSV Purchaser, Inc.2025-06-300001287750GTCR Everest Borrower, LLC2025-06-300001287750GTCR F Buyer Corp. and GTCR (D) Investors LP2025-06-300001287750Guidepoint Security Holdings, LLC2025-06-300001287750Harvey Tool Company, LLC2025-06-300001287750Heavy Construction Systems Specialists, LLC2025-06-300001287750Helios Service Partners, LLC and Astra Service Partners, LLC2025-06-300001287750Help/Systems Holdings, Inc.2025-06-300001287750HGC Holdings, LLC2025-06-300001287750HH-Stella, Inc. and Bedrock Parent Holdings, 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LLC2025-06-300001287750Internet Truckstop Group LLC2025-06-300001287750IQN Holding Corp.2025-06-300001287750IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P.2025-06-300001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P.2025-06-300001287750JAMS Holdings LP and Jams Buyer LLC2025-06-300001287750KBHS Acquisition, LLC (d/b/a Alita Care, LLC)2025-06-300001287750Kene Acquisition, Inc. and Kene Holdings, L.P.2025-06-300001287750Keystone Agency Partners LLC2025-06-300001287750King Risk Partners, LLC2025-06-300001287750Kings Buyer, LLC2025-06-300001287750KPS Global LLC and Cool Group LLC2025-06-300001287750Laboratories Bidco LLC and Laboratories Topco LLC2025-06-300001287750LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP2025-06-300001287750LeanTaaS Holdings, Inc.2025-06-300001287750Legends Hospitality Holding Company, LLC and Stadium Coinvest (B)-III, L.P.2025-06-300001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P.2025-06-300001287750Lew's Intermediate Holdings, LLC2025-06-300001287750Lido Advisors, LLC2025-06-300001287750LivTech Purchaser, Inc.2025-06-300001287750LJP Purchaser, Inc. and LJP Topco, LP2025-06-300001287750Mai Capital Management Intermediate LLC2025-06-300001287750Majesco and Magic Topco, L.P.2025-06-300001287750Manna Pro Products, LLC2025-06-300001287750Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP2025-06-300001287750McKenzie Creative Brands, LLC2025-06-300001287750Medlar Bidco Limited2025-06-300001287750Metatiedot Bidco OY and Metatiedot US, LLC2025-06-300001287750Meyer Laboratory, LLC and Meyer Parent, LLC2025-06-300001287750Ministry Brands Holdings, LLC and RCP MB Investments B, L.P.2025-06-300001287750Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc.2025-06-300001287750Modigent, LLC and OMERS PMC Investment Holdings LLC2025-06-300001287750Monica Holdco (US) Inc.2025-06-300001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC2025-06-300001287750Motor Vehicle Software Corporation2025-06-300001287750Mountaineer Merger Corporation2025-06-300001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC2025-06-300001287750MRI Software LLC2025-06-300001287750MSIS Holdings, Inc. and MS Precision Parent, LP2025-06-300001287750Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc.2025-06-300001287750NAS, LLC and Nationwide Marketing Group, LLC2025-06-300001287750NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP2025-06-300001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V.2025-06-300001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P.2025-06-300001287750Netsmart, Inc. and Netsmart Technologies, Inc.2025-06-300001287750New Churchill Holdco LLC2025-06-300001287750Next Holdco, LLC2025-06-300001287750NMC Skincare Intermediate Holdings II, LLC2025-06-300001287750NMN Holdings III Corp. and NMN Holdings LP2025-06-300001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P.2025-06-300001287750North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC2025-06-300001287750North Haven Stack Buyer, LLC2025-06-300001287750North Star Acquisitionco, LLC and Toucan Bidco Limited2025-06-300001287750Northwinds Holding, Inc. and Northwinds Services Group LLC2025-06-300001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP2025-06-300001287750OneDigital Borrower LLC2025-06-300001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB2025-06-300001287750Paris US Holdco, Inc. & 1001028292 Ontario Inc.2025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.2025-06-300001287750Pathway Vet Alliance LLC and Jedi Group Holdings LLC2025-06-300001287750Patriot Growth Insurance Services, LLC2025-06-300001287750PCIA SPV-3, LLC and ASE Royal Aggregator, LLC2025-06-300001287750PCMI Parent, LLC and PCMI Ultimate Holdings, LP2025-06-300001287750PCS MidCo, Inc. and PCS Parent, L.P.2025-06-300001287750PDDS HoldCo, Inc.2025-06-300001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC2025-06-300001287750Pelican Products, Inc.2025-06-300001287750People Corporation2025-06-300001287750Perforce Software, Inc.2025-06-300001287750Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP2025-06-300001287750PestCo Holdings, LLC and PestCo, LLC2025-06-300001287750Petrus Buyer, Inc.2025-06-300001287750PetVet Care Centers, LLC2025-06-300001287750Petvisor Holdings, LLC2025-06-300001287750Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc.2025-06-300001287750Ping Identity Holding Corp.2025-06-300001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc.2025-06-300001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC2025-06-300001287750Pluralsight, Inc.2025-06-300001287750Poseidon IntermediateCo, Inc.2025-06-300001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC2025-06-300001287750Precision Concepts International LLC and Precision Concepts Canada Corporation2025-06-300001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P.2025-06-300001287750Premiere Buyer, LLC2025-06-300001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP2025-06-300001287750Project Potter Buyer, LLC and Project Potter Parent, L.P.2025-06-300001287750Proofpoint, Inc.2025-06-300001287750PSC Group LLC2025-06-300001287750PumpTech, LLC and Impel CV-B, LP2025-06-300001287750PYE-Barker Fire & Safety, LLC2025-06-300001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC2025-06-300001287750QBS Parent, Inc.2025-06-300001287750QF Holdings, Inc.2025-06-300001287750Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P.2025-06-300001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited2025-06-300001287750Radwell Parent, LLC2025-06-300001287750RailPros Parent, LLC2025-06-300001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC2025-06-300001287750Raven Acquisition Holdings, LLC2025-06-300001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.2025-06-300001287750RB Holdings InterCo, LLC2025-06-300001287750Reagent Chemical & Research, LLC2025-06-300001287750Reddy Ice LLC2025-06-300001287750Redwood Services LP2025-06-300001287750Reef Lifestyle, LLC2025-06-300001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P.2025-06-300001287750Relativity ODA LLC2025-06-300001287750Repairify, Inc. and Repairify Holdings, LLC2025-06-300001287750Revalize, Inc.2025-06-300001287750Revival Animal Health, LLC2025-06-300001287750RFS Opco LLC2025-06-300001287750Rialto Management Group, LLC2025-06-300001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc.2025-06-300001287750Rodeo AcquisitionCo LLC2025-06-300001287750Royal Borrower, LLC and Royal Parent, LP2025-06-300001287750RTI Surgical, Inc. and Pioneer Surgical Technology, Inc.2025-06-300001287750Runway Bidco, LLC2025-06-300001287750RWA Wealth Partners, LLC2025-06-300001287750SageSure Holdings, LLC and SageSure LLC2025-06-300001287750Sapphire Software Buyer, Inc.2025-06-300001287750Saturn Purchaser Corp.2025-06-300001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.2025-06-300001287750SCIH Salt Holdings Inc.2025-06-300001287750SCM Insurance Services Inc.2025-06-300001287750Severin Acquisition, LLC2025-06-300001287750SG Acquisition, Inc.2025-06-300001287750Shermco Intermediate Holdings, Inc.2025-06-300001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC2025-06-300001287750SIG Parent Holdings, LLC2025-06-300001287750Silk Holdings III Corp. and Silk Holdings I Corp.2025-06-300001287750Slaine Holdings LLC2025-06-300001287750Smarsh Inc. and Skywalker TopCo, LLC2025-06-300001287750Spaceship Purchaser, Inc.2025-06-300001287750Spark Purchaser, Inc.2025-06-300001287750Spindrift Beverage Co., Inc. and SBC Aggregator LP2025-06-300001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp2025-06-300001287750Spruce Bidco II Inc.2025-06-300001287750St Athena Global LLC and St Athena Global Holdings Limited2025-06-300001287750Steward Partners Global Advisory, LLC2025-06-300001287750Sugar PPC Buyer LLC2025-06-300001287750Sun Acquirer Corp. and Sun TopCo, LP2025-06-300001287750Sundance Group Holdings, Inc.2025-06-300001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon2025-06-300001287750Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P.2025-06-300001287750Superman Holdings, LLC2025-06-300001287750Supplying Demand, Inc.2025-06-300001287750Surescripts, LLC2025-06-300001287750SV Newco 2, Inc. and Site 2020 Incorporated2025-06-300001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc.2025-06-300001287750Systems Planning and Analysis, Inc.2025-06-300001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C.2025-06-300001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P.2025-06-300001287750TCI Buyer LLC and TCI Holdings, LP2025-06-300001287750TCP Hawker Intermediate LLC2025-06-300001287750Team Acquisition Corporation2025-06-300001287750Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP2025-06-300001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP2025-06-300001287750The Hiller Companies, LLC2025-06-300001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC2025-06-300001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP2025-06-300001287750Thermostat Purchaser III, Inc.2025-06-300001287750THG Acquisition, LLC2025-06-300001287750Tiger Holdco LLC2025-06-300001287750Transit Technologies LLC2025-06-300001287750Triwizard Holdings, Inc. and Triwizard Parent, LP2025-06-300001287750Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC2025-06-300001287750Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC2025-06-300001287750TSS Buyer, LLC2025-06-300001287750Two Six Labs, LLC2025-06-300001287750U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P.2025-06-300001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP2025-06-300001287750Unity Purchaser, LLC and Unity Ultimate Holdings, LP2025-06-300001287750UP Intermediate II LLC and UPBW Blocker LLC2025-06-300001287750US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P.2025-06-300001287750Valcourt Holdings II, LLC2025-06-300001287750Vamos Bidco, Inc.2025-06-300001287750Verista, Inc.2025-06-300001287750Vertex Service Partners, LLC2025-06-300001287750Victors Purchaser, LLC and WP Victors Co-Investment, L.P.2025-06-300001287750Viper Bidco, Inc.2025-06-300001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P.2025-06-300001287750VRC Companies, LLC2025-06-300001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC2025-06-300001287750Watermill Express, LLC and Watermill Express Holdings, LLC2025-06-300001287750Waverly Advisors, LLC and WAAM Topco, LLC2025-06-300001287750WCI-BXC Purchaser, LLC2025-06-300001287750Wealth Enhancement Group, LLC2025-06-300001287750WebPT, Inc.2025-06-300001287750Wellington Bidco Inc. and Wellington TopCo LP2025-06-300001287750Wellington-Altus Financial Inc.2025-06-300001287750Wellness AcquisitionCo, Inc.2025-06-300001287750WorkWave Intermediate II, LLC2025-06-300001287750World Insurance Associates, LLC2025-06-300001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P.2025-06-300001287750WRE Sports Investments LLC2025-06-300001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC2025-06-300001287750WU Holdco, Inc.2025-06-300001287750XIFIN, Inc. and ACP Charger Co-Invest LLC2025-06-300001287750YE Brands Holdings, LLC2025-06-300001287750ZB Holdco LLC and ZB TopCo LLC2025-06-300001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP2025-06-300001287750Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc.2025-06-300001287750arcc:RevolvingAndDelayedDrawLoanCommitmentsMember2025-06-300001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP 12025-06-300001287750Constellation Wealth Capital Fund, L.P.2025-06-300001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP 12025-06-300001287750GSM Rights Fund II LP2025-06-300001287750GTCR F Buyer Corp. and GTCR (D) Investors LP 12025-06-300001287750HFCP XI (Parallel - A), L.P.2025-06-300001287750High Street Buyer, Inc. and High Street Holdco LLC 12025-06-300001287750Linden Structured Capital Fund II-A LP2025-06-300001287750LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P. 12025-06-300001287750NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP 12025-06-300001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P 1.2025-06-300001287750PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P.2025-06-300001287750PumpTech, LLC and Impel CV-B, LP 12025-06-300001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P. 12025-06-300001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. 12025-06-300001287750Spindrift Beverage Co., Inc. and SBC Aggregator LP 12025-06-300001287750Wellington-Altus Financial Inc. 12025-06-300001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P. 12025-06-300001287750arcc:EquityInvestmentCommitmentsMember2025-06-300001287750arcc:SeniorDirectLendingProgramMemberarcc:AresCapitalCorporationMember2025-06-300001287750Actfy Buyer, Inc., First lien senior secured loan2024-12-310001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP, First lien senior secured loan2024-12-310001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP, First lien senior secured loan 12024-12-310001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP, Limited partnership interest2024-12-310001287750arcc:ActivateHoldingsUSCorp.AndCrossPointCapitalASSPVLPMember2024-12-310001287750AI Titan Parent, Inc., First lien senior secured loan2024-12-310001287750Anaplan, Inc., First lien senior secured loan 12024-12-310001287750Anaplan, Inc., First lien senior secured loan 22024-12-310001287750arcc:AnaplanIncMember2024-12-310001287750Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 12024-12-310001287750Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 22024-12-310001287750Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 32024-12-310001287750Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, Limited partnership units2024-12-310001287750arcc:AnaquaParentHoldingsIncAstorgVIICoInvestAnaquaMember2024-12-310001287750APG Intermediate Holdings Corporation and APG Holdings, LLC, First lien senior secured loan2024-12-310001287750APG Intermediate Holdings Corporation and APG Holdings, LLC, Class A membership units2024-12-310001287750arcc:APGIntermediateHoldingsCorporationAndAPGHoldingsLLCMember2024-12-310001287750Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., First lien senior secured loan2024-12-310001287750Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., Series A preferred shares2024-12-310001287750arcc:ApprissHealthLLCAndApprissHealthIntermediateHoldingsIncMember2024-12-310001287750Aptean, Inc. and Aptean Acquiror Inc., First lien senior secured loan2024-12-310001287750Artifact Bidco, Inc., First lien senior secured loan2024-12-310001287750Auctane, Inc., First lien senior secured loan2024-12-310001287750Avalara, Inc., First lien senior secured loan2024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured revolving loan2024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 12024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 22024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 32024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 42024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP, Preferred units2024-12-310001287750arcc:BanyanSoftwareHoldingsLLCAndBanyanSoftwareLPMember2024-12-310001287750BCPE Pequod Buyer, Inc., First lien senior secured loan2024-12-310001287750BCTO Ignition Purchaser, Inc., First lien senior secured loan2024-12-310001287750Bobcat Purchaser, LLC and Bobcat Topco, L.P., First lien senior secured loan2024-12-310001287750Bobcat Purchaser, LLC and Bobcat Topco, L.P., Class A-1 units2024-12-310001287750arcc:BobcatPurchaserLLCAndBobcatTopcoLPMember2024-12-310001287750Borrower R365 Holdings LLC, First lien senior secured loan 12024-12-310001287750Borrower R365 Holdings LLC, First lien senior secured loan 22024-12-310001287750arcc:BorrowerR365HoldingsLLCMember2024-12-310001287750Bottomline Technologies, Inc. and Legal Spend Holdings, LLC, First lien senior secured loan 12024-12-310001287750Bottomline Technologies, Inc. and Legal Spend Holdings, LLC, First lien senior secured loan 22024-12-310001287750arcc:BottomlineTechnologiesIncAndLegalSpendHoldingsLLCMember2024-12-310001287750Businessolver.com, Inc., First lien senior secured loan2024-12-310001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., First lien senior secured loan2024-12-310001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. Second lien senior secured loan2024-12-310001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. Series A-2 preferred shares2024-12-310001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. Series A-3 preferred shares2024-12-310001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. Series A preferred shares2024-12-310001287750arcc:CardinalParentIncAndPackersSoftwareIntermediateHoldingsIncMember2024-12-310001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc., First lien senior secured revolving loan2024-12-310001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc., First lien senior secured loan2024-12-310001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc., Series A preferred stock2024-12-310001287750arcc:CentralsquareTechnologiesLLCAndSupermooseNewcoInc.Member2024-12-310001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., First lien senior secured notes2024-12-310001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., First lien senior secured loan 2024-12-310001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Second lien senior secured notes2024-12-310001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Limited partnership interests2024-12-310001287750arcc:CloudSoftwareGroupIncPicardParentIncCloudSoftwareGroupHoldingsIncPicardHoldCoLLCAndElliottAltoCoInvestorAggregatorLPMember2024-12-310001287750Community Brands ParentCo, LLC, Class A units2024-12-310001287750Computer Services, Inc., First lien senior secured loan 12024-12-310001287750Computer Services, Inc., First lien senior secured loan 32024-12-310001287750Computer Services, Inc., First lien senior secured loan 22024-12-310001287750arcc:ComputerServicesInc.Member2024-12-310001287750Conservice Midco, LLC., Second lien senior secured notes2024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured revolving loan 2024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured revolving loan 12024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured revolving loan 22024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan2024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 12024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 22024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 32024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 42024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., Common units2024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., Series A common units2024-12-310001287750arcc:ConsilioMidcoLimitedCompusoftUSLLCAndConsilioInvestmentHoldingsLPMember2024-12-310001287750CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Second lien senior secured loan2024-12-310001287750CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Limited partnership units2024-12-310001287750arcc:CoreLogicIncAndTVIIICelestialCoInvestLPMember2024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 12024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 22024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 32024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 42024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 52024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 62024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., Preferred equity2024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., Common equity2024-12-310001287750arcc:CoritySoftwareIncCoritySoftwareUSAIncAndCorityParentIncMember2024-12-310001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured loan2024-12-310001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Second lien senior secured loan2024-12-310001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Series A preferred shares2024-12-310001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Class A-1 common stock2024-12-310001287750arcc:CornerstoneOnDemandIncAndSunshineSoftwareHoldingsIncMember2024-12-310001287750Coupa Holdings, LLC and Coupa Software Incorporated, First lien senior secured loan2024-12-310001287750Databricks, Inc., First lien senior secured loan2024-12-310001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured revolving loan 12024-12-310001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured revolving loan 22024-12-310001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured loan 12024-12-310001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured loan 22024-12-310001287750arcc:DatixBidcoLimitedAndRLDatixHoldingsUSAIncMember2024-12-310001287750Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Second lien senior secured loan2024-12-310001287750Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A preferred shares2024-12-310001287750Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Series A units2024-12-310001287750arcc:DcertBuyerIncDCertPreferredHoldingsIncAndDestinyDigitalHoldingsLPMember2024-12-310001287750Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 22024-12-310001287750Denali Holdco LLC and Denali Apexco LP, Class A units2024-12-310001287750arcc:DenaliHoldcoLLCAndDenaliApexcoLPMember2024-12-310001287750Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan2024-12-310001287750Diligent Corporation and Diligent Preferred Issuer, Inc., Preferred stock2024-12-310001287750arcc:DiligentCorporationAndDiligentPreferredIssuerIncMember2024-12-310001287750DriveCentric Holdings, LLC., First lien senior secured loan2024-12-310001287750Echo Purchaser, Inc., First lien senior secured revolving loan2024-12-310001287750Echo Purchaser, Inc., First lien senior secured loan2024-12-310001287750arcc:EchoPurchaserIncMember2024-12-310001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., First lien senior secured loan2024-12-310001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., Preferred units2024-12-310001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., Class A common units2024-12-310001287750arcc:EclipseTopcoInc.EclipseInvestorParentL.P.AndEclipseBuyerInc.Member2024-12-310001287750Edmunds Govtech, Inc., First lien senior secured revolving loan2024-12-310001287750Edmunds Govtech, Inc., First lien senior secured loan2024-12-310001287750arcc:EdmundsGovtechIncMember2024-12-310001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 12024-12-310001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 22024-12-310001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 32024-12-310001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc., Preferred equity2024-12-310001287750arcc:ElemicaParentIncEZElemicaHoldingsIncMember2024-12-310001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan 12024-12-310001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan 22024-12-310001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured loan2024-12-310001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., Preferred stock2024-12-310001287750arcc:EnverusHoldingsIncAndTitanDIPreferredHoldingsIncMember2024-12-310001287750EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., First lien senior secured loan2024-12-310001287750EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Second lien senior secured loan2024-12-310001287750EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Partnership units2024-12-310001287750arcc:EPPurchaserLLCAndTPGVIIIEPCoInvestIILPMember2024-12-310001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT, First lien senior secured loan2024-12-310001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 12024-12-310001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 22024-12-310001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Limited partnership interest2024-12-310001287750arcc:EResearchTechnologyIncAndAstorgVIICoInvestERTMember2024-12-310001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured revolving loan 12024-12-310001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured loan2024-12-310001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., Limited partner interests2024-12-310001287750arcc:ESHAResearchLLCAndRMCFVICIVXLVIIILPMember2024-12-310001287750Extrahop Networks, Inc., First lien senior secured loan 12024-12-310001287750Extrahop Networks, Inc., First lien senior secured loan 22024-12-310001287750arcc:ExtraHopNetworksIncMember2024-12-310001287750Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L., First lien senior secured loan2024-12-310001287750Forescout Technologies, Inc., First lien senior secured loan2024-12-310001287750GI Ranger Intermediate LLC, First lien senior secured revolving loan2024-12-310001287750GI Ranger Intermediate LLC, First lien senior secured loan 12024-12-310001287750GI Ranger Intermediate LLC, First lien senior secured loan 22024-12-310001287750arcc:GIRangerIntermediateLLCMember2024-12-310001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan2024-12-310001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Senior subordinated loan2024-12-310001287750GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Preferred units2024-12-310001287750arcc:GraphPADSoftwareLLCInsightfulScienceIntermediateILLCAndInsightfulScienceHoldingsLLCMember2024-12-310001287750Guidepoint Security Holdings, LLC, First lien senior secured loan 12024-12-310001287750Guidepoint Security Holdings, LLC, First lien senior secured loan 22024-12-310001287750arcc:GuidepointSecurityHoldingsLLCMember2024-12-310001287750Heavy Construction Systems Specialists, LLC, First lien senior secured loan 12024-12-310001287750Heavy Construction Systems Specialists, LLC, First lien senior secured loan 22024-12-310001287750arcc:HeavyConstructionSystemsSpecialistsLLCMember2024-12-310001287750Help/Systems Holdings, Inc., First lien senior secured revolving loan 2024-12-310001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured revolving loan2024-12-310001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured loan2024-12-310001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Senior subordinated loan2024-12-310001287750Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Company units2024-12-310001287750arcc:HuskiesParentIncGIInsurityParentLLCAndGIInsurityTopcoLPMember2024-12-310001287750Hyland Software, Inc., First lien senior secured revolving loan2024-12-310001287750Hyland Software, Inc., First lien senior secured loan2024-12-310001287750arcc:HylandSoftwareInc.Member2024-12-310001287750Icefall Parent, Inc., First lien senior secured loan2024-12-310001287750Internet Truckstop Group LLC, First lien senior secured loan2024-12-310001287750IQN Holding Corp., First lien senior secured revolving loan2024-12-310001287750IQN Holding Corp., First lien senior secured loan2024-12-310001287750arcc:IQNHoldingCorp.Member2024-12-310001287750IV Rollover Holdings, LLC, Class B units2024-12-310001287750IV Rollover Holdings, LLC, Class X units2024-12-310001287750arcc:IVRolloverHoldingsLLCMember2024-12-310001287750Kaseya Inc. and Knockout Intermediate Holdings I Inc., First lien senior secured revolving loan2024-12-310001287750Kaseya Inc. and Knockout Intermediate Holdings I Inc., First lien senior secured loan2024-12-310001287750Kaseya Inc. and Knockout Intermediate Holdings I Inc., Preferred stock2024-12-310001287750arcc:KaseyaIncAndKnockoutIntermediateHoldingsIIncMember2024-12-310001287750LeanTaaS Holdings, Inc., First lien senior secured loan 12024-12-310001287750LeanTaaS Holdings, Inc., First lien senior secured loan 22024-12-310001287750arcc:LeanTaaSHoldingsInc.Member2024-12-310001287750Majesco and Magic Topco, L.P., First lien senior secured loan2024-12-310001287750Majesco and Magic Topco, L.P., Class A units2024-12-310001287750Majesco and Magic Topco, L.P., Class B units2024-12-310001287750arcc:MajescoAndMagicTopcoLPMember2024-12-310001287750Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured revolving loan2024-12-310001287750Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured loan 12024-12-310001287750Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured loan 22024-12-310001287750arcc:MetatiedotBidcoOYAndMetatiedotUSLLCMember2024-12-310001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 12024-12-310001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 22024-12-310001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 32024-12-310001287750Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, Limited partnership interest2024-12-310001287750arcc:MimecastBorrowercoIncAndMagnesiumCoInvestSCSpMember2024-12-310001287750Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured loan2024-12-310001287750Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., Limited partner interests2024-12-310001287750arcc:MinistryBrandsHoldingsLLCAndRCPMBInvestmentsBLPMember2024-12-310001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured revolving loan2024-12-310001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured loan2024-12-310001287750Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, Class A units2024-12-310001287750arcc:MoonrakerAcquisitionCoLLCAndMoonrakerHoldCoLLCMember2024-12-310001287750MRI Software LLC, First lien senior secured loan 12024-12-310001287750MRI Software LLC, First lien senior secured loan 22024-12-310001287750MRI Software LLC, First lien senior secured loan 32024-12-310001287750arcc:MRISoftwareLLCMember2024-12-310001287750Netsmart, Inc. and Netsmart Technologies, Inc., First lien senior secured loan2024-12-310001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured revolving loan2024-12-310001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 12024-12-310001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 22024-12-310001287750North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 32024-12-310001287750arcc:NorthStarAcquisitioncoLLCAndToucanBidcoLimitedMember2024-12-310001287750OpenMarket Inc., First lien senior secured loan2024-12-310001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 12024-12-310001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 22024-12-310001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 32024-12-310001287750arcc:OptimizelyNorthAmericaInc.AndOptimizelySwedenHoldingsABMember2024-12-310001287750PDDS HoldCo, Inc., First lien senior secured revolving loan2024-12-310001287750PDDS HoldCo, Inc., First lien senior secured loan2024-12-310001287750arcc:PDDSHoldCoIncMember2024-12-310001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan 12024-12-310001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan 22024-12-310001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Series A preferred stock2024-12-310001287750PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, Class A units2024-12-310001287750arcc:PDITAHoldingsIncPeachtreeParentIncAndInsightPDIHoldingsLLCMember2024-12-310001287750Perforce Software, Inc., First lien senior secured revolving loan2024-12-310001287750Petvisor Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750Petvisor Holdings, LLC, First lien senior secured loan 12024-12-310001287750Petvisor Holdings, LLC, First lien senior secured loan 2aker HoldCo LLC, Class A units2024-12-310001287750Petvisor Holdings, LLC, First lien senior secured loan 22024-12-310001287750Petvisor Holdings, LLC, First lien senior secured loan 32024-12-310001287750arcc:PetvisorHoldingsLLCMember2024-12-310001287750Ping Identity Holding Corp., First lien senior secured loan2024-12-310001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC., First lien senior secured loan2024-12-310001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC., First lien senior secured loan 12024-12-310001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC., Common units2024-12-310001287750arcc:PluralsightLLCAndPluralsightHoldingsLLCAndParadigmaticHoldcoLLCMember2024-12-310001287750Poplicus Incorporated, Warrant to purchase shares of Series C preferred stock2024-12-310001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, First lien senior secured loan2024-12-310001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, Senior subordinated loan2024-12-310001287750PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, Class A units2024-12-310001287750arcc:PracticeTekPurchaserLLCPracticeTekMidCoLLCAndGSVPracticeTekHoldingsLLCMember2024-12-310001287750ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured revolving loan2024-12-310001287750ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured loan 12024-12-310001287750ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured loan 22024-12-310001287750ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., Limited partnership units2024-12-310001287750arcc:ProfitSolvPurchaserIncAndPSCoInvestLPMember2024-12-310001287750Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., Class A common stock2024-12-310001287750Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc., Class B common stock2024-12-310001287750arcc:ProjectAlphaIntermediateHoldingIncAndQlikParentIncMember2024-12-310001287750Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., First lien senior secured loan2024-12-310001287750Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., Preferred shares2024-12-310001287750arcc:ProjectEssentialBidcoIncAndProjectEssentialSuperParentIncMember2024-12-310001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 12024-12-310001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 22024-12-310001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 32024-12-310001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 42024-12-310001287750Project Potter Buyer, LLC and Project Potter Parent, L.P., Class B units2024-12-310001287750arcc:ProjectPotterBuyerLLCAndProjectPotterParentLPMember2024-12-310001287750Proofpoint, Inc., First lien senior secured loan2024-12-310001287750QBS Parent, Inc., First lien senior secured loan2024-12-310001287750QF Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750QF Holdings, Inc., First lien senior secured loan 12024-12-310001287750QF Holdings, Inc., First lien senior secured loan 22024-12-310001287750QF Holdings, Inc., First lien senior secured loan 32024-12-310001287750QF Holdings, Inc., First lien senior secured loan 42024-12-310001287750QF Holdings, Inc., First lien senior secured loan 52024-12-310001287750arcc:QFHoldingsIncMember2024-12-310001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 12024-12-310001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 22024-12-310001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 32024-12-310001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 42024-12-310001287750Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, Class A common units2024-12-310001287750arcc:RaptorTechnologiesLLCSycamoreBidcoLTDAndRocketParentLLCMember2024-12-310001287750Regent Education, Inc., Warrant to purchase shares of common stock2024-12-310001287750Relativity ODA LLC, First lien senior secured loan2024-12-310001287750Revalize, Inc., First lien senior secured revolving loan2024-12-310001287750Revalize, Inc., First lien senior secured loan2024-12-310001287750arcc:RevalizeIncMember2024-12-310001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 12024-12-310001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 22024-12-310001287750RMS HoldCo II, LLC & RMS Group Holdings, Inc., Class A common stock2024-12-310001287750Runway Bidco, LLC, First lien senior secured loan2024-12-310001287750Sapphire Software Buyer, Inc., First lien senior secured loan2024-12-310001287750Severin Acquisition, LLC, First lien senior secured loan2024-12-310001287750Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured revolving loan2024-12-310001287750Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured loan2024-12-310001287750Smarsh Inc. and Skywalker TopCo, LLC, Common units2024-12-310001287750arcc:SmarshIncAndSkywalkerTopCoLLCMember2024-12-310001287750SocialFlow, Inc., Warrant to purchase shares of Series C preferred stock2024-12-310001287750SoundCloud Limited, Common stock2024-12-310001287750Spaceship Purchaser, Inc., First lien senior secured loan2024-12-310001287750Spark Purchaser, Inc., First lien senior secured loan2024-12-310001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 12024-12-310001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 22024-12-310001287750Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, Limited partner interests2024-12-310001287750arcc:SpiritRRHoldingsIncAndWinterfellCoInvestSCSpMember2024-12-310001287750Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 12024-12-310001287750Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 22024-12-310001287750Storable, Inc. and EQT IX Co-Investment (E) SCSP, Limited partnership interests2024-12-310001287750arcc:StorableIncAndEQTIXCoInvestmentESCSPMember2024-12-310001287750Sundance Group Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Sundance Group Holdings, Inc., First lien senior secured loan 12024-12-310001287750arcc:SundanceGroupHoldingsIncMember2024-12-310001287750Superman Holdings, LLC., First lien senior secured loan2024-12-310001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 12024-12-310001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 32024-12-310001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 52024-12-310001287750Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., Class A-2 units2024-12-310001287750arcc:TamarackIntermediateLLCAndTamarackParentLLCMember2024-12-310001287750TCP Hawker Intermediate LLC, First lien senior secured loan 12024-12-310001287750TCP Hawker Intermediate LLC, First lien senior secured loan 22024-12-310001287750TCP Hawker Intermediate LLC, First lien senior secured loan 32024-12-310001287750TCP Hawker Intermediate LLC, First lien senior secured loan 42024-12-310001287750arcc:TCPHawkerIntermediateLLCMember2024-12-310001287750Transit Technologies LLC., First lien senior secured loan2024-12-310001287750UKG Inc. and H&F Unite Partners, L.P., Limited partnership interests2024-12-310001287750UserZoom Technologies, Inc., First lien senior secured loan2024-12-310001287750Victors Purchaser, LLC and WP Victors Co-Investment, L.P., First lien senior secured revolving loan2024-12-310001287750Victors Purchaser, LLC and WP Victors Co-Investment, L.P., First lien senior secured loan2024-12-310001287750Victors Purchaser, LLC and WP Victors Co-Investment, L.P., Partnership units2024-12-310001287750arcc:VictorsPurchaserLLCAndWPVictorsCoInvestmentL.P.Member2024-12-310001287750Viper Bidco, Inc., First lien senior secured loan 12024-12-310001287750Viper Bidco, Inc., First lien senior secured loan 22024-12-310001287750arcc:ViperBidcoInc.Member2024-12-310001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured revolving loan 12024-12-310001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured revolving loan 22024-12-310001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured loan2024-12-310001287750WebPT, Inc. and WPT Intermediate Holdco, Inc., Senior subordinated loan2024-12-310001287750arcc:WebPTInc.AndWPTIntermediateHoldcoInc.Member2024-12-310001287750Wellington Bidco Inc. and Wellington TopCo LP, First lien senior secured revolving loan2024-12-310001287750Wellington Bidco Inc. and Wellington TopCo LP, First lien senior secured loan2024-12-310001287750Wellington Bidco Inc. and Wellington TopCo LP, Class A-2 preferred units2024-12-310001287750arcc:WellingtonBidcoInc.AndWellingtonTopCoLPMember2024-12-310001287750Wellness AcquisitionCo, Inc., First lien senior secured loan 12024-12-310001287750Wellness AcquisitionCo, Inc., First lien senior secured loan 22024-12-310001287750arcc:WellnessAcquisitionCoIncMember2024-12-310001287750WorkWave Intermediate II, LLC, First lien senior secured revolving loan2024-12-310001287750WorkWave Intermediate II, LLC, First lien senior secured loan 12024-12-310001287750WorkWave Intermediate II, LLC, First lien senior secured loan 22024-12-310001287750WorkWave Intermediate II, LLC, First lien senior secured loan 32024-12-310001287750arcc:WorkWaveIntermediateIILLCMember2024-12-310001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, First lien senior secured loan2024-12-310001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, Series A preferred stock2024-12-310001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, Class A common units2024-12-310001287750arcc:ZenDeskIncZoroTopCoIncAndZoroTopCoLPMember2024-12-310001287750ZocDoc, Inc., First lien senior secured loan2024-12-310001287750arcc:SoftwareAndServicesMember2024-12-310001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 12024-12-310001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured loan2024-12-310001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, Class A preferred units2024-12-310001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC, Class A common units2024-12-310001287750arcc:AbsoluteDentalGroupLLCAndAbsoluteDentalEquityLLCMember2024-12-310001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, First lien senior secured loan2024-12-310001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Second lien senior secured loan2024-12-310001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Membership units2024-12-310001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Class A common units2024-12-310001287750arcc:ADGLLCGEDCEquityLLCAndRCIVGEDCInvestorLLCMember2024-12-310001287750Advarra Holdings, Inc., First lien senior secured loan2024-12-310001287750Aerin Medical Inc., First lien senior secured loan2024-12-310001287750Aerin Medical Inc., Series G preferred shares2024-12-310001287750arcc:AerinMedicalInc.Member2024-12-310001287750AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Series A preferred shares2024-12-310001287750AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Preferred units2024-12-310001287750AHR Funding Holdings, Inc. and AHR Parent Holdings, LP, Class B common units2024-12-310001287750arcc:AHRFundingHoldingsIncAndAHRParentHoldingsLPMember2024-12-310001287750Amerivet Partners Management, Inc. and AVE Holdings LP, Subordinated loan2024-12-310001287750Amerivet Partners Management, Inc. and AVE Holdings LP, Class A units2024-12-310001287750Amerivet Partners Management, Inc. and AVE Holdings LP, Class C units2024-12-310001287750arcc:AmerivetPartnersManagementIncAndAVEHoldingsLPMember2024-12-310001287750Artivion, Inc., First lien senior secured revolving loan2024-12-310001287750Artivion, Inc., First lien senior secured loan2024-12-310001287750arcc:ArtivionIncMember2024-12-310001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, First lien senior secured loan2024-12-310001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, Series A preferred stock2024-12-310001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, Class A units2024-12-310001287750arcc:AthenaHealthGroupIncMinervaHoldcoIncAndBCPECoInvestALPMember2024-12-310001287750Avalign Holdings, Inc. and Avalign Technologies, Inc., First lien senior secured revolving loan2024-12-310001287750Avalign Holdings, Inc. and Avalign Technologies, Inc., First lien senior secured loan2024-12-310001287750arcc:AvalignHoldingsInc.AndAvalignTechnologiesInc.Member2024-12-310001287750BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP, First lien senior secured loan2024-12-310001287750Bambino Group Holdings, LLC, Class A preferred units2024-12-310001287750Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 12024-12-310001287750Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 22024-12-310001287750Center for Autism and Related Disorders, LLC, First lien senior secured loan2024-12-310001287750arcc:CenterForAutismAndRelatedDisordersLLCMember2024-12-310001287750Color Intermediate, LLC, First lien senior secured loan2024-12-310001287750Comprehensive EyeCare Partners, LLC, First lien senior secured revolving loan2024-12-310001287750Comprehensive EyeCare Partners, LLC, First lien senior secured loan2024-12-310001287750arcc:ComprehensiveEyeCarePartnersLLCMember2024-12-310001287750Convey Health Solutions, Inc., First lien senior secured loan 12024-12-310001287750Convey Health Solutions, Inc., First lien senior secured loan 22024-12-310001287750Convey Health Solutions, Inc., First lien senior secured loan 32024-12-310001287750arcc:ConveyHealthSolutionsIncMember2024-12-310001287750Cradle Lux Bidco S.A.R.L., First lien senior secured loan 12024-12-310001287750Cradle Lux Bidco S.A.R.L., First lien senior secured loan 22024-12-310001287750arcc:CradleLuxBidcoS.A.R.L.Member2024-12-310001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured revolving loan2024-12-310001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured loan2024-12-310001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, Class A shares2024-12-310001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, Common units2024-12-310001287750arcc:CrownCTParentIncCrownCTHoldCoIncAndCrownCTManagementLLCMember2024-12-310001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan2024-12-310001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, Class A preferred units2024-12-310001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, Common stock2024-12-310001287750arcc:CVPHoldcoIncAndOMERSWildcatsInvestmentHoldingsLLCMember2024-12-310001287750Empower Payments Investor, LLC, First lien senior secured loan2024-12-310001287750Evolent Health LLC and Evolent Health, Inc., Series A preferred shares2024-12-310001287750GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Second lien senior secured loan2024-12-310001287750GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Class A units2024-12-310001287750arcc:GHXUltimateParentCorporationCommerceParentIncAndCommerceTopcoLLCMember2024-12-310001287750Global Medical Response, Inc. and GMR Buyer Corp., First lien senior secured loan2024-12-310001287750Global Medical Response, Inc. and GMR Buyer Corp., Series B preferred shares2024-12-310001287750Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase units of common stock 12024-12-310001287750Global Medical Response, Inc. and GMR Buyer Corp., Warrant to purchase units of common stock 22024-12-310001287750Global Medical Response, Inc. and GMR Buyer Corp., Warrants to purchase shares of common stock2024-12-310001287750arcc:GlobalMedicalResponseIncAndGMRBuyerCorpMember2024-12-310001287750HealthEdge Software, Inc., First lien senior secured loan 12024-12-310001287750Honor Technology, Inc., Warrant to purchase shares of Series D-2 preferred stock2024-12-310001287750HuFriedy Group Acquisition LLC, First lien senior secured revolving loan2024-12-310001287750HuFriedy Group Acquisition LLC, First lien senior secured loan2024-12-310001287750arcc:HuFriedyGroupAcquisitionLLCMember2024-12-310001287750KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 12024-12-310001287750KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 22024-12-310001287750KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 32024-12-310001287750arcc:KBHSAcquisitionLLCDbaAlitaCareLLCMember2024-12-310001287750Lifescan Global Corporation, First lien senior secured loan2024-12-310001287750Lifescan Global Corporation, Second lien senior secured loan2024-12-310001287750arcc:LifescanGlobalCorporationMember2024-12-310001287750LivTech Purchaser, Inc., First lien senior secured loan2024-12-310001287750Napa Management Services Corporation and ASP NAPA Holdings, LLC, Preferred units2024-12-310001287750Napa Management Services Corporation and ASP NAPA Holdings, LLC, Senior preferred units2024-12-310001287750Napa Management Services Corporation and ASP NAPA Holdings, LLC, Class A units2024-12-310001287750arcc:NapaManagementServicesCorporationAndASPNAPAHoldingsLLCMember2024-12-310001287750Next Holdco, LLC, First lien senior secured loan2024-12-310001287750NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured revolving loan2024-12-310001287750NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured loan2024-12-310001287750NMN Holdings III Corp. and NMN Holdings LP, Partnership units2024-12-310001287750arcc:NMNHoldingsIIICorpAndNMNHoldingsLPMember2024-12-310001287750Nomi Health, Inc., First lien senior secured loan 12024-12-310001287750Nomi Health, Inc., First lien senior secured loan 22024-12-310001287750Nomi Health, Inc., Warrant to purchase shares of Series B preferred stock2024-12-310001287750Nomi Health, Inc., Warrant to purchase units of Class A common stock2024-12-310001287750arcc:NomiHealthIncMember2024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 32024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 12024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 22024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Preferred units2024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Preferred stock2024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Class A common units2024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, Common units2024-12-310001287750arcc:OlympiaAcquisitionIncOlympiaTopCoLPAndAsclepiusHoldingsLLCMember2024-12-310001287750OMH-HealthEdge Holdings, LLC, First lien senior secured loan2024-12-310001287750Paragon 28, Inc. and Paragon Advanced Technologies, Inc., First lien senior secured revolving loan2024-12-310001287750Paragon 28, Inc. and Paragon Advanced Technologies, Inc., First lien senior secured loan2024-12-310001287750arcc:Paragon28IncAndParagonAdvancedTechnologiesIncMember2024-12-310001287750Pathway Vet Alliance LLC and Jedi Group Holdings LLC, First lien senior secured revolving loan2024-12-310001287750Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Second lien senior secured loan2024-12-310001287750Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Class R common units2024-12-310001287750arcc:PathwayVetAllianceLLCAndJediGroupHoldingsLLCMember2024-12-310001287750PetVet Care Centers, LLC, First lien senior secured loan2024-12-310001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured revolving loan2024-12-310001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured loan2024-12-310001287750Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, Class A units2024-12-310001287750arcc:PremiseHealthHoldingCorpAndOMERSBluejayInvestmentHoldingsLPMember2024-12-310001287750RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured revolving loan2024-12-310001287750RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan2024-12-310001287750arcc:RTISurgicalIncAndPioneerSurgicalTechnologyIncMember2024-12-310001287750SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLC, Common units2024-12-310001287750SM Wellness Holdings, Inc. and SM Holdco, LLC, Series D units2024-12-310001287750SM Wellness Holdings, Inc. and SM Holdco, LLC, Series A units2024-12-310001287750SM Wellness Holdings, Inc. and SM Holdco, LLC, Series B units2024-12-310001287750arcc:SMWellnessHoldingsIncAndSMHoldcoIncMember2024-12-310001287750SOC Telemed, Inc. and PSC Spark Holdings, LP, First lien senior secured loan2024-12-310001287750SOC Telemed, Inc. and PSC Spark Holdings, LP, Class A-2 units2024-12-310001287750SOC Telemed, Inc. and PSC Spark Holdings, LP, Warrant to purchase units of common stock2024-12-310001287750arcc:SOCTelemedIncAndPSCSparkHoldingsLPMember2024-12-310001287750Surescripts, LLC, First lien senior secured loan2024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 12024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 22024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 12024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 22024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-1 preferred shares2024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-2 preferred sharess2024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-2 preferred shares2024-12-310001287750Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Series C-3 preferred shares2024-12-310001287750arcc:SymplrSoftwareIncAndSymplrSoftwareIntermediateHoldingsIncMember2024-12-310001287750Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, First lien senior secured loan2024-12-310001287750Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, Common units2024-12-310001287750arcc:SynergyHomeCareFranchisingLLCAndNPSynergyHoldingsLLCMember2024-12-310001287750Tempus AI, Inc., First lien senior secured loan 12024-12-310001287750Tempus AI, Inc., First lien senior secured loan 22024-12-310001287750Tempus AI, Inc., First lien senior secured loan 32024-12-310001287750Tempus AI, Inc., Common units2024-12-310001287750arcc:TempusAIInc.Member2024-12-310001287750Therapy Brands Holdings LLC, Second lien senior secured loan2024-12-310001287750U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Second lien senior secured loan2024-12-310001287750U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Common stock2024-12-310001287750arcc:USAnesthesiaPartnersIncUSAnesthesiaPartnersHoldingsIncMember2024-12-310001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, First lien senior secured revolving loan2024-12-310001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, First lien senior secured loan2024-12-310001287750United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, Class A interests2024-12-310001287750arcc:UnitedDigestiveMSOParentLLCAndKolnCoInvestUnblockedLPMember2024-12-310001287750Viant Medical Holdings, Inc., First lien senior secured loan2024-12-310001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 12024-12-310001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 22024-12-310001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 32024-12-310001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 42024-12-310001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., Class A-2 units 12024-12-310001287750VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., Class A-2 units 22024-12-310001287750arcc:VPPIntermediateHoldingsLLCAndVPPGroupHoldingsLPMember2024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured revolving loan2024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 12024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 22024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 32024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 42024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 52024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 62024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 72024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, Class A preferred units2024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC, Common units2024-12-310001287750arcc:WSHPFCAcquisitionLLCMember2024-12-310001287750us-gaap:HealthcareSectorMember2024-12-310001287750Aduro Advisors, LLC, First lien senior secured loan2024-12-310001287750AQ Sage Buyer, LLC, First lien senior secured revolving loan2024-12-310001287750AQ Sage Buyer, LLC, First lien senior secured loan2024-12-310001287750arcc:AQSageBuyerLLCMember2024-12-310001287750BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, First lien senior secured loan2024-12-310001287750BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Senior subordinated loan2024-12-310001287750BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Common units2024-12-310001287750arcc:BCCBlueprintHoldingsILLCAndBCCBlueprintInvestmentsLLCMember2024-12-310001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 12024-12-310001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 22024-12-310001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 32024-12-310001287750Beacon Pointe Harmony, LLC, First lien senior secured loan 42024-12-310001287750arcc:BeaconPointeHarmonyLLCMember2024-12-310001287750Cliffwater LLC, First lien senior secured loan2024-12-310001287750Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 12024-12-310001287750Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 22024-12-310001287750Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 32024-12-310001287750arcc:ConveraInternationalHoldingsLimitedAndConveraInternationalFinancialSARLMember2024-12-310001287750Corient Holdings, Inc., Series A preferred stock2024-12-310001287750CrossCountry Mortgage, LLC and CrossCountry Holdco, LLC, Series D preferred units2024-12-310001287750DFC Global Facility Borrower III LLC, First lien senior secured revolving loan2024-12-310001287750eCapital Finance Corp., Senior subordinated loan 12024-12-310001287750eCapital Finance Corp., Senior subordinated loan 22024-12-310001287750eCapital Finance Corp., Senior subordinated loan 32024-12-310001287750eCapital Finance Corp., Senior subordinated loan 42024-12-310001287750eCapital Finance Corp., Senior subordinated loan 52024-12-310001287750eCapital Finance Corp., Senior subordinated loan 62024-12-310001287750eCapital Finance Corp., Senior subordinated loan 72024-12-310001287750arcc:ECapitalFinanceCorpMember2024-12-310001287750Endeavor Bidco LLC and Endeavor TopCo, Inc., First lien senior secured loan2024-12-310001287750Endeavor Bidco LLC and Endeavor TopCo, Inc., Class A common units2024-12-310001287750arcc:EndeavorBidcoLLCAndEndeavorTopCoInc.Member2024-12-310001287750EP Wealth Advisors, LLC, First lien senior secured loan 12024-12-310001287750EP Wealth Advisors, LLC, First lien senior secured loan 22024-12-310001287750arcc:EPWealthAdvisorsLLCMember2024-12-310001287750GTCR F Buyer Corp. and GTCR (D) Investors LP, First lien senior secured loan2024-12-310001287750GTCR F Buyer Corp. and GTCR (D) Investors LP, Limited partnership interests2024-12-310001287750arcc:GTCRFBuyerCorpAndGTCRDInvestorsLPMember2024-12-310001287750HighTower Holding, LLC, Senior subordinated loan2024-12-310001287750Ivy Hill Asset Management, L.P., Member interest2024-12-310001287750Lido Advisors, LLC, First lien senior secured revolving loan2024-12-310001287750Lido Advisors, LLC, First lien senior secured loan 12024-12-310001287750Lido Advisors, LLC, First lien senior secured loan 22024-12-310001287750Lido Advisors, LLC, First lien senior secured loan 32024-12-310001287750arcc:LidoAdvisorsLLCMember2024-12-310001287750Mai Capital Management Intermediate LLC, First lien senior secured revolving loan2024-12-310001287750Mai Capital Management Intermediate LLC, First lien senior secured loan2024-12-310001287750arcc:MaiCapitalManagementIntermediateLLCMember2024-12-310001287750Monica Holdco (US) Inc., First lien senior secured loan 12024-12-310001287750Monica Holdco (US) Inc., First lien senior secured loan 22024-12-310001287750arcc:MonicaHoldcoUSIncMember2024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured revolving loan2024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 12024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 22024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 32024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., Limited partnership interests2024-12-310001287750arcc:PathstoneFamilyOfficeLLCAndKelsoXITailwindCoInvestmentLPMember2024-12-310001287750PCIA SPV-3, LLC and ASE Royal Aggregator, LLC, First lien senior secured loan2024-12-310001287750PCIA SPV-3, LLC and ASE Royal Aggregator, LLC, Preferred units2024-12-310001287750arcc:PCIASPV3LLCAndASERoyalAggregatorLLCMember2024-12-310001287750PCS MidCo, Inc. and PCS Parent, L.P., First lien senior secured revolving loan2024-12-310001287750PCS MidCo, Inc. and PCS Parent, L.P., First lien senior secured loan2024-12-310001287750PCS MidCo, Inc. and PCS Parent, L.P., Class A units2024-12-310001287750arcc:PCSMidCoInc.AndPCSParentL.P.Member2024-12-310001287750Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP, First lien senior secured loan2024-12-310001287750Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP, Limited partnership interest2024-12-310001287750arcc:PerigonWealthManagementLLCPerigonWealthAdvisorsHoldingsCompanyLLCAndCWCFundICoInvestPrismLPMember2024-12-310001287750Petrus Buyer, Inc., First lien senior secured loan2024-12-310001287750Priority Holdings, LLC and Priority Technology Holdings, Inc., Warrant to purchase shares of common stock2024-12-310001287750RFS Opco LLC, First lien senior secured loan2024-12-310001287750Rialto Management Group, LLC, First lien senior secured revolving loan2024-12-310001287750Rialto Management Group, LLC, First lien senior secured loan 32024-12-310001287750arcc:RialtoManagementGroupLLCMember2024-12-310001287750RWA Wealth Partners, LLC, First lien senior secured loan2024-12-310001287750 Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC, First lien senior secured loan 12024-12-310001287750Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC, First lien senior secured loan 22024-12-310001287750arcc:StewardPartnersGlobalAdvisoryLLCAndStewardPartnersInvestmentAdvisoryLLCMember2024-12-310001287750The Edelman Financial Center, LLC, Second lien senior secured loan2024-12-310001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured loan2024-12-310001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Senior subordinated loan2024-12-310001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Series A preferred units2024-12-310001287750The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Common units2024-12-310001287750arcc:TheMatherGroupLLCTVGTMGTopcoIncAndTVGTMGHoldingsLLCMember2024-12-310001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, First lien senior secured loan2024-12-310001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A preferred units2024-12-310001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class A common units2024-12-310001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B common units 12024-12-310001287750The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, Class B common units 22024-12-310001287750arcc:TheUltimusGroupMidcoLLCTheUltimusGroupLLCAndTheUltimusGroupAggregatorLPMember2024-12-310001287750TPG IX Cardiff CI II, L.P., Limited partnership interest2024-12-310001287750Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 12024-12-310001287750Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 22024-12-310001287750Waverly Advisors, LLC and WAAM Topco, LLC, Class A units2024-12-310001287750arcc:WaverlyAdvisorsLLCAndWAAMTopcoLLCMember2024-12-310001287750Wealth Enhancement Group, LLC, First lien senior secured loan 12024-12-310001287750Wealth Enhancement Group, LLC, First lien senior secured loan 22024-12-310001287750Wealth Enhancement Group, LLC, First lien senior secured loan 32024-12-310001287750Wealth Enhancement Group, LLC, First lien senior secured loan 42024-12-310001287750Wealth Enhancement Group, LLC, First lien senior secured loan 52024-12-310001287750arcc:WealthEnhancementGroupLLCMember2024-12-310001287750Wellington-Altus Financial Inc., First lien senior secured loan2024-12-310001287750Wellington-Altus Financial Inc., Common stock2024-12-310001287750arcc:WellingtonAltusFinancialInc.Member2024-12-310001287750us-gaap:FinancialServicesSectorMember2024-12-310001287750Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC, Class A common units2024-12-310001287750Aero Operating LLC, First lien senior secured loan 12024-12-310001287750Aero Operating LLC, First lien senior secured loan 22024-12-310001287750arcc:AeroOperatingLLCMember2024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured revolving loan2024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 12024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 22024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 32024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 12024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 22024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 32024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC, Common units2024-12-310001287750arcc:AIFireBuyerIncAndAIFireParentLLCMember2024-12-310001287750Aldinger Company Inc, First lien senior secured loan2024-12-310001287750AMCP Clean Acquisition Company, LLC, First lien senior secured loan 12024-12-310001287750AMCP Clean Acquisition Company, LLC, First lien senior secured loan 22024-12-310001287750arcc:AMCPCleanAcquisitionCompanyLLCMember2024-12-310001287750Applied Technical Services, LLC, First lien senior secured revolving loan2024-12-310001287750Applied Technical Services, LLC, First lien senior secured loan 12024-12-310001287750Applied Technical Services, LLC, First lien senior secured loan 22024-12-310001287750Applied Technical Services, LLC, First lien senior secured loan 32024-12-310001287750arcc:AppliedTechnicalServicesLLCMember2024-12-310001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., First lien senior secured loan2024-12-310001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 12024-12-310001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 22024-12-310001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 32024-12-310001287750arcc:ArgenbrightHoldingsVLLCAndAmberstoneSecurityGroupLimitedMember2024-12-310001287750ATI Restoration, LLC, First lien senior secured revolving loan2024-12-310001287750ATI Restoration, LLC, First lien senior secured loan 12024-12-310001287750ATI Restoration, LLC, First lien senior secured loan 22024-12-310001287750ATI Restoration, LLC, First lien senior secured loan 32024-12-310001287750arcc:ATIRestorationLLCMember2024-12-310001287750Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured revolving loan2024-12-310001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured loan2024-12-310001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Second lien senior secured loan2024-12-310001287750Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Class A units2024-12-310001287750arcc:CapstoneAcquisitionHoldingsInc.CapstoneLogisticsHoldingsInc.AndCapstoneParentHoldingsLPMember2024-12-310001287750Compex Legal Services, Inc., First lien senior secured revolving loan 12024-12-310001287750Compex Legal Services, Inc., First lien senior secured loan2024-12-310001287750arcc:CompexLegalServicesIncMember2024-12-310001287750Dorado Bidco, Inc., First lien senior secured loan2024-12-310001287750DP Flores Holdings, LLC, First lien senior secured loan2024-12-310001287750Drogon Bidco Inc. & Drogon Aggregator LP, First lien senior secured loan2024-12-310001287750Drogon Bidco Inc. & Drogon Aggregator LP, Class A-2 common units 2024-12-310001287750arcc:DrogonBidcoInc.DrogonAggregatorLPMember2024-12-310001287750DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class A common stock2024-12-310001287750DTI Holdco, Inc. and OPE DTI Holdings, Inc., Class B common stock2024-12-310001287750arcc:DTIHoldcoIncAndOPEDTIHoldingsIncMember2024-12-310001287750Duraserv LLC, First lien senior secured loan2024-12-310001287750Elevation Services Parent Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750Elevation Services Parent Holdings, LLC, First lien senior secured loan 22024-12-310001287750Elevation Services Parent Holdings, LLC, First lien senior secured loan 32024-12-310001287750arcc:ElevationServicesParentHoldingsLLCMember2024-12-310001287750FlyWheel Acquireco, Inc., First lien senior secured revolving loan2024-12-310001287750FlyWheel Acquireco, Inc., First lien senior secured loan2024-12-310001287750arcc:FlyWheelAcquirecoIncMember2024-12-310001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured revolving loan2024-12-310001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 12024-12-310001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 22024-12-310001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 32024-12-310001287750HH-Stella, Inc. and Bedrock Parent Holdings, LP, Class A units2024-12-310001287750arcc:HHStellaIncAndBedrockParentHoldingsLPMember2024-12-310001287750HP RSS Buyer, Inc., First lien senior secured loan 12024-12-310001287750HP RSS Buyer, Inc., First lien senior secured loan 22024-12-310001287750arcc:HPRSSBuyerInc.Member2024-12-310001287750IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P., First lien senior secured revolving loan 22024-12-310001287750IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P., First lien senior secured loan2024-12-310001287750arcc:IRIGroupHoldingsInc.CircanaLLCAndIRINPDCoInvestAggregatorL.PMember2024-12-310001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured revolving loan2024-12-310001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured loan 12024-12-310001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured loan 22024-12-310001287750ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., Class A units2024-12-310001287750arcc:ISQHawkeyeHoldcoIncAndISQHawkeyeHoldingsLPMember2024-12-310001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, First lien senior secured loan 12024-12-310001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, First lien senior secured loan 22024-12-310001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, Preferred units2024-12-310001287750Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, Class A common units2024-12-310001287750arcc:KellermeyerBergensonsServicesLLCAndKBSTopCoLLCMember2024-12-310001287750Kings Buyer, LLC, First lien senior secured revolving loan2024-12-310001287750Kings Buyer, LLC, First lien senior secured loan2024-12-310001287750arcc:KingsBuyerLLCMember2024-12-310001287750KPS Global LLC and Cool Group LLC, First lien senior secured loan 12024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 12024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 22024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 12024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 22024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 32024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 42024-12-310001287750Laboratories Bidco LLC and Laboratories Topco LLC, Class A units2024-12-310001287750arcc:LaboratoriesBidcoLLCAndLaboratoriesTopcoLLCMember2024-12-310001287750LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP, First lien senior secured loan2024-12-310001287750LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP, Class A common units2024-12-310001287750arcc:LBCWoodlandsPurchaserLLCAndLBCWoodlandsHoldingsLPMember2024-12-310001287750Lightbeam Bidco, Inc., First lien senior secured revolving loan2024-12-310001287750Lightbeam Bidco, Inc., First lien senior secured loan 12024-12-310001287750Lightbeam Bidco, Inc., First lien senior secured loan 22024-12-310001287750arcc:LightbeamBidcoIncMember2024-12-310001287750LJP Purchaser, Inc. and LJP Topco, LP, First lien senior secured loan2024-12-310001287750LJP Purchaser, Inc. and LJP Topco, LP, Class A units2024-12-310001287750arcc:LJPPurchaserIncAndLJPTopcoLPMember2024-12-310001287750Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Second lien senior secured loan 12024-12-310001287750Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Second lien senior secured loan 22024-12-310001287750Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Series A preferred stock2024-12-310001287750Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Series B preferred stock2024-12-310001287750Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Common stock2024-12-310001287750arcc:MicrostarLogisticsLLCMicrostarGlobalAssetManagementLLCMStarHoldingCorporationAndKegstarUSAIncMember2024-12-310001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured revolving loan2024-12-310001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 12024-12-310001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 22024-12-310001287750NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 32024-12-310001287750arcc:NASLLCAndNationwideMarketingGroupLLCMember2024-12-310001287750Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1, Limited partner interest2024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured revolving loan2024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured loan 12024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured loan 22024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured note2024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., Second lien senior secured loan2024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., Limited partnership interests2024-12-310001287750arcc:NeptuneBidcoUSIncAndElliottMetronCoInvestorAggregatorLPMember2024-12-310001287750North Haven Stack Buyer, LLC, First lien senior secured revolving loan2024-12-310001287750North Haven Stack Buyer, LLC, First lien senior secured loan 12024-12-310001287750North Haven Stack Buyer, LLC, First lien senior secured loan 32024-12-310001287750North Haven Stack Buyer, LLC, First lien senior secured loan 42024-12-310001287750North Haven Stack Buyer, LLC, First lien senior secured loan 52024-12-310001287750arcc:NorthHavenStackBuyerLLCMember2024-12-310001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, First lien senior secured loan 12024-12-310001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, First lien senior secured loan 22024-12-310001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, Warrant to purchase units of Class A common units 12024-12-310001287750Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, Warrant to purchase units of Class A common units 22024-12-310001287750arcc:PriorityWasteHoldingsLLCPriorityWasteHoldingsIndianaLLCAndPriorityWasteSuperHoldingsLLCMember2024-12-310001287750Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 12024-12-310001287750Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 22024-12-310001287750Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, Class A units2024-12-310001287750arcc:PritchardIndustriesLLCAndLJPritchardTopCoHoldingsLLCMember2024-12-310001287750PS Operating Company LLC and PS Op Holdings LLC, First lien senior secured revolving loan2024-12-310001287750PS Operating Company LLC and PS Op Holdings LLC, First lien senior secured loan2024-12-310001287750PS Operating Company LLC and PS Op Holdings LLC, Common unit2024-12-310001287750arcc:PSOperatingCompanyLLCAndPSOPHoldingsLLCMember2024-12-310001287750PSC Parent, Inc., First lien senior secured revolving loan 12024-12-310001287750PSC Parent, Inc., First lien senior secured loan2024-12-310001287750arcc:PSCGroupLLCMember2024-12-310001287750PYE-Barker Fire & Safety, LLC, First lien senior secured revolving loan2024-12-310001287750PYE-Barker Fire & Safety, LLC, First lien senior secured loan2024-12-310001287750arcc:PYEBarkerFireSafetyLLCMember2024-12-310001287750R2 Acquisition Corp., Common stock2024-12-310001287750RC V Tecmo Investor LLC, Common member units2024-12-310001287750RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 12024-12-310001287750RE Community Holdings GP, LLC and RE Community Holdings, LP, Limited partnership interest 22024-12-310001287750arcc:RECommunityHoldingsGPLLCAndRECommunityHoldingsLPMember2024-12-310001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured revolving loan2024-12-310001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan2024-12-310001287750Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., Limited partner interests2024-12-310001287750arcc:RegistrarIntermediateLLCAndPSPRegistrarCoInvestmentFundLPMember2024-12-310001287750Research Now Group, LLC and Dynata, LLC and New Insight Holdings, Inc., Common units2024-12-310001287750Research Now Group, LLC and Dynata, LLC and New Insight Holdings, Inc., Warrants to purchase shares of common stock2024-12-310001287750arcc:ResearchNowGroupLLCAndDynataLLCAndNewInsightHoldingsInc.Member2024-12-310001287750Rodeo AcquisitionCo LLC, First lien senior secured revolving loan2024-12-310001287750Rodeo AcquisitionCo LLC, First lien senior secured loan2024-12-310001287750arcc:RodeoAcquisitionCoLLCMember2024-12-310001287750Saturn Purchaser Corp., First lien senior secured loan2024-12-310001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured revolving loan2024-12-310001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan2024-12-310001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., Class A units2024-12-310001287750arcc:SchillLandscapingAndLawnCareServicesLLCTenderLawnCareULCAndLandscapeParallelPartnersLPMember2024-12-310001287750Shermco Intermediate Holdings, Inc., First lien senior secured revolving loan 12024-12-310001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 12024-12-310001287750Shermco Intermediate Holdings, Inc., First lien senior secured loan 22024-12-310001287750arcc:ShermcoIntermediateHoldingsIncMember2024-12-310001287750SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, Limited partnership class A-1 units2024-12-310001287750SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LP, Limited partnership class A-2 units2024-12-310001287750arcc:SSEBuyerIncSupplySourceEnterprisesIncImpactProductsLLCTheSafetyZoneLLCAndSSEParentLPMember2024-12-310001287750Startec Equity, LLC, Member interest2024-12-310001287750SV Newco 2, Inc. and Site 2020 Incorporated, First lien senior secured loan2024-12-310001287750Systems Planning and Analysis, Inc., First lien senior secured loan2024-12-310001287750The Hiller Companies, LLC, First lien senior secured loan2024-12-310001287750Thermostat Purchaser III, Inc., First lien senior secured revolving loan 12024-12-310001287750Thermostat Purchaser III, Inc., First lien senior secured revolving loan 22024-12-310001287750Thermostat Purchaser III, Inc., Second lien senior secured loan2024-12-310001287750arcc:ThermostatPurchaserIIIIncMember2024-12-310001287750TSS Buyer, LLC, First lien senior secured loan2024-12-310001287750UP Intermediate II LLC and UPBW Blocker LLC, First lien senior secured revolving loan2024-12-310001287750UP Intermediate II LLC and UPBW Blocker LLC, First lien senior secured loan2024-12-310001287750UP Intermediate II LLC and UPBW Blocker LLC, Common units 12024-12-310001287750UP Intermediate II LLC and UPBW Blocker LLC, Common units 22024-12-310001287750arcc:UPIntermediateIILLCAndUPBWBlockerLLCMember2024-12-310001287750Valcourt Holdings II, LLC and Jobs Holdings, Inc., First lien senior secured loan2024-12-310001287750Visual Edge Technology, Inc., First lien senior secured loan2024-12-310001287750Visual Edge Technology, Inc. ,Senior preferred stock2024-12-310001287750Visual Edge Technology, Inc., Senior preferred stock2024-12-310001287750Visual Edge Technology, Inc., Junior preferred stock2024-12-310001287750Visual Edge Technology, Inc., Warrant to purchase shares of common stock2024-12-310001287750arcc:VisualEdgeTechnologyIncMember2024-12-310001287750VRC Companies, LLC, Senior subordinated loan2024-12-310001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, First lien senior secured loan2024-12-310001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, Class A preferred units2024-12-310001287750W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, Class A common units2024-12-310001287750arcc:W.S.ConnellyCo.LLCAndWSCUltimateHoldingsLLCMember2024-12-310001287750Wash Encore Holdings, LLC, First lien senior secured loan 12024-12-310001287750Wash Encore Holdings, LLC, First lien senior secured loan 22024-12-310001287750arcc:WashEncoreHoldingsLLCMember2024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured revolving loan2024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 12024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 22024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, Class A units2024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, Class B units2024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC, Class C units2024-12-310001287750arcc:XIFINIncAndACPChargerCoInvestLLCMember2024-12-310001287750Zinc Buyer Corporation, First lien senior secured revolving loan2024-12-310001287750Zinc Buyer Corporation, First lien senior secured loan2024-12-310001287750arcc:ZincBuyerCorporationMember2024-12-310001287750arcc:CommercialAndProfessionalServicesMember2024-12-310001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 12024-12-310001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 22024-12-310001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 32024-12-310001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 42024-12-310001287750arcc:AccessionRiskManagementGroupIncAndRSCInsuranceBrokerageIncMember2024-12-310001287750Acrisure, LLC, First lien senior secured loan2024-12-310001287750Alera Group, Inc., First lien senior secured loan 12024-12-310001287750Alera Group, Inc., First lien senior secured loan 22024-12-310001287750arcc:AleraGroupInc.Member2024-12-310001287750AQ Sunshine, Inc., First lien senior secured revolving loan2024-12-310001287750AQ Sunshine, Inc., First lien senior secured loan2024-12-310001287750arcc:AQSunshineIncMember2024-12-310001287750Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 12024-12-310001287750Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 22024-12-310001287750arcc:ArdonaghMidco2PlcAndArdonaghMidco3PlcMember2024-12-310001287750Benecon Midco II LLC and Benecon Holdings, LLC, First lien senior secured loan2024-12-310001287750Benecon Midco II LLC and Benecon Holdings, LLC, Class A units2024-12-310001287750arcc:BeneconMidcoIILLCAndBeneconHoldingsLLCMember2024-12-310001287750Captive Resources Midco, LLC, First lien senior secured loan2024-12-310001287750Daylight Beta Parent LLC and CFCo, LLC, First lien senior secured loan 12024-12-310001287750Daylight Beta Parent LLC and CFCo, LLC, First lien senior secured loan 22024-12-310001287750Daylight Beta Parent LLC and CFCo, LLC, Class B units2024-12-310001287750arcc:DaylightBetaParentLLCAndCFCoLLCMember2024-12-310001287750Diamond Mezzanine 24 LLC,First lien senior secured revolving loan2024-12-310001287750Diamond Mezzanine 24 LLC,First lien senior secured loan2024-12-310001287750arcc:DiamondMezzanine24LLCMember2024-12-310001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, First lien senior secured loan 12024-12-310001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, Limited partnership interest2024-12-310001287750arcc:DOXAInsuranceHoldingsLLCAndRocketCoInvestSLPMember2024-12-310001287750Foundation Risk Partners, Corp., First lien senior secured loan 12024-12-310001287750Foundation Risk Partners, Corp., First lien senior secured loan 22024-12-310001287750Foundation Risk Partners, Corp., First lien senior secured loan 32024-12-310001287750Foundation Risk Partners, Corp., First lien senior secured loan 42024-12-310001287750arcc:FoundationRiskPartnersCorpMember2024-12-310001287750Galway Borrower LLC, First lien senior secured revolving loan2024-12-310001287750Galway Borrower LLC, First lien senior secured loan2024-12-310001287750arcc:GalwayBorrowerLLCMember2024-12-310001287750Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc., First lien senior secured loan2024-12-310001287750Higginbotham Insurance Agency, Inc., First lien senior secured loan 12024-12-310001287750Higginbotham Insurance Agency, Inc., First lien senior secured loan 22024-12-310001287750Higginbotham Insurance Agency, Inc., Series A preferred shares2024-12-310001287750arcc:HigginbothamInsuranceAgencyInc.Member2024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 12024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 22024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 32024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 12024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 22024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 32024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A preferred units 42024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, Series A common units2024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC, Series C common units2024-12-310001287750arcc:HighStreetBuyerIncAndHighStreetHoldcoLLCMember2024-12-310001287750Inszone Mid, LLC and INSZ Holdings, LLC, First lien senior secured loan 12024-12-310001287750Inszone Mid, LLC and INSZ Holdings, LLC, First lien senior secured loan 22024-12-310001287750Inszone Mid, LLC and INSZ Holdings, LLC, Limited partnership interests2024-12-310001287750Inszone Mid, LLC and INSZ Holdings, LLC, Common units2024-12-310001287750arcc:InszoneMidLLCAndINSZHoldingsLLCMember2024-12-310001287750Keystone Agency Partners LLC ,First lien senior secured revolving loan2024-12-310001287750Keystone Agency Partners LLC, First lien senior secured loan 12024-12-310001287750Keystone Agency Partners LLC, First lien senior secured loan 22024-12-310001287750arcc:KeystoneAgencyPartnersLLCMember2024-12-310001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, First lien senior secured revolving loan2024-12-310001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, First lien senior secured loan2024-12-310001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, Class A2 units2024-12-310001287750arcc:OakBridgeInsuranceAgencyLLCAndMapleAcquisitionHoldingsLPMember2024-12-310001287750OneDigital Borrower LLC, First lien senior secured revolving loan2024-12-310001287750Patriot Growth Insurance Services, LLC, First lien senior secured revolving loan2024-12-310001287750Patriot Growth Insurance Services, LLC, First lien senior secured loan2024-12-310001287750arcc:PatriotGrowthInsuranceServicesLLCMember2024-12-310001287750People Corporation, First lien senior secured revolving loan2024-12-310001287750People Corporation, First lien senior secured loan 12024-12-310001287750People Corporation, First lien senior secured loan 22024-12-310001287750People Corporation, First lien senior secured loan 32024-12-310001287750arcc:PeopleCorporationMember2024-12-310001287750Riser Topco II, LLC, First lien senior secured loan 12024-12-310001287750Riser Topco II, LLC, First lien senior secured loan 22024-12-310001287750Riser Topco II, LLC, First lien senior secured loan 32024-12-310001287750Riser Topco II, LLC, First lien senior secured loan 42024-12-310001287750arcc:RiserIntercoLLCMember2024-12-310001287750SageSure Holdings, LLC and SageSure LLC, First lien senior secured loan2024-12-310001287750SageSure Holdings, LLC and SageSure LLC, Series A units2024-12-310001287750arcc:SageSureHoldingsLLCAndSageSureLLCMember2024-12-310001287750SCM Insurance Services Inc., First lien senior secured loan2024-12-310001287750SelectQuote, Inc. and SQ ABS Issuer, LLC,First lien senior secured notes 12024-12-310001287750SelectQuote, Inc. and SQ ABS Issuer, LLC,First lien senior secured notes 22024-12-310001287750SelectQuote, Inc., First lien senior secured loan2024-12-310001287750SelectQuote, Inc. and SQ ABS Issuer, LLC, Warrant to purchase shares of common stock2024-12-310001287750arcc:SelectQuoteInc.AndSQABSIssuerLLCMember2024-12-310001287750SG Acquisition, Inc., First lien senior secured loan2024-12-310001287750SIG Parent Holdings, LLC, First lien senior secured loan2024-12-310001287750Spring Insurance Solutions, LLC, First lien senior secured loan2024-12-310001287750THG Acquisition, LLC, First lien senior secured revolving loan2024-12-310001287750THG Acquisition, LLC, First lien senior secured loan 22024-12-310001287750arcc:THGAcquisitionLLCMember2024-12-310001287750Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC, First lien senior secured revolving loan2024-12-310001287750World Insurance Associates, LLC and World Associates Holdings, LLC, First lien senior secured loan2024-12-310001287750us-gaap:InsuranceSectorMember2024-12-310001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., First lien senior secured loan2024-12-310001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Second lien senior secured loan2024-12-310001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Class A preferred units2024-12-310001287750Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Series A preferred shares2024-12-310001287750arcc:BalrogAcquisitionInc.BalrogTopcoInc.AndBalrogParentL.P.Member2024-12-310001287750Bamboo Purchaser, Inc., First lien senior secured loan2024-12-310001287750BGI Purchaser, Inc., First lien senior secured revolving loan2024-12-310001287750BGI Purchaser, Inc., First lien senior secured loan2024-12-310001287750arcc:BGIPurchaserInc.Member2024-12-310001287750BR PJK Produce, LLC, First lien senior secured loan 12024-12-310001287750BR PJK Produce, LLC, First lien senior secured loan 22024-12-310001287750arcc:BRPJKProduceLLCMember2024-12-310001287750BradyPlus Holdings, LLC, First lien senior secured loan 12024-12-310001287750BradyPlus Holdings, LLC, First lien senior secured loan 22024-12-310001287750arcc:BradyPlusHoldingsLLCMember2024-12-310001287750City Line Distributors LLC and City Line Investments LLC, First lien senior secured loan2024-12-310001287750City Line Distributors LLC and City Line Investments LLC, Class A units2024-12-310001287750arcc:CityLineDistributorsLLCAndCityLineInvestmentsLLCMember2024-12-310001287750DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured revolving loan2024-12-310001287750DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured loan2024-12-310001287750DecoPac, Inc. and KCAKE Holdings Inc., Common stock2024-12-310001287750arcc:DecoPacIncAndKCAKEHoldingsIncMember2024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured revolving loan2024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 12024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 22024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 32024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 42024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., Common units2024-12-310001287750arcc:DisplayHoldingCompanyIncSaldonHoldingsIncAndFastsignsHoldingsIncMember2024-12-310001287750FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured revolving loan2024-12-310001287750FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured loan2024-12-310001287750FS Squared Holding Corp. and FS Squared, LLC, Class A units2024-12-310001287750arcc:FSSquaredHoldingCorpAndFSSquaredLLCMember2024-12-310001287750GPM Investments, LLC and ARKO Corp., Warrant to purchase common stock2024-12-310001287750GPM Investments, LLC and ARKO Corp.,Warrant to purchase common stock2024-12-310001287750arcc:GPMInvestmentsLLCAndARKOCorpMember2024-12-310001287750Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, First lien senior secured revolving loan2024-12-310001287750Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, First lien senior secured loan2024-12-310001287750Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, Limited partnership interest2024-12-310001287750arcc:HillsDistributionIncHillsIntermediateFTHoldingsLLCAndGMPHillsLPMember2024-12-310001287750JWC/KI Holdings, LLC, Membership units2024-12-310001287750LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P., First lien senior secured loan2024-12-310001287750LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P., Limited partnership interests2024-12-310001287750arcc:LJPerimeterBuyerIncAndLJPerimeterCoInvestLPMember2024-12-310001287750Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 12024-12-310001287750Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 22024-12-310001287750Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, Class A common units2024-12-310001287750arcc:MarconeYellowstoneBuyerIncAndMarconeYellowstoneHoldingsLLCMember2024-12-310001287750Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, First lien senior secured revolving loan 12024-12-310001287750Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, Series A preferred stock2024-12-310001287750Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, Class A-1 units2024-12-310001287750arcc:MavisTireExpressServicesTopcoCorpMetisHoldCoIncAndMetisTopCoLPMember2024-12-310001287750McKenzie Creative Brands, LLC, First lien senior secured revolving loan2024-12-310001287750McKenzie Creative Brands, LLC, First lien senior secured loan 12024-12-310001287750McKenzie Creative Brands, LLC, First lien senior secured loan 22024-12-310001287750arcc:McKenzieCreativeBrandsLLCMember2024-12-310001287750Monolith Brands Group, Inc., Series A-1 preferred stock2024-12-310001287750Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LP, Limited partnership interests2024-12-310001287750Mountaineer Merger Corporation, First lien senior secured revolving loan2024-12-310001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured revolving loan2024-12-310001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan2024-12-310001287750Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, Class B limited liability company interest2024-12-310001287750arcc:MrGreensIntermediateLLCFloridaVegInvestmentsLLCMRGTexasLLCAndRestaurantProduceAndServicesBlockerLLCMember2024-12-310001287750North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, First lien senior secured loan2024-12-310001287750North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, Class A units2024-12-310001287750arcc:NorthHavenFalconBuyerLLCAndNorthHavenFalconHoldingCompanyLLCMember2024-12-310001287750Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc., First lien senior secured loan2024-12-310001287750Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc., Class B common stock2024-12-310001287750arcc:PhoenixYWBuyerInc.AndPhoenixYWParentInc.Member2024-12-310001287750Reddy Ice LLC, First lien senior secured revolving loan2024-12-310001287750Reddy Ice LLC, First lien senior secured loan2024-12-310001287750arcc:ReddyIceLLCMember2024-12-310001287750Royal Borrower, LLC and Royal Parent, LP, First lien senior secured revolving loan2024-12-310001287750Royal Borrower, LLC and Royal Parent, LP, First lien senior secured loan2024-12-310001287750Royal Borrower, LLC and Royal Parent, LP, LLC, Class A preferred units2024-12-310001287750arcc:RoyalBorrowerLLCAndRoyalParentLPMember2024-12-310001287750SCIH Salt Holdings Inc., First lien senior secured revolving loan 12024-12-310001287750SCIH Salt Holdings Inc., First lien senior secured revolving loan 22024-12-310001287750arcc:SCIHSaltHoldingsInc.Member2024-12-310001287750SFE Intermediate Holdco LLC, First lien senior secured loan 12024-12-310001287750SFE Intermediate Holdco LLC, First lien senior secured loan 22024-12-310001287750SFE Intermediate Holdco LLC, First lien senior secured loan 32024-12-310001287750arcc:SFEIntermediateHoldcoLLCMember2024-12-310001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 12024-12-310001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 22024-12-310001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 32024-12-310001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 42024-12-310001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 52024-12-310001287750Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., Common stock2024-12-310001287750arcc:ShurCoAcquisitionIncAndShurCoHoldCoIncMember2024-12-310001287750US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., First lien senior secured loan2024-12-310001287750US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., Limited partner interests2024-12-310001287750arcc:USSaltInvestorsLLCAndEmeraldLakePearlAcquisitionALPMember2024-12-310001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., First lien senior secured loan2024-12-310001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., Common units2024-12-310001287750arcc:WorldwideProduceAcquisitionLLCAndREPWWPCoinvestIVLPMember2024-12-310001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured revolving loan2024-12-310001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 12024-12-310001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 22024-12-310001287750ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 32024-12-310001287750ZB Holdco LLC and ZB TopCo LLC, Series A units2024-12-310001287750arcc:ZBHoldcoLLCZBParentLLCMember2024-12-310001287750arcc:ConsumerStaplesDistributionAndRetailMember2024-12-310001287750ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc., First lien senior secured loan2024-12-310001287750Aimbridge Acquisition Co., Inc., Second lien senior secured loan2024-12-310001287750American Residential Services L.L.C. and Aragorn Parent Holdings LP ,First lien senior secured revolving loan 12024-12-310001287750American Residential Services L.L.C. and Aragorn Parent Holdings LP ,First lien senior secured revolving loan 22024-12-310001287750American Residential Services L.L.C. and Aragorn Parent Holdings LP, Second lien senior secured loan2024-12-310001287750American Residential Services L.L.C. and Aragorn Parent Holdings LP, Series A preferred units2024-12-310001287750arcc:AmericanResidentialServicesLLCAndAragornParentHoldingsLPMember2024-12-310001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, First lien senior secured loan2024-12-310001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, Series B common units2024-12-310001287750arcc:ApexServicePartnersLLCAndApexServicePartnersHoldingsLLCMember2024-12-310001287750Belfor Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured revolving loan2024-12-310001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 12024-12-310001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 22024-12-310001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 32024-12-310001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, Class A units2024-12-310001287750arcc:ClarionHomeServicesGroupLLCAndLBCBreezeHoldingsLLCMember2024-12-310001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured revolving loan 12024-12-310001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 12024-12-310001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 22024-12-310001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc., Common stock2024-12-310001287750arcc:CMGHoldCoLLCAndCMGBuyerHoldingsIncMember2024-12-310001287750Concert Golf Partners Holdco LLC, First lien senior secured loan2024-12-310001287750CST Holding Company, First lien senior secured revolving loan 22024-12-310001287750CST Holding Company, First lien senior secured loan2024-12-310001287750Davidson Hotel Company LLC, First lien senior secured revolving loan2024-12-310001287750Davidson Hotel Company LLC, First lien senior secured loan2024-12-310001287750arcc:DavidsonHotelCompanyLLCMember2024-12-310001287750Equinox Holdings, Inc., First lien senior secured loan2024-12-310001287750Equinox Holdings, Inc., Second lien senior secured loan2024-12-310001287750arcc:EquinoxHoldingsInc.Member2024-12-310001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured revolving loan2024-12-310001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan2024-12-310001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, Preferred units2024-12-310001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, Class A units2024-12-310001287750arcc:EssentialServicesHoldingCorporationAndOMERSMahomesInvestmentHoldingsLLCMember2024-12-310001287750Eternal Aus Bidco Pty Ltd, First lien senior secured loan2024-12-310001287750Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc., First lien senior secured loan 12024-12-310001287750Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc., First lien senior secured loan 22024-12-310001287750arcc:ExcelFitnessConsolidatorLLCHealthBuyerLLCAndExcelFitnessHoldingsInc.Member2024-12-310001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured revolving loan2024-12-310001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured revolving loan 12024-12-310001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured loan2024-12-310001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, Common units2024-12-310001287750arcc:FitnessVenturesHoldingsInc.AndMeaningfulPartnersFitnessVenturesCoInvestmentLPMember2024-12-310001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 12024-12-310001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 22024-12-310001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 32024-12-310001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., Series A preferred stock2024-12-310001287750arcc:FlinnScientificIncAndWCIQuantumHoldingsIncMember2024-12-310001287750Flint OpCo, LLC, First lien senior secured loan 12024-12-310001287750Flint OpCo, LLC, First lien senior secured loan 22024-12-310001287750arcc:FlintOpCoLLCMember2024-12-310001287750GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, First lien senior secured loan2024-12-310001287750GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, Class A common units2024-12-310001287750arcc:GSSEERGroupBorrowerLLCAndGSSEERGroupHoldingsLLCMember2024-12-310001287750Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured revolving loan2024-12-310001287750Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan 12024-12-310001287750Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan 22024-12-310001287750arcc:HeliosServicePartnersLLCAndAstraServicePartnersLLCMember2024-12-310001287750IFH Franchisee Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750IFH Franchisee Holdings, LLC, First lien senior secured loan2024-12-310001287750arcc:IFHFranchiseeHoldingsLLCMember2024-12-310001287750Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured revolving loan 12024-12-310001287750Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured revolving loan 22024-12-310001287750Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured loan 12024-12-310001287750Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured loan 22024-12-310001287750Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured loan 32024-12-310001287750Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., Class A units2024-12-310001287750arcc:InfinityHomeServicesHoldCoIncAndIHSParentHoldingsLPMember2024-12-310001287750Jenny C Acquisition, Inc., Senior subordinated loan2024-12-310001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured loan2024-12-310001287750Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., Limited partnership interests2024-12-310001287750arcc:LeviathanIntermediateHoldcoLLCAndLeviathanHoldingsLPMember2024-12-310001287750ME Equity LLC, Common stock2024-12-310001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured revolving loan 12024-12-310001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured loan 12024-12-310001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured loan 22024-12-310001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, Class A units2024-12-310001287750arcc:ModigentLLCAndOMERSPMCInvestmentHoldingsLLCMember2024-12-310001287750Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., First lien senior secured loan2024-12-310001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, Class A preferred units2024-12-310001287750Modigent, LLC and OMERS PMC Investment Holdings LLC, Class B common units2024-12-310001287750arcc:MustangProspectsHoldcoLLCMustangProspectsPurchaserLLCAndSenskeAcquisitionInc.Member2024-12-310001287750North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC , First lien senior secured revolving loan2024-12-310001287750North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC , First lien senior secured loan 12024-12-310001287750North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC , First lien senior secured loan 22024-12-310001287750arcc:NorthHavenFairwayBuyerLLCFairwayLawnsLLCAndCommandPestControlLLCMember2024-12-310001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured revolving loan2024-12-310001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan2024-12-310001287750Northwinds Holding, Inc. and Northwinds Services Group LLC, Common units2024-12-310001287750arcc:NorthwindsHoldingIncAndNorthwindsServicesGroupLLCMember2024-12-310001287750OTG Concessions Management, LLC and Octa Parent Holdings, LLC, Second lien notes2024-12-310001287750OTG Concessions Management, LLC and Octa Parent Holdings, LLC, Participation rights2024-12-310001287750arcc:OTGConcessionsManagementLLCAndOctaParentHoldingsLLCMember2024-12-310001287750PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan2024-12-310001287750PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan 22024-12-310001287750PestCo Holdings, LLC and PestCo, LLC, Class A units2024-12-310001287750arcc:PestCoHoldingsLLCAndPestCoLLCMember2024-12-310001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., First lien senior secured revolving loan2024-12-310001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., First lien senior secured loan2024-12-310001287750Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., Common stock2024-12-310001287750arcc:PinnacleMEPIntermediateHoldcoLLCAndBPCPPinnacleHoldingsInc.Member2024-12-310001287750Premiere Buyer, LLC, First lien senior secured loan2024-12-310001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 12024-12-310001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 22024-12-310001287750Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, Preferred membership units2024-12-310001287750arcc:PyramidManagementAdvisorsLLCAndPyramidInvestorsLLCMember2024-12-310001287750Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P., First lien senior secured loan2024-12-310001287750Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P., Limited partnership interest2024-12-310001287750arcc:QuickQuackCarWashHoldingsLLCAndKKRGameChangerCoInvestFeederIIL.P.Member2024-12-310001287750Radiant Intermediate Holding, LLC, First lien senior secured loan2024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured revolving loan2024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 12024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 22024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 32024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 42024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 52024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 62024-12-310001287750Redwood Services, LLC and Redwood Services Holdco, LLC, Series D units2024-12-310001287750arcc:RedwoodServicesLLCAndRedwoodServicesHoldcoLLCMember2024-12-310001287750Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc., First lien senior secured loan2024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 12024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 22024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 32024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 42024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 12024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 22024-12-310001287750Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., Class A units2024-12-310001287750arcc:TaymaxGroupLPTaymaxGroupGPLLCPFSalemCanadaULCAndTCPFitParentLPMember2024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan 12024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 12024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 22024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 32024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 42024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 52024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, Class A units2024-12-310001287750The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, Class C units2024-12-310001287750arcc:TheArcticomGroupLLCAndAMCPMechanicalHoldingsLPMember2024-12-310001287750Triwizard Holdings, Inc. and Triwizard Parent, LP, First lien senior secured revolving loan2024-12-310001287750Triwizard Holdings, Inc. and Triwizard Parent, LP, Class A-2 common units2024-12-310001287750arcc:TriwizardHoldingsInc.AndTriwizardParentLPMember2024-12-310001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured loan 12024-12-310001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured loan 22024-12-310001287750Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, Class B common units2024-12-310001287750arcc:VertexServicePartnersLLCAndVertexServicePartnersHoldingsLLCMember2024-12-310001287750Wrench Group LLC, First lien senior secured loan2024-12-310001287750YE Brands Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750YE Brands Holdings, LLC, First lien senior secured loan 12024-12-310001287750YE Brands Holdings, LLC, First lien senior secured loan 22024-12-310001287750YE Brands Holdings, LLC, First lien senior secured loan 32024-12-310001287750YE Brands Holdings, LLC, First lien senior secured loan 42024-12-310001287750arcc:YEBrandsHoldingsLLCMember2024-12-310001287750ZBS Mechanical Group Co-Invest Fund 2, LLC, Membership interest2024-12-310001287750arcc:ConsumerServicesMember2024-12-310001287750ACAS Equity Holdings Corporation, Common stock2024-12-310001287750Constellation Wealth Capital Fund, L.P., Limited partner interests2024-12-310001287750CREST Exeter Street Solar 2004-1, Preferred shares2024-12-310001287750CWC Fund I Co-Invest (ALTI) LP, Limited partnership interest2024-12-310001287750European Capital UK SME Debt LP, Limited partnership interest2024-12-310001287750HCI Equity, LLC, Member interest2024-12-310001287750Linden Structured Capital Fund II-A LP, Limited partnership interest2024-12-310001287750Partnership Capital Growth Investors III, L.P., Limited partnership interest2024-12-310001287750PCG-Ares Sidecar Investment II, L.P., Limited partnership interest2024-12-310001287750PCG-Ares Sidecar Investment, L.P., Limited partnership interest2024-12-310001287750Piper Jaffray Merchant Banking Fund I, L.P., Limited partnership interest2024-12-310001287750Senior Direct Lending Program, LLC, Subordinated certificates2024-12-310001287750Senior Direct Lending Program, LLC, Membership interest2024-12-310001287750arcc:SeniorDirectLendingProgramLLCMember2024-12-310001287750arcc:InvestmentFundsAndVehiclesMember2024-12-31000128775022 HoldCo Limited, Senior subordinated loan2024-12-3100012877503 Step Sports LLC, First lien senior secured loan2024-12-310001287750Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan2024-12-310001287750Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan 22024-12-310001287750arcc:AventineIntermediateLLCAventineHoldingsIILLCMember2024-12-310001287750Axiomatic, LLC, Class A-1 units2024-12-310001287750Broadcast Music, Inc., First lien senior secured loan2024-12-310001287750CFC Funding LLC, Loan instrument units2024-12-310001287750CMW Parent LLC (fka Black Arrow, Inc.), Series A units2024-12-310001287750Dundee Eros, LP, Catalog of premier music intellectual property2024-12-310001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 12024-12-310001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 22024-12-310001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 32024-12-310001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Ordinary shares2024-12-310001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Warrant to purchase shares of ordinary shares 12024-12-310001287750Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Warrant to purchase shares of ordinary shares 22024-12-310001287750arcc:EagleFootballHoldingsBidCoLimitedAndEagleFootballHoldingsLimitedMember2024-12-310001287750Fever Labs, Inc., First lien senior secured revolving loan2024-12-310001287750Fever Labs, Inc., First lien senior secured loan2024-12-310001287750Fever Labs, Inc., Series E-5 Convertible Shares2024-12-310001287750arcc:FeverLabsInc.Member2024-12-310001287750FinEquity Holdings, LLC, Class A common interest 12024-12-310001287750FinEquity Holdings, LLC, Class A common interest 22024-12-310001287750FinEquity Holdings, LLC, Class A common interest 32024-12-310001287750arcc:FinEquityHoldingsLLCMember2024-12-310001287750Global Music Rights, LLC, First lien senior secured loan 22024-12-310001287750League One Volleyball, Inc., Series B preferred stock2024-12-310001287750League One Volleyball, Inc., Series C preferred stock2024-12-310001287750arcc:LeagueOneVolleyballInc.Member2024-12-310001287750Legends Hospitality Holding Company, LLC and ASM Buyer, Inc., First lien senior secured revolving loan2024-12-310001287750Legends Hospitality Holding Company, LLC and ASM Buyer, Inc., First lien senior secured loan2024-12-310001287750arcc:LegendsHospitalityHoldingCompanyLLCAndASMBuyerInc.Member2024-12-310001287750LiveBarn Inc., Middle preferred shares2024-12-310001287750Miami Beckham United LLC, Class A preferred units2024-12-310001287750Miami Beckham United LLC, Class B preferred units2024-12-310001287750arcc:MiamiBeckhamUnitedLLCMember2024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 12024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 22024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 32024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 42024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 52024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC, Class A units2024-12-310001287750arcc:ProductionResourceGroupLLCAndPRGIIILLCMember2024-12-310001287750Professional Fighters League, LLC and PFL MMA, Inc., First lien senior secured loan2024-12-310001287750Professional Fighters League, LLC and PFL MMA, Inc., Second lien senior secured loan2024-12-310001287750Professional Fighters League, LLC and PFL MMA, Inc., Series E preferred stock2024-12-310001287750Professional Fighters League, LLC and PFL MMA, Inc., Warrant to purchase shares of common stock 12024-12-310001287750Professional Fighters League, LLC and PFL MMA, Inc., Warrant to purchase shares of common stock 22024-12-310001287750arcc:ProfessionalFightersLeagueLLCAndPFLMMAIncMember2024-12-310001287750Sandlot Action Sports, LLC, Common units2024-12-310001287750South Florida Motorsports, LLC, Class A common interest2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., First lien senior secured loan2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Senior subordinated loan2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Ordinary shares 2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class A redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class B redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class C redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class D redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class E redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class F redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class G redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class H redeemable shares2024-12-310001287750Storm Investment S.a.r.l. and Atletico Holdco, S.L., Class I redeemable shares2024-12-310001287750arcc:StormInvestmentS.a.r.l.AndAtleticoHoldcoS.L.Member2024-12-310001287750The Teaching Company Holdings, Inc., Preferred stock2024-12-310001287750The Teaching Company Holdings, Inc., Common stock2024-12-310001287750arcc:TheTeachingCompanyHoldingsIncMember2024-12-310001287750WRE Sports Investments LLC,First lien senior secured loan 12024-12-310001287750WRE Sports Investments LLC,First lien senior secured loan 22024-12-310001287750arcc:WRESportsInvestmentsLLCMember2024-12-310001287750arcc:SportsMediaAndEntertainmentMember2024-12-310001287750Apex Clean Energy TopCo, LLC, Class A common units2024-12-310001287750BNZ TopCo B.V., Senior subordinated loan2024-12-310001287750PosiGen, Inc., Warrant to purchase shares of series D-1 preferred stock2024-12-310001287750PosiGen, Inc., Warrant to purchase shares of common stock2024-12-310001287750arcc:PosiGenIncMember2024-12-310001287750Potomac Intermediate Holdings II LLC, Series A units2024-12-310001287750Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, First lien senior secured loan2024-12-310001287750Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, Senior subordinated loan2024-12-310001287750arcc:SunrunAtlasDepositor20192LLCAndSunrunAtlasHoldings20192LLCMember2024-12-310001287750Sunrun Luna Holdco 2021, LLC, Senior subordinated loan2024-12-310001287750Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, First lien senior secured loan2024-12-310001287750Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, Senior subordinated loan2024-12-310001287750arcc:SunrunXanaduIssuer20191LLCAndSunrunXanaduHoldings20191LLCMember2024-12-310001287750arcc:PowerGenerationMember2024-12-310001287750AI Aqua Merger Sub, Inc., First lien senior secured loan2024-12-310001287750Airx Climate Solutions, Inc., First lien senior secured revolving loan2024-12-310001287750Airx Climate Solutions, Inc., First lien senior secured loan2024-12-310001287750arcc:AirxClimateSolutionsInc.Member2024-12-310001287750API Commercial Inc., API Military Inc., and API Space Intermediate, Inc., First lien senior secured loan2024-12-310001287750Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured loan2024-12-310001287750Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., Common stock2024-12-310001287750arcc:ArrowheadHoldcoCompanyAndArrowheadGSHoldingsIncMember2024-12-310001287750BGIF IV Fearless Utility Services, Inc., First lien senior secured revolving loan2024-12-310001287750BGIF IV Fearless Utility Services, Inc., First lien senior secured loan2024-12-310001287750arcc:BGIFIVFearlessUtilityServicesInc.Member2024-12-310001287750BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC, First lien senior secured revolving loan 22024-12-310001287750BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC, First lien senior secured loan 22024-12-310001287750arcc:BlueHaloFinancingHoldingsLLCBlueHaloGlobalHoldingsLLCAndBlueHaloLLCMember2024-12-310001287750Burgess Point Purchaser Corporation, First lien senior secured loan2024-12-310001287750CPIG Holdco Inc., First lien senior secured loan2024-12-310001287750DFS Holding Company, Inc., First lien senior secured loan2024-12-310001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured revolving loan2024-12-310001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured loan2024-12-310001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, Common units2024-12-310001287750arcc:DynamicNCAerospaceHoldingsLLCAndDynamicNCInvestmentHoldingsLPMember2024-12-310001287750EIS Legacy Holdco, LLC, First lien senior secured loan2024-12-310001287750ESCP PPG Holdings, LLC, Class A-1 units2024-12-310001287750ESCP PPG Holdings, LLC, Class A-2 units2024-12-310001287750arcc:ESCPPPGHoldingsLLCMember2024-12-310001287750Generator US Buyer, Inc. and Total Power Limited, First lien senior secured loan 12024-12-310001287750Generator US Buyer, Inc. and Total Power Limited, First lien senior secured loan 22024-12-310001287750GSV Purchaser, Inc., First lien senior secured loan2024-12-310001287750Harvey Tool Company, LLC, First lien senior secured loan 32024-12-310001287750Harvey Tool Company, LLC, First lien senior secured loan 42024-12-310001287750arcc:HarveyToolCompanyLLCMember2024-12-310001287750Helix Acquisition Holdings, Inc., First lien senior secured loan2024-12-310001287750Helix Acquisition Holdings, Inc., First lien senior secured loan 22024-12-310001287750HPCC Parent, Inc. and Patriot Container Corp, First lien senior secured loan2024-12-310001287750HPCC Parent, Inc. and Patriot Container Corp, Common stock2024-12-310001287750arcc:HPCCParentInc.AndPatriotContainerCorp.Member2024-12-310001287750Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Senior subordinated loan2024-12-310001287750Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Class A common stock2024-12-310001287750arcc:ImagingBusinessMachinesLLCAndScannerHoldingsCorporationMember2024-12-310001287750Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured loan2024-12-310001287750Kene Acquisition, Inc. and Kene Holdings, L.P., Class A units2024-12-310001287750arcc:KeneAcquisitionIncAndKeneHoldingsLPMember2024-12-310001287750LTG Acquisition, Inc., Class A membership units2024-12-310001287750Maverick Acquisition, Inc., First lien senior secured loan2024-12-310001287750NCWS Intermediate, Inc. and NCWS Holdings LP, Class A-2 common units2024-12-310001287750OPH NEP Investment, LLC, Senior subordinated loan2024-12-310001287750OPH NEP Investment, LLC, Class B common units2024-12-310001287750arcc:OPHNEPInvestmentLLCMember2024-12-310001287750Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC, Second lien senior secured loan2024-12-310001287750Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured loan2024-12-310001287750Qnnect, LLC and Connector TopCo, LP, First lien senior secured loan2024-12-310001287750Qnnect, LLC and Connector TopCo, LP, First lien senior secured loan 22024-12-310001287750Qnnect, LLC and Connector TopCo, LP, Limited partnership interests2024-12-310001287750arcc:QnnectLLCAndConnectorTopCoLPMember2024-12-310001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan2024-12-310001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 12024-12-310001287750Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured loan2024-12-310001287750arcc:RadiusAerospaceIncAndRadiusAerospaceEuropeLimitedMember2024-12-310001287750Radwell Parent, LLC, First lien senior secured revolving loan2024-12-310001287750Radwell Parent, LLC, First lien senior secured loan2024-12-310001287750arcc:RadwellParentLLCMember2024-12-310001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured revolving loan2024-12-310001287750Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured loan2024-12-310001287750arcc:SunkRockFoundryPartnersLPHatterasElectricalManufacturingHoldingCompanyAndSigmaElectricManufacturingCorporationMember2024-12-310001287750Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P., First lien senior secured loan2024-12-310001287750Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P., Series A common units2024-12-310001287750arcc:SunvairAerospaceGroupInc.AndGBHeliosHoldingsL.P.Member2024-12-310001287750Two Six Labs, LLC, First lien senior secured loan2024-12-310001287750arcc:CapitalGoodsMember2024-12-310001287750Abzena Holdings, Inc. and Astro Group Holdings Ltd., A ordinary shares2024-12-310001287750ADMA Biologics Inc., First lien senior secured loan2024-12-310001287750Alcami Corporation and ACM Note Holdings, LLC., First lien senior secured revolving loan2024-12-310001287750Alcami Corporation and ACM Note Holdings, LLC, First lien senior secured loan2024-12-310001287750Alcami Corporation and ACM Note Holdings, LLC, Senior subordinated loan2024-12-310001287750arcc:AlcamiCorporationAndACMNoteHoldingsLLCMember2024-12-310001287750Athyrium Buffalo LP, Limited partnership interests 12024-12-310001287750Athyrium Buffalo LP, Limited partnership interests 22024-12-310001287750arcc:AthyriumBuffaloLPMember2024-12-310001287750Bamboo US BidCo LLC, First lien senior secured loan2024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured revolving loan2024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 12024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 22024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 32024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Preferred units2024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Series A preferred shares2024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., Class A common units2024-12-310001287750arcc:CobaltBuyerSubIncCobaltHoldingsILPAndCobaltIntermediateIIncMember2024-12-310001287750Creek Parent, Inc. and Creek Feeder, L.P., First lien senior secured loan2024-12-310001287750Creek Parent, Inc. and Creek Feeder, L.P., Limited partnership interest2024-12-310001287750arcc:CreekParentInc.AndCreekFeederL.P.Member2024-12-310001287750Gula Buyer Inc., First lien senior secured loan2024-12-310001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 12024-12-310001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 22024-12-310001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 12024-12-310001287750NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 22024-12-310001287750arcc:NMCSkincareIntermediateHoldingsIILLCMember2024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured revolving loan2024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 12024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 22024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 32024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 42024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Senior subordinated loan2024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Senior subordinated loan 22024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Class A preferred units2024-12-310001287750arcc:NorthAmericanScienceAssociatesLLCCardinalPurchaserLLCAndCardinalTopcoHoldingsLPMember2024-12-310001287750Verista, Inc., First lien senior secured revolving loan2024-12-310001287750Verista, Inc., First lien senior secured loan2024-12-310001287750arcc:VeristaInc.Member2024-12-310001287750Vertice Pharma UK Parent Limited, Preferred shares2024-12-310001287750WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P., First lien senior secured loan2024-12-310001287750WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P., Limited partnership interest2024-12-310001287750arcc:WCIBXCPurchaserLLCAndWCIBXCInvestmentHoldingsL.P.Member2024-12-310001287750arcc:PharmaceuticalsBiotechnologyAndLifeSciencesMember2024-12-310001287750760203 N.B. LTD., First lien senior secured loan2024-12-310001287750Bowhunter Holdings, LLC, Common units2024-12-310001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., First lien senior secured loan2024-12-310001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Senior subordinated loan 12024-12-310001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Senior subordinated loan 22024-12-310001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Class A LP interests2024-12-310001287750arcc:CentricBrandsLLCCentricBrandsTopCoLLCAndCentricBrandsL.P.Member2024-12-310001287750DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 12024-12-310001287750DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 22024-12-310001287750DRS Holdings III, Inc. and DRS Holdings I, Inc., Common stock2024-12-310001287750arcc:DRSHoldingsIIIIncAndDRSHoldingsIIncMember2024-12-310001287750Implus Footcare, LLC, First lien senior secured loan 12024-12-310001287750Implus Footcare, LLC, First lien senior secured loan 22024-12-310001287750Implus Footcare, LLC, First lien senior secured loan 32024-12-310001287750arcc:ImplusFootcareLLCMember2024-12-310001287750Johnnie-O Inc. and Johnnie-O Holdings Inc., First lien senior secured loan 2024-12-310001287750Johnnie-O Inc. and Johnnie-O Holdings Inc., Series A convertible preferred stock2024-12-310001287750Johnnie-O Inc. and Johnnie-O Holdings Inc., Warrant to purchase shares of common stock2024-12-310001287750arcc:JohnnieOIncAndJohnnieOHoldingsIncMember2024-12-310001287750Lew's Intermediate Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750Lew's Intermediate Holdings, LLC, First lien senior secured loan2024-12-310001287750arcc:LewsIntermediateHoldingsLLCMember2024-12-310001287750Pelican Products, Inc., First lien senior secured revolving loan2024-12-310001287750Pelican Products, Inc., Second lien senior secured loan2024-12-310001287750arcc:PelicanProductsIncMember2024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured revolving loan2024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan2024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 2024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 12024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 22024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 32024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., Limited partnership interest2024-12-310001287750arcc:RawlingsSportingGoodsCompanyIncAndEastonDiamondSportsLLCMember2024-12-310001287750Reef Lifestyle, LLC, First lien senior secured revolving loan 12024-12-310001287750Reef Lifestyle, LLC, First lien senior secured revolving loan 22024-12-310001287750Reef Lifestyle, LLC, First lien senior secured loan 12024-12-310001287750Reef Lifestyle, LLC, First lien senior secured loan 22024-12-310001287750arcc:ReefLifestyleLLCMember2024-12-310001287750S Toys Holdings LLC (fka The Step2 Company, LLC), Common units2024-12-310001287750S Toys Holdings LLC (fka The Step2 Company, LLC), Class B common units2024-12-310001287750S Toys Holdings LLC (fka The Step2 Company, LLC), Warrant to purchase units2024-12-310001287750arcc:SToysHoldingsLLCFkaTheStep2CompanyLLCMember2024-12-310001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 12024-12-310001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 22024-12-310001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 32024-12-310001287750Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, Class A common units2024-12-310001287750arcc:ShoesForCrewsGlobalLLCAndShoesForCrewsHoldingsLLCMember2024-12-310001287750St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured revolving loan2024-12-310001287750St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan2024-12-310001287750St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan 12024-12-310001287750arcc:StAthenaGlobalLLCAndStAthenaGlobalHoldingsLimitedMember2024-12-310001287750SVP-Singer Holdings Inc. and SVP-Singer Holdings LP, Class A common units2024-12-310001287750Team Acquisition Corporation, First lien senior secured loan2024-12-310001287750arcc:ConsumerDurablesAndApparelSectorMember2024-12-310001287750American Seafoods Group LLC and American Seafoods Partners LLC, Class A units2024-12-310001287750American Seafoods Group LLC and American Seafoods Partners LLC, Warrant to purchase units of Class A units2024-12-310001287750arcc:AmericanSeafoodsGroupLLCAndAmericanSeafoodsPartnersLLCMember2024-12-310001287750Badia Spices, LLC, First lien senior secured loan2024-12-310001287750Berner Food & Beverage, LLC, First lien senior secured revolving loan2024-12-310001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured loan2024-12-310001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P., Common units2024-12-310001287750arcc:BraggLiveFoodProductsLLCAndSPCInvestmentCoLPMember2024-12-310001287750CHG PPC Parent LLC & PPC CHG Blocker LLC, Common units2024-12-310001287750Demakes Borrower, LLC, First lien senior secured loan2024-12-310001287750Florida Food Products, LLC, First lien senior secured loan 12024-12-310001287750Florida Food Products, LLC, First lien senior secured loan 22024-12-310001287750Florida Food Products, LLC, Second lien senior secured loan2024-12-310001287750arcc:FloridaFoodProductsLLCMember2024-12-310001287750Gotham Greens Holdings, PBC, First lien senior secured loan2024-12-310001287750Gotham Greens Holdings, PBC, Series E-1 preferred stock 12024-12-310001287750Gotham Greens Holdings, PBC, Warrant to purchase shares of Series E-1 preferred stock2024-12-310001287750arcc:GothamGreensHoldingsPBCMember2024-12-310001287750KNPC HoldCo, LLC, First lien senior secured loan2024-12-310001287750KNPC HoldCo, LLC, First lien senior secured loan 12024-12-310001287750KNPC HoldCo, LLC, First lien senior secured loan 22024-12-310001287750KNPC HoldCo, LLC, First lien senior secured loan 32024-12-310001287750arcc:KNPCHoldCoLLCMember2024-12-310001287750Manna Pro Products, LLC, First lien senior secured revolving loan 12024-12-310001287750Manna Pro Products, LLC, First lien senior secured revolving loan 22024-12-310001287750arcc:MannaProProductsLLCMember2024-12-310001287750Max US Bidco Inc., First lien senior secured loan2024-12-310001287750RB Holdings InterCo, LLC, First lien senior secured revolving loan2024-12-310001287750RB Holdings InterCo, LLC, First lien senior secured loan2024-12-310001287750arcc:RBHoldingsInterCoLLCMember2024-12-310001287750Sugar PPC Buyer LLC, First lien senior secured loan2024-12-310001287750Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan2024-12-310001287750Teasdale Foods, Inc. and Familia Group Holdings Inc., Warrant to purchase shares of common stock2024-12-310001287750arcc:TeasdaleFoodsIncAndFamiliaGroupHoldingsIncMember2024-12-310001287750Triton Water Holdings, Inc., First lien senior secured loan2024-12-310001287750Triton Water Holdings, Inc., Senior subordinated loan2024-12-310001287750arcc:TritonWaterHoldingsIncMember2024-12-310001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan 12024-12-310001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan 22024-12-310001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 12024-12-310001287750Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 22024-12-310001287750Watermill Express, LLC and Watermill Express Holdings, LLC, Class A units2024-12-310001287750arcc:WatermillExpressLLCAndWatermillExpressHoldingsLLCMember2024-12-310001287750us-gaap:FoodAndBeverageSectorMember2024-12-310001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 12024-12-310001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 22024-12-310001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Preferred units 12024-12-310001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Preferred units 22024-12-310001287750Automotive Keys Group, LLC and Automotive Keys Investor, LLC, Class A common units2024-12-310001287750arcc:AutomotiveKeysGroupLLCAndAutomotiveKeysInvestorLLCMember2024-12-310001287750Collision SP Subco, LLC, First lien senior secured revolving loan2024-12-310001287750Collision SP Subco, LLC, First lien senior secured loan2024-12-310001287750arcc:CollisionSPSubcoLLCMember2024-12-310001287750Continental Acquisition Holdings, Inc., First lien senior secured loan 12024-12-310001287750Continental Acquisition Holdings, Inc., First lien senior secured loan 22024-12-310001287750arcc:ContinentalAcquisitionHoldingsIncMember2024-12-310001287750Eckler Purchaser LLC, Class A common units2024-12-310001287750Faraday Buyer, LLC, First lien senior secured loan 12024-12-310001287750Faraday Buyer, LLC, First lien senior secured loan 22024-12-310001287750arcc:FaradayBuyerLLCMember2024-12-310001287750Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc., Warrant to purchase shares of Class A common stock2024-12-310001287750Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, First lien senior secured revolving loan2024-12-310001287750Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Second lien senior secured loan2024-12-310001287750Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Co-invest units2024-12-310001287750arcc:HighlineAftermarketAcquisitionLLCHighlineAftermarketSCAcquisitionIncAndHighlinePPCBlockerLLCMember2024-12-310001287750New ChurcHill HoldCo LLC and Victory Topco, LP, First lien senior secured loan2024-12-310001287750New ChurcHill HoldCo LLC and Victory Topco, LP, Class A-2 common units2024-12-310001287750arcc:NewChurcHillHoldCoLLCAndVictoryTopcoLPMember2024-12-310001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured revolving loan2024-12-310001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 12024-12-310001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 22024-12-310001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 32024-12-310001287750Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 42024-12-310001287750Sun Acquirer Corp. and Sun TopCo, LP, Class A units2024-12-310001287750arcc:SunAcquirerCorpAndSunTopCoLPMember2024-12-310001287750Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, First lien senior secured loan2024-12-310001287750Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, Class A common units2024-12-310001287750arcc:TruckLiteCo.LLCEccoHoldingsCorp.AndClarienceTechnologiesLLCMember2024-12-310001287750arcc:AutomobilesAndComponentsSectorMember2024-12-310001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured revolving loan2024-12-310001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan2024-12-310001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan 12024-12-310001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, Class A units2024-12-310001287750arcc:ASPRPacAcquisitionCoLLCAndASPRPacHoldingsLPMember2024-12-310001287750Halex Holdings, Inc., Common stock2024-12-310001287750H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan2024-12-310001287750H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 12024-12-310001287750H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 22024-12-310001287750H-Food Holdings, LLC and Matterhorn Parent, LLC, Second lien senior secured loan2024-12-310001287750H-Food Holdings, LLC and Matterhorn Parent, LLC, Common units2024-12-310001287750arcc:HFoodHoldingsLLCAndMatterhornParentLLCMember2024-12-310001287750Meyer Laboratory, LLC and Meyer Parent, LLC, First lien senior secured loan2024-12-310001287750Meyer Laboratory, LLC and Meyer Parent, LLC, Common units2024-12-310001287750arcc:MeyerLaboratoryLLCAndMeyerParentLLCMember2024-12-310001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 12024-12-310001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 22024-12-310001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 12024-12-310001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 22024-12-310001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., Class A units2024-12-310001287750arcc:NelipakHoldingCompanyNelipakEuropeanHoldingsCooperatiefUAKNPAKHoldingsLPAndPAKNKNetherlandsTreasuryBVMember2024-12-310001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 12024-12-310001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 22024-12-310001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class A preferred units2024-12-310001287750Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., Class C units2024-12-310001287750arcc:NovipaxBuyerLLCAndNovipaxParentHoldingCompanyLLCMember2024-12-310001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, First lien senior secured loan2024-12-310001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Second lien senior secured loan2024-12-310001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Preferred units2024-12-310001287750Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Co-Invest units2024-12-310001287750arcc:PlaskolitePPCIntermediateIILLCAndPlaskolitePPCBlockerLLCMember2024-12-310001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan 12024-12-310001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan 22024-12-310001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 12024-12-310001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 22024-12-310001287750Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 32024-12-310001287750arcc:PrecisionConceptsInternationalLLCAndPrecisionConceptsCanadaCorporationMember2024-12-310001287750Reagent Chemical & Research, LLC, First lien senior secured revolving loan2024-12-310001287750Reagent Chemical & Research, LLC, First lien senior secured loan2024-12-310001287750arcc:ReagentChemicalResearchLLCMember2024-12-310001287750SCI PH Parent, Inc., Series B shares2024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 12024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 22024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 32024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 42024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 52024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 62024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, Warrant to purchase shares of ordinary shares2024-12-310001287750Vobev, LLC and Vobev Holdings, LLC, Warrant to purchase units of class B units2024-12-310001287750arcc:VobevLLCAndVobevHoldingsLLCMember2024-12-310001287750arcc:MaterialsSectorMember2024-12-310001287750Beacon Wellness Brands, Inc. and CDI Holdings I Corp., First lien senior secured loan2024-12-310001287750Beacon Wellness Brands, Inc. and CDI Holdings I Corp., Common stock2024-12-310001287750arcc:BeaconWellnessBrandsIncAndCDIHoldingsICorpMember2024-12-310001287750Foundation Consumer Brands, LLC, First lien senior secured loan 12024-12-310001287750Foundation Consumer Brands, LLC, First lien senior secured loan 22024-12-310001287750arcc:FoundationConsumerBrandsLLCMember2024-12-310001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., First lien senior secured loan 12024-12-310001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., First lien senior secured loan 22024-12-310001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., Preferred units2024-12-310001287750LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., Class B common units2024-12-310001287750arcc:LifeStylesBidcoLtd.LifestylesUSHoldcoInc.AndLifeStylesParentL.P.Member2024-12-310001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured revolving loan2024-12-310001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured loan2024-12-310001287750Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., Limited partner interests2024-12-310001287750arcc:PremierSpecialtiesInc.AndRMCFVCIVXLIVL.P.Member2024-12-310001287750RD Holdco Inc., Senior subordinated loan 12024-12-310001287750RD Holdco Inc., Senior subordinated loan 22024-12-310001287750RD Holdco Inc., Common stock2024-12-310001287750arcc:RDHoldcoIncMember2024-12-310001287750Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured revolving loan2024-12-310001287750Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured loan 12024-12-310001287750Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured loan 22024-12-310001287750Silk Holdings III Corp. and Silk Holdings I Corp., Common stock2024-12-310001287750arcc:SilkHoldingsIIICorp.AndSilkHoldingsICorpOneMember2024-12-310001287750TCI Buyer LLC and TCI Holdings, LP, First lien senior secured loan2024-12-310001287750TCI Buyer LLC and TCI Holdings, LP, Common stock2024-12-310001287750arcc:TCIBuyerLLCAndTCIHoldingsLPMember2024-12-310001287750Walnut Parent, Inc., First lien senior secured loan 12024-12-310001287750Walnut Parent, Inc., First lien senior secured loan 22024-12-310001287750arcc:WalnutParentIncMember2024-12-310001287750arcc:HouseholdAndPersonalProductsMember2024-12-310001287750GNZ Energy Bidco Limited and Galileo Co-investment Trust I, First lien senior secured loan2024-12-310001287750GNZ Energy Bidco Limited and Galileo Co-investment Trust I, Common units2024-12-310001287750arcc:GNZEnergyBidcoLimitedAndGalileoCoInvestmentTrustIMember2024-12-310001287750HighPeak Energy, Inc., First lien senior secured loan2024-12-310001287750Murchison Oil and Gas, LLC and Murchison Holdings, LLC, First lien senior secured loan2024-12-310001287750Murchison Holdings, LLC2024-12-310001287750Offen, Inc., First lien senior secured loan2024-12-310001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 12024-12-310001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 22024-12-310001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 32024-12-310001287750VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 42024-12-310001287750VPROP Operating, LLC and V SandCo, LLC, Class A units2024-12-310001287750arcc:VPROPOperatingLLCAndVSandCoLLCMember2024-12-310001287750us-gaap:EnergySectorMember2024-12-310001287750Chariot Buyer LLC, First lien senior secured loan2024-12-310001287750Everspin Technologies, Inc., Warrant to purchase shares of common stock2024-12-310001287750Excelitas Technologies Corp., First lien senior secured loan2024-12-310001287750FL Hawk Intermediate Holdings, Inc., First lien senior secured loan2024-12-310001287750ITI Holdings, Inc., First lien senior secured revolving loan 12024-12-310001287750ITI Holdings, Inc., First lien senior secured revolving loan 22024-12-310001287750ITI Holdings, Inc., First lien senior secured loan2024-12-310001287750arcc:ITIHoldingsIncMember2024-12-310001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 12024-12-310001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 22024-12-310001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 32024-12-310001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., Class A-2 units2024-12-310001287750PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., Limited partnership interests2024-12-310001287750arcc:PerkinElmerUSLLCAndNMPolarisCoInvestLPMember2024-12-310001287750Repairify, Inc. and Repairify Holdings, LLC, First lien senior secured revolving loan2024-12-310001287750Repairify, Inc. and Repairify Holdings, LLC, Class A common units2024-12-310001287750arcc:RepairifyIncAndRepairifyHoldingsLLCMember2024-12-310001287750arcc:TechnologyHardwareAndEquipmentMember2024-12-310001287750Ferrellgas, L.P. and Ferrellgas Partners, L.P., Senior preferred units2024-12-310001287750Ferrellgas, L.P. and Ferrellgas Partners, L.P., Class B units2024-12-310001287750arcc:FerrellgasLPAndFerrelgasPartnersLPMember2024-12-310001287750Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc., First lien senior secured loan2024-12-310001287750Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc., Class A common stock2024-12-310001287750arcc:OpalFuelsIntermediateHoldCoLLCAndOpalFuelsInc.Member2024-12-310001287750arcc:GasUtilitiesMember2024-12-310001287750Expereo USA, Inc. and Ristretto Bidco B.V., First lien senior secured loan2024-12-310001287750arcc:TelecommunicationServicesMember2024-12-310001287750Nordic Ferry Infrastructure AS, Senior subordinated loan 12024-12-310001287750Nordic Ferry Infrastructure AS Senior subordinated loan 22024-12-310001287750arcc:NordicFerryInfrastructureASMember2024-12-310001287750arcc:TransportationMember2024-12-310001287750EUR, CIBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750CAD, CIBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750EUR, RBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750NOK, RBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750CAD, RBC - Toronto, Company Settlement Date 01/21/20252024-12-310001287750EGP, RBC - Toronto, Company Settlement Date 08/21/20262024-12-310001287750EGP, RBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750EGP, CIBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750NZD, RBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750CAD, RBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750EGP, CIBC - Toronto, Company Settlement Date 08/21/20262024-12-310001287750AUD, CIBC - Toronto, Company Settlement Date 11/17/20262024-12-310001287750NOK, CIBC - Toronto, Company Settlement Date 01/24/20252024-12-310001287750arcc:InterestRateSwap1Member2024-12-310001287750arcc:InterestRateSwap1Memberus-gaap:AccountsPayableAndAccruedLiabilitiesMember2024-12-310001287750arcc:InterestRateSwap2Member2024-12-310001287750arcc:InterestRateSwap2Memberus-gaap:AccountsPayableAndAccruedLiabilitiesMember2024-12-310001287750arcc:InterestRateSwap3Member2024-12-310001287750arcc:InterestRateSwap3Memberus-gaap:AccountsPayableAndAccruedLiabilitiesMember2024-12-310001287750us-gaap:InterestRateSwapMember2024-12-310001287750Apex Clean Energy TopCo, LLC2024-01-012024-12-310001287750Apex Clean Energy TopCo, LLC2024-12-310001287750APG Intermediate Holdings Corporation and APG Holdings, LLC2024-01-012024-12-310001287750APG Intermediate Holdings Corporation and APG Holdings, LLC2024-12-310001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P.2024-01-012024-12-310001287750Bragg Live Food Products, LLC and SPC Investment Co., L.P.2024-12-310001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P.2024-01-012024-12-310001287750Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P.2024-12-310001287750Daylight Beta Parent LLC and CFCo, LLC2024-01-012024-12-310001287750Daylight Beta Parent LLC and CFCo, LLC2024-12-310001287750ESCP PPG Holdings, LLC2024-01-012024-12-310001287750ESCP PPG Holdings, LLC2024-12-310001287750European Capital UK SME Debt LP2024-01-012024-12-310001287750European Capital UK SME Debt LP2024-12-310001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP2024-01-012024-12-310001287750Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP2024-12-310001287750OPH NEP Investment, LLC2024-01-012024-12-310001287750OPH NEP Investment, LLC2024-12-310001287750PCG-Ares Sidecar Investment II, L.P.2024-01-012024-12-310001287750PCG-Ares Sidecar Investment II, L.P.2024-12-310001287750PCG-Ares Sidecar Investment, L.P.2024-01-012024-12-310001287750PCG-Ares Sidecar Investment, L.P.2024-12-310001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC2024-01-012024-12-310001287750Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC2024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC2024-01-012024-12-310001287750Production Resource Group, L.L.C. and PRG III, LLC2024-12-310001287750Shoes For crews Global, LLC and Shoes for crews Holdings, LLC2024-01-012024-12-310001287750Shoes For crews Global, LLC and Shoes for crews Holdings, LLC2024-12-310001287750Totes Isotoner Corporation and Totes Ultimate Holdco, Inc.2024-01-012024-12-310001287750Totes Isotoner Corporation and Totes Ultimate Holdco, Inc.2024-12-310001287750us-gaap:InvestmentAffiliatedIssuerNoncontrolledMember2024-01-012024-12-310001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC2024-01-012024-12-310001287750Absolute Dental Group LLC and Absolute Dental Equity, LLC2024-12-310001287750ACAS Equity Holdings Corporation2024-01-012024-12-310001287750ACAS Equity Holdings Corporation2024-12-310001287750ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.2024-01-012024-12-310001287750ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.2024-12-310001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC2024-01-012024-12-310001287750ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC2024-12-310001287750Eckler Industries, Inc. and Eckler Purchaser LLC2024-01-012024-12-310001287750Eckler Industries, Inc. and Eckler Purchaser LLC2024-12-310001287750Halex Holdings, Inc.2024-01-012024-12-310001287750Halex Holdings, Inc.2024-12-310001287750HCI Equity, LLC2024-01-012024-12-310001287750HCI Equity, LLC2024-12-310001287750Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC2024-01-012024-12-310001287750Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC2024-12-310001287750Imaging Business Machines, L.L.C. and Scanner Holdings Corporation2024-01-012024-12-310001287750Imaging Business Machines, L.L.C. and Scanner Holdings Corporation2024-12-310001287750Ivy Hill Asset Management, L.P.2024-01-012024-12-310001287750Ivy Hill Asset Management, L.P.2024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC2024-01-012024-12-310001287750Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC2024-12-310001287750Potomac Intermediate Holdings II LLC2024-01-012024-12-310001287750Potomac Intermediate Holdings II LLC2024-12-310001287750PS Operating Company LLC and PS Op Holdings LLC2024-01-012024-12-310001287750PS Operating Company LLC and PS Op Holdings LLC2024-12-310001287750RD Holdco Inc.2024-01-012024-12-310001287750RD Holdco Inc.2024-12-310001287750S Toys Holdings LLC (fka The Step2 Company, LLC)2024-01-012024-12-310001287750S Toys Holdings LLC (fka The Step2 Company, LLC)2024-12-310001287750Senior Direct Lending Program, LLC2024-01-012024-12-310001287750Senior Direct Lending Program, LLC2024-12-310001287750Startec Equity, LLC2024-01-012024-12-310001287750Startec Equity, LLC2024-12-310001287750SHO Holding I Corporation, Shoes For Crews (Europe) Limited and Never Slip TopCo, Inc.2024-01-012024-12-310001287750SHO Holding I Corporation, Shoes For Crews (Europe) Limited and Never Slip TopCo, Inc.2024-12-310001287750Visual Edge Technology, Inc.2024-01-012024-12-310001287750Visual Edge Technology, Inc.2024-12-310001287750VPROP Operating, LLC and V SandCo, LLC2024-01-012024-12-310001287750VPROP Operating, LLC and V SandCo, LLC2024-12-310001287750us-gaap:InvestmentAffiliatedIssuerControlledMember2024-01-012024-12-310001287750arcc:NonQualifyingAssetsMemberus-gaap:CustomerConcentrationRiskMemberarcc:InvestmentsAtFairValueAndOtherNonQualifyingAssetsMember2024-01-012024-12-310001287750McKenzie Creative Brands, LLC, First lien senior secured loan, First Out Tranche2024-12-310001287750DFC Global Facility Borrower III LLC, First lien senior secured revolving loan, Secured borrowing2024-12-3100012877503 Step Sports LLC2024-12-310001287750760203 N.B. LTD.2024-12-310001287750Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc.2024-12-310001287750Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC2024-12-310001287750Actfy Buyer, Inc.2024-12-310001287750Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP2024-12-310001287750Aduro Advisors, LLC2024-12-310001287750Advarra Holdings, Inc.2024-12-310001287750Aerin Medical Inc.2024-12-310001287750AI Fire Buyer, Inc. and AI Fire Parent LLC2024-12-310001287750AI Titan Parent, Inc.2024-12-310001287750Airx Climate Solutions, Inc.2024-12-310001287750Alcami Corporation and ACM Note Holdings, LLC2024-12-310001287750Aldinger Company Inc2024-12-310001287750Alera Group, Inc.2024-12-310001287750AMCP Clean Acquisition Company, LLC2024-12-310001287750American Residential Services L.L.C. and Aragorn Parent Holdings LP2024-12-310001287750Amerivet Partners Management, Inc. and AVE Holdings LP2024-12-310001287750Anaplan, Inc.2024-12-310001287750Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua2024-12-310001287750Apex Service Partners, LLC and Apex Service Partners Holdings, LLC2024-12-310001287750Applied Technical Services, LLC2024-12-310001287750Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc.2024-12-310001287750Aptean, Inc. and Aptean Acquiror Inc.2024-12-310001287750AQ Sage Buyer, LLC2024-12-310001287750AQ Sunshine, Inc.2024-12-310001287750Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc.2024-12-310001287750Artifact Bidco, Inc.2024-12-310001287750Artivion, Inc.2024-12-310001287750ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP2024-12-310001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (1)2024-12-310001287750ATI Restoration, LLC2024-12-310001287750Avalara, Inc.2024-12-310001287750Avalign Holdings, Inc. and Avalign Technologies, Inc.2024-12-310001287750Badia Spices, LLC2024-12-310001287750Bamboo US BidCo LLC2024-12-310001287750Banyan Software Holdings, LLC and Banyan Software, LP2024-12-310001287750BCPE Pequod Buyer, Inc.2024-12-310001287750Beacon Pointe Harmony, LLC2024-12-310001287750Beacon Wellness Brands, Inc. and CDI Holdings I Corp.2024-12-310001287750Belfor Holdings, Inc.2024-12-310001287750Benecon Midco II LLC and Benecon Holdings, LLC2024-12-310001287750Berner Food & Beverage, LLC2024-12-310001287750BGI Purchaser, Inc.2024-12-310001287750BGIF IV Fearless Utility Services, Inc.2024-12-310001287750BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC2024-12-310001287750BNZ TopCo B.V.2024-12-310001287750Bobcat Purchaser, LLC and Bobcat Topco, L.P.2024-12-310001287750Borrower R365 Holdings LLC2024-12-310001287750Bottomline Technologies, Inc. and Legal Spend Holdings, LLC2024-12-310001287750BradyPlus Holdings, LLC2024-12-310001287750Broadcast Music, Inc.2024-12-310001287750Businessolver.com, Inc.2024-12-310001287750Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP2024-12-310001287750Captive Resources Midco, LLC2024-12-310001287750Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc.2024-12-310001287750Center for Autism and Related Disorders, LLC2024-12-310001287750Centralsquare Technologies, LLC and Supermoose Newco, Inc.2024-12-310001287750Chariot Buyer LLC2024-12-310001287750City Line Distributors LLC and City Line Investments LLC2024-12-310001287750Clarion Home Services Group, LLC and LBC Breeze Holdings LLC2024-12-310001287750Cliffwater LLC2024-12-310001287750Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P.2024-12-310001287750CMG HoldCo, LLC and CMG Buyer Holdings, Inc.2024-12-310001287750Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc.2024-12-310001287750Collision SP Subco, LLC2024-12-310001287750Compex Legal Services, Inc.2024-12-310001287750Comprehensive EyeCare Partners, LLC2024-12-310001287750Computer Services, Inc.2024-12-310001287750Concert Golf Partners Holdco LLC2024-12-310001287750Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P.2024-12-310001287750Convera International Holdings Limited and Convera International Financial S.A R.L.2024-12-310001287750CoreLogic, Inc. and T-VIII Celestial Co-Invest LP2024-12-310001287750Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc.2024-12-310001287750Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc.2024-12-310001287750Coupa Holdings, LLC and Coupa Software Incorporated2024-12-310001287750Cradle Lux Bidco S.A.R.L.2024-12-310001287750Creek Parent, Inc. and Creek Feeder, L.P.2024-12-310001287750Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC2024-12-310001287750CST Holding Company2024-12-310001287750CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC2024-12-310001287750Datix Bidco Limited and RL Datix Holdings (USA), Inc.2024-12-310001287750Davidson Hotel Company LLC2024-12-310001287750DecoPac, Inc. and KCAKE Holdings Inc.2024-12-310001287750Demakes Borrower, LLC2024-12-310001287750Denali Holdco LLC and Denali Apexco LP2024-12-310001287750DFC Global Facility Borrower III LLC2024-12-310001287750DFS Holding Company, Inc.2024-12-310001287750Diamond Mezzanine 24 LLC2024-12-310001287750Diligent Corporation and Diligent Preferred Issuer, Inc.2024-12-310001287750Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc.2024-12-310001287750Dorado Bidco, Inc.2024-12-310001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP (1)2024-12-310001287750DP Flores Holdings, LLC2024-12-310001287750DriveCentric Holdings, LLC2024-12-310001287750Drogon Bidco Inc. & Drogon Aggregator LP2024-12-310001287750DRS Holdings III, Inc. and DRS Holdings I, Inc.2024-12-310001287750Duraserv LLC2024-12-310001287750Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP2024-12-310001287750Echo Purchaser, Inc.2024-12-310001287750Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc.2024-12-310001287750Edmunds Govtech, Inc.2024-12-310001287750EIS Legacy Holdco, LLC2024-12-310001287750Elemica Parent, Inc. & EZ Elemica Holdings, Inc.2024-12-310001287750Elevation Services Parent Holdings, LLC2024-12-310001287750Empower Payments Investor, LLC2024-12-310001287750Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc.2024-12-310001287750eResearch Technology, Inc. and Astorg VII Co-Invest ERT2024-12-310001287750ESHA Research, LLC and RMCF VI CIV XLVIII, L.P.2024-12-310001287750Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC2024-12-310001287750Eternal Aus Bidco Pty Ltd2024-12-310001287750Evolent Health LLC and Evolent Health, Inc.2024-12-310001287750Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc.2024-12-310001287750Excelitas Technologies Corp.2024-12-310001287750Expereo USA, Inc. and Ristretto Bidco B.V.2024-12-310001287750Extrahop Networks, Inc.2024-12-310001287750Faraday Buyer, LLC2024-12-310001287750Fever Labs, Inc.2024-12-310001287750Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L.2024-12-310001287750FL Hawk Intermediate Holdings, Inc.2024-12-310001287750Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc.2024-12-310001287750Flint OpCo, LLC2024-12-310001287750FlyWheel Acquireco, Inc.2024-12-310001287750Forescout Technologies, Inc.2024-12-310001287750Foundation Risk Partners, Corp.2024-12-310001287750FS Squared Holding Corp. and FS Squared, LLC2024-12-310001287750Galway Borrower LLC2024-12-310001287750Generator US Buyer, Inc. and Total Power Limited2024-12-310001287750Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc.2024-12-310001287750GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, 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Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC2024-12-310001287750MRI Software LLC2024-12-310001287750Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc.2024-12-310001287750NAS, LLC and Nationwide Marketing Group, LLC2024-12-310001287750Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V.2024-12-310001287750Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P.2024-12-310001287750Netsmart, Inc. and Netsmart Technologies, Inc.2024-12-310001287750New ChurcHill HoldCo LLC and Victory Topco, LP2024-12-310001287750Next Holdco, LLC2024-12-310001287750NMC Skincare Intermediate Holdings II, LLC2024-12-310001287750NMN Holdings III Corp. and NMN Holdings LP2024-12-310001287750North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P.2024-12-310001287750North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC2024-12-310001287750North Haven Stack Buyer, LLC2024-12-310001287750North Star Acquisitionco, LLC and Toucan Bidco Limited2024-12-310001287750Northwinds Holding, Inc. and Northwinds Services Group LLC2024-12-310001287750OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP2024-12-310001287750OMH-HealthEdge Holdings, LLC2024-12-310001287750OneDigital Borrower LLC2024-12-310001287750Optimizely North America Inc. and Optimizely Sweden Holdings AB2024-12-310001287750Packaging Coordinators Midco, Inc.2024-12-310001287750Paragon 28, Inc. and Paragon Advanced Technologies, Inc.2024-12-310001287750Paris US Holdco, Inc. & 1001028292 Ontario Inc.2024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P. 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(1)2024-12-310001287750WRE Sports Investments LLC2024-12-310001287750WSHP FC Acquisition LLC and WSHP FC Holdings LLC2024-12-310001287750XIFIN, Inc. and ACP Charger Co-Invest LLC2024-12-310001287750YE Brands Holdings, LLC2024-12-310001287750ZB Holdco LLC and ZB TopCo LLC2024-12-310001287750ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP2024-12-310001287750Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc.2024-12-310001287750arcc:RevolvingAndDelayedDrawLoanCommitmentsMember2024-12-310001287750AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP2024-12-310001287750Constellation Wealth Capital Fund, L.P.2024-12-310001287750DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP2024-12-310001287750GTCR F Buyer Corp. and GTCR (D) Investors LP2024-12-310001287750HFCP XI (Parallel - A), L.P.2024-12-310001287750High Street Buyer, Inc. and High Street Holdco LLC2024-12-310001287750Linden Structured Capital Fund II-A LP2024-12-310001287750LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P.2024-12-310001287750Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.2024-12-310001287750PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P.2024-12-310001287750Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.2024-12-310001287750Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.2024-12-310001287750Wellington-Altus Financial Inc.2024-12-310001287750Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, 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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 10-Q
ý       QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the quarterly period ended June 30, 2025

OR

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

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

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

Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading symbolName of each exchange on which registered
Common stock, par value $0.001 per shareARCCNASDAQ Global Select Market

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

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

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

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

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

Indicate the number of shares outstanding of each of the issuer’s classes of common stock, as of the latest practicable date.
Class Outstanding at July 25, 2025
Common stock, $0.001 par value 705,367,424



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








2



PART I - FINANCIAL INFORMATION
Item 1. Financial Statements

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

 As of
June 30, 2025December 31, 2024
(unaudited)
ASSETS
Investments at fair value  
Non-controlled/non-affiliate company investments$23,272 $22,145 
Non-controlled affiliate company investments615 707 
Controlled affiliate company investments3,999 3,868 
Total investments at fair value (amortized cost of $27,581 and $26,374, respectively)
27,886 26,720 
Cash and cash equivalents447 635 
Restricted cash217 225 
Interest receivable273 292 
Receivable for open trades33 224 
Other assets215 158 
Total assets$29,071 $28,254 
LIABILITIES 
Debt$14,109 $13,727 
Base management fee payable104 100 
Income based fee payable86 91 
Capital gains incentive fee payable84 105 
Interest and facility fees payable193 170 
Payable to participants74 163 
Interest rate swap collateral payable143 62 
Payable for open trades6 236 
Accounts payable and other liabilities158 121 
Deferred tax liabilities80 92 
Secured borrowings 32 
Total liabilities15,037 14,899 
Commitments and contingencies (Note 7)
STOCKHOLDERS’ EQUITY 
Common stock, par value $0.001 per share, 1,000 common shares authorized; 706 and 672 common shares issued and outstanding, respectively
1 1 
Capital in excess of par value13,244 12,502 
Accumulated undistributed earnings789 852 
Total stockholders’ equity14,034 13,355 
Total liabilities and stockholders’ equity$29,071 $28,254 
NET ASSETS PER SHARE$19.90 $19.89 

See accompanying notes to consolidated financial statements.

3


ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED STATEMENT OF OPERATIONS
(in millions, except per share data)
(unaudited)
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
INVESTMENT INCOME: 
From non-controlled/non-affiliate company investments: 
Interest income (excluding payment-in-kind (“PIK”) interest income)$433 $434 $864 $847 
PIK interest income47 43 87 85 
Capital structuring service fees33 56 76 82 
Dividend income (excluding PIK dividend income)8 9 11 33 
PIK dividend income75 64 141 119 
Other income18 12 34 24 
Total investment income from non-controlled/non-affiliate company investments614 618 1,213 1,190 
From non-controlled affiliate company investments:
Interest income (excluding PIK interest income)4 4 9 8 
PIK interest income4 5 9 6 
Capital structuring service fees 2  2 
Dividend income (excluding PIK dividend income)   1 
Other income 1  1 
Total investment income from non-controlled affiliate company investments8 12 18 18 
From controlled affiliate company investments:
Interest income (excluding PIK interest income)40 50 80 98 
PIK interest income5 3 10 8 
Capital structuring service fees1  4 2 
Dividend income (excluding PIK dividend income)74 69 147 135 
PIK dividend income1 1 2 2 
Other income2 2 3 3 
Total investment income from controlled affiliate company investments123 125 246 248 
Total investment income745 755 1,477 1,456 
EXPENSES:
Interest and credit facility fees188 174 374 333 
Base management fee104 91 206 178 
Income based fee86 93 171 181 
Capital gains incentive fee4 (13)(21)12 
Administrative and other fees4 3 8 6 
Other general and administrative9 8 17 15 
Total expenses395 356 755 725 
NET INVESTMENT INCOME BEFORE INCOME TAXES350 399 722 731 
Income tax expense, including excise taxes8 13 15 19 
NET INVESTMENT INCOME342 386 707 712 
REALIZED AND UNREALIZED GAINS (LOSSES) ON INVESTMENTS, FOREIGN CURRENCY AND OTHER TRANSACTIONS:
Net realized gains (losses):
Non-controlled/non-affiliate company investments228 (23)128 (28)
Non-controlled affiliate company investments (6)8 (6)
Controlled affiliate company investments(111)27 (111)28 
Foreign currency and other transactions(39)14 (8) 
Income tax expense on net realized gains(44)(28)(44)(29)
Net realized gains (losses)34 (16)(27)(35)
Net unrealized gains (losses):
Non-controlled/non-affiliate company investments(114)(32)(127)60 
Non-controlled affiliate company investments(22)16 (50)13 
Controlled affiliate company investments96 (38)94 (6)
Foreign currency and other transactions(10)(10)(54)20 
Net change in deferred tax liabilities35 16 59 21 
Net unrealized gains (losses)(15)(48)(78)108 
Net realized and unrealized gains (losses) on investments, foreign currency and other transactions19 (64)(105)73 
REALIZED LOSS ON EXTINGUISHMENT OF DEBT   (14)
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS$361 $322 $602 $771 
BASIC AND DILUTED NET INCOME PER COMMON SHARE (see Note 10)$0.52 $0.52 $0.88 $1.28 
WEIGHTED AVERAGE SHARES OF COMMON STOCK OUTSTANDING (see Note 10)695 616 686 603 
See accompanying notes to consolidated financial statements.
4

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Software and Services
ACP Avenu Midco LLC (14)Provider of technology solutions and hardware to U.S. state and local governments and motor vehicle agenciesFirst lien senior secured loan9.02%SOFR (S)4.75%04/202510/2029$13.2 $13.1 $13.1 (2)(10)
Actfy Buyer, Inc. (14)Software provider of end to end fraud management workflow solutionsFirst lien senior secured loan9.33%SOFR (M)5.00%05/202405/203162.9 62.9 62.9 (2)(10)
Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP (14)Provider of software services that support the management and security of computing devices, applications, data, and networksFirst lien senior secured loan9.80%SOFR (Q)5.50%07/202307/203042.3 42.3 42.3 (2)(6)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%09/202407/20306.9 6.9 6.9 (2)(6)(10)
Limited partnership interest10/20239,249,00010.2 12.1 (2)(6)
59.4 61.3 
Adonis Bidco Inc. (14)Provider of intellectual property management lifecycle softwareFirst lien senior secured loan9.80%SOFR (Q)5.50%02/202502/203211.1 11.1 10.9 (2)(10)
First lien senior secured loan
10.05% (3.00% PIK)
SOFR (Q)5.75%02/202502/2032231.9 231.9 229.6 (2)(10)
243.0 240.5 
AI Titan Parent, Inc. (14)Provider of plant maintenance / scheduling softwareFirst lien senior secured loan8.83%SOFR (M)4.50%08/202408/203161.5 61.5 61.5 (2)(10)
Anaplan, Inc. (14)Provider of cloud-based connected planning platforms for business analyticsFirst lien senior secured loan8.82%SOFR (Q)4.50%06/202206/20295.8 5.8 5.8 (2)(10)
APG Intermediate Holdings Corporation and APG Holdings, LLC (4)Aircraft performance software providerClass A membership units01/20209,750,0009.8 6.5 (2)
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. (14)Software platform for identification, prevention and management of substance use disorderFirst lien senior secured loan9.22%SOFR (M)4.75%05/202105/20272.8 2.8 2.8 (2)(10)
Aptean, Inc. and Aptean Acquiror Inc. (14)Provider of CRM, ERP and supply chain software applicationFirst lien senior secured loan9.07%SOFR (Q)4.75%01/202401/203130.5 30.4 30.5 (2)(10)
Artifact Bidco, Inc. (14)Supply chain risk management SaaS platform for global enterprise clientsFirst lien senior secured loan8.55%SOFR (Q)4.25%05/202407/203118.9 18.9 18.9 (2)(10)
Auctane, Inc.Provider of mailing and shipping solutionsFirst lien senior secured loan10.14%SOFR (S)5.75%10/202110/2028143.4 143.4 139.1 (2)(10)
Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc. (14)Vertical software businesses holding companyFirst lien senior secured revolving loan9.82%SOFR (M)5.50%01/202501/20311.2 1.2 1.2 (2)(6)(10)
First lien senior secured loan9.83%SOFR (M)5.50%01/202501/2031122.4 122.4 122.4 (2)(6)(10)
Series A Preferred Shares
14.00% PIK
01/202575,00078.5 78.5 (2)(6)
202.1 202.1 

See accompanying notes to consolidated financial statements.
5

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
BCPE Pequod Buyer, Inc. (14)Provider of wealth management technology solutions to financial institutionsFirst lien senior secured loan7.58%SOFR (M)3.25%09/202411/20311.0 1.0 1.0 (2)(17)
BCTO Ignition Purchaser, Inc.Enterprise software providerSenior subordinated loan
11.77% PIK
SOFR (Q)7.50%04/202310/20304.2 4.2 4.2 (2)(10)
Senior subordinated loan
11.77% PIK
SOFR (Q)7.50%03/202510/20302.4 2.4 2.4 (2)(10)
6.6 6.6 
Bobcat Purchaser, LLC and Bobcat Topco, L.P. (14)Healthcare software providerFirst lien senior secured loan9.05%SOFR (Q)4.75%06/202306/203015.6 15.6 15.6 (2)(10)
Class A-1 units06/20231,729,2281.7 1.7 
17.3 17.3 
Borrower R365 Holdings LLC (14)Provider of restaurant enterprise resource planning systemsFirst lien senior secured loan10.45%SOFR (Q)6.00%06/202106/202715.9 15.8 15.9 (2)(10)
First lien senior secured loan10.45%SOFR (Q)6.00%01/202206/20271.9 1.9 1.9 (2)(10)
17.7 17.8 
Bottomline Technologies, Inc. (14)Provider of payment automation solutionsFirst lien senior secured loan8.80%SOFR (Q)4.50%04/202505/202916.6 16.6 16.6 (2)(10)
Businessolver.com, Inc. (14)Provider of SaaS-based benefits solutions for employers and employeesFirst lien senior secured loan9.87%SOFR (Q)5.50%12/202112/20271.7 1.7 1.7 (2)(10)
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. (14)Provider of software and technology-enabled content and analytical solutions to insurance brokersFirst lien senior secured loan8.95%SOFR (Q)4.50%04/202411/202716.7 16.1 16.2 (2)(10)(17)
Second lien senior secured loan12.19%SOFR (Q)7.75%11/202011/202871.6 71.2 70.2 (2)(10)
Series A preferred shares
11.00% PIK
11/202024,89841.5 37.7 (2)
Series A-2 preferred shares
11.00% PIK
12/20208,96314.7 13.4 (2)
Series A-3 preferred shares
11.00% PIK
11/202111,95217.8 16.2 (2)
161.3 153.7 
Centralsquare Technologies, LLC and Supermoose Newco, Inc. (14)Provider of mission-critical software solutions for the public sectorFirst lien senior secured revolving loan04/202404/2030  (2)(12)
First lien senior secured loan
10.32% (3.25% PIK)
SOFR (M)6.00%04/202404/2030143.8 143.8 143.8 (2)(10)
Series A preferred stock
15.00% PIK
04/202483,33299.6 99.6 (2)
243.4 243.4 
Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. (14)Provider of server, application and desktop virtualization, networking, software as a service, and cloud computing technologiesSecond lien senior secured notes9.00%04/202309/2029121.0 114.1 125.2 (2)(17)
Limited partnership interests09/202212,250,00012.3 36.3 (2)
126.4 161.5 
Community Brands ParentCo, LLCSoftware and payment services provider to non-profit institutionsClass A units12/2016500,0005.0 1.7 (2)
Computer Services, Inc. (14)Infrastructure software provider to community banksFirst lien senior secured loan9.58%SOFR (Q)5.25%11/202211/202933.3 33.3 33.3 (2)(10)

See accompanying notes to consolidated financial statements.
6

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.58%SOFR (Q)5.25%02/202411/20295.3 5.3 5.3 (2)(10)
First lien senior secured loan9.08%SOFR (Q)4.75%09/202411/20290.1 0.1 0.1 (2)(10)
38.7 38.7 
Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P.Provider of sales software for the interior design industryCommon units05/2021483,5844.8 9.4 (2)(6)
Series A common units09/202223,3400.2 0.5 (2)(6)
5.0 9.9 
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP (14)Provider of information, insight, analytics, software and other outsourced services primarily to the mortgage, real estate and insurance sectorsFirst lien senior secured revolving loan7.69%SOFR (M)3.25%06/202106/202612.7 12.7 12.6 (2)
Second lien senior secured loan10.94%SOFR (M)6.50%06/202106/2029155.7 155.7 150.8 (2)(10)(17)
Limited partnership units04/202159,665,98959.7 44.7 (2)
228.1 208.1 
Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc. (14)Provider of environmental, health and safety software to track compliance dataFirst lien senior secured loan9.05%SOFR (Q)4.75%07/201907/20266.1 6.1 6.1 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%10/201907/20264.3 4.3 4.3 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%09/202007/20260.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%09/202207/20260.2 0.2 0.2 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%04/202307/20267.6 7.6 7.6 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%11/202407/20264.0 4.0 4.0 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%01/202507/202621.5 21.5 21.5 (2)(6)(10)
Preferred equity
9.00% PIK
07/20191980.3 1.1 (2)(6)
Common equity07/2019190,143  (2)(6)
44.1 44.9 
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. (14)Provider of a cloud-based, SaaS platform for talent managementFirst lien senior secured revolving loan7.44%SOFR (M)3.00%10/202110/20268.4 8.4 7.8 (2)(13)
First lien senior secured loan8.19%SOFR (M)3.75%06/202410/202816.5 14.9 15.5 (2)(10)(17)
Second lien senior secured loan10.94%SOFR (M)6.50%10/202110/2029137.5 137.5 125.8 (2)(10)
Series A preferred shares
10.50% PIK
10/2021116,413170.2 144.6 (2)
Class A-1 common stock10/20211,360,10013.6 21.6 (2)
344.6 315.3 
Coupa Holdings, LLC and Coupa Software Incorporated (14)Provider of Business Spend Management softwareFirst lien senior secured loan9.53%SOFR (Q)5.25%03/202302/20309.0 9.0 9.0 (2)(10)
Databricks, Inc.Cloud-based data and AI platform that helps companies scale and manage dataFirst lien senior secured loan8.83%SOFR (M)4.50%12/202401/20310.1 0.1 0.1 (2)

See accompanying notes to consolidated financial statements.
7

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Datix Bidco Limited and RL Datix Holdings (USA), Inc. (14)Global healthcare software company that provides software solutions for patient safety and risk managementFirst lien senior secured revolving loan9.56%SOFR (Q)5.25%04/202410/20303.4 3.4 3.4 (2)(6)(10)
First lien senior secured revolving loan9.48%SONIA (S)5.25%04/202410/20300.7 0.7 0.7 (2)(6)(10)
First lien senior secured loan9.54%SOFR (S)5.25%04/202404/2031104.6 104.6 104.6 (2)(6)(10)
First lien senior secured loan9.48%SONIA (S)5.25%04/202404/203158.2 53.1 58.2 (2)(6)(10)
161.8 166.9 
Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P.Provider of internet security tools and solutionsSecond lien senior secured loan11.33%SOFR (M)7.00%05/202202/202920.3 18.3 17.5 (2)(17)
Series A preferred shares
10.50% PIK
05/2021129,822197.5 162.0 (2)
Series A units05/2021817,19413.3 14.7 (2)
229.1 194.2 
Denali Holdco LLC and Denali Apexco LP (14)Provider of cybersecurity audit and assessment servicesFirst lien senior secured loan9.07%SOFR (M)4.75%07/202409/202810.6 10.6 10.6 (2)(10)
Class A units02/20222,549,0002.5 4.9 (2)
13.1 15.5 
Diligent Corporation and Diligent Preferred Issuer, Inc. (14)Provider of secure SaaS solutions for board and leadership team documentsFirst lien senior secured revolving loan9.33%SOFR (Q)5.00%04/202408/20300.2 0.2 0.2 (2)(10)(13)
First lien senior secured loan9.33%SOFR (Q)5.00%04/202408/203023.5 23.4 23.5 (2)(10)
Preferred stock
10.50% PIK
04/202113,14019.5 19.3 (2)
43.1 43.0 
DriveCentric Holdings, LLC (14)Provider of CRM software to the automotive dealership industryFirst lien senior secured loan8.82%SOFR (Q)4.50%08/202408/203112.1 12.1 12.1 (2)(10)
Echo Purchaser, Inc. (14)Software provider of mission critical security, supply chain, and collaboration solutions for highly regulated end marketsFirst lien senior secured loan9.83%SOFR (M)5.50%11/202311/202911.4 11.4 11.4 (2)(10)
Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc. (14)Payment processing solution providerFirst lien senior secured loan9.06%SOFR (M)4.75%09/202409/2031196.1 196.1 196.1 (2)(10)
Preferred units
12.50% PIK
09/20246567.2 7.2 (2)
Class A common units09/20245630.6 0.6 (2)
203.9 203.9 
Edmunds Govtech, Inc. (14)Provider of ERP software solutions for local governmentsFirst lien senior secured revolving loan8.05%SOFR (Q)3.75%02/202402/20301.7 1.7 1.7 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%02/202402/203121.6 21.6 21.6 (2)(10)
23.3 23.3 
Einstein Parent, Inc. (14)Provider of SaaS based collaborative work management softwareFirst lien senior secured loan10.77%SOFR (Q)6.50%01/202501/203145.9 45.9 45.0 (2)(10)

See accompanying notes to consolidated financial statements.
8

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Elemica Parent, Inc. & EZ Elemica Holdings, Inc. (14)SaaS based supply chain management software provider focused on chemical marketsFirst lien senior secured revolving loan9.96%SOFR (Q)5.50%05/202409/20266.8 6.8 6.8 (2)(10)
First lien senior secured loan9.92%SOFR (Q)5.50%09/201909/202659.6 59.6 59.0 (2)(10)
First lien senior secured loan9.91%SOFR (Q)5.50%12/202009/20265.6 5.6 5.5 (2)(10)
First lien senior secured loan9.97%SOFR (Q)5.50%05/202409/20264.9 4.9 4.8 (2)(10)
Preferred equity09/20194,5994.6 5.5 (2)
81.5 81.6 
Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc. (14)SaaS based business analytics company focused on oil and gas industryFirst lien senior secured revolving loan9.82%SOFR (M)5.50%12/202312/20290.5 0.5 0.5 (2)(10)
First lien senior secured revolving loan9.82%SOFR (M)5.50%06/202412/20290.2 0.1 0.2 (2)(10)
First lien senior secured loan9.83%SOFR (M)5.50%12/202312/2029137.4 137.4 137.4 (2)(10)
Preferred stock
13.50% PIK
02/20203059.4 60.3 (2)
197.4 198.4 
EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P.Provider of entertainment workforce and production management solutionsFirst lien senior secured loan9.06%SOFR (Q)4.50%06/202311/202857.9 57.6 57.9 (2)(10)
Second lien senior secured loan11.06%SOFR (Q)6.50%11/202111/202988.9 88.9 87.2 (2)(10)
Partnership units05/20195,034,4833.0 9.6 (2)(6)
149.5154.7
eResearchTechnology, Inc. and Astorg VII Co-Invest ERT (14)Provider of mission-critical, software-enabled clinical research solutionsFirst lien senior secured loan9.08%SOFR (M)4.75%01/202501/2032181.9 181.9 180.1 (2)(10)
Limited partnership interest01/20203,988,0004.5 9.0 (2)(6)
186.4 189.1 
ESHA Research, LLC and RMCF VI CIV XLVIII, L.P. (14)Provider of nutritional information and software as a services (SaaS) compliance solutionsFirst lien senior secured revolving loan9.71%SOFR (S)5.50%06/202206/20280.7 0.7 0.7 (2)(10)
First lien senior secured loan9.65%SOFR (S)5.50%06/202206/20286.7 6.7 6.7 (2)(10)
Limited partner interests06/20226,246,8016.2 9.4 
13.6 16.8 
Extrahop Networks, Inc. (14)Provider of real-time wire data analytics solutions for application and infrastructure monitoringFirst lien senior secured loan10.93%SOFR (M)6.50%07/202107/202735.3 35.3 35.3 (2)(10)
First lien senior secured loan10.93%SOFR (M)6.50%03/202307/20273.9 3.9 3.9 (2)(10)
39.2 39.2 
Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L. (14)Provider of back-office software services for the banking sectorFirst lien senior secured loan11.57%SOFR (Q)7.25%09/202309/2029188.1 185.5 188.1 (2)(6)(10)
Forescout Technologies, Inc. (14)Network access control solutions providerFirst lien senior secured loan9.33%SOFR (Q)5.00%05/202405/203113.5 13.5 13.4 (2)(10)

See accompanying notes to consolidated financial statements.
9

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
GHP-VGS Purchaser LLC (14)Provider of assessment software and third party appraisal servicesFirst lien senior secured loan9.43%SOFR (S)4.75%04/202504/203214.3 14.3 14.1 (2)(10)
GI Ranger Intermediate LLC (14)Provider of payment processing services and software to healthcare providersFirst lien senior secured loan10.18%SOFR (M)5.75%10/202110/20289.9 9.9 9.7 (2)(10)
First lien senior secured loan10.18%SOFR (M)5.75%03/202210/20283.1 3.1 3.0 (2)(10)
13.0 12.7 
Goldeneye Parent, LLC (14)Provider of clinical trial financial solutionsFirst lien senior secured loan9.30%SOFR (Q)5.00%03/202503/203217.4 17.4 17.3 (2)(10)
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC (14)Provider of data analysis, statistics, and visualization software solutions for scientific research applicationsFirst lien senior secured loan9.08%SOFR (M)4.75%06/202406/20317.3 7.3 7.3 (2)(10)
First lien senior secured loan11.25%Base Rate (Q)3.75%06/202406/20311.7 1.7 1.7 (2)(10)
Senior subordinated loan
10.50% PIK
04/202104/203256.4 56.4 56.4 (2)
Preferred units
14.00% PIK
04/20211,828,64585.2 85.2 
150.6 150.6 
Guidepoint Security Holdings, LLC (14)Cybersecurity solutions providerFirst lien senior secured loan9.58%SOFR (M)5.25%10/202310/20296.7 6.7 6.7 (2)(10)
First lien senior secured loan9.58%SOFR (M)5.25%12/202410/20292.4 2.4 2.4 (2)(10)
9.1 9.1 
Heavy Construction Systems Specialists, LLC (14)Provider of construction softwareFirst lien senior secured loan9.05%SOFR (Q)4.75%11/202111/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%03/202411/202813.8 13.8 13.8 (2)(10)
13.9 13.9 
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP (14)Insurance software providerFirst lien senior secured revolving loan9.64%SOFR (M)5.25%11/202111/20277.0 7.0 6.9 (2)(10)
First lien senior secured loan9.68%SOFR (M)5.25%11/202111/202858.9 58.9 57.7 (2)(10)
Senior subordinated loan
10.00% PIK
11/202111/2031127.4 127.4 114.6 (2)
Company units11/20214,246,4578.8 4.0 (2)
202.1 183.2 
Hyland Software, Inc. (14)Enterprise content management software providerFirst lien senior secured loan9.33%SOFR (M)5.00%09/202309/203096.1 95.0 96.1 (2)(10)
iCapital, Inc.Provider of platform solutions that increase access to alternative investments for institutional investors and wealth managersCommon stock04/202571,4301.0 1.0 (2)
Icefall Parent, Inc. (14)Provider of customer engagement software and integrated payments solutionsFirst lien senior secured loan10.03%SOFR (Q)5.75%01/202401/203016.7 16.7 16.7 (2)(10)
ID.me, LLC (14)Provider of remote digital identity verification solutionsFirst lien senior secured revolving loan10.00%01/202501/203113.4 13.4 13.1 (2)
First lien senior secured loan
10.25% (5.25% PIK)
01/202501/2031107.9 99.0 96.0 (2)
Warrant to purchase shares of common stock01/202501/20356,924,7089.6 9.8 (2)

See accompanying notes to consolidated financial statements.
10

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
122.0 118.9 
Internet Truckstop Group LLC (14)Provider of freight-moving lifecycle softwareFirst lien senior secured loan9.70%SOFR (Q)5.25%06/202404/202739.5 39.2 39.5 (2)(10)
IQN Holding Corp. (14)Provider of extended workforce management softwareFirst lien senior secured revolving loan9.58%SOFR (Q)5.25%05/202205/20281.7 1.7 1.7 (2)(10)
First lien senior secured loan
10.08% (3.13% PIK)
SOFR (Q)5.75%05/202205/20291.4 1.4 1.4 (2)(10)
3.1 3.1 
JAMS Holdings LP and Jams Buyer LLC (14)Provider of IT operations management and cybersecurity softwareFirst lien senior secured loan9.83%SOFR (Q)5.50%06/202506/203214.4 14.4 14.2 (2)(10)
Preferred units
8.00% PIK
06/20251,001,0001.0 1.0 (2)
15.4 15.2 
Kaseya Inc. and Knockout Intermediate Holdings I Inc.Provider of cloud-based software and technology solutions for small and medium sized businessesPreferred stock
14.92% PIK
SOFR (S)10.75%06/202224,44236.5 36.5 (2)(10)
LeanTaaS Holdings, Inc. (14)Provider of SaaS tools to optimize healthcare asset utilizationFirst lien senior secured loan11.80%SOFR (Q)7.50%07/202207/202869.0 69.0 69.0 (2)(10)
Majesco and Magic Topco, L.P. (14)Insurance software providerFirst lien senior secured loan9.05%SOFR (Q)4.75%09/202009/202817.9 17.9 17.9 (2)(10)
Class A units
9.00% PIK
09/20202,5393.9 6.6 (2)
Class B units09/2020570,625  (2)
21.8 24.5 
Metatiedot Bidco OY and Metatiedot US, LLC (14)Enterprise content management platformFirst lien senior secured loan7.26%Euribor (Q)5.25%11/202411/20318.2 7.4 8.2 (2)(6)(10)
First lien senior secured loan9.58%SOFR (Q)5.25%11/202411/20315.2 5.2 5.2 (2)(6)(10)
12.6 13.4 
Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSpCybersecurity solutions providerFirst lien senior secured loan8.83%SOFR (M)4.50%05/202205/202958.2 58.2 58.2 (2)(6)(10)
First lien senior secured loan8.72%SONIA (Q)4.50%05/202205/202938.5 34.7 38.5 (2)(6)(10)
First lien senior secured loan8.83%SOFR (M)4.50%03/202405/20295.1 5.1 5.1 (2)(6)(10)
Limited partnership interest05/20223,97539.8 46.2 (2)(6)
137.8 148.0 
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. (14)Software and payment services provider to faith-based institutionsFirst lien senior secured revolving loan12.00%Base Rate (Q)4.50%12/202112/20270.7 0.7 0.7 (2)(10)(13)
First lien senior secured loan9.93%SOFR (M)5.50%12/202112/202838.8 38.8 38.0 (2)(10)
Limited partner interests12/20219,574,0009.6 6.2 (2)
49.1 44.9 
Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc. (14)Provider of practice management, EHR, and RCM software to medical specialistsFirst lien senior secured loan
9.55% (2.75% PIK)
SOFR (Q)5.25%04/202504/203269.6 69.6 68.9 (2)(10)
Series A preferred stock
13.00% PIK
04/202524,49925.0 24.4 (2)
94.6 93.3 

See accompanying notes to consolidated financial statements.
11

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC (14)Leading technology solution provider for casing and auditioning to the entertainment industryFirst lien senior secured revolving loan9.87%SOFR (S)5.75%08/202208/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.87%SOFR (Q)5.75%08/202208/202824.5 24.5 24.5 (2)(10)
Class A units
8.00% PIK
08/202245,3205.7 3.9 
30.3 28.5 
Motor Vehicle Software Corporation (14)Provider of electronic registration and titling software to auto dealersFirst lien senior secured loan9.05%SOFR (Q)4.75%01/202501/203282.5 82.5 81.9 (2)(10)
MRI Software LLC (14)Provider of real estate and investment management softwareFirst lien senior secured revolving loan9.05%SOFR (Q)4.75%02/202002/20270.2 0.2 0.2 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%02/202002/202713.4 13.4 13.4 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%08/202002/202723.8 23.8 23.8 (2)(10)
37.4 37.4 
Netsmart, Inc. and Netsmart Technologies, Inc. (14)Developer and operator of health care software and technology solutionsFirst lien senior secured loan
9.28% (2.45% PIK)
SOFR (M)4.95%08/202408/203132.7 32.7 32.7 (2)(10)
North Star Acquisitionco, LLC and Toucan Bidco Limited (14)Literacy solution software provider for grades k-12First lien senior secured loan8.86%NIBOR (Q)4.50%04/202405/20296.2 5.7 6.2 (2)(6)
First lien senior secured loan8.72%SONIA (Q)4.50%04/202405/20293.9 3.6 3.9 (2)(6)
First lien senior secured loan8.80%SOFR (Q)4.50%04/202405/202925.5 25.5 25.5 (2)(6)(10)
First lien senior secured loan8.91%SONIA (Q)4.75%04/202405/20291.7 1.7 1.8 (2)(6)
First lien senior secured loan8.80%SOFR (Q)4.50%04/202405/20294.0 4.0 4.0 (2)(6)(10)
40.5 41.4 
Optimizely North America Inc. and Optimizely Sweden Holdings AB (14)Provider of web content management and digital commerce solutionsFirst lien senior secured loan9.33%SOFR (M)5.00%10/202410/20315.7 5.6 5.7 (2)(6)(10)
First lien senior secured loan7.23%Euribor (M)5.25%10/202410/20312.2 2.1 2.2 (2)(6)(10)
First lien senior secured loan9.72%SONIA (M)5.50%10/202410/20311.0 0.9 1.0 (2)(6)(10)
8.6 8.9 
PCMI Parent, LLC and PCMI Ultimate Holdings, LP (14)Developer and provider of administration software for managing service contracts and extended warranty productsFirst lien senior secured loan9.82%SOFR (Q)5.50%03/202503/203221.2 21.2 21.1 (2)(10)
Class A units
9.00% PIK
03/20251,0141.0 1.0 (2)
Class B units03/2025241,447  (2)
22.2 22.1 
PDDS HoldCo, Inc. (14)Provider of cloud-based dental practice management softwareFirst lien senior secured revolving loan11.95%SOFR (Q)7.50%07/202207/20280.2 0.2 0.2 (2)(10)
First lien senior secured loan11.95%SOFR (Q)7.50%07/202207/202813.4 13.4 13.4 (2)(10)
13.6 13.6 

See accompanying notes to consolidated financial statements.
12

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC (14)Provider of enterprise management software for the convenience retail and petroleum wholesale marketFirst lien senior secured revolving loan9.78%SOFR (Q)5.50%02/202402/20310.3 0.3 0.3 (2)(10)
First lien senior secured revolving loan12.00%Base Rate (Q)4.50%02/202402/20310.7 0.7 0.7 (2)(10)
First lien senior secured loan9.78%SOFR (Q)5.50%01/202402/20318.8 8.8 8.8 (2)(10)
Series A preferred stock
13.25% PIK
03/201913,65631.1 31.3 (2)
Class A units03/20192,062,4932.1 4.6 (2)
43.0 45.7 
Petvisor Holdings, LLC (14)Provider of veterinarian-focused SaaS solutionsFirst lien senior secured loan9.80%SOFR (Q)5.50%06/202211/20296.0 6.0 6.0 (2)(10)
First lien senior secured loan9.82%SOFR (Q)5.50%11/202311/20293.0 3.0 3.0 (2)(10)
First lien senior secured loan
10.80% (4.88% PIK)
SOFR (Q)6.50%11/202311/202910.7 10.7 10.7 (2)(10)
19.7 19.7 
Ping Identity Holding Corp. (14)Provider of identity and access management solutionsFirst lien senior secured loan9.05%SOFR (Q)4.75%10/202210/202911.2 11.2 11.2 (2)(10)
Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC (4)(14)Online education learning platformFirst lien senior secured loan
8.83% (1.50% PIK)
SOFR (Q)4.50%08/202408/202921.6 21.6 21.6 (2)(10)
First lien senior secured loan
11.83% PIK
SOFR (Q)7.50%08/202408/202920.9 20.9 20.9 (2)(10)
Common units08/20246,356,81214.3 9.6 (2)
56.8 52.1 
Poseidon IntermediateCo, Inc. (14)Provider of practice management software to law firmsFirst lien senior secured loan8.81%SOFR (M)4.50%06/202506/203228.2 28.2 28.1 (2)(10)
PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC (14)Software provider for medical practitionersFirst lien senior secured revolving loan8.78%SOFR (Q)4.50%08/202308/20290.5 0.5 0.5 (2)(10)
First lien senior secured loan10.03%SOFR (Q)5.75%08/202308/202936.4 36.4 36.4 (2)(10)
Senior subordinated loan
14.00% PIK
08/202308/203050.0 50.0 50.0 (2)
Class A units
8.00% PIK
03/202133,220,28227.0 36.8 (2)
113.9 123.7 
Project Potter Buyer, LLC and Project Potter Parent, L.P. (14)Software solutions provider to the ready-mix concrete industryFirst lien senior secured loan9.80%SOFR (Q)5.50%04/202004/202742.5 42.5 42.5 (2)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%10/202004/20270.1 0.1 0.1 (2)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%11/202004/202711.7 11.7 11.7 (2)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%07/202404/202717.8 17.8 17.8 (2)(10)
First lien senior secured loan9.57%SOFR (Q)5.25%06/202504/202725.7 25.7 25.7 (2)(10)
Class B units04/2020588,636 2.8 (2)
97.8 100.6 
Proofpoint, Inc. (14)Cybersecurity solutions providerFirst lien senior secured loan7.33%SOFR (M)3.00%06/202108/20281.0 0.9 1.0 (2)(10)(17)

See accompanying notes to consolidated financial statements.
13

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
QBS Parent, Inc. (14)Provider of vertical software solutions and related implementation, migration, and integration servicesFirst lien senior secured loan8.80%SOFR (Q)4.50%11/202406/203215.4 15.4 15.3 (2)(10)
QF Holdings, Inc. (14)SaaS based electronic health record software providerFirst lien senior secured revolving loan9.08%SOFR (Q)4.75%09/201912/20270.1 0.1 0.1 (2)(10)
First lien senior secured loan9.03%SOFR (Q)4.75%09/201912/20276.7 6.7 6.7 (2)(10)
First lien senior secured loan9.04%SOFR (Q)4.75%08/202012/20274.9 4.9 4.9 (2)(10)
First lien senior secured loan9.03%SOFR (Q)4.75%12/202112/20278.1 8.1 8.1 (2)(10)
First lien senior secured loan9.08%SOFR (Q)4.75%12/202312/20275.0 5.0 5.0 (2)(10)
First lien senior secured loan9.13%SOFR (Q)4.75%03/202512/20275.5 5.5 5.5 (2)(10)
30.3 30.3 
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC (14)Provider of SaaS-based safety and security software to the K-12 school marketFirst lien senior secured revolving loan9.02%SOFR (Q)4.75%10/202110/20273.8 3.8 3.8 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%10/202110/20288.3 8.3 8.3 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%04/202310/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%05/202410/20288.0 8.0 8.0 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%12/202410/202824.9 24.9 24.9 (2)(10)
Class A common units12/20182,880,5823.5 8.8 
48.6 53.9 
Regent Education, Inc.Provider of software solutions designed to optimize the financial aid and enrollment processesWarrant to purchase shares of common stock12/201612/20265,393,194  
Warrant to purchase shares of common stock12/201612/2026987  
  
Relativity ODA LLC (14)Electronic discovery document review software platform for use in litigations and investigationsFirst lien senior secured loan8.83%SOFR (M)4.50%07/202405/20296.6 6.6 6.6 (2)(10)
Revalize, Inc. (14)Developer and operator of software providing configuration, price and quote capabilitiesFirst lien senior secured revolving loan10.20%SOFR (Q)5.75%05/202204/20270.7 0.7 0.6 (2)(10)
First lien senior secured loan10.19%SOFR (Q)5.75%05/202204/20270.7 0.7 0.6 (2)(10)
1.4 1.2 
RMS HoldCo II, LLC & RMS Group Holdings, Inc. (14)Developer of revenue cycle management solutions, process automation, analytics and integration for the healthcare industryFirst lien senior secured loan9.28%SOFR (Q)5.00%12/202112/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%08/202212/20280.2 0.2 0.2 (2)(10)
Class A common stock12/20215665.5 2.8 (2)
5.8 3.1 

See accompanying notes to consolidated financial statements.
14

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Runway Bidco, LLC (14)Provider of workload automation softwareFirst lien senior secured loan9.30%SOFR (Q)5.00%12/202412/203142.7 42.3 42.3 (2)(10)
Sapphire Software Buyer, Inc. (14)Provider of application security testing solutionsFirst lien senior secured loan9.22%SOFR (S)5.00%09/202409/203131.6 31.6 31.6 (2)(10)
Severin Acquisition, LLC (14)Provider of student information system software solutions to the K-12 education market in North AmericaFirst lien senior secured revolving loan9.08%SOFR (M)4.75%09/202410/203111.8 11.8 11.7 (2)(10)
First lien senior secured loan
9.33% (2.25% PIK)
SOFR (M)5.00%09/202410/2031138.3 138.2 136.9 (2)(10)
150.0 148.6 
Smarsh Inc. and Skywalker TopCo, LLC (14)SaaS based communication archival service providerFirst lien senior secured revolving loan9.05%SOFR (Q)4.75%02/202202/20290.9 0.9 0.9 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%02/202202/20293.4 3.4 3.4 (2)(10)
Common units11/20201,742,6236.3 9.6 (2)
10.6 13.9 
SocialFlow, Inc.Social media optimization platform providerWarrant to purchase shares of Series C preferred stock01/201601/2026215,331  
SoundCloud LimitedPlatform for receiving, sending, and distributing musicCommon stock08/201773,4220.4 0.7 (2)(6)
Spaceship Purchaser, Inc. (14)SaaS based website builder and hosting platformFirst lien senior secured revolving loan10/202410/2031   (2)(12)
First lien senior secured loan9.30%SOFR (Q)5.00%10/202410/2031100.4 100.4 100.4 (2)(10)
100.4 100.4 
Spark Purchaser, Inc. (14)Software platform for Medicare application processFirst lien senior secured loan9.80%SOFR (Q)5.50%04/202404/203130.6 30.6 30.6 (2)(10)
Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp (14)Provider of data, analytics, news, and workflow tools to customers in the counter-cyclical distressed debt spaceFirst lien senior secured revolving loan09/202209/2028   (2)(10)(12)
First lien senior secured loan8.90%SOFR (Q)4.50%09/202209/20282.5 2.5 2.5 (2)(10)
First lien senior secured loan8.89%SOFR (Q)4.50%12/202309/20281.6 1.6 1.6 (2)(10)
First lien senior secured loan8.93%SOFR (Q)4.50%05/202509/20280.8 0.8 0.8 (2)(10)
Limited partner interests09/20221,01010.2 18.4 (2)
15.123.3
Storable, Inc. and EQT IX Co-Investment (E) SCSPPayment management system solutions and web services for the self-storage industryLimited partnership interests04/2021614,9506.6 12.2 (2)(6)
Sundance Group Holdings, Inc. (14)Provider of cloud-based document management and collaboration solutionsFirst lien senior secured revolving loan8.80%SOFR (Q)4.50%09/202407/20291.2 1.2 1.2 (2)(10)
First lien senior secured loan8.80%SOFR (Q)4.50%09/202407/20294.0 4.0 4.0 (2)(10)
5.2 5.2 
Superman Holdings, LLC (14)Provider of ERP software for the construction industryFirst lien senior secured loan8.80%SOFR (Q)4.50%08/202408/203142.7 42.7 42.7 (2)(10)

See accompanying notes to consolidated financial statements.
15

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C. (14)Provider of environment, health, safety, and sustainability softwareFirst lien senior secured revolving loan10.22%SOFR (Q)5.75%03/202203/20281.0 1.0 1.0 (2)(10)
First lien senior secured loan10.22%SOFR (Q)5.75%03/202203/202834.3 34.3 34.3 (2)(10)
First lien senior secured loan10.19%SOFR (Q)5.75%10/202303/202810.8 10.8 10.8 (2)(10)
First lien senior secured loan10.22%SOFR (Q)5.75%06/202403/20285.8 5.8 5.8 (2)(10)
Class A-2 units03/20225,0575.1 7.5 
57.0 59.4 
TCP Hawker Intermediate LLC (14)Workforce management solutions providerFirst lien senior secured revolving loan8.05%SOFR (Q)3.75%11/202408/20293.6 3.6 3.6 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%08/201908/202950.5 50.5 50.5 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%11/202408/20292.0 2.0 2.0 (2)(10)
56.1 56.1 
Transit Technologies LLC (14)Provider of transportation management software and
specialty telematics solutions
First lien senior secured loan8.89%SOFR (S)4.75%08/202408/203112.0 12.0 12.0 (2)(10)
UKG Inc. and H&F Unite Partners, L.P.Provider of cloud based HCM solutions for businessesLimited partnership interests05/201912,583,55612.6 30.5 (2)(6)
UserZoom Technologies, Inc.User experience research automation softwareFirst lien senior secured loan11.78%SOFR (Q)7.50%02/202304/20295.8 5.7 5.8 (2)(10)
Vamos Bidco, Inc. (14)Provider of software and data services to the alcoholic beverage industryFirst lien senior secured loan9.05%SOFR (Q)4.75%01/202501/203218.2 18.2 18.0 (2)(10)
Victors Purchaser, LLC and WP Victors Co-Investment, L.P. (14)Third-party maintenance provider for hardware and data center infrastructureFirst lien senior secured loan9.05%SOFR (Q)4.75%08/202408/20316.6 6.6 6.6 (2)(10)
Partnership units08/20242,482,0002.5 2.8 (2)
9.1 9.4 
Viper Bidco, Inc. (14)Provider of SaaS based supply chain risk management solutionsFirst lien senior secured loan9.30%SOFR (Q)5.00%11/202411/203117.7 17.7 17.5 (2)(10)
First lien senior secured loan9.22%SONIA (Q)5.00%11/202411/203111.2 10.3 11.1 (2)(10)
28.0 28.6 
WebPT, Inc. and WPT Intermediate Holdco, Inc. (14)Electronic medical record software providerFirst lien senior secured revolving loan10.68%SOFR (Q)6.25%08/201901/20280.7 0.7 0.7 (2)(10)
First lien senior secured loan10.68%SOFR (Q)6.25%08/201901/20280.1 0.1 0.1 (2)(10)
Senior subordinated loan
13.25% PIK
05/202405/202969.7 69.7 68.2 (2)
70.5 69.0 
Wellington Bidco Inc. and Wellington TopCo LP (14)Provider of ERP and payments software for local governmentsFirst lien senior secured revolving loan9.05%SOFR (Q)4.75%06/202406/20300.6 0.6 0.6 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%06/202406/20304.0 4.0 4.0 (2)(10)
Class A-2 preferred units06/20242,323,0002.4 2.5 (2)
7.0 7.1 

See accompanying notes to consolidated financial statements.
16

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Wellness AcquisitionCo, Inc. (14)Provider of retail consumer insights and analytics for manufacturers and retailers in the natural, organic and specialty products industryFirst lien senior secured loan9.05%SOFR (Q)4.75%01/202101/202911.4 11.4 11.4 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%02/202201/20293.0 3.0 3.0 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%02/202501/20293.9 3.9 3.9 (2)(10)
18.3 18.3 
WorkWave Intermediate II, LLC (14)Provider of cloud-based field services and fleet management solutionsFirst lien senior secured revolving loan10.40%SOFR (Q)6.00%06/202106/20271.1 1.1 1.1 (2)(10)
First lien senior secured loan
10.90% (3.25% PIK)
SOFR (Q)6.50%06/202106/202753.9 53.9 53.9 (2)(10)
First lien senior secured loan
10.90% (3.25% PIK)
SOFR (Q)6.50%02/202206/202719.6 19.6 19.6 (2)(10)
First lien senior secured loan
10.90% (3.25% PIK)
SOFR (Q)6.50%03/202406/20276.5 6.5 6.5 (2)(10)
81.1 81.1 
ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP (14)Provider of cloud-based customer support solutionsFirst lien senior secured loan9.32%SOFR (Q)5.00%12/202211/202832.8 32.8 32.8 (2)(10)
Series A preferred stock
13.79% PIK
SOFR (Q)9.50%11/202219,39826.9 27.0 (2)(10)
Class A common units11/2022269,1002.7 2.7 (2)
62.4 62.5 
ZocDoc, Inc.Healthcare marketplace connecting patients and providersFirst lien senior secured loan10.82%SOFR (Q)6.50%05/202405/202974.1 72.0 74.1 (2)(10)
6,557.1 6,552.3 46.69%
Health Care Equipment and Services
Absolute Dental Group LLC and Absolute Dental Equity, LLC (5)(14)Dental services providerFirst lien senior secured revolving loan
11.50% PIK
Base Rate (Q)4.00%06/202106/20263.0 3.0 3.0 (2)(10)
First lien senior secured revolving loan
9.56% PIK
SOFR (Q)5.00%06/202106/202617.0 17.0 17.0 (2)(10)
First lien senior secured loan
9.56% PIK
SOFR (Q)5.00%09/202406/202643.4 43.4 43.4 (2)(10)
Class A preferred units09/202420,000,00016.2 0.1 (2)
Class A common units06/20216,553,5534.7  (2)
84.3 63.5 
ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC (5)(14)Dental services providerFirst lien senior secured loan
11.45% (3.00% PIK)
SOFR (Q)7.00%09/201609/202615.6 15.6 15.6 (2)(10)
Second lien senior secured loan
10.00% PIK
06/202303/202748.4 48.4 48.4 (2)
Membership units09/20163,000,000  (2)
Class A common units06/20237,776,18129.4 0.1 (2)
93.4 64.1 

See accompanying notes to consolidated financial statements.
17

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Advarra Holdings, Inc. (14)Provider of central institutional review boards over clinical trialsFirst lien senior secured loan8.83%SOFR (M)4.50%08/202209/20314.0 4.0 4.0 (2)(10)
Aerin Medical Inc. (14)Developer and manufacturer of non-invasive nasal treatment solutionsFirst lien senior secured loan
11.55% (3.88% PIK)
SOFR (Q)7.25%12/202412/203013.3 13.1 13.3 (2)(10)
Series G preferred shares12/2024877,3791.0 1.0 (2)
14.1 14.3 
AHR Funding Holdings, Inc. and AHR Parent Holdings, LPProvider of revenue cycle management solutions to hospitalsSeries A preferred shares
12.75% PIK
07/202207/202835,00050.8 50.8 (2)
Preferred units
8.00% PIK
07/20229,90012.5 13.8 (2)
Class B common units07/2022100,0000.1 0.1 (2)
63.4 64.7 
Amerivet Partners Management, Inc. and AVE Holdings LPVeterinary practice management platformSubordinated loan
16.50% PIK
11/202312/203071.8 70.7 62.5 (2)
Class A units03/20242,9222.9  (2)
Class C units11/20237,1441.4  (2)
75.0 62.5 
Artivion, Inc. (14)Manufacturer, processor and distributor of medical devices and implantable human tissuesFirst lien senior secured revolving loan8.30%SOFR (Q)4.00%01/202401/20300.9 0.9 0.9 (2)(6)(10)
First lien senior secured loan10.55%SOFR (Q)6.25%01/202401/203011.5 11.5 11.5 (2)(6)(10)
12.4 12.4 
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (14)(15)Revenue cycle management provider to the physician practices and acute care hospitalsFirst lien senior secured loan7.08%SOFR (M)2.75%07/202302/20290.1 0.1 0.1 (2)(10)(17)
Series A preferred stock
10.75% PIK
02/2022198,505285.3 285.3 (2)
Class A units02/202210,487,95110.5 14.5 (2)
295.9 299.9 
Avalign Holdings, Inc. and Avalign Technologies, Inc. (14)Full-service contract manufacturer of medical device components for the orthopedic OEM industryFirst lien senior secured revolving loan10.83%SOFR (M)6.50%03/202412/20281.6 1.6 1.4 (2)(10)
First lien senior secured loan
11.58% (3.63% PIK)
SOFR (Q)7.25%03/202412/202839.4 39.4 35.4 (2)(10)
41.0 36.8 
BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LPOpiod treatment providerFirst lien senior secured loan9.56%SOFR (Q)5.00%05/202206/20275.8 5.9 5.1 (2)(10)
Bambino Group Holdings, LLCDental services providerClass A preferred units12/20161,000,0001.0 0.7 (2)
BrightStar Group Holdings, Inc. (14)Provider of private-pay home care services for patientsFirst lien senior secured revolving loan9.30%SOFR (Q)5.00%02/202503/20320.2 0.2 0.2 (2)(10)
First lien senior secured loan9.25%SOFR (S)5.00%02/202503/203227.0 27.0 26.8 (2)(10)
27.2 27.0 

See accompanying notes to consolidated financial statements.
18

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
BVI Medical, Inc. and BVI Group Limited (14)Developer, manufacturer, and distributor of diverse ophthalmic surgical productsFirst lien senior secured loan
10.58% (5.00% PIK)
SOFR (M)6.25%03/202503/2032138.1 138.1 136.0 (2)(6)(10)
Ordinary shares03/20253,7425.0 4.4 (2)(6)
143.1 140.4 
Color Intermediate, LLCProvider of pre-payment integrity software solutionFirst lien senior secured loan9.15%SOFR (Q)4.75%10/202210/202919.9 19.9 19.9 (2)(10)
Comprehensive EyeCare Partners, LLC (14)Vision care practice management companyFirst lien senior secured revolving loan
10.95% (2.50% PIK)
SOFR (M)6.50%02/201807/20252.0 2.0 1.9 (2)(10)
First lien senior secured loan
11.02% (2.50% PIK)
SOFR (M)6.50%02/201807/20250.3 0.3 0.3 (2)(10)
2.3 2.2 
Convey Health Solutions, Inc.Healthcare workforce management software providerFirst lien senior secured loan
9.65% (4.25% PIK)
SOFR (Q)5.25%09/201907/20291.9 1.9 1.5 (2)(6)(10)
First lien senior secured loan
9.52% (4.25% PIK)
SOFR (S)5.25%02/202207/20290.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan
9.52% (4.25% PIK)
SOFR (S)5.25%10/202207/20290.1 0.1 0.1 (2)(6)(10)
2.1 1.7 
Cradle Lux Bidco S.A.R.L. (14)Provider of consumables and equipment for ART and IVF proceduresFirst lien senior secured loan9.77%SOFR (S)5.50%11/202411/20312.9 2.9 2.9 (2)(6)(10)
First lien senior secured loan7.60%Euribor (S)5.50%11/202411/203112.3 11.4 12.5 (2)(6)(10)
14.3 15.4 
Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC (14)Provider of medical devices and services for the treatment of positional plagiocephalyFirst lien senior secured revolving loan9.94%SOFR (Q)5.50%03/202203/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.95%SOFR (Q)5.50%03/202203/202923.9 23.9 23.9 (2)(10)
Class A shares03/20221921.9 2.6 (2)
Common units03/2022310.3 0.4 (2)
26.2 27.0 
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC (14)Veterinary hospital operatorFirst lien senior secured loan9.07%SOFR (M)4.75%06/202406/203131.4 31.4 31.4 (2)(10)
Class A preferred units08/20233,6782.6 1.9 (2)
Common stock10/201941,44314.5 21.2 (2)
48.5 54.5 
Empower Payments Investor, LLC (14)Financial communication and payment solutions providerFirst lien senior secured loan8.83%SOFR (M)4.50%03/202403/203132.8 32.2 32.8 (2)(10)
First lien senior secured loan8.80%SOFR (Q)4.50%06/202503/20318.9 8.8 8.9 (2)(10)
41.0 41.7 
Evolent Health LLC and Evolent Health, Inc.Medical technology company focused on value based care services and payment solutionsFirst lien senior secured loan9.68%SOFR (Q)5.25%12/202412/202931.1 31.1 31.1 (2)(6)(10)
Series A preferred shares10.29%SOFR (Q)6.00%01/202301/20293,8343.8 3.8 (2)(6)(10)
34.9 34.9 
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC (14)On-demand supply chain automation solutions provider to the healthcare industryFirst lien senior secured loan9.05%SOFR (Q)4.75%12/202412/2031231.5 231.5 231.5 (2)(10)

See accompanying notes to consolidated financial statements.
19

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A units06/201715,706,53412.9 48.7 (2)
244.4 280.2 
Global Medical Response, Inc. and GMR Buyer Corp.Emergency air medical services providerFirst lien senior secured loan
9.83% (0.75% PIK)
SOFR (Q)5.50%06/202210/202841.2 39.5 41.2 (2)(10)(17)
Series B preferred shares
15.00% PIK
05/2024126,377149.2 149.2 (2)
Warrant to purchase units of common stock03/201803/2028115,7330.9 1.0 (2)
Warrant to purchase units of common stock12/202112/20311,9270.1  (2)
Warrants to purchase shares of common stock05/202405/20313,116,642 27.5 (2)
189.7 218.9 
Himalaya TopCo LLC (14)Provider of software solutions to healthcare payors.First lien senior secured loan9.33%SOFR (M)5.00%06/202506/2032230.3 230.3 228.0 (2)(10)
Honor Technology, Inc.Nursing and home care providerWarrant to purchase shares of Series D-2 preferred stock08/202108/2031133,3330.1  (2)
HuFriedy Group Acquisition LLC (14)Manufacturer of surgical dental equipment and sterile instrumentsFirst lien senior secured revolving loan9.81%SOFR (Q)5.50%05/202405/20300.4 0.4 0.4 (2)(10)(13)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202405/203174.9 74.9 74.9 (2)(10)
75.3 75.3 
KBHS Acquisition, LLC (d/b/a Alita Care, LLC) (14)Provider of behavioral health servicesFirst lien senior secured revolving loan03/201703/20274.2 4.2 3.4 (2)(9)
Lifescan Global CorporationProvider of blood glucose monitoring systems for home and hospital useFirst lien senior secured loan05/202212/20266.7 5.1 4.4 (2)(9)(17)
Second lien senior secured loan05/202203/20270.2 0.2  (2)(9)
5.3 4.4 
LivTech Purchaser, Inc. (14)Provider of senior care end-to-end software, payments and RCM platformFirst lien senior secured loan8.81%SOFR (Q)4.50%11/202411/20319.3 9.3 9.3 (2)(10)
Napa Management Services Corporation and ASP NAPA Holdings, LLCAnesthesia management services providerPreferred units
15.00% PIK
06/20201,8420.2 0.2 (2)
Senior preferred units
8.00% PIK
06/20205,3200.4 0.4 (2)
Class A units04/201625,2772.5 3.2 (2)
3.1 3.8 
Next Holdco, LLC (14)Provider of electronic medical record and practice management softwareFirst lien senior secured loan9.55%SOFR (Q)5.25%11/202311/20306.5 6.5 6.5 (2)(10)
NMN Holdings III Corp. and NMN Holdings LP (14)Provider of complex rehabilitation technology solutions for patients with mobility lossFirst lien senior secured revolving loan11.00%Base Rate (Q)3.50%07/202407/20310.7 0.7 0.7 (2)(10)(13)
First lien senior secured loan8.83%SOFR (M)4.50%07/202407/2031165.9 165.9 165.9 (2)(10)
Partnership units11/201830,0003.0 7.2 (2)
169.6 173.8 
Nomi Health, Inc.Provider of software payment services for healthcare industryFirst lien senior secured loan12.55%SOFR (Q)8.25%07/202307/202811.4 11.4 10.3 (2)(10)

See accompanying notes to consolidated financial statements.
20

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan12.55%SOFR (Q)8.25%06/202407/20286.8 6.8 6.2 (2)(10)
Warrant to purchase shares of Series B preferred stock07/202307/20339,941  (2)
Warrant to purchase units of Class A common stock06/202406/203422,211  (2)
18.2 16.5 
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC (5)(14)Behavioral health and special education platform providerFirst lien senior secured loan
13.95% PIK
SOFR (Q)9.50%01/202302/20274.0 4.0 4.0 (2)(10)
First lien senior secured loan09/201902/202769.5 49.3 25.0 (2)(9)
First lien senior secured loan02/202202/202714.1 10.2 5.1 (2)(9)
Preferred units07/2021417,189  (2)
Preferred stock02/20227,9833.1  (2)
Class A common units09/20199,549,0009.5  (2)
Common units02/20227,584  (2)
76.1 34.1 
Pathway Vet Alliance LLC and Jedi Group Holdings LLC (14)Veterinary hospital operatorSecond lien senior secured loan03/202006/202878.6 75.5 51.1 (2)(9)
Class R common units03/20206,004,7686.0  (2)
81.5 51.1 
PetVet Care Centers, LLC (14)Veterinary hospital operatorFirst lien senior secured loan10.33%SOFR (M)6.00%11/202311/2030130.8 130.8 117.7 (2)(10)
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP (14)Provider of employer-sponsored onsite health and wellness clinics and pharmaciesFirst lien senior secured revolving loan9.57%SOFR (M)5.25%02/202403/20300.3 0.3 0.3 (2)(10)(13)
First lien senior secured loan9.55%SOFR (Q)5.25%02/202403/203153.9 53.9 53.9 (2)(10)
Class A units07/20189,7759.8 19.5 (2)
64.0 73.7 
Revival Animal Health, LLC (14)B2B distributor of animal health productsFirst lien senior secured revolving loan10.30%SOFR (Q)6.00%01/202501/20280.4 0.4 0.4 (2)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%01/202501/202826.9 26.9 26.6 (2)(10)
First lien senior secured loan10.29%SOFR (Q)6.00%04/202501/20282.0 2.0 2.0 (2)(10)
29.3 29.0 
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc. (14)Manufacturer of biologic, metal and synthetic implants/devicesFirst lien senior secured loan11.13%SOFR (S)6.75%07/202007/202619.2 19.2 19.2 (2)(10)
First lien senior secured loan11.20%SOFR (Q)6.75%12/202407/20263.1 3.1 3.1 (2)(10)
22.3 22.3 
SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLCOutsourced anesthesia providerCommon units03/2018684,8544.8 2.2 (2)
SOC Telemed, Inc. and PSC Spark Holdings, LPProvider of acute care telemedicineFirst lien senior secured loan
11.80% (2.00% PIK)
SOFR (Q)7.50%08/202208/2027108.4 106.4 100.8 (2)(10)
Class A-2 units08/20224,8124.9 1.4 (2)
Warrant to purchase units of common stock08/202208/20296,1184.7 0.4 (2)
116.0 102.6 

See accompanying notes to consolidated financial statements.
21

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Spruce Bidco II Inc. (14)Provider of medical devices relating to dialysis treatments and services for kidney diseaseFirst lien senior secured loan7.68%CDOR (S)5.00%01/202501/203227.9 26.2 27.5 (2)(10)
First lien senior secured loan5.73%TONA (S)5.25%01/202501/203228.2 26.2 27.8 (2)(10)
First lien senior secured loan9.13%SOFR (S)5.00%01/202501/2032195.8 195.8 192.9 (2)(10)
248.2 248.2 
Surescripts, LLC (14)Healthcare network for e-prescription routing, patient eligibility checks, and secure exchange of medical recordsFirst lien senior secured loan8.30%SOFR (Q)4.00%11/202411/203157.9 57.9 57.9 (2)(10)
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. (14)SaaS based healthcare compliance platform providerFirst lien senior secured revolving loan8.04%SOFR (Q)3.75%12/202012/20271.4 1.4 1.2 (2)
First lien senior secured revolving loan10.25%Base Rate (Q)2.75%12/202012/20271.3 1.3 1.2 (2)
First lien senior secured loan8.88%SOFR (Q)4.50%02/202212/202728.6 27.9 26.0 (2)(10)(17)
First lien senior secured loan9.63%SOFR (Q)5.25%04/202412/202717.2 17.2 16.0 (2)(10)
Second lien senior secured loan12.25%SOFR (Q)7.88%12/202012/202876.2 76.2 70.9 (2)(10)
Second lien senior secured loan
14.38% (4.00% PIK)
SOFR (Q)10.00%04/202412/202854.0 54.0 52.9 (2)(10)
Series C-1 preferred shares
11.00% PIK
06/202175,939124.9 107.4 (2)
Series C-2 preferred shares
11.00% PIK
06/202140,11562.5 53.8 (2)
Series C-3 preferred shares
11.00% PIK
10/202116,20124.4 21.0 (2)
389.8 350.4 
Tempus AI, Inc.Provider of technology enabled precision medicine solutionsFirst lien senior secured loan
12.53% (3.25% PIK)
SOFR (Q)8.25%09/202209/202776.3 76.3 78.4 (2)(6)(10)
First lien senior secured loan
12.53% (3.25% PIK)
SOFR (Q)8.25%04/202309/202722.2 22.2 22.8 (2)(6)(10)
First lien senior secured loan
12.53% (3.25% PIK)
SOFR (Q)8.25%10/202309/20279.5 9.5 9.7 (2)(6)(10)
First lien senior secured loan
12.55% (3.25% PIK)
SOFR (Q)8.25%02/202502/203031.3 31.3 31.3 (2)(6)(10)
Common units10/202360,8211.9 3.9 (2)(6)(17)
141.2146.1
Therapy Brands Holdings LLCProvider of software solutions for the mental and behavioral health market segmentsSecond lien senior secured loan11.19%SOFR (M)6.75%06/202105/202929.1 29.0 24.7 (2)(10)
U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc.Anesthesiology service providerSecond lien senior secured loan11.94%SOFR (M)7.50%10/202110/2029147.8 147.8 147.8 (2)(10)
Common stock12/20213,671,42912.9 9.2 (2)
160.7 157.0 
U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P. (14)Integrated urologic care platformFirst lien senior secured loan9.05%SOFR (Q)4.75%04/202504/203210.8 10.8 10.7 (2)(10)

See accompanying notes to consolidated financial statements.
22

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Limited partnership interest04/20252,190,0002.2 2.2 (2)
13.0 12.9 
United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP (14)Gastroenterology physician groupFirst lien senior secured revolving loan10.07%SOFR (Q)5.75%03/202303/20290.7 0.7 0.7 (2)(10)
First lien senior secured loan10.05%SOFR (Q)5.75%03/202303/202910.4 10.4 10.4 (2)(10)
Class A interests03/20234,6234.6 6.5 
15.7 17.6 
Viant Medical Holdings, Inc.Manufacturer of plastic and rubber components for health care equipmentFirst lien senior secured loan8.33%SOFR (M)4.00%10/202410/20315.0 5.0 5.0 (2)(17)
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. (14)Veterinary hospital operatorFirst lien senior secured loan10.18%SOFR (M)5.75%12/202112/20276.1 6.1 6.1 (2)(10)
First lien senior secured loan10.18%SOFR (M)5.75%08/202212/20279.0 9.0 9.0 (2)(10)
First lien senior secured loan10.07%SOFR (M)5.75%08/202312/202712.3 12.3 12.3 (2)(10)
First lien senior secured loan10.17%SOFR (M)5.75%03/202412/20272.7 2.7 2.7 (2)(10)
First lien senior secured loan9.67%SOFR (M)5.25%01/202512/20271.8 1.8 1.8 (2)(10)
Class A-2 units12/20217,5247.5 12.7 (2)
Class A-2 units03/2023450.1 0.1 (2)
39.5 44.7 
WSHP FC Acquisition LLC and WSHP FC Holdings LLC (14)Provider of biospecimen products for pharma researchFirst lien senior secured revolving loan12.41%SOFR (Q)8.00%03/201803/202815.3 15.3 13.0 (2)(10)(13)
First lien senior secured loan
11.95% (4.00% PIK)
SOFR (Q)7.50%03/201803/202833.8 33.8 28.7 (2)(10)
First lien senior secured loan
11.95% (4.00% PIK)
SOFR (Q)7.50%02/201903/20284.6 4.6 3.9 (2)(10)
First lien senior secured loan
12.43% (4.50% PIK)
SOFR (Q)8.00%08/201903/20288.6 8.6 7.3 (2)(10)
First lien senior secured loan
11.94% (4.00% PIK)
SOFR (Q)7.50%08/201903/20285.5 5.5 4.7 (2)(10)
First lien senior secured loan
11.95% (4.00% PIK)
SOFR (Q)7.50%10/201903/202811.0 10.9 9.3 (2)(10)
First lien senior secured loan
11.95% (4.00% PIK)
SOFR (Q)7.50%10/202103/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan
11.95% (4.00% PIK)
SOFR (Q)7.50%11/202103/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan
11.95% (4.00% PIK)
SOFR (Q)7.50%07/202203/202831.8 31.8 27.0 (2)(10)
Class A preferred units11/20244550.3  
Common units07/202235,2995.0 0.6 
116.094.7
3,746.7 3,604.7 25.69%
Financial Services
Aduro Advisors, LLC (14)Provider of fund administration servicesFirst lien senior secured loan9.08%SOFR (M)4.75%07/202407/20308.2 8.2 8.2 (2)(10)

See accompanying notes to consolidated financial statements.
23

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
AQ Sage Buyer, LLC (14)Provider of actuarial consulting and comprehensive wealth management servicesFirst lien senior secured revolving loan10.43%SOFR (M)6.00%05/202201/20270.3 0.3 0.3 (2)(6)(10)
First lien senior secured loan10.47%SOFR (S)6.00%05/202201/20273.5 3.5 3.4 (2)(6)(10)
3.8 3.7 
BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLCProvider of comprehensive suite of investment management and wealth planning solutionsFirst lien senior secured loan11.21%SOFR (Q)6.75%09/202109/20270.2 0.2 0.2 (2)(10)
Senior subordinated loan
9.30% PIK
09/202109/20266.3 6.3 6.3 (2)
Common units09/20216,482,7436.5 11.8 (2)
13.0 18.3 
Beacon Pointe Harmony, LLC (14)Provider of comprehensive wealth management servicesFirst lien senior secured loan9.07%SOFR (Q)4.75%12/202112/202819.5 19.5 19.5 (2)(6)(10)
First lien senior secured loan9.08%SOFR (M)4.75%07/202312/20283.8 3.8 3.8 (2)(6)(10)
First lien senior secured loan9.05%SOFR (M)4.75%06/202412/20282.2 2.2 2.2 (2)(6)(10)
25.5 25.5 
Clearstead Advisors, LLC (14)A leading wealth management firm focused on serving institutional and high net-worth private clientsFirst lien senior secured revolving loan8.83%SOFR (M)4.50%05/202502/20280.3 0.3 0.3 (2)(6)(10)
First lien senior secured loan8.79%SOFR (S)4.50%05/202502/20288.4 8.4 8.4 (2)(6)(10)
8.7 8.7 
Convera International Holdings Limited and Convera International Financial S.A R.L. (14)Provider of B2B international payment and FX risk management solutionsFirst lien senior secured loan10.45%SOFR (Q)6.00%03/202203/20280.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan10.45%SOFR (Q)6.00%06/202303/20280.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan10.45%SOFR (Q)6.00%11/202403/20288.8 8.8 8.8 (2)(6)(10)
9.0 9.0 
Corient Holdings, Inc.Global wealth management firmSeries A preferred stock
15.00% PIK
05/202341,42747.2 67.9 (2)
CrossCountry Mortgage, LLC and CrossCountry Holdco, LLCMortgage company originating loans in the retail and consumer direct channelsSeries D preferred units11/202390,57724.9 29.7 
eCapital Finance Corp.Consolidator of commercial finance businessesSenior subordinated loan12.17%SOFR (M)7.75%01/202012/202856.0 54.9 56.0 (2)(6)(10)
Senior subordinated loan12.17%SOFR (M)7.75%11/202012/20285.4 5.3 5.4 (2)(6)(10)
Senior subordinated loan12.17%SOFR (M)7.75%01/202212/202824.3 23.8 24.3 (2)(6)(10)
Senior subordinated loan12.17%SOFR (M)7.75%04/202212/202855.8 54.7 55.8 (2)(6)(10)
Senior subordinated loan12.17%SOFR (M)7.75%10/202312/202812.3 12.0 12.3 (2)(6)(10)
Senior subordinated loan12.17%SOFR (M)7.75%10/202412/202842.1 41.4 42.1 (2)(6)(10)
Senior subordinated loan12.92%SOFR (M)8.50%12/202412/202821.9 21.5 21.9 (2)(6)(10)
213.6217.8
Endeavor Bidco LLC and Endeavor TopCo, Inc.Global securities finance trading platformFirst lien senior secured loan8.55%SOFR (Q)4.25%08/202408/20296.1 6.1 6.1 (2)(10)
Class A common units08/20241,8591.9 2.5 

See accompanying notes to consolidated financial statements.
24

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
8.0 8.6 
EP Wealth Advisors, LLCWealth management and financial planning firmFirst lien senior secured loan9.05%SOFR (Q)4.75%09/202009/20290.6 0.6 0.6 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%11/202209/20290.2 0.2 0.2 (2)(10)
0.8 0.8 
GAPCO AIV Interholdco (CP), L.P. (14)Wealth management and financial planning firmSenior subordinated loan
11.05% PIK
SOFR (Q)6.75%03/202503/203317.9 17.9 17.9 (2)(6)(10)
GTCR F Buyer Corp. and GTCR (D) Investors LP (14)(15)Provider of end-to-end tech-enabled administrative services to private foundationsFirst lien senior secured loan9.30%SOFR (Q)5.00%11/202409/20300.6 0.6 0.6 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%09/202309/20305.6 5.6 5.6 (2)(10)
Limited partnership interests09/20234,873,2864.9 9.0 (2)
11.1 15.2 
HighTower Holding, LLCProvider of investment, financial and retirement planning servicesSenior subordinated loan6.75%06/202204/20298.1 7.2 8.0 (2)(6)(17)
Ivy Hill Asset Management, L.P. (5)Asset management servicesSubordinated revolving loan11.05%SOFR (Q)6.50%02/201801/2030155.0 155.0 155.0 (6)(10)
Member interest06/2009100%1,700.5 1,925.6 (6)
1,855.5 2,080.6 
Lido Advisors, LLC (14)Wealth management and financial planning firmFirst lien senior secured revolving loan9.82%SOFR (M)5.50%06/202105/20321.2 1.2 1.2 (2)(10)(13)
First lien senior secured loan9.78%SOFR (Q)5.50%06/202105/20322.2 2.2 2.2 (2)(10)
First lien senior secured loan9.28%SOFR (Q)5.00%06/202105/20322.8 2.8 2.8 (2)(10)
First lien senior secured loan9.82%SOFR (Q)5.50%06/202305/20326.0 6.0 6.0 (2)(10)
First lien senior secured loan9.31%SOFR (Q)5.00%11/202405/20326.3 6.3 6.3 (2)(10)
First lien senior secured loan9.32%SOFR (Q)5.00%05/202505/20320.8 0.8 0.8 (2)(10)
19.3 19.3 
Mai Capital Management Intermediate LLC (14)Provider of comprehensive wealth management services and registered investment advisorFirst lien senior secured revolving loan9.06%SOFR (M)4.75%08/202408/20310.5 0.5 0.5 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%08/202408/203110.2 10.2 10.2 (2)(6)(10)
10.7 10.7 
Medlar Bidco Limited (14)Provider of fund and corporate services to alternative assets industryFirst lien senior secured loan9.46%SONIA (S)5.00%12/202405/203227.7 26.9 27.3 (2)(6)
First lien senior secured loan7.15%Euribor (S)5.00%12/202405/203233.9 32.7 33.4 (2)(6)
59.6 60.7 
Monica Holdco (US) Inc. (14)Investment technology and advisory firmFirst lien senior secured loan10.20%SOFR (Q)5.75%01/202101/20282.5 2.5 2.5 (2)(6)(10)
First lien senior secured loan10.05%SOFR (Q)5.75%08/202401/20282.7 2.7 2.7 (2)(6)(10)
5.2 5.2 

See accompanying notes to consolidated financial statements.
25

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P. (14)(15)Provider of comprehensive wealth management services and registered investment advisorFirst lien senior secured loan9.43%SOFR (M)5.00%05/202305/20294.8 4.8 4.8 (2)(6)(10)
First lien senior secured loan9.43%SOFR (M)5.00%09/202305/20297.9 7.9 7.9 (2)(6)(10)
First lien senior secured loan9.43%SOFR (M)5.00%06/202405/20290.3 0.3 0.3 (2)(6)(10)
First lien senior secured loan9.43%SOFR (M)5.00%12/202405/20294.0 4.0 4.0 (2)(6)(10)
Limited partnership interests09/20231,965,1002.0 2.7 (6)
19.0 19.7 
PCIA SPV-3, LLC and ASE Royal Aggregator, LLC (14)Provider of comprehensive wealth management servicesFirst lien senior secured loan9.55%SOFR (Q)5.25%08/202308/20298.4 8.4 8.4 (2)(6)(10)
Preferred units07/20236,431,6676.5 8.0 (6)
14.9 16.4 
PCS MidCo, Inc. and PCS Parent, L.P. (14)Provider of 401K recordkeeping software solutionsFirst lien senior secured revolving loan10.05%SOFR (Q)5.75%03/202403/20300.3 0.3 0.3 (2)(10)
First lien senior secured loan10.05%SOFR (Q)5.75%03/202403/20308.5 8.5 8.5 (2)(10)
Class A units03/2024785,0000.8 0.8 (2)
9.6 9.6 
Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP (14)Wealth management and financial planning firmFirst lien senior secured loan9.83%SOFR (M)5.50%03/202403/20312.9 2.9 2.9 (2)(6)(10)
Limited partnership interest03/20242,374,0002.4 2.6 (6)
5.3 5.5 
Petrus Buyer, Inc. (14)Provider of REIT research data and analyticsFirst lien senior secured loan9.01%SOFR (Q)4.75%11/202210/20294.9 4.9 4.9 (2)(10)
First lien senior secured loan8.83%SOFR (Q)4.50%11/202210/20290.9 0.9 0.9 (2)(10)
First lien senior secured loan8.83%SOFR (Q)4.50%02/202510/20291.2 1.2 1.2 (2)(10)
7.0 7.0 
RFS Opco LLC (14)Provider of wealth management servicesFirst lien senior secured loan9.05%SOFR (Q)4.75%04/202404/203129.4 29.4 29.4 (2)(6)(10)
First lien senior secured loan9.04%SOFR (Q)4.75%12/202404/20316.9 6.9 6.9 (2)(6)(10)
36.3 36.3 
Rialto Management Group, LLC (14)Investment and asset management platform focused on real estateFirst lien senior secured revolving loan   (2)(6)(10)(12)
First lien senior secured loan9.33%SOFR (M)5.00%12/202412/203023.7 23.6 23.7 (2)(6)(10)
23.6 23.7 
RWA Wealth Partners, LLC (14)Provider of comprehensive wealth management servicesFirst lien senior secured revolving loan9.06%SOFR (Q)4.75%11/202411/20300.3 0.3 0.3 (2)(6)(10)
First lien senior secured loan9.07%SOFR (Q)4.75%11/202411/20308.1 8.1 8.1 (2)(6)(10)
8.4 8.4 

See accompanying notes to consolidated financial statements.
26

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC (14)Wealth management platformFirst lien senior secured loan9.05%SOFR (Q)4.75%12/202310/20284.9 4.8 4.9 (2)(6)(10)
The Edelman Financial Center, LLCProvider of investment, financial and retirement planning servicesSecond lien senior secured loan9.58%SOFR (M)5.25%05/202410/20280.1 0.1 0.1 (2)(6)(17)
The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC (14)Provider of comprehensive wealth management servicesFirst lien senior secured revolving loan12.25%Base Rate (Q)4.75%03/202203/20280.4 0.4 0.4 (2)(6)(10)
First lien senior secured loan10.20%SOFR (Q)5.75%03/202203/20283.9 3.9 3.9 (2)(6)(10)
First lien senior secured loan10.27%SOFR (Q)5.75%05/202503/20280.5 0.5 0.5 (2)(6)(10)
Senior subordinated loan
12.00% PIK
03/202203/20294.1 4.1 4.0 (2)(6)
Series A preferred units03/20227,1997.2 5.6 (2)(6)
Common units03/20227,199  (2)(6)
16.1 14.4 
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP (14)Provider of asset-servicing capabilities for fund managersFirst lien senior secured loan9.68%SOFR (M)5.25%03/202403/203120.6 20.6 20.6 (2)(10)
Class A preferred units
8.00% PIK
09/20191,4432.4 2.4 
Class A common units02/20192450.2 2.7 
Class B common units02/20192,412,618  
23.2 25.7 
TPG IX Cardiff Debt HoldCo I, LLC, TPG IX Cardiff Debt Holdco II, LLC, TPG IX Cardiff CI I, L.P., and TPG IX Cardiff CI II, L.P.Provider of comprehensive wealth management servicesFirst lien senior secured loan10.28%SOFR (Q)6.00%01/202501/203311.4 11.4 11.4 (2)(6)(10)
Limited partnership interest11/20245,719,5115.8 6.3 (2)(6)
17.2 17.7 
Waverly Advisors, LLC and WAAM Topco, LLC (14)Wealth management and financial planning firmFirst lien senior secured revolving loan10.20%SOFR (Q)5.75%03/202203/20280.8 0.8 0.8 (2)(6)(10)
First lien senior secured loan10.20%SOFR (Q)5.75%03/202203/20280.7 0.7 0.7 (2)(6)(10)
First lien senior secured loan9.95%SOFR (Q)5.50%03/202403/20285.0 5.0 5.0 (2)(6)(10)
First lien senior secured loan9.45%SOFR (Q)5.00%01/202503/20286.0 6.0 6.0 (2)(6)(10)
Class A units06/20231,432,8671.7 3.6 (6)
14.2 16.1 
Wealth Enhancement Group, LLC (14)Wealth management and financial planning firmFirst lien senior secured loan9.28%SOFR (Q)5.00%10/201910/20280.5 0.5 0.5 (2)(10)
First lien senior secured loan9.32%SOFR (M)5.00%11/202010/20281.9 1.9 1.9 (2)(10)
First lien senior secured loan9.29%SOFR (M)5.00%06/202110/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.29%SOFR (Q)5.00%08/202110/20280.9 0.9 0.9 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%02/202410/202816.7 16.7 16.7 (2)(10)
First lien senior secured loan9.31%SOFR (Q)5.00%12/202410/20283.7 3.7 3.7 (2)(10)
23.8 23.8 

See accompanying notes to consolidated financial statements.
27

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Wellington-Altus Financial Inc. (14)(15)Wealth management and advisory firmFirst lien senior secured revolving loan08/202408/2030   (2)(6)(12)
First lien senior secured loan7.99%CORRA (Q)5.00%08/202408/20300.8 0.8 0.8 (2)(6)(10)
Common stock08/202449,5251.7 2.2 (2)(6)
2.5 3.0 
2,575.2 2,848.1 20.30%
Commercial and Professional Services
Accommodations Plus Technologies LLC (14)Provider of outsourced crew accommodations and logistics management solutions to the airline industryFirst lien senior secured loan8.83%SOFR (Q)4.50%05/202505/203278.0 78.0 77.2 (2)(10)
Aero Operating LLCProvider of snow removal and melting service for airports and marine terminalsFirst lien senior secured loan13.45%SOFR (Q)9.00%02/202002/202636.2 36.2 34.0 (2)(10)
First lien senior secured loan13.45%SOFR (Q)9.00%12/202102/20261.1 1.1 1.1 (2)(10)
37.3 35.1 
Aldinger Company Inc (14)Provider of outsourced calibration and repair servicesFirst lien senior secured revolving loan9.56%SOFR (M)5.25%07/202407/20270.3 0.3 0.3 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%07/202407/202735.8 35.8 35.8 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%03/202507/20274.5 4.5 4.5 (2)(10)
40.6 40.6 
AMCP Clean Acquisition Company, LLC (14)Provider of commercial laundry servicesFirst lien senior secured loan9.05%SOFR (Q)4.75%02/202406/202810.3 10.2 10.3 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%11/202406/20282.4 2.4 2.4 (2)(10)
12.6 12.7 
Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc.Provider of outsourced security guard services, outsourced facilities management and outsourced aviation servicesFirst lien senior secured loan9.69%SOFR (Q)5.25%04/202409/202849.0 49.0 49.0 (2)(6)(10)
Senior subordinated loan
13.71% (6.94% PIK)
SOFR (Q)9.25%11/202111/20282.1 2.1 2.1 (2)(6)(10)
Senior subordinated loan
13.73% (6.94% PIK)
SOFR (Q)9.25%08/202211/20287.0 6.4 7.0 (2)(6)(10)
Senior subordinated loan
13.72% (6.94% PIK)
SOFR (Q)9.25%08/202211/20281.5 1.5 1.6 (2)(6)(10)
59.0 59.7 
ATI Restoration, LLC (14)Provider of disaster recovery servicesFirst lien senior secured revolving loan9.93%SOFR (Q)5.50%07/202007/20268.7 8.7 8.7 (2)(10)(13)
First lien senior secured loan9.95%SOFR (Q)5.50%07/202007/202632.1 32.1 32.1 (2)(10)
First lien senior secured loan9.96%SOFR (M)5.50%05/202207/202647.7 47.7 47.7 (2)(10)
First lien senior secured loan9.95%SOFR (Q)5.50%09/202307/202611.8 11.8 11.8 (2)(10)
100.3 100.3 
Bluejack Fire Acquisition, Inc. and Bluejack Fire Holdings LLC (14)Provider of fire and life safety services including inspection and repairFirst lien senior secured loan9.07%SOFR (M)4.75%01/202501/20316.9 6.9 6.8 (2)(10)

See accompanying notes to consolidated financial statements.
28

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A-1 units01/20251,3681.4 1.4 (2)
8.3 8.2 
Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP (14)Outsourced supply chain solutions provider to operators of distribution centersFirst lien senior secured revolving loan08/202405/2029   (2)(12)
First lien senior secured loan8.93%SOFR (M)4.50%08/202411/20296.6 6.6 6.6 (2)(10)
Second lien senior secured loan12.83%SOFR (M)8.50%08/202411/203087.5 87.5 87.5 (2)(10)
Class A units11/202010,5817.3 15.9 (2)
101.4110.0
Compex Legal Services, Inc. (14)Provider of outsourced litigated and non-litigated medical records retrieval servicesFirst lien senior secured revolving loan9.80%SOFR (S)5.45%05/202202/20262.2 2.1 2.2 (2)(10)
First lien senior secured loan10.36%SOFR (S)6.00%07/202302/20261.9 1.9 1.9 (2)(10)
4.0 4.1 
Divisions Holding Corporation, Divisions, Inc. and RC V Tecmo Investor LLC (14)Technology based aggregator for facility maintenance servicesFirst lien senior secured loan8.80%SOFR (Q)4.50%04/202504/2032110.0 110.0 108.9 (2)(10)
Common member units08/20209,624,0007.7 17.0 (2)
117.7 125.9 
Dorado Bidco, Inc. (14)Provider of consumer and market insights for the food and beverage industryFirst lien senior secured loan8.83%SOFR (M)4.50%09/202409/20317.8 7.7 7.7 (2)(10)
DP Flores Holdings, LLC (14)Benefits administrator of tax-advantaged reimbursement plansFirst lien senior secured loan
10.80% (3.25% PIK)
SOFR (Q)6.50%09/202409/203027.5 27.5 27.5 (2)(10)
Drogon Bidco Inc. & Drogon Aggregator LP (14)Provider of fire safety and life safety servicesFirst lien senior secured loan9.08%SOFR (M)4.75%08/202408/203119.7 19.7 19.7 (2)(10)
Class A-2 common units08/20241,850,0001.9 2.0 (2)
21.6 21.7 
DTI Holdco, Inc. and OPE DTI Holdings, Inc.Provider of legal process outsourcing and managed servicesClass A common stock08/20147,5007.5 13.2 (2)
Class B common stock08/20147,500  (2)
7.5 13.2 
Duraserv LLC (14)Provider of commercial loading dock maintenance and remodeling servicesFirst lien senior secured loan9.06%SOFR (M)4.75%06/202406/203129.2 29.2 29.2 (2)(10)
First lien senior secured loan9.06%SOFR (M)4.75%03/202506/20310.3 0.3 0.3 (2)(10)
29.5 29.5 
Elevation Services Parent Holdings, LLC (14)Elevator service platformFirst lien senior secured revolving loan10.70%SOFR (Q)6.25%12/202012/20262.8 2.8 2.5 (2)(10)(13)
First lien senior secured loan10.68%SOFR (Q)6.25%12/202012/202610.0 10.0 9.2 (2)(10)
First lien senior secured loan10.68%SOFR (Q)6.25%05/202212/202613.9 13.9 12.8 (2)(10)
26.7 24.5 
EMB Purchaser, Inc. (14)Provider of fire and life safety solutionsFirst lien senior secured loan8.82%SOFR (Q)4.50%03/202503/203290.5 90.5 90.0 (2)(10)

See accompanying notes to consolidated financial statements.
29

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Firebird Acquisition Corp, Inc. (14)Provider of fire safety and life safety servicesFirst lien senior secured revolving loan   (2)(10)(12)
First lien senior secured loan
9.28% (2.75% PIK)
SOFR (Q)5.00%01/202502/203215.9 15.9 15.8 (2)(10)
First lien senior secured loan8.81%SOFR (Q)4.50%01/202502/20320.5 0.5 0.5 (2)(10)
16.4 16.3 
FlyWheel Acquireco, Inc. (14)Professional employer organization offering human resources, compliance and risk management servicesFirst lien senior secured revolving loan10.83%SOFR (M)6.50%05/202305/20284.1 4.1 4.1 (2)(10)
First lien senior secured loan10.83%SOFR (M)6.50%05/202305/203051.7 51.7 51.7 (2)(10)
55.8 55.8 
Frontline Road Safety Operations, LLC (14)Provider of pavement marking services to roadwaysFirst lien senior secured revolving loan9.08%SOFR (M)4.75%03/202503/20320.4 0.4 0.4 (2)(13)
First lien senior secured loan
9.33% (2.00% PIK)
SOFR (M)5.00%03/202503/203214.7 14.7 14.6 (2)
First lien senior secured loan
9.33% (2.00% PIK)
SOFR (M)5.00%03/202503/203245.8 45.8 45.5 (2)
60.9 60.5 
HH-Stella, Inc. and Bedrock Parent Holdings, LP (14)Provider of municipal solid waste transfer management servicesFirst lien senior secured revolving loan9.95%SOFR (Q)5.50%04/202104/20271.3 1.3 1.3 (2)(10)(13)
First lien senior secured loan9.95%SOFR (Q)5.50%04/202104/20288.7 8.7 8.7 (2)(10)
First lien senior secured loan9.95%SOFR (Q)5.50%09/202304/202821.7 21.7 21.7 (2)(10)
First lien senior secured loan9.95%SOFR (Q)5.50%04/202404/202810.2 10.2 10.2 (2)(10)
Class A units04/202132,9823.3 4.0 (2)
45.2 45.9 
HP RSS Buyer, Inc. (14)Provider of road striping, and road safety related servicesFirst lien senior secured loan9.30%SOFR (Q)5.00%12/202312/202916.9 16.9 16.9 (2)(10)
First lien senior secured loan9.04%SOFR (Q)4.75%03/202412/20293.0 3.0 3.0 (2)(10)
19.919.9
IRI Group Holdings, Inc. and Circana, LLC (14)Market research company focused on the consumer packaged goods industryFirst lien senior secured revolving loan04/202512/2028   (2)(12)
First lien senior secured loan8.83%SOFR (Q)4.50%04/202512/2029159.9 159.8 159.9 (2)(10)
159.8 159.9 
ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P. (14)Provider of commercial and industrial waste processing and disposal servicesFirst lien senior secured revolving loan9.13%SOFR (M)4.75%08/202208/20303.4 3.4 3.4 (2)(10)(13)
First lien senior secured loan9.13%SOFR (M)4.75%08/202208/20314.9 4.9 4.9 (2)(10)
First lien senior secured loan9.13%SOFR (M)4.75%08/202408/20313.9 3.9 3.9 (2)(10)
Class A units09/202213,11813.6 23.4 (2)
25.8 35.6 

See accompanying notes to consolidated financial statements.
30

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Kellermeyer Bergensons Services, LLC and KBS TopCo, LLCProvider of janitorial and facilities management servicesFirst lien senior secured loan
9.68% PIK
SOFR (Q)5.25%11/201911/202843.8 43.8 43.8 (2)(10)
First lien senior secured loan12/202311/202814.7 13.9 8.1 (2)(9)
Preferred units03/20244,042,7677.7  (2)
Class A common units03/20244,042,767  (2)
65.4 51.9 
Kings Buyer, LLC (14)Provider of comprehensive outsourced waste management consolidation servicesFirst lien senior secured revolving loan11.75%Base Rate (Q)4.25%09/202310/20271.8 1.8 1.7 (2)(10)
First lien senior secured loan9.65%SOFR (Q)5.25%09/202310/202716.2 16.2 15.7 (2)(10)
18.0 17.4 
KPS Global LLC and Cool Group LLC (14)Manufacturer of walk-in cooler and freezer systemsFirst lien senior secured loan9.05%SOFR (Q)4.75%09/202409/20305.2 5.2 5.2 (2)(10)
Laboratories Bidco LLC and Laboratories Topco LLC (14)Lab testing services for nicotine containing productsFirst lien senior secured revolving loan6.20%SOFR (Q)1.75%07/202107/202914.6 14.4 11.4 (2)(10)
First lien senior secured revolving loan8.25%Base Rate (Q)0.75%07/202107/20292.6 2.6 2.0 (2)(10)
First lien senior secured loan4.65%CORRA (Q)1.75%10/201907/202924.2 24.3 18.9 (2)(10)
First lien senior secured loan6.20%SOFR (Q)1.75%10/201907/202917.2 16.9 13.4 (2)(10)
First lien senior secured loan6.20%SOFR (Q)1.75%10/202007/20290.1 0.1 0.1 (2)(10)
First lien senior secured loan6.20%SOFR (Q)1.75%07/202107/20294.6 4.5 3.6 (2)(10)
Class A units07/20213,099,3354.6  (2)
67.4 49.4 
LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP (14)Provider of human resources and workforce management solutionsFirst lien senior secured loan9.28%SOFR (Q)5.00%07/202407/203119.1 19.1 19.1 (2)(10)
Class A common units07/20241,205,0001.2 1.0 (2)
20.3 20.1 
Lightbeam Bidco, Inc. (14)Provider of yard management servicesFirst lien senior secured revolving loan9.33%SOFR (M)5.00%05/202305/20290.3 0.3 0.3 (2)(10)(13)
First lien senior secured loan9.33%SOFR (M)5.00%05/202305/20305.2 5.2 5.2 (2)(10)
First lien senior secured loan9.32%SOFR (M)5.00%11/202305/20303.3 3.3 3.3 (2)(10)
8.8 8.8 
LJP Purchaser, Inc. and LJP Topco, LP (14)Provider of non-hazardous solid waste and recycling servicesFirst lien senior secured loan10.65%SOFR (Q)6.25%09/202209/20289.7 9.7 9.7 (2)(10)
Class A units
8.00% PIK
09/20225,098,0006.4 6.5 (2)
16.1 16.2 
Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc.Keg management solutions providerFirst lien senior secured loan12.72%SOFR (S)8.50%12/202412/2030135.8 135.8 135.8 (2)(10)
MSIS Holdings, Inc. and MS Precision Parent, LP (14)Provider of heavy industrial machinery maintenance and repair servicesFirst lien senior secured revolving loan11.50%Base Rate (Q)4.00%03/202503/20310.8 0.8 0.8 (2)(10)

See accompanying notes to consolidated financial statements.
31

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.31%SOFR (M)5.00%03/202503/203123.6 23.6 23.5 (2)(10)
Class A-1 units03/20251,184,0001.2 1.2 (2)
25.6 25.5 
NAS, LLC and Nationwide Marketing Group, LLC (14)Buying and marketing services organization for appliance, furniture and consumer electronics dealersFirst lien senior secured revolving loan10.90%SOFR (Q)6.50%11/202004/20261.9 1.9 1.9 (2)(10)
First lien senior secured loan10.93%SOFR (Q)6.50%11/202004/20266.1 6.1 6.0 (2)(10)
First lien senior secured loan10.93%SOFR (Q)6.50%12/202104/20262.3 2.3 2.2 (2)(10)
First lien senior secured loan10.93%SOFR (Q)6.50%05/202204/20261.3 1.3 1.3 (2)(10)
11.6 11.4 
Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P. (14)Provider of audience insights, data and analytics to entertainment industryFirst lien senior secured loan9.08%SOFR (Q)4.75%10/202210/202880.3 76.4 75.4 (2)(10)(17)
First lien senior secured loan9.33%SOFR (Q)5.00%10/202204/202997.3 92.0 91.8 (2)(10)(17)
First lien senior secured notes9.29%11/202204/202952.8 51.9 51.1 (2)(17)
Second lien senior secured loan14.08%SOFR (Q)9.75%10/202210/2029203.4 203.2 203.4 (2)(10)
Limited partnership interests10/20224,040,0004.1 6.4 (2)
427.6 428.1 
Nest Topco Borrower Inc., KKR Nest Co-Invest L.P., and NBLY 2021-1Operator of multiple franchise concepts primarily related to home maintenance or repairsLimited partner interest09/20219,725,0009.7 13.3 (2)
North Haven Stack Buyer, LLC (14)Provider of environmental testing servicesFirst lien senior secured revolving loan9.07%SOFR (Q)4.75%07/202107/20272.4 2.4 2.4 (2)(10)
First lien senior secured loan9.53%SOFR (Q)5.25%07/202107/20277.6 7.6 7.6 (2)(10)
First lien senior secured loan9.07%SOFR (Q)4.75%07/202107/20276.8 6.8 6.8 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%08/202307/20272.1 2.1 2.1 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%08/202307/20272.7 2.6 2.7 (2)(10)
First lien senior secured loan9.07%SOFR (Q)4.75%06/202407/20278.6 8.5 8.6 (2)(10)
First lien senior secured loan9.57%SOFR (Q)5.25%06/202407/20272.2 2.2 2.2 (2)(10)
First lien senior secured loan9.07%SOFR (S)4.75%06/202407/20270.3 0.3 0.3 (2)
First lien senior secured loan9.07%SOFR (Q)4.75%06/202507/20270.3 0.3 0.3 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%06/202507/20272.7 2.7 2.7 (2)(10)
35.5 35.7 
Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLCSolid waste services providerFirst lien senior secured loan
12.30% (2.00% PIK)
SOFR (Q)8.00%08/202308/202934.8 34.4 33.4 (2)(10)
First lien senior secured loan
12.30% (2.00% PIK)
SOFR (Q)8.00%06/202408/202911.1 10.4 10.6 (2)(10)
Warrant to purchase units of Class A common units08/202308/203638,2350.6 4.4 (2)

See accompanying notes to consolidated financial statements.
32

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Warrant to purchase units of Class A common units06/202406/20366,4000.9 0.7 (2)
46.3 49.1 
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLCProvider of janitorial and facilities management servicesFirst lien senior secured loan10.20%SOFR (Q)5.75%10/202110/202766.6 66.6 64.6 (2)(10)
First lien senior secured loan10.41%SOFR (Q)6.00%11/202310/202718.9 18.9 18.6 (2)(10)
Class A units10/20218,749,2019.0 5.4 (2)
94.5 88.6 
PS Operating Company LLC and PS Op Holdings LLC (5)(14)Specialty distributor and solutions provider to the swine and poultry marketsFirst lien senior secured revolving loan12/202112/20266.5 5.6 1.4 (2)(9)
First lien senior secured loan12/202112/202618.1 15.5 3.8 (2)(9)
Common unit12/2021279,2007.4  (2)
28.5 5.2 
PSC Parent, Inc. (14)Provider of operational services for US petrochemical and refining companiesFirst lien senior secured revolving loan9.57%SOFR (M)5.25%04/202404/20302.0 2.0 2.0 (2)(10)(13)
First lien senior secured loan9.57%SOFR (M)5.25%04/202404/203153.6 53.6 53.6 (2)(10)
55.6 55.6 
PYE-Barker Fire & Safety, LLC (14)Provider of fire protection services and productsFirst lien senior secured revolving loan8.80%SOFR (Q)4.50%05/202405/20300.5 0.5 0.5 (2)(10)
First lien senior secured loan8.80%SOFR (Q)4.50%05/202405/203114.1 14.1 14.1 (2)(10)
14.6 14.6 
R2 Acquisition Corp.Marketing servicesCommon stock05/2007250,0000.2 0.3 (2)
RE Community Holdings GP, LLC and RE Community Holdings, LPOperator of municipal recycling facilitiesLimited partnership interest03/20112.49%  (2)
Limited partnership interest03/20112.86%  (2)
  
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. (14)Provider of FDA registration and consulting servicesFirst lien senior secured revolving loan9.32%SOFR (Q)5.00%08/202108/20293.9 3.9 3.9 (2)(10)
First lien senior secured loan9.08%SOFR (Q)4.75%08/202108/20293.6 3.6 3.6 (2)(10)
First lien senior secured loan9.08%SOFR (Q)4.75%03/202508/20293.0 3.0 3.0 (2)(10)
Limited partner interests08/20211.09%2.7 2.2 (2)
13.212.7
Research Now Group, LLC and Dynata, LLC and New Insight Holdings, Inc.Provider of outsourced data collection to the market research industryCommon units07/202449  (2)
Warrants to purchase shares of common stock07/202407/2028142  (2)
  
Rodeo AcquisitionCo LLC (14)Provider of food inspection and recovery servicesFirst lien senior secured revolving loan9.97%SOFR (Q)5.50%07/202107/20271.5 1.5 1.5 (2)(10)
First lien senior secured loan9.98%SOFR (Q)5.50%07/202107/202716.5 16.5 16.5 (2)(10)
18.0 18.0 

See accompanying notes to consolidated financial statements.
33

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Saturn Purchaser Corp. (14)Private aviation management companyFirst lien senior secured loan9.13%SOFR (M)4.85%07/202307/20301.7 1.7 1.7 (2)(10)
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. (14)(15)Provider of landscape design and planning, and snow removal servicesFirst lien senior secured revolving loan10.22%SOFR (M)5.75%12/202112/20270.4 0.4 0.4 (2)(10)
First lien senior secured loan10.18%SOFR (M)5.75%12/202112/20273.4 3.4 3.4 (2)(10)
First lien senior secured loan10.18%SOFR (M)5.75%03/202412/20271.5 1.5 1.5 (2)(10)
Class A units12/20218,46421.5 42.2 (2)
26.8 47.5 
Shermco Intermediate Holdings, Inc. (14)Provider of electrician servicesFirst lien senior secured revolving loan9.19%SOFR (S)5.00%05/202212/20262.9 2.8 2.9 (2)
First lien senior secured loan9.22%SOFR (S)5.00%05/202212/20265.1 5.1 5.1 (2)(10)
First lien senior secured loan9.21%SOFR (S)5.00%09/202312/20261.9 1.9 1.9 (2)(10)
First lien senior secured loan9.25%SOFR (S)5.00%12/202412/20262.2 2.2 2.2 (2)(10)
First lien senior secured loan9.26%SOFR (S)5.00%04/202512/20261.1 1.1 1.1 (2)(10)
First lien senior secured loan9.24%SOFR (S)5.00%06/202506/20272.5 2.5 2.5 (2)(10)
15.6 15.7 
SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LPManufacturer and distributor of personal protection equipment, commercial cleaning, maintenance and safety productsLimited partnership class A-1 units06/20202,1731.1  (2)
Limited partnership class A-2 units06/20202,1731.1  (2)
2.2  
Startec Equity, LLC (5)Communication servicesMember interest04/2010190,581  
SV Newco 2, Inc. and Site 2020 Incorporated (14)Provider of outsourced traffic control safety servicesFirst lien senior secured loan11.25%Base Rate (Q)3.75%05/202406/20312.7 2.7 2.7 (2)(6)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%05/202406/203125.3 25.3 25.3 (2)(6)(10)
28.0 28.0 
Systems Planning and Analysis, Inc. (14)Provider of systems engineering and technical assistance to the US DoDFirst lien senior secured revolving loan9.05%SOFR (S)4.75%05/202208/20271.5 1.4 1.5 (2)(10)
First lien senior secured loan8.92%SOFR (S)4.75%05/202208/20271.0 1.0 1.0 (2)(10)
2.4 2.5 
The Hiller Companies, LLC (14)Provider of fire protection and life safety productsFirst lien senior secured revolving loan06/202406/2030   (2)(12)
First lien senior secured loan9.29%SOFR (Q)5.00%06/202406/203047.8 47.8 47.8 (2)(10)
47.8 47.8 
Thermostat Purchaser III, Inc. (14)Provider of commercial HVAC equipment maintenance and repair servicesFirst lien senior secured revolving loan8.30%SOFR (Q)4.00%08/202108/20280.8 0.8 0.8 (2)(13)
Second lien senior secured loan11.73%SOFR (Q)7.25%08/202108/202923.0 23.0 23.0 (2)(10)
23.823.8

See accompanying notes to consolidated financial statements.
34

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
TSS Buyer, LLC (14)Provider of outsourced testing, inspection, certification, and compliance services to healthcare and life sciences end marketsFirst lien senior secured loan9.93%SOFR (Q)5.50%07/202306/20291.2 1.2 1.2 (2)(10)
First lien senior secured loan12.00%Base Rate (Q)4.50%07/202306/20291.1 1.1 1.1 (2)(10)
2.32.3
Unity Purchaser, LLC and Unity Ultimate Holdings, LP (14)Provider of specialty mechanical services for critical HVAC, plumbing, and related systemsFirst lien senior secured loan9.24%SOFR (S)5.00%01/202501/203110.6 10.6 10.4 (2)(10)
Class A-1 units01/20252,068,0002.1 2.1 (2)
12.7 12.5 
UP Intermediate II LLC and UPBW Blocker LLC (14)Provider of essential mechanical, electrical and plumbing services to commercial customersFirst lien senior secured revolving loan9.56%SOFR (M)5.25%03/202403/20301.5 1.5 1.5 (2)(10)(13)
First lien senior secured loan9.55%SOFR (Q)5.25%03/202403/20314.8 4.8 4.8 (2)(10)
Common units03/202460,4706.0 7.0 (2)
Common units09/20243,9180.3 0.5 (2)
12.6 13.8 
Valcourt Holdings II, LLC and Jobs Holdings, Inc. (14)Provider of window cleaning and building facade maintenance and restoration servicesFirst lien senior secured loan10.20%SOFR (Q)5.75%11/202311/202955.6 55.6 55.6 (2)(10)
Visual Edge Technology, Inc. (5)(14)Provider of outsourced office solutions with a focus on printer and copier equipment and other parts and suppliesFirst lien senior secured loan
11.48% (1.25% PIK)
SOFR (Q)7.00%07/202312/202533.7 33.5 33.7 (2)(10)
Senior preferred stock
10.00% PIK
07/20234,73750.0 33.8 (2)
Junior preferred stock07/20236,600  (2)
Warrant to purchase shares of common stock08/201708/203010,358,5723.9  (2)
87.4 67.5 
VRC Companies, LLC (14)Provider of records and information management servicesSenior subordinated loan
12.00% (2.00% PIK)
05/202206/20285.3 5.3 5.3 (2)
W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC (14)Provider of agronomics products for landscapers, contractors and golf course end usersFirst lien senior secured loan9.30%SOFR (Q)5.00%05/202405/203023.5 23.5 23.5 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%04/202505/20302.0 2.0 2.0 (2)(10)
Class A preferred units
10.00% PIK
05/20249,2601.0 1.0 
Class A common units05/2024862 0.4 
26.5 26.9 
Wash Encore Holdings, LLCProvider of outsourced healthcare linen management solutionsFirst lien senior secured loan10.93%SOFR (Q)6.50%07/202107/202796.0 96.0 96.0 (2)(10)
First lien senior secured loan10.92%SOFR (M)6.50%07/202407/202716.6 16.3 16.6 (2)(10)
112.3 112.6 

See accompanying notes to consolidated financial statements.
35

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
XIFIN, Inc. and ACP Charger Co-Invest LLC (14)Revenue cycle management provider to labsFirst lien senior secured revolving loan11.20%SOFR (Q)6.75%02/202007/20265.6 5.6 5.4 (2)(10)
First lien senior secured loan11.20%SOFR (Q)6.75%07/202107/20260.1 0.1 0.1 (2)(10)
First lien senior secured loan11.20%SOFR (Q)6.75%12/202107/202636.8 36.6 35.7 (2)(10)
Class A units02/2020180,0001.8 1.7 (2)
Class B units12/202146,3630.9 0.8 (2)
Class C units06/20242380.2 0.2 (2)
45.2 43.9 
Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc. (14)Provider of recurring fire protection servicesFirst lien senior secured revolving loan11.25%Base Rate (Q)3.75%07/202407/20310.3 0.3 0.3 (2)(10)(13)
First lien senior secured loan9.05%SOFR (Q)4.75%07/202407/203112.5 12.5 12.5 (2)(10)
12.8 12.8 
2,792.9 2,764.9 19.70%
Insurance
15484880 Canada Inc. and 15484910 Canada Inc. (14)Independent insurance brokerFirst lien senior secured revolving loan8.38%CORRA (Q)5.50%04/202504/20310.3 0.3 0.3 (2)(6)(10)
First lien senior secured loan8.55%CORRA (M)5.50%04/202504/203128.4 27.0 28.0 (2)(6)(10)
Senior subordinated loan
14.00% PIK
04/202504/203513.8 13.2 13.4 (2)(6)
Class A2 shares04/202519,825,18913.8 14.6 (2)(6)
54.3 56.3 
Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc. (14)Insurance brokerFirst lien senior secured loan9.03%SOFR (Q)4.75%11/201911/202937.4 37.3 37.4 (2)(10)
First lien senior secured loan9.06%SOFR (Q)4.75%08/202311/202910.2 10.2 10.2 (2)(10)
First lien senior secured loan9.04%SOFR (Q)4.75%11/202311/20290.3 0.3 0.3 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%08/202411/20296.8 6.8 6.8 (2)(10)
54.6 54.7 
Acrisure, LLCIndependent property and casualty insurance brokerageFirst lien senior secured loan7.33%SOFR (M)3.00%10/202311/20300.2 0.2 0.2 (2)(17)
AQ Sunshine, Inc. (14)Specialized insurance brokerFirst lien senior secured revolving loan9.55%SOFR (Q)5.25%07/202407/20301.9 1.9 1.9 (2)(10)(13)
First lien senior secured loan9.55%SOFR (Q)5.25%07/202407/2031108.8 108.8 108.8 (2)(10)
110.7 110.7 
Ardonagh Midco 3 Limited, Ardonagh Group Finco Pty Limited, and MDCP Co-Investors (Jade I), L.P.Insurance broker and underwriting servicerFirst lien senior secured loan7.04%SOFR (M)2.75%01/202502/203149.9 49.9 49.4 (2)(6)(17)
Limited partnership interest06/202517,510,00024.1 24.0 (2)(6)
74.0 73.4 
Bellwether Buyer, L.L.C. and Bellwether Topco V Buyer, Inc. (14)Insurance program administratorFirst lien senior secured loan8.81%SOFR (M)4.50%04/202504/203214.7 14.7 14.7 (2)(10)
Benecon Midco II LLC and Benecon Holdings, LLC (14)Employee benefits provider for small and mid-size employersFirst lien senior secured loan9.55%SOFR (Q)5.25%01/202401/203182.7 82.7 82.7 (2)(10)
Class A units01/20247,796,55027.1 33.0 

See accompanying notes to consolidated financial statements.
36

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
109.8 115.7 
Captive Resources Midco, LLC (14)Provider of independent consulting services to member-owned group captivesFirst lien senior secured loan8.83%SOFR (M)4.50%07/202207/20295.9 5.9 5.9 (2)(10)
Daylight Beta Parent LLC and CFCo, LLC (4)Health insurance sales platform providerFirst lien senior secured loan09/202309/203313.9 12.0 1.2 (2)(9)
First lien senior secured loan09/202309/203820.8 0.5  (2)
Class B units09/202332,391,330  (2)
12.5 1.2 
Diamond Mezzanine 24 LLC (14)Property and casualty insurance underwriting and distribution platformFirst lien senior secured loan9.30%SOFR (Q)5.00%10/202410/203018.8 18.8 18.8 (2)(10)
DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP (14)(15)Managing general agent insurance distribution platformFirst lien senior secured revolving loan9.55%SOFR (Q)5.25%12/202312/20290.2 0.2 0.2 (2)(6)(10)(13)
First lien senior secured loan9.55%SOFR (Q)5.25%12/202312/203017.3 17.3 17.3 (2)(6)(10)
Limited partnership interest03/20241,348,3091.3 1.9 (2)(6)
18.8 19.4 
Forza Insurance Holdings, LLCOperator of insurance brands and platformsFirst lien senior secured loan9.80%SOFR (Q)5.50%02/202502/203038.9 38.9 38.5 (2)(10)
Foundation Risk Partners, Corp. (14)Full service independent insurance agencyFirst lien senior secured loan9.05%SOFR (Q)4.75%10/202110/203078.2 78.2 78.2 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%04/202210/20309.3 9.3 9.3 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%11/202310/203017.3 17.3 17.3 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%05/202410/203015.4 15.4 15.4 (2)(10)
120.2 120.2 
Galway Borrower LLC (14)Insurance service providerFirst lien senior secured revolving loan8.80%SOFR (Q)4.50%09/202109/20283.4 3.4 3.4 (2)(10)(13)
First lien senior secured loan8.79%SOFR (Q)4.50%09/202109/202833.5 33.5 33.5 (2)(10)
36.9 36.9 
Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc. (14)Insurance brokerFirst lien senior secured loan7.75%CORRA (M)5.00%03/202403/20319.8 9.8 9.8 (2)(6)(10)
Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc. (14)Independent retail insurance brokerFirst lien senior secured loan8.83%SOFR (M)4.50%08/202311/20285.3 5.3 5.3 (2)(10)
First lien senior secured loan9.08%SOFR (M)4.75%03/202411/20282.7 2.6 2.7 (2)(10)
Series A preferred shares10.50%12/20241,0001.0 1.0 (2)
8.9 9.0 
High Street Buyer, Inc. and High Street Holdco LLC (14)(15)Insurance brokerage platformFirst lien senior secured loan9.55%SOFR (Q)5.25%04/202104/202822.2 22.2 22.2 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%08/202104/20280.1 0.1 0.1 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%02/202204/202819.5 19.5 19.5 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%03/202404/202816.0 16.0 16.0 (2)(10)
Series A preferred units
10.00% PIK
04/2021172,211,694236.0 236.0 (2)
Series A preferred units
10.00% PIK
12/202320,106,66723.5 23.5 (2)

See accompanying notes to consolidated financial statements.
37

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Series A preferred units
10.00% PIK
04/20241,386,6671.6 1.6 (2)
Series A preferred units
10.00% PIK
07/20244,506,6674.9 4.9 (2)
Series A common units
10.00% PIK
04/20215,562,3819.5 17.1 (2)
Series C common units
10.00% PIK
04/202110,043,3683.3 30.9 (2)
336.6 371.8 
Inszone Mid, LLC and INSZ Holdings, LLC (14)Insurance brokerage firmFirst lien senior secured loan9.55%SOFR (Q)5.25%12/202311/202926.9 26.9 26.9 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%07/202411/20295.5 5.5 5.5 (2)(10)
Limited partnership interests11/20222,146,0881.7 3.3 
Common units11/20238,473,0008.5 13.0 
42.6 48.7 
Keystone Agency Partners LLC (14)Insurance brokerage platformFirst lien senior secured loan9.05%SOFR (Q)4.75%12/202305/202712.9 12.8 12.9 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%08/202405/20276.4 6.4 6.4 (2)(10)
First lien senior secured loan9.05%SOFR (M)4.75%01/202505/20276.2 6.1 6.2 (2)(10)
25.3 25.5 
King Risk Partners, LLC (14)Retail insurance brokerage firmFirst lien senior secured loan8.83%SOFR (M)4.50%04/202504/20319.8 9.8 9.7 (2)(10)
OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP (14)Insurance brokerage platformFirst lien senior secured revolving loan10.06%SOFR (M)5.75%11/202311/20290.1 0.1 0.1 (2)(10)
First lien senior secured loan10.06%SOFR (M)5.75%11/202311/202910.4 10.4 10.4 (2)(10)
Class A2 units11/2023115,9282.3 2.6 (2)
12.8 13.1 
Patriot Growth Insurance Services, LLC (14)National retail insurance agencyFirst lien senior secured loan9.45%SOFR (Q)5.00%10/202110/202815.6 15.5 15.6 (2)(10)
People Corporation (14)Provider of group benefits, group retirement and human resources servicesFirst lien senior secured revolving loan8.22%CORRA (Q)5.25%02/202102/20273.8 3.7 3.8 (2)(6)(10)
First lien senior secured loan8.19%CORRA (Q)5.25%02/202102/202842.4 45.5 42.4 (2)(6)(10)
First lien senior secured loan8.19%CORRA (Q)5.25%09/202102/202824.8 25.3 24.8 (2)(6)(10)
First lien senior secured loan8.20%CORRA (Q)5.25%09/202302/202815.0 14.8 15.0 (2)(6)(10)
First lien senior secured loan8.03%CORRA (Q)5.00%12/202402/20283.5 3.5 3.5 (2)(6)(10)
92.8 89.5 
SageSure Holdings, LLC and SageSure LLC (14)Insurance service providerFirst lien senior secured loan9.19%SOFR (M)4.75%08/202401/203052.0 52.0 52.0 (2)(10)
First lien senior secured loan9.19%SOFR (M)4.75%01/202501/203059.5 59.5 59.5 (2)(10)
Series A units05/202571070.0 70.0 
181.5 181.5 
SCM Insurance Services Inc. (14)Provider of claims management, claims investigation & support and risk management solutions for the Canadian property and casualty insurance industryFirst lien senior secured loan9.10%CORRA (M)6.25%06/202208/202620.2 20.3 20.2 (2)(6)(10)
SelectQuote, Inc. and SQ ABS Issuer, LLCDirect to consumer insurance distribution platformFirst lien senior secured notes9.65%10/202410/20391.6 1.6 1.6 (2)

See accompanying notes to consolidated financial statements.
38

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured notes7.80%10/202410/20392.4 2.4 2.4 (2)
First lien senior secured loan10.93%SOFR (M)6.50%10/202409/20279.2 8.6 9.2 (2)(10)
Warrant to purchase shares of common stock10/202410/2028179,068  (2)
12.6 13.2 
SG Acquisition, Inc. (14)Provider of insurance solutions for car salesFirst lien senior secured loan9.03%SOFR (Q)4.75%04/202404/203046.4 46.4 46.4 (2)(10)
SIG Parent Holdings, LLC (14)Independent insurance brokerageFirst lien senior secured loan9.33%SOFR (M)5.00%08/202408/203157.1 57.1 57.1 (2)(10)
Slaine Holdings LLC (14)Holding company of insurance service providersSenior subordinated loan11.07%SOFR (M)6.75%05/202505/203049.2 49.2 48.2 (2)(10)
THG Acquisition, LLC (14)Multi-line insurance brokerFirst lien senior secured revolving loan11.25%Base Rate (Q)3.75%10/202410/20317.5 7.5 7.5 (10)
First lien senior secured loan9.08%SOFR (M)4.75%10/202410/20311.6 1.6 1.6 (2)(10)(13)
First lien senior secured loan8.83%SOFR (M)4.50%10/202410/2031144.0 144.0 144.0 (2)(10)
153.1 153.1 
Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC (14)Insurance brokerage firmFirst lien senior secured loan7.05%SOFR (Q)2.75%03/202405/20310.1 0.1 0.1 (2)(17)
World Insurance Associates, LLC and World Associates Holdings, LLC (14)Insurance service providerFirst lien senior secured loan9.30%SOFR (Q)5.00%10/202304/20309.4 9.3 9.4 (2)(10)
1,754.0 1,788.5 12.74%
Consumer Distribution and Retail
Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P.Manufacturer and distributor of specialty bakery ingredientsFirst lien senior secured loan8.94%SOFR (M)4.50%07/202309/202816.2 16.2 16.2 (2)(10)
Second lien senior secured loan11.44%SOFR (M)7.00%09/202109/202929.5 29.5 29.5 (2)(10)
Class A preferred units
8.00% PIK
09/202108/20515,4847.4 10.8 (2)
Series A preferred shares
11.00% PIK
09/202108/205121,92133.4 33.4 (2)
86.5 89.9 
Bamboo Purchaser, Inc.Provider of nursery, garden, and greenhouse productsFirst lien senior secured loan10.95%SOFR (Q)6.50%11/202111/202717.5 17.5 14.5 (2)(10)
BGI Purchaser, Inc. (14)Developer and manufacturer of customized natural and clean flavorings for the food & beverage end marketFirst lien senior secured revolving loan8.33%SOFR (Q)4.00%05/202405/203011.6 11.6 11.6 (2)(10)
First lien senior secured loan9.33%SOFR (Q)5.00%05/202405/203110.5 10.5 10.5 (2)(10)
22.1 22.1 
BR PJK Produce, LLCSpecialty produce distributorFirst lien senior secured loan10.71%SOFR (Q)6.25%12/202311/20274.0 4.0 4.0 (2)(10)
First lien senior secured loan10.70%SOFR (Q)6.25%09/202411/20270.7 0.7 0.7 (2)(10)
4.7 4.7 

See accompanying notes to consolidated financial statements.
39

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
BradyPlus Holdings, LLC (14)Distributor of foodservice disposables and janitorial sanitation productsFirst lien senior secured loan9.28%SOFR (Q)5.00%10/202310/2029128.5 128.5 128.5 (2)(10)
City Line Distributors LLC and City Line Investments LLC (14)Specialty food distributorFirst lien senior secured loan10.55%SOFR (Q)6.00%08/202308/20284.4 4.4 4.4 (2)(10)
Class A units
8.00% PIK
08/20234,172,8524.8 4.8 (2)
9.2 9.2 
DecoPac, Inc. and KCAKE Holdings Inc. (14)Supplier of cake decorating solutions and products to in-store bakeriesFirst lien senior secured revolving loan9.55%SOFR (Q)5.25%05/202105/20305.5 5.5 5.5 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%09/202405/2030170.9 170.9 170.9 (2)(10)
Common stock05/20219,5997.4 13.0 (2)
183.8 189.4 
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. (14)Provider of visual communications solutionsFirst lien senior secured revolving loan10.43%SOFR (M)6.00%03/201903/20261.9 1.9 1.9 (2)(10)
First lien senior secured loan10.43%SOFR (M)6.00%03/201903/202615.3 15.3 15.3 (2)(10)
First lien senior secured loan10.43%SOFR (M)6.00%08/201903/20260.1 0.1 0.1 (2)(10)
First lien senior secured loan10.43%SOFR (M)6.00%06/202103/20260.1 0.1 0.1 (2)(10)
First lien senior secured loan10.43%SOFR (M)6.00%01/202403/20268.0 8.0 8.0 (2)(10)
Common units03/20196000.6 1.0 (2)
26.0 26.4 
FS Squared Holding Corp. and FS Squared, LLC (14)Provider of on-site vending and micro market solutionsFirst lien senior secured revolving loan12/202412/2030   (2)(12)
First lien senior secured loan9.08%SOFR (M)4.75%12/202412/203088.2 88.2 88.2 (2)(10)
88.2 88.2 
GPM Investments, LLC and ARKO Corp.Convenience store operatorCommon stock12/20202,088,47819.8 8.8 (17)
Warrant to purchase common stock12/202012/20251,088,7801.6  (2)(17)
21.4 8.8 
Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP (14)Distributor of HVAC, plumbing, and water heater equipment, parts, supplies and fixturesFirst lien senior secured revolving loan8.82%SOFR (M)4.50%11/202311/20290.1 0.1 0.1 (2)(10)
First lien senior secured loan10.32%SOFR (M)6.00%11/202311/20295.2 5.2 5.2 (2)(10)
Limited partnership interest11/20235,441,0005.9 5.9 (2)
11.2 11.2 
JWC/KI Holdings, LLCFoodservice sales and marketing agencyMembership units11/20155,0005.0 13.9 (2)
LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P. (15)Distributor of specialty foodsFirst lien senior secured loan10.93%SOFR (Q)6.50%10/202210/202839.3 39.3 36.2 (2)(10)
Limited partnership interests10/20229,683,9919.7 2.5 (2)
49.0 38.7 
Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLCDistributor of OEM appliance aftermarket partsFirst lien senior secured loan
11.44% (3.25% PIK)
SOFR (Q)7.00%06/202106/20280.4 0.4 0.3 (2)(10)

See accompanying notes to consolidated financial statements.
40

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan
11.44% (3.25% PIK)
SOFR (Q)7.00%12/202106/20280.2 0.2 0.2 (2)(10)
Class A common units06/20215,7966.1  (2)
6.7 0.5 
Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP (14)Auto parts retailerFirst lien senior secured revolving loan7.57%SOFR (Q)3.25%05/202105/20281.4 1.4 1.4 (2)(13)
Series A preferred stock
7.00% PIK
05/202168,60191.5 91.5 (2)
Class A-1 units05/202124,58624.6 33.6 (2)
117.5 126.5 
McKenzie Creative Brands, LLC (14)Designer, manufacturer and distributor of hunting-related suppliesFirst lien senior secured loan10.93%SOFR (M)6.50%09/201409/202584.5 84.5 84.5 (2)(8)(10)
First lien senior secured loan10.93%SOFR (M)6.50%09/201409/20255.5 5.5 5.5 (2)(10)
90.0 90.0 
Monolith Brands Group, Inc.E-commerce platform focused on consolidating DTC branded businessesSeries A-1 preferred stock04/2022701,25515.5  (2)
Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LPOperator of retail and wholesale tree and plant nurseriesLimited partnership interests10/202121,939,15220.8 15.6 
Mountaineer Merger Corporation (14)Discount retailer that specialized in apparel, housewares, accessories, and a selection of other productsFirst lien senior secured revolving loan9.28%SOFR (Q)5.00%10/202410/20275.5 5.4 5.2 (2)
Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC (14)Produce distribution platformFirst lien senior secured revolving loan10.16%SOFR (M)5.75%05/202305/20290.9 0.9 0.9 (2)(10)(13)
First lien senior secured loan10.67%SOFR (M)6.25%05/202305/20299.6 9.6 9.6 (2)(10)
First lien senior secured loan10.16%SOFR (M)5.75%05/202305/20290.4 0.4 0.4 (2)(10)
First lien senior secured loan10.07%SOFR (M)5.75%06/202505/20312.4 2.4 2.4 (2)(10)
Class B limited liability company interest05/20233.64%9.6 8.9 (2)
22.9 22.2 
North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLCManufacturer of aftermarket golf cart parts and accessoriesFirst lien senior secured loan05/202105/202728.4 26.2 13.0 (2)(9)
Class A units05/202150,0005.0  
31.2 13.0 
Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc. (14)Distributor and marketer of personal care productsFirst lien senior secured loan9.33%SOFR (M)5.00%05/202405/203050.3 50.3 50.3 (2)(6)(10)
Class B common stock
8.00% PIK
05/20242,2152.4 4.6 (2)(6)
52.7 54.9 

See accompanying notes to consolidated financial statements.
41

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Reddy Ice LLC (14)Packaged ice manufacturer and distributorFirst lien senior secured revolving loan11.25%Base Rate (Q)3.75%04/202404/20293.9 3.9 3.9 (2)(10)(13)
First lien senior secured revolving loan9.03%SOFR (M)4.75%04/202404/202911.4 11.4 11.4 (2)(10)(13)
First lien senior secured revolving loan11.25%Base Rate (Q)3.75%04/202404/20292.6 2.6 2.6 (10)
First lien senior secured loan9.03%SOFR (Q)4.75%04/202404/2029125.6 125.6 125.6 (2)(10)
143.5 143.5 
Royal Borrower, LLC and Royal Parent, LP (14)Distributor of fresh produce and dairy productsFirst lien senior secured revolving loan07/202407/2030   (2)(12)
First lien senior secured loan9.56%SOFR (M)5.25%07/202407/203020.8 20.8 20.8 (2)(10)
Class A preferred units
10.00% PIK
07/20242,255,0002.5 2.3 
23.3 23.1 
SFE Intermediate Holdco LLCProvider of outsourced foodservice to K-12 school districtsFirst lien senior secured loan10.20%SOFR (Q)5.75%07/201707/20266.1 6.1 6.1 (2)(10)
First lien senior secured loan10.20%SOFR (Q)5.75%09/201807/20269.8 9.8 9.8 (2)(10)
First lien senior secured loan10.20%SOFR (Q)5.75%03/202207/20260.4 0.4 0.4 (2)(10)
16.3 16.3 
Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc.Provider of tarp systems and accessories for trucks, trailers, carts, and specialty equipment used in the agriculture, construction and flatbed marketsFirst lien senior secured loan9.83%SOFR (Q)5.50%06/202107/203031.2 31.2 31.2 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%06/202207/20300.5 0.5 0.5 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%03/202307/20306.1 6.1 6.1 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202407/203012.7 12.7 12.7 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%08/202407/20305.4 5.4 5.4 (2)(10)
Common stock06/202175,9907.6 16.0 (2)
63.5 71.9 
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. (14)Producer and packager of compressed, household, and packaged saltFirst lien senior secured loan9.70%SOFR (Q)5.25%07/202107/202824.8 24.8 24.8 (2)(10)
Limited partner interests07/20210.42%0.8 1.3 (2)
25.6 26.1 
Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P. (14)(15)Fresh and specialty food distributorFirst lien senior secured revolving loan02/202301/2029   (2)(12)
First lien senior secured loan
11.97% (5.25% PIK)
SOFR (S)7.75%02/202301/20298.3 8.3 7.8 (2)(10)
Common units01/20231,673,0001.7  
10.0 7.8 
ZB Holdco LLC and ZB TopCo LLC (14)Distributor of Mediterranean food and beveragesFirst lien senior secured revolving loan10.23%SOFR (Q)5.75%02/202202/20286.3 6.3 6.3 (2)(10)(13)
First lien senior secured loan10.20%SOFR (Q)5.75%02/202202/20280.2 0.2 0.2 (2)(10)
First lien senior secured loan10.20%SOFR (Q)5.75%08/202302/20288.6 8.6 8.6 (2)(10)

See accompanying notes to consolidated financial statements.
42

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan10.21%SOFR (Q)5.75%03/202402/202810.6 10.6 10.6 (2)(10)
First lien senior secured loan9.98%SOFR (Q)5.50%03/202402/20282.9 2.9 2.9 (2)(10)
First lien senior secured loan10.23%SOFR (Q)5.75%05/202502/20284.0 4.0 4.0 (2)(10)
Series A units06/20234,6993.0 6.9 (2)
35.6 39.5 
1,333.6 1,301.6 9.28%
Consumer Services
Aimbridge Topco, LLCHotel operatorCommon Units03/202556,3103.3 3.3 (2)
American Residential Services L.L.C. and Aragorn Parent Holdings LPHeating, ventilation and air conditioning services providerSeries A preferred units
10.00% PIK
10/20202,531,5004.0 7.0 (2)
Apex Service Partners, LLC and Apex Service Partners Holdings, LLC (14)Provider of residential HVAC, plumbing, and electrical maintenance and repair servicesFirst lien senior secured revolving loan10/202310/2029   (2)(10)(12)
First lien senior secured loan9.32%SOFR (Q)5.00%09/202410/2030200.9 200.6 200.9 (2)(10)
Series B common units10/2023262,1657.2 11.5 
207.8 212.4 
Belfor Holdings, Inc. (14)Disaster recovery services providerFirst lien senior secured revolving loan04/201901/2026   (2)(12)
Clarion Home Services Group, LLC and LBC Breeze Holdings LLC (14)Provider of HVAC and plumbing services to residential and commercial customersFirst lien senior secured revolving loan10.38%SOFR (Q)6.00%12/202112/20270.7 0.7 0.7 (2)(10)
First lien senior secured revolving loan12.50%Base Rate (Q)5.00%12/202112/20270.1 0.1 0.1 (2)(10)
First lien senior secured loan
12.38% (7.00% PIK)
SOFR (Q)8.00%12/202112/20273.4 3.4 3.2 (2)(10)
First lien senior secured loan
12.66% (7.25% PIK)
SOFR (Q)8.25%03/202312/20276.7 6.7 6.4 (2)(10)
Class A units12/20214,2964.3 2.7 
15.2 13.1 
CMG HoldCo, LLC and CMG Buyer Holdings, Inc. (14)Provider of commercial HVAC equipment maintenance and repair servicesFirst lien senior secured revolving loan8.96%SOFR (S)4.75%05/202205/20286.3 6.3 6.3 (2)(10)
First lien senior secured loan8.88%SOFR (S)4.75%05/202205/202830.5 30.5 30.5 (2)(10)
First lien senior secured loan8.94%SOFR (S)4.75%11/202305/20283.0 3.0 3.0 (2)(10)
Common stock05/20223023.1 10.7 (2)
42.9 50.5 
Concert Golf Partners Holdco LLC (14)Golf club owner and operatorFirst lien senior secured loan8.88%SOFR (M)4.50%04/202403/20314.0 4.0 4.0 (2)(10)
First lien senior secured loan8.88%SOFR (M)4.50%03/202503/203134.6 34.6 34.6 (2)(10)
38.6 38.6 
CST Holding Company (14)Provider of ignition interlock devicesFirst lien senior secured loan9.43%SOFR (S)5.00%11/202211/202811.5 11.5 11.5 (2)(10)
First lien senior secured loan9.43%SOFR (S)5.00%07/202411/20280.1 0.1 0.1 (2)(10)
11.6 11.6 

See accompanying notes to consolidated financial statements.
43

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Davidson Hotel Company LLC (14)Provider of hotel operations solutions and advisory servicesFirst lien senior secured loan9.33%SOFR (M)5.00%10/202410/20318.3 8.3 8.3 (2)(10)
Equinox Holdings, Inc.Operator of luxury, full-service health fitness clubsFirst lien senior secured loan
12.55% (4.13% PIK)
SOFR (Q)8.25%03/202403/202945.2 44.4 45.2 (2)(10)
Second lien senior secured loan
16.00% PIK
03/202406/20274.2 4.2 4.2 (2)
48.6 49.4 
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC (14)Provider of plumbing and HVAC servicesFirst lien senior secured revolving loan9.33%SOFR (Q)5.00%06/202406/20302.4 2.4 2.3 (2)(10)(13)
First lien senior secured loan9.28%SOFR (Q)5.00%06/202406/2031151.5 151.4 148.5 (2)(10)
Preferred units
15.00% PIK
07/20236858.6 8.6 (2)
Class A units11/20206,44722.9 31.0 (2)
185.3 190.4 
Eternal Aus Bidco Pty Ltd (14)Operator of cemetery, crematoria and funeral servicesFirst lien senior secured loan10.00%BBSY (Q)6.25%11/202311/20297.4 7.4 7.4 (2)(6)(10)
Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc. (14)Fitness facility operatorFirst lien senior secured loan9.80%SOFR (Q)5.50%08/202304/20295.4 5.3 5.4 (2)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%05/202404/20290.9 0.9 0.9 (2)(10)
6.2 6.3 
Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP (4)(14)Crunch Fitness franchiseeFirst lien senior secured revolving loan8.33%SOFR (M)4.00%08/202408/20302.2 2.2 2.2 (2)(10)
First lien senior secured loan9.83%SOFR (M)5.50%08/202408/203110.6 10.6 10.6 (2)(10)
Common units07/202411,957,00012.0 14.4 (2)
24.8 27.2 
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. (14)Distributor of instructional products, services and resourcesFirst lien senior secured revolving loan9.95%SOFR (M)5.50%08/201804/202614.4 14.4 14.4 (2)(10)(13)
First lien senior secured loan10.06%SOFR (Q)5.50%07/201704/202628.9 28.9 28.9 (2)(10)
First lien senior secured loan10.06%SOFR (Q)5.50%08/201804/20261.1 1.1 1.1 (2)(10)
First lien senior secured loan10.06%SOFR (Q)5.50%06/202404/20267.4 7.4 7.4 (2)(10)
First lien senior secured loan10.02%SOFR (Q)5.50%05/202504/20265.0 5.0 5.0 (2)(10)
Series A preferred stock10/20141,2720.7 1.1 (2)
57.5 57.9 
Flint OpCo, LLC (14)Provider of residential HVAC and plumbing servicesFirst lien senior secured loan9.03%SOFR (Q)4.75%08/202308/20306.9 6.9 6.9 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%05/202408/20302.1 2.1 2.1 (2)(10)
9.0 9.0 
GS SEER Group Borrower LLC and GS SEER Group Holdings LLC (14)Provider of commercial and residential HVAC, electrical, and plumbing servicesFirst lien senior secured revolving loan04/202304/2029   (2)(10)(12)
First lien senior secured loan11.05%SOFR (Q)6.75%04/202304/203024.1 24.1 24.1 (2)(10)
Class A common units04/20234,4244.4 3.6 (2)

See accompanying notes to consolidated financial statements.
44

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
28.5 27.7 
Helios Service Partners, LLC and Astra Service Partners, LLC (14)Critical HVAC, refrigeration, and plumbing services for commercial businessesFirst lien senior secured revolving loan9.59%SOFR (Q)5.00%08/202303/20270.7 0.6 0.7 (2)(10)(13)
First lien senior secured loan9.58%SOFR (Q)5.00%08/202303/202710.7 10.7 10.7 (2)(10)
First lien senior secured loan10.32%SOFR (Q)6.00%01/202403/20270.4 0.4 0.4 (2)(10)
11.7 11.8 
HGC Holdings, LLC (14)Operator of golf facilitiesFirst lien senior secured loan9.32%SOFR (Q)5.00%06/202506/202965.8 65.8 65.3 (2)(10)
First lien senior secured loan8.80%SOFR (Q)4.50%06/202506/20291.9 1.9 1.9 (2)(10)
67.7 67.2 
IFH Franchisee Holdings, LLC (14)Operator of fitness centersFirst lien senior secured revolving loan8.32%SOFR (Q)4.00%12/202412/20294.3 4.3 4.3 (2)(10)
First lien senior secured loan10.07%SOFR (Q)5.75%12/202412/202955.0 55.0 55.0 (2)(10)
59.3 59.3 
Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P. (14)Provider of residential roofing and exterior repair and replacement servicesFirst lien senior secured revolving loan12.50%Base Rate (Q)5.00%12/202212/20281.3 1.3 1.3 (2)(6)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%12/202212/202814.6 14.6 14.6 (2)(6)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%11/202312/20286.4 6.4 6.4 (2)(6)(10)
First lien senior secured loan8.66%CORRA (M)6.00%11/202312/20281.3 1.3 1.4 (2)(6)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%10/202412/20285.5 5.5 5.5 (2)(6)(10)
Class A units12/20229,524,0009.5 11.4 (2)(6)
38.6 40.6 
Jenny C Acquisition, Inc.Health club franchisorSenior subordinated loan
8.00% PIK
04/201904/20251.9 1.9 1.9 (2)
Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P. (14)Franchising platform offering adolescent development programsFirst lien senior secured revolving loan10.31%SOFR (M)6.00%12/202212/20270.7 0.7 0.7 (2)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%12/202212/202730.1 30.1 30.1 (2)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%01/202512/20271.4 1.4 1.4 (2)(10)
Limited partnership interests12/20222,149,6902.1 2.8 
34.3 35.0 
ME Equity LLCFranchisor in the massage industryCommon stock09/20123,000,0003.0 4.6 (2)
Modigent, LLC and OMERS PMC Investment Holdings LLC (14)Provider of commercial HVAC servicesFirst lien senior secured revolving loan9.30%SOFR (Q)5.00%08/202208/20272.2 2.2 2.2 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%08/202208/202812.3 12.3 12.3 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%09/202308/20286.3 6.3 6.3 (2)(10)
Preferred units
14.00% PIK
05/2025820.8 0.8 (2)
Class A units08/20221,0019.7 14.0 (2)
31.3 35.6 
Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc. (14)Provider of lawn care, tree care and pest control servicesFirst lien senior secured revolving loan9.30%SOFR (Q)5.00%06/202406/20310.1 0.1 0.1 (2)(10)(13)

See accompanying notes to consolidated financial statements.
45

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.30%SOFR (Q)5.00%06/202406/203123.8 23.8 23.8 (2)(10)
Class A preferred units09/20246030.6 0.6 
Class B common units09/2024602,5810.3 0.2 
24.8 24.7 
North Haven Fairway Buyer, LLC and Fairway Lawns, LLC (14)Provider of lawncare servicesFirst lien senior secured revolving loan9.30%SOFR (Q)5.00%12/202205/20283.0 3.0 3.0 (2)(10)
First lien senior secured loan9.28%SOFR (Q)5.00%12/202205/202817.6 17.6 17.6 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%06/202405/20283.4 3.4 3.4 (2)(10)
First lien senior secured loan9.26%SOFR (Q)5.00%02/202505/202810.1 10.1 10.1 (2)(10)
34.1 34.1 
Northwinds Holding, Inc. and Northwinds Services Group LLC (14)Provider of HVAC and plumbing servicesFirst lien senior secured loan9.42%SOFR (Q)5.00%05/202305/202926.9 26.9 26.9 (2)(10)
First lien senior secured loan9.46%SOFR (Q)5.00%08/202405/20296.2 6.2 6.2 (2)(10)
First lien senior secured loan9.47%SOFR (Q)5.00%06/202505/20290.3 0.3 0.3 (2)(10)
Common units05/20232,911,6074.0 5.0 (2)
37.4 38.4 
OTG Concessions Management, LLC and Octa Parent Holdings, LLCAirport restaurant operatorSecond lien notes
10.00% PIK
02/202402/20318.8 8.8 8.2 (2)
Participation rights02/202402/20541  (2)
8.8 8.2 
PestCo Holdings, LLC and PestCo, LLC (14)Provider of pest control services to the residential and commercial marketsFirst lien senior secured loan10.68%SOFR (Q)6.25%02/202302/20282.5 2.5 2.5 (2)(10)
First lien senior secured loan9.53%SOFR (Q)5.25%10/202402/20280.8 0.8 0.8 (2)(10)
Class A units01/20231391.9 2.8 
5.2 6.1 
Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc. (14)Provider of commercial and residential HVAC, electrical & plumbing servicesFirst lien senior secured revolving loan9.04%SOFR (Q)4.75%10/202410/20301.1 1.1 1.1 (2)(10)
First lien senior secured loan9.04%SOFR (Q)4.75%10/202410/20306.6 6.6 6.6 (2)(10)
Common stock10/20246670.7 0.6 (2)
8.4 8.3 
Premiere Buyer, LLC (14)Third-party residential property manager for multi-family residential properties in the United StatesFirst lien senior secured loan9.05%SOFR (Q)4.75%05/202405/20315.5 5.5 5.5 (2)(10)
First lien senior secured loan9.02%SOFR (Q)4.75%04/202505/20311.0 1.0 1.0 (2)(10)
6.5 6.5 
Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC (14)Hotel operatorFirst lien senior secured loan9.53%SOFR (Q)5.25%01/202301/20287.6 7.6 7.6 (2)(10)
First lien senior secured loan9.53%SOFR (Q)5.25%10/202401/20282.6 2.6 2.6 (2)(10)
Preferred membership units
8.00% PIK
07/2016996,8331.2 3.2 
11.4 13.4 

See accompanying notes to consolidated financial statements.
46

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P. (14)Car wash operatorFirst lien senior secured loan9.07%SOFR (M)4.75%05/202406/20314.7 4.7 4.7 (2)(10)
Limited partnership interest06/202411,184,00011.2 12.8 (2)
15.9 17.5 
Radiant Intermediate Holding, LLCProvider of HVAC, plumbing and electrical servicesFirst lien senior secured loan
10.35% (3.00% PIK)
SOFR (S)6.00%04/202311/20262.1 2.1 1.9 (2)(10)
Redwood Services LP (14)Provider of residential HVAC and plumbing servicesFirst lien senior secured loan9.05%SOFR (Q)4.75%06/202506/203226.6 26.6 26.4 (2)(10)
Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc.Provider of safety systems for business and residential customersFirst lien senior secured loan11.69%SOFR (M)7.25%08/202005/202524.0 24.0 24.0 (2)(10)
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. (14)Planet Fitness franchiseeFirst lien senior secured revolving loan8.40%CORRA (M)5.38%07/201807/20260.6 0.6 0.6 (2)(10)
First lien senior secured revolving loan9.80%SOFR (S)5.38%07/201807/20260.2 0.2 0.2 (2)(10)
First lien senior secured revolving loan8.46%CORRA (M)5.50%01/202407/20260.5 0.4 0.4 (2)(10)
First lien senior secured revolving loan9.93%SOFR (S)5.50%01/202407/20260.1 0.1 0.1 (2)(10)
First lien senior secured loan9.76%SOFR (M)5.33%03/202007/20261.3 1.3 1.3 (2)(10)
First lien senior secured loan9.93%SOFR (M)5.50%01/202407/20260.4 0.4 0.4 (2)(10)
Class A units07/201837,0203.8 8.8 
6.8 11.8 
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP (14)Refrigeration, heating, ventilation and air conditioning services providerFirst lien senior secured revolving loan
12.32% (4.50% PIK)
SOFR (M)8.00%12/202112/20278.8 8.8 8.7 (2)(10)
First lien senior secured loan
12.33% (4.50% PIK)
SOFR (M)8.00%12/202112/20270.2 0.2 0.2 (2)(10)
First lien senior secured loan
12.33% (4.50% PIK)
SOFR (M)8.00%08/202212/20270.2 0.2 0.2 (2)(10)
First lien senior secured loan
12.33% (4.50% PIK)
SOFR (M)8.00%04/202312/20271.6 1.6 1.6 (2)(10)
First lien senior secured loan
12.33% (4.50% PIK)
SOFR (M)8.00%10/202312/20275.4 5.4 5.4 (2)(10)
First lien senior secured loan
12.33% (4.00% PIK)
SOFR (M)8.00%08/202412/202710.9 10.8 10.8 (2)(10)
Class A units12/20218,493,6988.5 7.7 
Class C units03/2023333,510  
35.5 34.6 
Triwizard Holdings, Inc. and Triwizard Parent, LP (14)Parking management and hospitality services providerFirst lien senior secured revolving loan9.30%SOFR (Q)5.00%06/202306/20294.6 4.6 4.6 (2)(10)(13)
Class A-2 common units06/202330,0003.0 4.5 (2)
7.6 9.1 

See accompanying notes to consolidated financial statements.
47

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC (14)Provider of residential roofing repair & replacementFirst lien senior secured revolving loan10.30%SOFR (Q)6.00%11/202311/20301.3 1.3 1.2 (2)(10)(13)
First lien senior secured loan10.30%SOFR (Q)6.00%11/202311/203015.2 15.2 14.7 (2)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%10/202411/20302.9 2.9 2.8 (2)(10)
Class B common units11/20232120.2 0.3 
19.6 19.0 
Wrench Group LLCProvider of essential home services specializing in HVAC, plumbing and electrical servicesFirst lien senior secured loan8.56%SOFR (Q)4.00%11/202410/20280.1 0.1 0.1 (2)(17)
YE Brands Holdings, LLC (14)Sports camp operatorFirst lien senior secured loan9.05%SOFR (Q)4.75%10/202110/20270.1 0.1 0.1 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%06/202210/20278.0 8.0 8.0 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%09/202310/20273.6 3.6 3.6 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%01/202410/20272.6 2.6 2.6 (2)(10)
14.3 14.3 
ZBS Mechanical Group Co-Invest Fund 2, LLC and ZBS Mechanical Group Co-Invest II Fund 2, LLCProvider of residential HVAC and plumbing servicesMembership interest10/20212,771,0001.4 7.4 
Membership interest02/2025264,1610.3 1.4 
1.7 8.8 
1,237.6 1,283.3 9.14%
Sports, Media and Entertainment
22 HoldCo LimitedSports and entertainment platformSenior subordinated loan
12.16% PIK
SONIA (S)7.50%08/202308/203366.4 61.6 66.4 (2)(6)(10)
3 Step Sports LLC (14)Provider of integrated youth sports solutionsFirst lien senior secured revolving loan12.32%SOFR (M)8.00%10/202310/20281.3 1.3 1.2 (2)(10)
First lien senior secured loan
12.30% (1.50% PIK)
SOFR (Q)8.00%10/202310/202912.5 12.5 11.9 (2)(10)
13.8 13.1 
Aventine Intermediate LLC & Aventine Holdings II LLCMedia and production companyFirst lien senior secured loan
10.40% (3.00% PIK)
SOFR (Q)6.00%12/202106/202710.6 10.6 10.3 (2)(10)
Second lien senior secured loan
10.25% PIK
12/202112/203050.6 50.6 41.0 (2)
61.2 51.3 
Axiomatic, LLCPremiere e-sports and video game investment platformClass A-1 units05/2022500,0004.7 5.9 
Bad Vibes Forever, LLC and Bad Vibes Forever Publishing, LLCProvider of estate of deceased recording artist and writer XXXTentacionFirst lien senior secured loan9.68%SOFR (S)5.50%06/202506/203220.4 20.4 20.1 (2)(10)
CFC Funding LLCSME-related SPVLoan instrument units
9.75% PIK
07/202316,68019.2 19.2 (6)
CMW Parent LLC (fka Black Arrow, Inc.)Multiplatform media firmSeries A units09/201532  
Dundee Eros, LPCatalog of premier music intellectual propertyLimited partnership interest11/20244,803,4414.8 5.0 (2)

See accompanying notes to consolidated financial statements.
48

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Eagle Football Holdings BidCo Limited and Eagle Football Holdings LimitedMulti-club sports platformSenior subordinated loan
19.00% PIK
12/202212/202832.1 32.1 32.1 (2)(6)
Senior subordinated loan
12.29% PIK
SOFR (S)8.15%12/202212/202857.2 57.2 48.6 (2)(6)(10)
Ordinary shares09/20234944.4  (2)(6)
Warrant to purchase shares of ordinary shares12/202211/2028180  (2)(6)
Warrant to purchase shares of ordinary shares12/202211/2028199  (2)(6)
93.7 80.7 
Fever Labs, Inc. (14)Technology led marketing and ticketing platform for live eventsFirst lien senior secured revolving loan11.00%08/202411/20288.5 8.5 8.5 (2)
First lien senior secured loan11.00%05/202411/202817.0 15.9 17.0 (2)
Series B redeemable preferred stock
13.50% PIK
06/20258,8248.9 8.6 (2)
Series E-5 Convertible Shares08/2024217,9070.9 1.2 (2)
Warrant to purchase shares of common stock06/202506/2035177,076  (2)
34.2 35.3 
FinEquity Holdings, LLCProfessional sports team and entertainment complexClass A common interest12/202426182.7 185.5 
Class A common interest12/2024265.3 5.4 
Class A common interest12/2024261.3 1.3 
189.3 192.2 
Global Music Rights, LLC (14)Music right management companyFirst lien senior secured loan9.05%SOFR (Q)4.75%12/202412/2031220.9 220.9 220.9 (2)(10)
GSM Rights Fund II LP (15)Private investment firm specializing in music rights and IP assetsClass B Interest03/202503/20312,242,4222.2 2.2 (6)
League One Volleyball Clubs, LLC and League One Volleyball, Inc.Operator of youth volleyball clubsSeries B preferred stock07/2023194  (2)
Series C preferred stock09/202467  (2)
Warrant to purchase shares of common stock01/202501/20308  (2)
  
Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P. (14)Hospitality platform provider of premium experiential servicesFirst lien senior secured revolving loan9.32%SOFR (M)5.00%08/202408/20304.4 4.4 4.4 (2)(10)(13)
First lien senior secured loan
9.82% (2.75% PIK)
SOFR (Q)5.50%08/202408/203157.7 57.7 57.7 (2)(10)
Limited partnership interest02/20256,555,0006.6 7.7 (2)
68.7 69.8 
LiveBarn Inc.Provider of Live & On Demand broadcasting of amateur and youth sporting eventsMiddle preferred shares08/20234,902,98817.3 25.9 (2)(6)

See accompanying notes to consolidated financial statements.
49

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Miami Beckham United LLCAmerican professional soccer clubClass A preferred units
9.50% PIK
09/202185,000119.2 119.2 
Class B preferred units
9.50% PIK
06/202342,50051.3 51.3 
170.5 170.5 
Production Resource Group, L.L.C. and PRG III, LLC (4)Provider of rental equipment, labor, production management, scenery, and other products to various entertainment end-marketsFirst lien senior secured loan
12.57% (9.57% PIK)
SOFR (Q)8.13%07/202008/202916.9 16.9 16.9 (2)(10)
First lien senior secured loan
12.57% (9.57% PIK)
SOFR (Q)8.13%06/202108/20290.9 0.9 0.9 (2)(10)
First lien senior secured loan
12.57% (9.57% PIK)
SOFR (Q)8.13%08/202108/20298.3 8.3 8.3 (2)(10)
First lien senior secured loan
12.57% (9.57% PIK)
SOFR (Q)8.13%05/202408/202928.9 28.7 28.9 (2)(10)
First lien senior secured loan
12.57% (9.57% PIK)
SOFR (Q)8.13%03/202508/20292.6 2.6 2.6 (2)(10)
First lien senior secured loan
12.43% (9.43% PIK)
SOFR (Q)8.00%04/202508/20292.6 2.5 2.6 (2)(10)
First lien senior secured loan08/201808/202953.9 51.6 36.7 (2)(9)
Class A units10/2020113,6174.9  (2)
116.4 96.9 
Professional Fighters League, LLC and PFL MMA, Inc.Mixed martial arts leagueFirst lien senior secured loan
14.00% PIK
01/202101/202623.8 23.6 23.8 (2)
Second lien senior secured loan
16.00% PIK
11/202201/20260.2 0.2 0.2 (2)
Series E preferred stock04/2022219,0350.7 0.7 (2)
Warrant to purchase shares of common stock01/202101/20273,223,1221.7  (2)
Warrant to purchase shares of common stock11/202211/202968,7870.2  (2)
26.4 24.7 
Sandlot Action Sports, LLCYouth sports platformCommon units05/20243,384  
South Florida Motorsports, LLCProfessional sporting eventClass A common interest12/2024265.5 5.5 
Storm Investment S.a.r.l. and Atletico Holdco, S.L.Spanish soccer clubFirst lien senior secured loan3.75%06/202106/202972.6 73.6 72.6 (2)(6)
Class A redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class B redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class C redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class D redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class E redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class F redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class G redeemable shares06/20213,297,7911.6 4.6 (2)(6)

See accompanying notes to consolidated financial statements.
50

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class H redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Class I redeemable shares06/20213,297,7911.6 4.6 (2)(6)
Ordinary shares06/20213,958 0.3 (2)(6)
88.0114.3
The Teaching Company Holdings, Inc.Education publications providerPreferred stock09/200610,6631.1 2.8 (2)
Common stock09/200615,393 0.2 (2)
1.1 3.0 
WRE Sports Investments LLC (14)Professional sports clubFirst lien senior secured loan
11.00% (5.50% PIK)
07/202407/203126.7 26.7 26.7 (2)
1,246.6 1,249.6 8.90%
Investment Funds and Vehicles
ACAS Equity Holdings Corporation (5)Investment companyCommon stock01/20175890.4 0.4 (6)
Constellation Wealth Capital Fund, L.P. (15)Specialist alternative asset management platformLimited partner interests01/20244,018,5763.8 4.0 (6)(17)
CREST Exeter Street Solar 2004-1Investment vehiclePreferred shares01/201706/20393,500,000  (6)
CWC Fund I Co-Invest (ALTI) LPGlobal wealth and alternatives managerLimited partnership interest03/20246,224,0006.2 7.0 (2)(6)
European Capital UK SME Debt LP (4)(15)Investment partnershipLimited partnership interest01/201744.73% 0.3 (6)
HCI Equity, LLC (5)Investment companyMember interest04/2010100.00%  (6)(17)
Linden Structured Capital Fund II-A LP (15)Investment partnershipLimited partnership interest07/20241,191,0690.9 0.9 (2)(6)(17)
Partnership Capital Growth Investors III, L.P. (4)Investment partnershipLimited partnership interest10/201111.50%0.7 3.4 (2)(6)(17)
PCG-Ares Sidecar Investment, L.P. (4)(15)Investment partnershipLimited partnership interest05/201499.80%4.4 0.4 (6)(17)
PCG-TAC-CV, LP (5)Investment partnershipLimited partnership interest01/202599.80% 6.7 (2)(6)(17)
Piper Jaffray Merchant Banking Fund I, L.P.Investment partnershipLimited partnership interest08/20122.02%0.1 0.6 (6)(17)
Senior Direct Lending Program, LLC (5)(16)Co-investment vehicleSubordinated certificates12.00%SOFR (Q)8.00%07/201612/20361,062.9 1,062.9 1,052.2 (6)(11)
Membership interest87.50%  (6)
1,062.9 1,052.2 
1,079.4 1,075.9 7.67%
Independent Power and Renewable Electricity Producers
Apex Clean Energy TopCo, LLC (4)Developer, builder and owner of utility-scale wind and solar power facilitiesClass A common units11/20211,335,610134.7 224.8 
BNZ TopCo B.V. (14)Developer and operator of solar photovoltaic plantsSenior subordinated loan8.25%Euribor (Q)6.25%10/202410/203013.4 11.9 13.1 (2)(6)(10)

See accompanying notes to consolidated financial statements.
51

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
PosiGen, Inc.Seller and leaser of solar power systems for residential and commercial customersWarrant to purchase shares of series D-1 preferred stock06/202106/20287,616  (2)
Warrant to purchase shares of common stock01/202001/20275,560  (2)
  
Potomac Intermediate Holdings II LLC (5)(14)Gas turbine power generation facilities operatorSeries A units11/2021280,084,442239.5 465.2 
Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLCResidential solar energy providerFirst lien senior secured loan3.61%10/201902/20550.1 0.1 0.1 (2)
Senior subordinated loan
11.18% (6.90% PIK)
SOFR (Q)6.90%11/201911/2026179.6 179.6 158.0 (2)(10)
179.7 158.1 
Sunrun Luna Holdco 2021, LLCResidential solar energy providerSenior subordinated loan11.03%SOFR (Q)6.75%03/202204/2027150.0 150.0 127.5 (2)(6)(10)
Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLCResidential solar energy providerFirst lien senior secured loan3.98%06/201906/20540.3 0.3 0.2 (2)
Senior subordinated loan
11.20% (6.00% PIK)
SOFR (Q)6.90%06/201907/203083.7 83.7 79.5 (2)(10)
84.079.7
799.8 1,068.4 7.61%
Capital Goods
AI Aqua Merger Sub, Inc.End to end provider of water solutions to a wide range of customer basesFirst lien senior secured loan7.32%SOFR (M)3.00%12/202407/20281.0 1.0 1.0 (2)(10)(17)
Airx Climate Solutions, Inc. (14)Provider of commercial HVAC equipment and servicesFirst lien senior secured loan10.08%SOFR (Q)5.75%11/202311/20299.8 9.8 9.8 (2)(10)
First lien senior secured loan9.33%SOFR (Q)5.00%07/202411/20299.6 9.6 9.6 (2)(10)
19.4 19.4 
Align Precision Group, LLC (14)Manufacturer of precision machined components for defense and high-tech industrial platformsFirst lien senior secured loan06/202106/202727.1 27.1 12.2 (2)(9)
First lien senior secured loan10.69%SOFR (M)6.25%03/202506/20250.4 0.4 0.4 (2)(10)
27.5 12.6 
API Military Inc. and Allclear Group LLC (14)Provider of military aircraft aftermarket parts and distribution, repair and logistics servicesFirst lien senior secured loan
11.43% (6.00% PIK)
SOFR (M)7.00%05/202505/20301.6 0.3 0.4 (2)
First lien senior secured loan
8.93% (2.00% PIK)
SOFR (M)4.50%05/202505/20300.5 0.1 0.1 (2)
First lien senior secured loan9.92%SOFR (M)5.50%05/202505/20302.8 1.8 2.8 (2)
Membership Interest05/20254,015  (2)
2.2 3.3 
Arrowhead Holdco Company and Arrowhead GS Holdings, Inc.Distributor of non-discretionary, mission-critical aftermarket replacement partsFirst lien senior secured loan6.95%SOFR (Q)2.50%08/202108/20280.1 0.1 0.1 (2)(10)

See accompanying notes to consolidated financial statements.
52

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Common stock08/20215,0545.1  (2)
5.2 0.1 
BGIF IV Fearless Utility Services, Inc. (14)Maintenance and installation service provider for electric transmission and distribution infrastructureFirst lien senior secured revolving loan06/202406/2030   (2)(12)
First lien senior secured loan9.31%SOFR (M)5.00%06/202406/203135.1 35.1 35.1 (2)(10)
35.1 35.1 
Burgess Point Purchaser CorporationRemanufacturer of mission-critical and non-discretionary aftermarket vehicle, industrial, energy storage, and solar replacement partsFirst lien senior secured loan9.65%SOFR (Q)5.25%07/202207/202921.7 20.7 18.5 (2)(10)(17)
CPIG Holdco Inc.Distributor of engineered fluid power and complex machined solutionsFirst lien senior secured loan11.39%SOFR (Q)7.00%04/202304/202814.5 14.5 14.5 (2)(10)
DFS Holding Company, Inc.Distributor of maintenance, repair, and operations parts, supplies, and equipment to the foodservice industryFirst lien senior secured loan11.33%SOFR (M)7.00%01/202301/20292.1 2.0 2.0 (2)(10)
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP (14)Provider of aerospace technology and equipmentFirst lien senior secured revolving loan10.94%SOFR (Q)6.50%12/202012/20274.1 4.1 4.1 (2)(10)
First lien senior secured loan10.94%SOFR (Q)6.50%12/202012/202725.5 25.5 25.5 (2)(10)
Common units12/20209,773,0009.8 14.8 
39.4 44.4 
EIS Legacy Holdco, LLC (14)Distributor of electric applicator componentsFirst lien senior secured loan9.01%SOFR (Q)4.75%11/202411/203112.7 12.7 12.7 (2)(10)
ESCP PPG Holdings, LLC (4)Distributor of new equipment and aftermarket parts to the heavy-duty truck industryClass A-1 units08/202296,8972.3 1.0 (2)
Class A-2 units12/20163,5003.5 1.6 (2)
5.8 2.6 
Generator US Buyer, Inc. and Total Power Limited (14)Provider of generator-based power solutionsFirst lien senior secured revolving loan7.93%CORRA (Q)5.25%07/202407/20300.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan7.93%CORRA (Q)5.25%07/202407/20305.8 5.7 5.8 (2)(6)(10)
First lien senior secured loan9.55%SOFR (Q)5.25%10/202407/20301.3 1.3 1.3 (2)(6)(10)
7.1 7.2 
Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC (14)Provider of underground utility locating and concrete scanningFirst lien senior secured revolving loan8.82%SOFR (Q)4.50%01/202501/20321.8 1.8 1.7 (2)(10)
Member Units01/202520,000,00020.0 21.0 (2)
21.8 22.7 
GSV Purchaser, Inc. (14)Provider of maintenance, repair, and sales services for commercial emergency power backup generatorsFirst lien senior secured loan8.82%SOFR (M)4.50%08/202408/20310.1 0.1 0.1 (2)(10)
Harvey Tool Company, LLC (14)Manufacturer of cutting tools used in the metalworking industryFirst lien senior secured loan9.58%SOFR (M)5.25%10/202110/20273.6 3.6 3.6 (2)(10)
First lien senior secured loan9.58%SOFR (M)5.25%04/202410/202755.4 55.4 55.4 (2)(10)
59.0 59.0 

See accompanying notes to consolidated financial statements.
53

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Helix Acquisition Holdings, Inc.Manufacturer of springs, fasteners and custom componentsFirst lien senior secured loan11.43%SOFR (M)7.00%03/202303/203011.9 11.9 11.9 (2)(10)
Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC (14)Manufacturer of mission critical, IP-driven avionics products and provider of an integrated suite of pilot training solutionsFirst lien senior secured revolving loan8.80%SOFR (Q)4.50%03/202503/20321.0 1.0 1.0 (2)(10)(13)
First lien senior secured loan8.80%SOFR (Q)4.50%03/202503/203248.6 48.6 48.4 (2)(10)
49.6 49.4 
HPCC Parent, Inc. and Patriot Container Corp. (14)Manufacturer of waste handling and recycling equipmentFirst lien senior secured loan
13.00% (7.00% PIK)
09/202409/203081.9 81.9 81.9 (2)
Common stock09/2024459,2084.4 4.4 (2)
86.3 86.3 
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation (5)Provider of high-speed intelligent document scanning hardware and softwareSenior subordinated loan
14.00% (7.00% PIK)
01/201712/202819.1 19.0 19.1 (2)
Class A common stock01/201748,54414.8 51.9 
33.8 71.0 
Kene Acquisition, Inc. and Kene Holdings, L.P. (14)National utility services firm providing engineering and consulting services to natural gas, electric power and other energy and industrial end marketsFirst lien senior secured loan9.53%SOFR (Q)5.25%02/202402/20315.3 5.3 5.3 (2)(10)
Class A units08/20194,549,0000.5 9.0 (2)
5.814.3
LTG Acquisition, Inc.Designer and manufacturer of display, lighting and passenger communication systems for mass transportation marketsClass A membership units01/20175,0005.1  
NCWS Intermediate, Inc. and NCWS Holdings LPManufacturer and supplier of car wash equipment, parts and supplies to the conveyorized car wash marketClass A-2 common units12/202012,296,00012.9 2.2 (2)
OPH NEP Investment, LLC (4)Provider of energy services for multi-family property owners, developers, and managersSenior subordinated loan
10.00% (7.00% PIK)
05/202405/203231.4 30.1 30.8 (2)
Senior subordinated loan
10.00% (7.00% PIK)
03/202505/20324.2 3.9 4.1 (2)
Class B common units05/202481.9 2.4 
35.9 37.3 
Osmose Utilities Services, Inc. and Pine Intermediate Holding LLCProvider of structural integrity management services to transmission and distribution infrastructureSecond lien senior secured loan11.19%SOFR (M)6.75%06/202106/202955.3 55.3 51.9 (2)(10)
Paris US Holdco, Inc. & 1001028292 Ontario Inc. (14)Manufacturer of high-tolerance precision machined components and assemblies for the aerospace and defense industryFirst lien senior secured revolving loan9.08%SOFR (M)4.75%12/202412/20310.1 0.1 0.1 (2)(6)(10)

See accompanying notes to consolidated financial statements.
54

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured revolving loan11.25%Base Rate (Q)3.75%12/202412/20310.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan9.08%SOFR (M)4.75%12/202412/203177.3 77.3 77.3 (2)(6)(10)
77.5 77.5 
PumpTech, LLC and Impel CV-B, LP (14)(15)Provider of flow control equipment and related services including pumping products and process solutions for water, wastewater, and industrial applicationsFirst lien senior secured revolving loan11.25%Base Rate (Q)3.75%01/202501/20310.4 0.4 0.3 (2)(10)
First lien senior secured loan9.08%SOFR (M)4.75%01/202501/203111.8 11.8 11.6 (2)(10)
Limited partnership interest03/2025752,8220.8 1.0 (2)
13.0 12.9 
Qnnect, LLC and Connector TopCo, LPManufacturer of highly engineered hermetic packaging productsLimited partnership interests11/2022992,5009.9 12.9 (2)
Radius Aerospace, Inc. and Radius Aerospace Europe Limited (14)Metal fabricator in the aerospace industryFirst lien senior secured revolving loan
10.48% (0.25% PIK)
SOFR (S)6.00%03/201903/20270.7 0.7 0.7 (2)(6)(10)
First lien senior secured revolving loan
10.22% (0.25% PIK)
SONIA (M)6.00%11/201903/20272.2 2.0 2.1 (2)(6)(10)
First lien senior secured loan
10.51% (0.25% PIK)
SOFR (Q)6.00%06/202403/202710.0 10.0 9.8 (2)(6)(10)
12.7 12.6 
Radwell Parent, LLC (14)Distributor of maintenance, repair, and operations partsFirst lien senior secured revolving loan12.00%Base Rate (Q)4.50%12/202204/20291.3 1.2 1.3 (2)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%12/202204/20290.1 0.1 0.1 (2)(10)
1.3 1.4 
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation (14)Manufacturer of metal castings, precision machined components and sub-assemblies in the electrical products, power transmission and distribution and general industrial marketsFirst lien senior secured revolving loan10.17%SOFR (M)5.75%10/201712/20272.8 2.8 2.8 (2)(10)(13)
First lien senior secured loan10.18%SOFR (M)5.75%04/202412/20273.7 3.7 3.7 (2)(10)
First lien senior secured loan10.18%SOFR (S)5.75%03/202512/202715.0 15.0 15.0 (2)(10)
21.5 21.5 
Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P. (14)Provider of aircraft component maintenance, repair, and overhaul servicesFirst lien senior secured loan9.30%SOFR (Q)5.00%05/202405/203138.8 38.8 38.8 (2)(10)
Series A common units05/20241,0421.0 1.7 (2)
39.8 40.5 
Two Six Labs, LLC (14)Provider of information operations, cyber, and data analytics products and services for government and defense contractsFirst lien senior secured revolving loan9.57%SOFR (Q)5.25%05/202208/20274.9 4.7 4.9 (2)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%10/202308/20278.5 8.5 8.5 (2)(10)

See accompanying notes to consolidated financial statements.
55

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
13.2 13.4 
Werner Finco LPProvider of safety access and secure storage products across access equipment, ladders, and truck & van solutions.First lien senior secured loan9.82%SOFR (Q)5.50%06/202506/2031110.3 110.3 108.6 (2)(10)
869.3 880.8 6.28%
Pharmaceuticals, Biotechnology and Life Sciences
Abzena Holdings, Inc. and Astro Group Holdings Ltd.Organization providing discovery, development and manufacturing services to the pharmaceutical and biotechnology industriesClass A ordinary shares05/20212,476,7445.7 4.2 (2)(6)
ADMA Biologics Inc.Biopharmaceutical companyFirst lien senior secured loan10.81%SOFR (Q)6.50%12/202312/20270.3 0.3 0.3 (2)(6)(10)
Alcami Corporation and ACM Note Holdings, LLC (14)Outsourced drug development services providerFirst lien senior secured loan11.48%SOFR (Q)7.00%12/202212/20289.9 9.9 9.9 (2)(10)
Senior subordinated loan
12.00% PIK
12/202206/202923.2 23.2 23.2 (2)
33.1 33.1 
Bamboo US BidCo LLC (14)Biopharmaceutical companyFirst lien senior secured loan9.53%SOFR (Q)5.25%09/202309/203034.2 34.2 34.2 (2)(10)
First lien senior secured loan9.58%SOFR (Q)5.25%11/202409/20300.3 0.3 0.3 (2)(10)
34.5 34.5 
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. (14)Provider of biological products to life science and pharmaceutical companiesFirst lien senior secured revolving loan9.83%SOFR (Q)5.50%10/202110/20272.1 2.1 2.1 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%10/202110/202831.0 31.0 31.0 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%06/202310/202811.4 11.4 11.4 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%08/202410/20286.9 6.9 6.9 (2)(10)
Preferred units
8.00% PIK
10/202110/20513,0204.1 3.0 (2)
Series A preferred shares
13.75% PIK
10/202160,236100.7 100.7 (2)
Class A common units10/202130,500  (2)
156.2 155.1 
Creek Parent, Inc. and Creek Feeder, L.P. (14)Provider of delivery technologies, development, drug manufacturing, biologics, gene therapies and consumer health productsFirst lien senior secured revolving loan12/202412/2031   (2)(12)
First lien senior secured loan9.57%SOFR (M)5.25%12/202412/2031208.2 208.2 208.2 (2)(10)
Limited partnership interest12/20246,891,0006.9 9.0 (2)
215.1 217.2 
Gula Buyer Inc. and Gula Co-Invest II, L.P.Distributor and manufacturer of veterinarian-grade pet prescription medications and health productsFirst lien senior secured loan9.32%SOFR (M)5.00%10/202410/2031125.2 125.2 125.2 (2)(10)
Common units03/20254340.5 0.4 (2)

See accompanying notes to consolidated financial statements.
56

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
125.7 125.6 
NMC Skincare Intermediate Holdings II, LLC (14)Developer, manufacturer and marketer of skincare productsFirst lien senior secured revolving loan10.92%SOFR (M)6.50%10/201810/20281.5 1.5 1.4 (2)(10)
First lien senior secured revolving loan10.98%SOFR (Q)6.50%05/202210/20280.2 0.2 0.2 (2)(10)
First lien senior secured loan
10.93% (1.50% PIK)
SOFR (Q)6.50%10/201810/202828.4 28.4 26.4 (2)(10)
First lien senior secured loan
10.95% (1.50% PIK)
SOFR (Q)6.50%05/202210/20284.2 4.2 3.9 (2)(10)
34.3 31.9 
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P. (14)Contract research organization providing research and development and testing of medical devicesFirst lien senior secured revolving loan8.97%SOFR (Q)4.50%09/202103/20272.5 2.5 2.4 (2)(10)
First lien senior secured loan10.46%SOFR (Q)6.00%09/202009/202746.3 46.3 44.9 (2)(10)
First lien senior secured loan10.46%SOFR (Q)6.00%12/202009/20270.1 0.1 0.1 (2)(10)
First lien senior secured loan10.46%SOFR (Q)6.00%02/202109/20272.5 2.5 2.4 (2)(10)
First lien senior secured loan10.46%SOFR (Q)6.00%09/202109/20279.2 9.2 9.0 (2)(10)
Senior subordinated loan
11.00% PIK
03/202303/20271.7 1.7 1.7 (2)
Class A preferred units
8.00% PIK
09/202013,52819.7 19.7 (2)
82.0 80.2 
Verista, Inc. (14)Provides systems consulting for compliance, automation, validation, and packaging solutions to the healthcare sectorFirst lien senior secured revolving loan10.57%SOFR (Q)6.00%05/202202/20270.7 0.5 0.6 (2)(10)
First lien senior secured loan
11.07% (0.50% PIK)
SOFR (Q)6.50%05/202202/20270.8 0.8 0.7 (2)(10)
1.3 1.3 
WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P. (14)Manufacturer of monoclonal antibodiesFirst lien senior secured loan10.51%SOFR (Q)6.25%11/202311/20305.0 5.0 5.0 (2)(10)
Limited partnership interest11/20231,529,0001.5 1.5 (2)
6.56.5
694.7 689.9 4.92%
Materials
Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC (5)(14)Producer and filler of aluminum beverage cansFirst lien senior secured loan
9.90% PIK
SOFR (Q)5.50%02/202502/203012.7 12.7 12.7 (2)(10)
First lien senior secured loan
12.00% PIK
Base Rate (Q)4.50%02/202502/20300.4 0.4 0.4 (2)(10)
Common units02/2025268,22317.6 11.1 (2)
30.7 24.2 
AP Adhesives Holdings, LLC (14)Distributor of industrial adhesives and equipmentFirst lien senior secured revolving loan9.07%SOFR (M)4.75%04/202504/20310.2 0.2 0.2 (2)(10)
First lien senior secured loan8.80%SOFR (S)4.75%04/202504/203233.0 33.0 32.7 (2)(10)
33.2 32.9 

See accompanying notes to consolidated financial statements.
57

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP (14)Manufacturer and supplier of printed packaging and trimmingsFirst lien senior secured revolving loan10.44%SOFR (M)6.00%12/202112/20273.5 3.5 3.5 (2)(10)
First lien senior secured loan10.54%SOFR (Q)6.00%12/202112/20270.1 0.1 0.1 (2)(10)
First lien senior secured loan10.28%SOFR (Q)6.00%10/202412/20273.3 3.3 3.3 (2)(10)
Class A units12/2021201,55720.2 20.5 (2)
27.1 27.4 
Bulab Holdings, Inc. and Buckman PPC Co-Invest LP (14)Provider of specialty water treatment chemical solutionsFirst lien senior secured loan6.73%Euribor (S)4.75%06/202507/203210.1 10.1 10.0 (2)(10)
First lien senior secured loan9.05%SOFR (Q)4.75%06/202507/203252.8 52.8 52.2 (2)(10)
Limited partnership interest06/20251,968,0002.0 2.0 (2)
64.9 64.2 
Halex Holdings, Inc. (5)Manufacturer of flooring installation productsCommon stock01/201751,853  
Meyer Laboratory, LLC and Meyer Parent, LLC (14)Provider of industrial and institutional cleaning chemicals and application systemsFirst lien senior secured revolving loan12.25%Base Rate (Q)4.75%02/202402/20301.7 1.7 1.7 (2)(10)
First lien senior secured loan10.08%SOFR (M)5.75%02/202402/203031.8 31.8 31.1 (2)(10)
Common units02/2024440,0000.4 0.3 
33.9 33.1 
MP Midco Holdings, LLC and MP Topco Holdings, LLCFood contract manufacturerFirst lien senior secured loan10.83%SOFR (M)6.50%03/202503/20309.6 9.6 9.7 (2)(10)(17)
Common units03/2025639,3595.1 12.2 (2)(17)
14.7 21.9 
NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP (14)(15)Manufacturing and packaging company for major brandsFirst lien senior secured revolving loan10.25%Base Rate (Q)2.75%03/202503/20315.0 5.0 4.9 (10)
First lien senior secured revolving loan8.05%SOFR (Q)3.75%03/202503/20311.7 1.7 1.7 (2)(10)(13)
First lien senior secured loan9.05%SOFR (Q)4.75%03/202503/203125.5 25.5 25.3 (2)(10)
Limited partnership interest03/2025852,6660.9 0.9 (2)
33.1 32.8 
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. (14)Manufacturer of thermoformed packaging for medical devicesFirst lien senior secured revolving loan9.83%SOFR (M)5.50%03/202403/20311.6 1.6 1.6 (2)(6)(10)
First lien senior secured revolving loan7.37%Euribor (M)5.50%03/202403/20310.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan9.80%SOFR (Q)5.50%03/202403/203116.4 16.4 16.1 (2)(6)(10)
First lien senior secured loan7.86%Euribor (Q)5.50%03/202403/203136.3 33.4 35.6 (2)(6)(10)
Class A units07/20196,762,6686.8 6.8 (2)(6)
58.3 60.2 

See accompanying notes to consolidated financial statements.
58

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C.Developer and manufacturer of absorbent pads for food productsFirst lien senior secured loan
12.63% (1.00% PIK)
SOFR (S)8.25%12/202012/202622.2 22.2 21.7 (2)(10)
First lien senior secured loan
12.63% (1.00% PIK)
SOFR (S)8.25%12/202212/20260.3 0.3 0.3 (2)(10)
Class A preferred units12/20204,7724.6 3.7 (2)
Class C units12/20204,772  (2)
27.1 25.7 
Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC (14)Manufacturer of specialized acrylic and polycarbonate sheetsFirst lien senior secured revolving loan11.31%SOFR (M)7.00%05/202502/20301.1 1.1 1.0 (2)(10)(13)
First lien senior secured loan
11.31% (3.00% PIK)
SOFR (M)7.00%05/202505/2030260.5 259.9 255.3 (2)(10)
Preferred units10/20238410.1  (2)
Preferred units05/202526,0250.4 0.4 (2)
Co-Invest units12/20185,9690.6 0.2 (2)
262.1 256.9 
Precision Concepts International LLC and Precision Concepts Canada Corporation (14)Manufacturer of diversified packaging solutions and plastic injection molded productsFirst lien senior secured revolving loan9.90%SOFR (Q)5.50%01/201904/20264.2 4.2 4.2 (2)(6)(10)
First lien senior secured loan9.90%SOFR (Q)5.50%01/201904/202611.4 11.4 11.4 (2)(6)(10)
First lien senior secured loan9.90%SOFR (Q)5.50%06/202104/20260.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan9.90%SOFR (Q)5.50%05/202204/20260.1 0.1 0.1 (2)(6)(10)
First lien senior secured loan9.90%SOFR (S)5.50%03/202504/202615.3 15.3 15.3 (2)(6)(10)
31.1 31.1 
Reagent Chemical & Research, LLC (14)Supplier of liquid hydrochloric acidFirst lien senior secured revolving loan04/202404/2030   (2)(12)
First lien senior secured loan9.58%SOFR (M)5.25%04/202404/203112.1 12.1 12.1 (2)(10)
12.1 12.1 
SCI PH Parent, Inc.Industrial container manufacturer, reconditioner and servicerSeries B shares08/2018111.1 1.8 (2)
629.4 624.3 4.45%
Consumer Durables and Apparel
760203 N.B. LTD. (14)Manufacturer of hockey equipment and related accessoriesFirst lien senior secured revolving loan9.57%SOFR (M)5.25%12/202412/20303.0 3.1 3.3 (2)(6)(10)(13)
First lien senior secured revolving loan8.23%CORRA (M)5.50%12/202412/20301.3 1.4 1.3 (2)(6)(10)(13)
First lien senior secured revolving loan11.75%Base Rate (Q)4.25%12/202412/20302.1 2.2 2.1 (2)(6)(10)(13)
First lien senior secured loan8.25%CDOR (M)5.50%12/202412/203037.1 35.1 36.7 (2)(6)(10)
41.8 43.4 
Bowhunter Holdings, LLCProvider of branded archery and bowhunting accessoriesCommon units04/20144214.2  
Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P. (4)Designer, marketer and distributor of licensed and owned apparelFirst lien senior secured loan9.76%SOFR (Q)5.50%02/202408/202928.4 26.6 28.4 (2)(10)

See accompanying notes to consolidated financial statements.
59

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Senior subordinated loan
12.26% PIK
SOFR (Q)8.00%02/202402/203128.3 26.8 28.3 (2)(10)
Senior subordinated loan10.76%SOFR (Q)6.50%02/202402/203124.0 22.4 24.0 (2)(10)
Class A LP interests02/20246.27%2.9 8.5 (2)
78.7 89.2 
DRS Holdings III, Inc. and DRS Holdings I, Inc. (14)Footwear and orthopedic foot-care brandFirst lien senior secured loan9.58%SOFR (Q)5.25%03/202511/202862.5 62.5 62.5 (2)(10)
Common stock11/20198,5498.5 8.3 (2)
71.0 70.8 
Implus Footcare, LLC (14)Provider of footwear and other accessoriesFirst lien senior secured loan10.45%SOFR (Q)6.00%06/202508/20256.2 6.2 6.2 (2)(10)
First lien senior secured loan06/201607/20251.3 1.2 0.7 (2)(9)
First lien senior secured loan06/201707/2025117.4 112.3 69.3 (2)(9)
First lien senior secured loan07/201807/20255.0 4.8 3.0 (2)(9)
124.5 79.2 
Johnnie-O Inc. and Johnnie-O Holdings Inc.Apparel retailerFirst lien senior secured loan10.70%SOFR (Q)6.25%03/202203/202717.5 17.2 17.5 (2)(10)
Series A convertible preferred stock03/2022144,2104.2 4.7 (2)
Warrant to purchase shares of common stock03/202203/203293,5771.5 3.1 (2)
22.9 25.3 
Lew's Intermediate Holdings, LLC (14)Outdoor brand holding companyFirst lien senior secured revolving loan8.81%SOFR (M)4.50%02/202102/20262.2 2.2 1.9 (2)(13)
First lien senior secured loan9.33%SOFR (Q)5.00%02/202102/20281.0 1.0 0.8 (2)(10)
3.2 2.7 
Pelican Products, Inc. (14)Flashlights manufacturerFirst lien senior secured revolving loan8.45%SOFR (Q)4.00%12/202112/20262.2 2.2 1.9 (2)(10)
Second lien senior secured loan12.31%SOFR (Q)7.75%12/202112/202960.0 60.0 53.4 (2)(10)
62.2 55.3 
Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P. (14)(15)Sports equipment manufacturing companyFirst lien senior secured revolving loan8.17%SOFR (M)3.75%11/202411/20291.7 1.7 1.7 (2)(10)
First lien senior secured loan9.20%SOFR (Q)4.75%12/202011/203043.6 43.6 43.6 (2)(10)
First lien senior secured loan9.20%SOFR (Q)4.75%11/202111/20300.1 0.1 0.1 (2)(10)
First lien senior secured loan9.20%SOFR (Q)4.75%02/202411/20305.6 5.6 5.6 (2)(10)
First lien senior secured loan9.20%SOFR (Q)4.75%11/202411/20303.3 3.3 3.3 (2)(10)
Limited partnership interest06/202410,997,86511.0 17.0 (2)
65.3 71.3 
Reef Lifestyle, LLC (14)Apparel retailerFirst lien senior secured revolving loan
12.31% (2.25% PIK)
SOFR (M)8.00%10/201810/202733.2 33.2 33.2 (2)(10)(13)
First lien senior secured revolving loan
12.33% (2.25% PIK)
SOFR (Q)8.00%07/202010/20274.3 4.3 4.3 (2)(10)(13)
First lien senior secured loan
12.33% (2.25% PIK)
SOFR (Q)8.00%10/201810/202720.4 20.4 20.4 (2)(10)

See accompanying notes to consolidated financial statements.
60

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan
12.33% (2.25% PIK)
SOFR (Q)8.00%07/202010/20273.7 3.7 3.7 (2)(10)
61.6 61.6 
S Toys Holdings LLC (fka The Step2 Company, LLC) (5)Toy manufacturerCommon units04/20111,116,879  
Class B common units10/2014126,278,000  
Warrant to purchase units04/201012/20503,157,895  
  
Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC (4)(14)Manufacturer and distributor of slip resistant footwearFirst lien senior secured loan10.94%SOFR (M)6.50%04/202407/20291.2 1.2 1.2 (2)(10)
First lien senior secured loan10.94%SOFR (M)6.50%06/202407/20296.5 6.5 6.5 (2)(10)
First lien senior secured loan
11.44% (5.00% PIK)
SOFR (M)7.00%06/202407/20293.8 3.8 3.8 (2)(10)
Class A common units06/20248,47410.5 11.1 (2)
22.0 22.6 
St Athena Global LLC and St Athena Global Holdings Limited (14)Designer and manufacturer of branded premium-quality tablewareFirst lien senior secured revolving loan9.54%SOFR (Q)5.25%06/202406/20290.9 0.9 0.9 (2)(6)(10)
First lien senior secured loan9.56%SOFR (Q)5.25%06/202406/203029.9 29.9 29.3 (2)(6)(10)
First lien senior secured loan9.47%SONIA (M)5.25%06/202406/203018.6 17.1 18.2 (2)(6)(10)
47.9 48.4 
Team Acquisition Corporation (14)Provider of team uniforms and athletic wearFirst lien senior secured loan11.08%SOFR (M)6.75%01/202411/202934.4 33.9 32.3 (2)(10)
639.2 602.1 4.29%
Food and Beverage
American Seafoods Group LLC and American Seafoods Partners LLCHarvester and processor of seafoodClass A units08/201577,9220.1 0.1 (2)
Warrant to purchase units of Class A units08/201508/20357,422,0787.4 5.5 (2)
7.5 5.6 
Badia Spices, LLC (14)Spices & seasonings brandFirst lien senior secured loan8.63%SOFR (S)4.50%11/202411/2030121.7 121.7 119.6 (2)(10)
Berner Food & Beverage, LLC (14)Supplier of dairy-based food and beverage productsFirst lien senior secured revolving loan13.00%Base Rate (Q)5.50%07/202107/20260.1 0.1 0.1 (2)(10)
First lien senior secured revolving loan10.93%SOFR (Q)6.50%07/202107/20260.3 0.3 0.3 (2)(10)
First lien senior secured loan10.93%SOFR (Q)6.50%12/202407/20271.4 1.4 1.4 (2)(10)
1.8 1.8 
Bragg Live Food Products, LLC and SPC Investment Co., L.P. (4)(14)Health food companyFirst lien senior secured loan10.40%SOFR (Q)6.00%12/202012/202520.1 20.1 20.1 (2)(10)
Common units03/201914,85011.5 30.8 (2)
31.6 50.9 
CHG PPC Parent LLC & PPC CHG Blocker LLCDiversified food products manufacturerCommon units12/2021593.0 5.1 (2)
Demakes Enterprises, LLCValue-added protein manufacturerFirst lien senior secured loan10.30%SOFR (Q)6.00%12/202312/20296.2 6.2 6.2 (2)(10)

See accompanying notes to consolidated financial statements.
61

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Florida Food Products, LLCProvider of plant extracts and juicesFirst lien senior secured loan9.56%SOFR (Q)5.00%10/202110/20280.4 0.4 0.3 (2)(10)
First lien senior secured loan9.30%SOFR (Q)5.00%06/202210/20280.4 0.4 0.3 (2)(10)
Second lien senior secured loan10/202110/202971.8 69.5 47.4 (2)(9)
70.3 48.0 
Forward Keystone Holdings, LP (14)Provider of better-for-you breakfast and snacking brandSenior subordinated loan
15.00% (8.00% PIK)
03/202503/202924.7 24.7 24.0 (2)
Common units03/20253,852,0003.9 3.9 (2)
28.6 27.9 
Gotham Greens Holdings, PBCProducer of vegetables and culinary herbs for restaurants and retailersFirst lien senior secured loan
13.59% (2.00% PIK)
SOFR (S)9.13%06/202212/202636.4 36.4 35.3 (10)
Series E-1 preferred stock06/2022188,60514.2  (2)
Warrant to purchase shares of Series E-1 preferred stock06/202206/203278,216  (2)
50.6 35.3 
KNPC HoldCo, LLCProducer of trail mix and mixed nut snack productsFirst lien senior secured loan10.11%SOFR (S)5.75%04/202210/20295.5 5.5 5.5 (2)(10)
First lien senior secured loan11.36%SOFR (S)7.00%12/202210/20291.3 1.3 1.3 (2)(10)
First lien senior secured loan10.61%SOFR (S)6.25%11/202310/20292.7 2.7 2.7 (2)(10)
First lien senior secured loan10.11%SOFR (S)5.75%12/202410/202927.6 27.6 27.6 (2)(10)
37.1 37.1 
Max US Bidco Inc.Manufacturer of premium dry dog foodFirst lien senior secured loan9.33%SOFR (M)5.00%10/202310/20301.0 0.9 1.0 (2)(17)
Primo Water Holdings Inc / Triton Water Holdings IncProducer and provider of bottled water brandsFirst lien senior secured loan6.55%SOFR (Q)2.25%03/202103/20281.0 0.9 1.0 (2)(10)(17)
Senior subordinated loan6.25%03/202104/20290.1 0.1 0.1 (2)(6)(17)
1.0 1.1 
RB Holdings InterCo, LLC (14)Manufacturer of pet food and treatsFirst lien senior secured revolving loan9.42%SOFR (Q)5.00%05/202205/20280.6 0.6 0.6 (2)(10)
First lien senior secured loan9.41%SOFR (Q)5.00%05/202205/202811.2 11.2 11.0 (2)(10)
11.8 11.6 
Spindrift Beverage Co., Inc. and SBC Aggregator LP (14)(15)Premium flavored sparkling water brandFirst lien senior secured revolving loan9.53%SOFR (Q)5.25%02/202502/20320.2 0.2 0.2 (2)(10)
First lien senior secured loan9.53%SOFR (Q)5.25%02/202502/203212.2 12.2 12.1 (2)(10)
Limited partnership units02/20258,7398.7 9.7 (2)
21.1 22.0 
Sugar PPC Buyer LLC (14)Manufacturer and distributor of food productsFirst lien senior secured loan9.51%SOFR (S)5.25%10/202310/203015.7 15.7 15.7 (2)(10)
First lien senior secured loan9.57%SOFR (M)5.25%07/202410/20301.2 1.2 1.2 (2)(10)
16.9 16.9 
Teasdale Foods, Inc. and Familia Group Holdings Inc.Provider of beans, sauces and hominy to the retail, foodservice and wholesale channelsFirst lien senior secured loan
10.68% (1.00% PIK)
SOFR (Q)6.25%12/202012/202775.5 75.5 66.4 (2)(10)
First lien senior secured loan
12.07% (1.00% PIK)
SOFR (Q)7.65%12/202012/20270.8 0.8 0.7 (2)(10)

See accompanying notes to consolidated financial statements.
62

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Warrant to purchase shares of common stock02/201902/203457,827  (2)
76.3 67.1 
Watermill Express, LLC and Watermill Express Holdings, LLC (14)Owner and operator of self-service water and ice stationsFirst lien senior secured revolving loan8.82%SOFR (Q)4.50%04/202104/20310.1 0.1 0.1 (2)(10)(13)
First lien senior secured loan8.80%SOFR (Q)4.50%04/202104/203120.6 20.6 20.6 (2)(10)
First lien senior secured loan8.80%SOFR (Q)4.50%01/202404/20315.6 5.6 5.6 (2)(10)
First lien senior secured loan8.87%SOFR (Q)4.50%08/202404/20313.9 3.9 3.9 (2)(10)
First lien senior secured loan8.80%SOFR (Q)4.50%04/202504/20313.7 3.7 3.7 (2)(10)
Class A units04/2021282,2003.1 7.1 
37.0 41.0 
523.4 498.2 3.55%
Automobiles and Components
Automotive Keys Group, LLC and Automotive Keys Investor, LLCProvider of replacement wireless keys for automotive marketFirst lien senior secured loan10.95%SOFR (Q)6.50%12/202108/20260.1 0.1 0.1 (2)(10)
First lien senior secured loan10.95%SOFR (Q)6.50%12/202208/20264.4 4.4 3.8 (2)(10)
Preferred units11/20204,113,1135.1 0.4 (2)
Preferred units11/20201,095,0461.1 0.1 (2)
Class A common units11/20205,208,159  (2)
10.7 4.4 
Collision SP Subco, LLC (14)Provider of auto body collision repair servicesFirst lien senior secured loan9.02%SOFR (S)4.75%01/202401/20309.7 9.7 9.7 (2)(10)
First lien senior secured loan9.03%SOFR (Q)4.75%04/202501/20300.2 0.2 0.2 (2)(10)
9.9 9.9 
Continental Acquisition Holdings, Inc.Distributor of aftermarket batteries to the electric utility vehicle, automotive, commercial, marine and industrial marketsFirst lien senior secured loan01/202107/202839.3 36.8 22.8 (2)(9)
First lien senior secured loan12/202107/20285.8 5.5 3.4 (2)(9)
42.3 26.2 
Faraday Buyer, LLC (14)Manufacturer and supplier for the power utility and automotive markets worldwideFirst lien senior secured loan10.30%SOFR (Q)6.00%10/202210/202854.6 54.6 54.6 (2)(10)
First lien senior secured loan10.30%SOFR (Q)6.00%11/202310/20287.8 7.8 7.8 (2)(10)
62.4 62.4 
Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc.Electric vehicle manufacturerWarrant to purchase shares of Class A common stock08/202108/202727,824,5272.3  (2)
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC (14)Manufacturer and distributor of automotive fluidsCo-invest units11/202059,2305.9 11.8 (2)
New ChurcHill HoldCo LLC and Victory Topco, LP (14)Operator of collision repair centersFirst lien senior secured loan9.80%SOFR (Q)5.50%11/202311/202918.4 18.4 18.4 (2)(10)

See accompanying notes to consolidated financial statements.
63

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A-2 common units11/202320,1702.0 4.4 (2)
20.4 22.8 
Sun Acquirer Corp. and Sun TopCo, LP (14)Automotive parts and repair services retailerFirst lien senior secured revolving loan09/202109/2027   (2)(12)
First lien senior secured loan9.33%SOFR (M)5.00%09/202109/202852.5 52.4 52.5 (2)(10)
First lien senior secured loan9.33%SOFR (M)5.00%11/202109/20289.2 9.2 9.2 (2)(10)
First lien senior secured loan9.33%SOFR (M)5.00%06/202209/202812.3 12.3 12.3 (2)(10)
First lien senior secured loan9.33%SOFR (M)5.00%11/202409/20282.8 2.8 2.8 (2)(10)
Class A units09/202179,6888.0 11.4 (2)
84.7 88.2 
Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP (14)Provider of automobile parts and auto repair servicesFirst lien senior secured loan9.00%SOFR (S)4.75%03/202503/20312.0 2.0 1.9 (2)(10)
Limited partnership interests03/2025330,0000.3 0.3 
2.3 2.2 
Truck-Lite Co., LLC, ECCO Holdings Corp., and Clarience Technologies, LLC (14)Provider of global transportation safety and productivity applicationsFirst lien senior secured revolving loan06/202502/2031   (2)(10)(12)
First lien senior secured loan10.06%SOFR (M)5.75%06/202502/2032127.2 127.2 127.2 (2)(10)
Class A common units02/20242,5016.2 7.1 
133.4 134.3 
374.3 362.2 2.58%
Household and Personal Products
Beacon Wellness Brands, Inc. and CDI Holdings I Corp. (14)Provider of personal care appliancesFirst lien senior secured loan10.18%SOFR (M)5.75%12/202112/20273.7 3.7 3.5 (2)(10)
Common stock12/20216,1496.1 3.5 (2)
9.8 7.0 
Foundation Consumer Brands, LLC (14)Pharmaceutical holding company of over the counter brandsFirst lien senior secured loan9.36%SOFR (Q)5.00%02/202102/202932.5 32.2 32.5 (2)(10)
First lien senior secured loan9.36%SOFR (Q)5.00%06/202302/20290.2 0.2 0.2 (2)(10)
32.4 32.7 
LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P.Provider of intimate wellness productsFirst lien senior secured loan11.05%SOFR (Q)6.75%11/202211/202818.2 18.2 18.2 (2)(6)(10)
First lien senior secured loan10.80%SOFR (Q)6.50%12/202311/20289.3 8.7 9.3 (2)(6)(10)
Preferred units
8.00% PIK
11/20223,1783.9 3.9 (2)(6)
Class B common units11/202232,105 1.3 (2)(6)
30.8 32.7 
pH Beauty Holdings III, Inc.Beauty and personal care platformFirst lien senior secured loan9.27%SOFR (S)5.00%02/202509/202725.3 25.3 25.2 (2)
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. (14)Manufacturer and supplier of natural fragrance materials and cosmeceuticalsFirst lien senior secured revolving loan11.34%SOFR (M)7.00%08/202108/20272.5 2.5 2.3 (2)(10)
First lien senior secured loan11.43%SOFR (M)7.00%08/202108/202728.1 28.1 25.9 (2)(10)
Limited partner interests08/20212.69%5.0 1.5 (2)

See accompanying notes to consolidated financial statements.
64

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
35.6 29.7 
RD Holdco Inc. (5)Manufacturer and marketer of carpet cleaning machinesSenior subordinated loan01/201710/202631.4 18.3 14.2 (2)(9)
Senior subordinated loan04/202310/20261.2 0.9 0.5 (2)(9)
Common stock01/2017458,59614.0  
33.2 14.7 
Silk Holdings III Corp. and Silk Holdings I Corp. (14)Producer of personal care productsFirst lien senior secured revolving loan8.33%SOFR (Q)4.00%05/202305/20290.1 0.1 0.1 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202305/20295.3 5.3 5.3 (2)(10)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202405/202947.7 47.7 47.7 (2)(10)
Common stock05/202314,19914.2 29.4 (2)
67.3 82.5 
TCI Buyer LLC and TCI Holdings, LP (14)Contract formulator and manufacturer of beauty and personal care productsFirst lien senior secured loan8.83%SOFR (M)4.50%11/202411/203032.8 32.8 32.8 (2)(10)
Common stock11/202424,0102.4 2.9 (2)
35.2 35.7 
Walnut Parent, Inc.Manufacturer of natural solution pest and animal control productsFirst lien senior secured loan9.93%SOFR (Q)5.50%11/202011/202714.3 14.3 13.9 (2)(10)
First lien senior secured loan9.93%SOFR (Q)5.50%04/202211/20270.1 0.1 0.1 (2)(10)
14.414.0
WU Holdco, Inc. (14)Manufacturer and distributor of household cleaning products with focus on specialized surfacesFirst lien senior secured loan9.05%SOFR (Q)4.75%04/202504/203210.6 10.510.5(2)(10)
294.5 284.7 2.03%
Energy
GNZ Energy Bidco Limited and Galileo Co-investment Trust I (14)Independent fuel provider in New ZealandFirst lien senior secured loan9.50%BKBM (Q)6.00%05/202207/202729.6 30.5 29.6 (2)(6)(10)
Common units07/202217,616,6675.1 9.6 (2)(6)
35.6 39.2 
HighPeak Energy, Inc.Oil and gas exploration and production companyFirst lien senior secured loan11.95%SOFR (Q)7.50%09/202309/202683.9 82.9 83.9 (2)(6)(10)
Murchison Oil and Gas, LLC and Murchison Holdings, LLCExploration and production companyPreferred units06/202241,000 0.8 
Offen, Inc.Distributor of fuel, lubricants, diesel exhaust fluid, and premium additivesFirst lien senior secured loan9.35%SOFR (M)5.00%05/202206/20260.1 0.1 0.1 (2)
VPROP Operating, LLC and V SandCo, LLC (5)(14)Sand-based proppant producer and distributor to the oil and natural gas industryFirst lien senior secured loan
14.09% PIK
SOFR (Q)9.50%03/201711/202630.0 30.0 30.0 (2)(10)
First lien senior secured loan
14.09% PIK
SOFR (Q)9.50%06/202011/20266.6 6.6 6.6 (2)(10)
First lien senior secured loan
14.09% PIK
SOFR (Q)9.50%11/202011/20265.5 5.5 5.5 (2)(10)
First lien senior secured loan
14.09% PIK
SOFR (Q)9.50%12/202412/20254.7 4.7 4.7 (2)(10)
Class A units11/2020347,90032.8 2.3 (2)
79.6 49.1 

See accompanying notes to consolidated financial statements.
65

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
198.2173.11.23%
Gas Utilities
Ferrellgas, L.P. and Ferrellgas Partners, L.P.Distributor of propane and related accessoriesSenior preferred units8.96%03/202164,15564.2 69.3 
Class B units09/202295,35415.4 23.5 (2)
79.692.8
Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc.Owner of natural gas facilitiesFirst lien senior secured loan7.80%SOFR (Q)3.50%09/202309/20280.1 0.1 0.1 (2)(6)
Class A common stock07/20223,059,53323.3 7.4 (6)(17)
23.4 7.5 
103.0 100.3 0.71%
Technology Hardware and Equipment
Chariot Buyer LLC (14)Provider of smart access solutions across residential and commercial propertiesFirst lien senior secured loan7.68%SOFR (M)3.25%11/202211/20280.1 0.1 0.1 (2)(10)(17)
Everspin Technologies, Inc.Designer and manufacturer of computer memory solutionsWarrant to purchase shares of common stock10/201610/202618,4610.4  
Excelitas Technologies Corp. (14)Provider of photonic solutionsFirst lien senior secured loan9.58%SOFR (M)5.25%05/202408/20297.1 7.1 7.1 (2)(10)
FL Hawk Intermediate Holdings, Inc. (14)Provider of variable data labeling for the apparel industryFirst lien senior secured loan8.80%SOFR (Q)4.50%10/202402/20309.3 9.2 9.3 (2)(10)
PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P.Provider of analytical instrumentation and testing equipment and servicesFirst lien senior secured loan9.08%SOFR (M)4.75%03/202303/202917.1 17.1 17.1 (2)(10)
First lien senior secured loan9.08%SOFR (M)4.75%10/202303/20292.7 2.7 2.7 (2)(10)
First lien senior secured loan9.08%SOFR (M)4.75%05/202403/20294.3 4.3 4.3 (2)(10)
Class A-2 units01/202234,8324.8 5.1 
Limited partnership interests03/20230.55%9.9 14.4 (2)
38.8 43.6 
Repairify, Inc. and Repairify Holdings, LLC (14)Provider of automotive diagnostics scans and solutionsFirst lien senior secured revolving loan9.68%SOFR (S)5.25%06/202106/20275.1 5.1 5.1 (2)(10)
First lien senior secured loan9.72%SOFR (Q)5.25%05/202506/20275.0 5.0 5.0 (2)(10)
Class A common units06/2021163,8204.9 2.1 (2)
15.0 12.2 
70.6 72.3 0.52%
Telecommunication Services
Expereo USA, Inc. and Ristretto Bidco B.V. (14)Global internet managed service providerFirst lien senior secured loan
10.82% (3.50% PIK)
SOFR (Q)6.50%12/202412/203061.0 61.0 61.0 (2)(6)(10)
61.0 61.0 0.43%
Transportation

See accompanying notes to consolidated financial statements.
66

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of June 30, 2025
(dollar amounts in millions)
(unaudited)
Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Nordic Ferry Infrastructure ASPrivate passenger & freight ferry transportation companySenior subordinated loan7.01%Euribor (Q)5.00%11/202411/20310.1 0.1 0.1 (2)(6)
Senior subordinated loan9.64%NIBOR (Q)5.00%11/202411/20310.1 0.1 0.1 (2)(6)
0.2 0.2 %
Total Investments$27,580.7 $27,886.4 (18)198.72%

See accompanying notes to consolidated financial statements.
67


Derivative Instruments

Forward currency contracts
DescriptionNotional Amount to be PurchasedNotional Amount to be soldCounterpartySettlement DateUnrealized Appreciation / (Depreciation)
Foreign currency forward contract$141  CAD 194 Canadian Imperial Bank of CommerceJuly 25, 2025$(2)
Foreign currency forward contract$107 93 Canadian Imperial Bank of CommerceJuly 25, 2025(3)
Foreign currency forward contract$99 87 Royal Bank of CanadaJuly 25, 2025(3)
Foreign currency forward contract$84 £68 Royal Bank of CanadaAugust 21, 2026(5)
Foreign currency forward contract$80 £72 Canadian Imperial Bank of CommerceJune 11, 2027(1)
Foreign currency forward contract$75 £57 Royal Bank of CanadaJuly 25, 2025(2)
Foreign currency forward contract$74 £56 Canadian Imperial Bank of CommerceJuly 25, 2025(2)
Foreign currency forward contract$69  CAD 95 Canadian Imperial Bank of CommerceMarch 31, 2028(2)
Foreign currency forward contract$58 ¥8,131 Royal Bank of CanadaJanuary 31, 2028(1)
Foreign currency forward contract$55  CAD 77 Canadian Imperial Bank of CommerceMarch 31, 2027(1)
Foreign currency forward contract$55  CAD 76 Royal Bank of CanadaJanuary 31, 2028(1)
Foreign currency forward contract$40  CAD 55 Royal Bank of CanadaJuly 25, 2025(1)
Foreign currency forward contract$38  NZD 64 Royal Bank of CanadaJuly 25, 2025(1)
Foreign currency forward contract$34 29 Canadian Imperial Bank of CommerceJune 11, 2027(2)
Foreign currency forward contract$24 £17 Royal Bank of CanadaJune 27, 2028 
Foreign currency forward contract$19 £15 Canadian Imperial Bank of CommerceAugust 21, 2026(1)
Foreign currency forward contract$15  AUD 22 Canadian Imperial Bank of CommerceNovember 17, 2026 
Foreign currency forward contract$6  NOK 64 Canadian Imperial Bank of CommerceJuly 25, 2025 
Total$(28)
Interest rate swaps
DescriptionHedged ItemCompany ReceivesCompany PaysCounterpartyMaturity DateNotional AmountFair Value Upfront Payments/Receipts Change in Unrealized Appreciation / (Depreciation)
Interest rate swapJanuary 2027 Notes7.000 %
SOFR +2.5810%
Wells Fargo Bank, N.A.01/15/2027$900 $10 $ $1 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
Wells Fargo Bank, N.A.03/01/20291,000 13  8 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
Wells Fargo Bank, N.A.07/15/2029850 27  7 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
Wells Fargo Bank, N.A.09/01/2030750 8  8 
Interest rate swapMarch 2032 Notes5.800 %
SOFR +1.6995%
Wells Fargo Bank, N.A.03/08/20321,000 32  11 
Total$4,500 $90 $ $35 
______________________________________________

(1)Other than the Company’s investments listed in footnote 5 below (subject to the limitations set forth therein), the Company does not “Control” any of its portfolio companies, for the purposes of the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”). In general, under the Investment Company Act, the Company would “Control” a portfolio company if the Company owned more than 25% of its outstanding voting securities (i.e., securities with the right to elect directors) and/or had the power to exercise control over the management or policies of such portfolio company. All of the Company’s portfolio company investments, which as of June 30, 2025 represented 199% of the Company’s net assets or 96% of the Company’s total assets, are subject to legal restrictions on sales.

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

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


See accompanying notes to consolidated financial statements.
68




(4)As defined in the Investment Company Act, the Company is deemed to be an “Affiliated Person” because it owns 5% or more of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the six months ended June 30, 2025 in which the issuer was an Affiliated Person of the Company (but not a portfolio company that the Company is deemed to Control) are as follows:
For the Six Months Ended June 30, 2025
As of June 30, 2025
(in millions)
Company
Purchases (cost)Redemptions (cost)Sales (cost)Interest incomeCapital
structuring service fees
Dividend incomeOther incomeNet realized gains (losses)Net 
unrealized gains (losses)
Fair Value
Apex Clean Energy TopCo, LLC$ $ $ $ $ $ $ $ $2.5 $224.8 
APG Intermediate Holdings Corporation and APG Holdings, LLC 13.1       0.9 6.5 
Bragg Live Food Products, LLC and SPC Investment Co., L.P. 3.0  1.1   0.1  (2.5)50.9 
Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P. 5.0  4.4   0.1 0.3 (10.3)89.2 
Daylight Beta Parent LLC and CFCo, LLC        (1.2)1.2 
ESCP PPG Holdings, LLC        (0.9)2.6 
European Capital UK SME Debt LP 1.0      6.3 (6.1)0.3 
Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP3.7 0.3 30.2 1.7   0.1  1.4 27.2 
OPH NEP Investment, LLC4.1   1.8 0.1    (0.2)37.3 
Partnership Capital Growth Investors III, L.P. 1.0       (0.2)3.4 
PCG-Ares Sidecar Investment, L.P.        (0.1)0.4 
PCG-TAC-CV, LP (fka PCG-Ares Sidecar Investment II, L.P.) 7.3      1.3 (8.3) 
Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC   2.2     (4.2)52.1 
Production Resource Group, L.L.C. and PRG III, LLC5.1 0.4  5.7 0.3    (20.6)96.9 
Shoes For Crews Global, LLC and Shoes for Crews Holdings, LLC   0.7     (0.3)22.6 
$12.9 $31.1 $30.2 $17.6 $0.4 $ $0.3 $7.9 $(50.1)$615.4 


See accompanying notes to consolidated financial statements.
69



(5)As defined in the Investment Company Act, the Company is deemed to be both an “Affiliated Person” and “Control” this portfolio company because it owns more than 25% of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the six months ended June 30, 2025 in which the issuer was both an Affiliated Person and a portfolio company that the Company is deemed to Control are as follows:
For the Six Months Ended June 30, 2025
As of June 30, 2025
(in millions)
Company
Purchases (cost)Redemptions (cost)Sales (cost)Interest incomeCapital
structuring service fees
Dividend incomeOther incomeNet realized gains (losses)Net 
unrealized gains (losses)
Fair Value
Absolute Dental Group LLC and Absolute Dental Equity, LLC$7.2 $2.5 $ $2.9 $ $ $0.1 $ $(11.4)$63.5 
ACAS Equity Holdings Corporation         0.4 
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.          
ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC2.8 0.1  2.9     (0.3)64.1 
Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC1.9   0.5     (6.5)24.2 
Halex Holdings, Inc.          
HCI Equity, LLC          
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation1.3   1.3   0.3  2.8 71.0 
Ivy Hill Asset Management, L.P.155.0   0.7  146.0   10.2 2,080.6 
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC   0.3     (4.2)34.1 
PCG-TAC-CV, LP (fka PCG-Ares Sidecar Investment II, L.P.)         6.7 
Potomac Intermediate Holdings II LLC28.7    0.8    85.9 465.2 
PS Operating Company LLC and PS Op Holdings LLC1.8 2.4       (3.2)5.2 
RD Holdco Inc. 3.8       3.8 14.7 
S Toys Holdings LLC (fka The Step2 Company, LLC)          
Senior Direct Lending Program, LLC52.9 253.3  76.1 2.8  2.2 (111.6)60.6 1,052.2 
Startec Equity, LLC       0.5   
Visual Edge Technology, Inc. 0.1  2.2  2.8   (14.3)67.5 
VPROP Operating, LLC and V SandCo, LLC   3.2     (29.8)49.1 
$251.6 $262.2 $ $90.1 $3.6 $148.8 $2.6 $(111.1)$93.6 $3,998.5 
______________________________________________________________________

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

(6)This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act. Under the Investment Company Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Company's total assets. Pursuant to Section 55(a) of the Investment Company Act, 22% of the Company's total assets are represented by investments at fair value and other assets that are considered "non-qualifying assets" as of June 30, 2025.

See accompanying notes to consolidated financial statements.
70



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

(8)In addition to the interest earned based on the stated interest rate of this security, the Company is entitled to receive an additional interest amount of 2.00% on $36.2 in aggregate principal amount of a “first out” tranche of the portfolio company’s senior term debt previously syndicated by the Company into “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any other amounts due thereunder.

(9)Loan was on non-accrual status as of June 30, 2025.

(10)Loan includes interest rate floor feature.

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

(12)As of June 30, 2025, no amounts were funded by the Company under this first lien senior secured revolving loan; however, there were letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(13)As of June 30, 2025, in addition to the amounts funded by the Company under this first lien senior secured revolving loan, there were also letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(14)As of June 30, 2025, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to issue letters of credit through a financial intermediary on behalf of certain portfolio companies. Such commitments are subject to the satisfaction of certain conditions set forth in the documents governing these loans and letters of credit and there can be no assurance that such conditions will be satisfied. See Note 7 for further information on revolving and delayed draw loan commitments, including commitments to issue letters of credit, related to certain portfolio companies.

See accompanying notes to consolidated financial statements.
71



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
15484880 Canada Inc. and 15484910 Canada Inc.$13.5 $(0.3)$13.2 $ $ $13.2 
3 Step Sports LLC10.4 (1.3)9.1  (9.1) 
760203 N.B. LTD.7.8 (6.6)1.2   1.2 
Absolute Dental Group LLC and Absolute Dental Equity, LLC24.3 (20.0)4.3   4.3 
Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc.9.4  9.4   9.4 
Accommodations Plus Technologies LLC12.0  12.0   12.0 
ACP Avenu Midco LLC15.2  15.2   15.2 
Actfy Buyer, Inc.18.6  18.6   18.6 
Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP3.6  3.6   3.6 
ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC9.5  9.5   9.5 
Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC2.1  2.1   2.1 
Adonis Bidco Inc.84.6  84.6   84.6 
Aduro Advisors, LLC5.3  5.3   5.3 
Advarra Holdings, Inc.0.4  0.4   0.4 
Aerin Medical Inc.6.5  6.5   6.5 
AI Titan Parent, Inc.18.5  18.5   18.5 
Airx Climate Solutions, Inc.9.9  9.9   9.9 
Alcami Corporation and ACM Note Holdings, LLC1.9  1.9   1.9 
Aldinger Company Inc7.5 (0.3)7.2   7.2 
Align Precision Group, LLC0.1  0.1  (0.1) 
AMCP Clean Acquisition Company, LLC2.0  2.0   2.0 
Anaplan, Inc.1.4  1.4   1.4 
AP Adhesives Holdings, LLC16.7 (0.2)16.5   16.5 
Apex Service Partners, LLC and Apex Service Partners Holdings, LLC8.6 (0.4)8.2   8.2 
API Military Inc. and Allclear Group LLC1.4  1.4   1.4 
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc.0.1  0.1   0.1 
Aptean, Inc. and Aptean Acquiror Inc.5.2  5.2   5.2 
AQ Sage Buyer, LLC0.7 (0.3)0.4   0.4 
AQ Sunshine, Inc.30.9 (1.9)29.0   29.0 
Artifact Bidco, Inc.6.9  6.9   6.9 
Artivion, Inc.7.8 (0.9)6.9   6.9 
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP6.2 (3.5)2.7   2.7 
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP9.0  9.0   9.0 
ATI Restoration, LLC44.0 (11.5)32.5   32.5 
Avalign Holdings, Inc. and Avalign Technologies, Inc.5.3 (1.6)3.7   3.7 
Badia Spices, LLC16.8  16.8   16.8 
Bamboo US BidCo LLC17.2  17.2   17.2 
Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc.49.2 (1.2)48.0   48.0 
BCPE Pequod Buyer, Inc.8.6  8.6   8.6 
Beacon Pointe Harmony, LLC9.3  9.3   9.3 
Beacon Wellness Brands, Inc. and CDI Holdings I Corp.0.5  0.5   0.5 
Belfor Holdings, Inc.58.5 (6.2)52.3   52.3 
Bellwether Buyer, L.L.C. and Bellwether Topco V Buyer, Inc.10.9  10.9   10.9 
Benecon Midco II LLC and Benecon Holdings, LLC8.7  8.7   8.7 
Berner Food & Beverage, LLC1.7 (0.5)1.2   1.2 
BGI Purchaser, Inc.35.3 (11.6)23.7   23.7 
BGIF IV Fearless Utility Services, Inc.15.2 (0.2)15.0   15.0 
Bluejack Fire Acquisition, Inc. and Bluejack Fire Holdings LLC12.0  12.0   12.0 
BNZ TopCo B.V.22.6  22.6   22.6 
Bobcat Purchaser, LLC and Bobcat Topco, L.P.2.5  2.5   2.5 
Borrower R365 Holdings LLC1.5  1.5   1.5 
Bottomline Technologies, Inc.2.6  2.6   2.6 

See accompanying notes to consolidated financial statements.
72


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
BradyPlus Holdings, LLC2.5  2.5   2.5 
Bragg Live Food Products, LLC and SPC Investment Co., L.P.4.4  4.4   4.4 
BrightStar Group Holdings, Inc.3.6 (0.2)3.4   3.4 
Bulab Holdings, Inc. and Buckman PPC Co-Invest LP17.5  17.5   17.5 
Businessolver.com, Inc.0.4  0.4   0.4 
BVI Medical, Inc. and BVI Group Limited17.1  17.1   17.1 
Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP28.1 (16.2)11.9   11.9 
Captive Resources Midco, LLC1.6  1.6   1.6 
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc.5.0  5.0   5.0 
Centralsquare Technologies, LLC and Supermoose Newco, Inc.15.8 (0.4)15.4   15.4 
Chariot Buyer LLC12.3  12.3   12.3 
City Line Distributors LLC and City Line Investments LLC2.7  2.7   2.7 
Clarion Home Services Group, LLC and LBC Breeze Holdings LLC1.4 (0.8)0.6   0.6 
Clearstead Advisors, LLC0.6 (0.3)0.3   0.3 
Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P.19.0  19.0   19.0 
CMG HoldCo, LLC and CMG Buyer Holdings, Inc.27.4 (6.3)21.1   21.1 
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc.21.1 (2.1)19.0   19.0 
Collision SP Subco, LLC6.9  6.9   6.9 
Compex Legal Services, Inc.3.6 (2.2)1.4   1.4 
Comprehensive EyeCare Partners, LLC2.0 (2.0)    
Computer Services, Inc.38.5  38.5   38.5 
Concert Golf Partners Holdco LLC57.4  57.4   57.4 
Convera International Holdings Limited and Convera International Financial S.A R.L.2.3  2.3   2.3 
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP38.9 (12.7)26.2   26.2 
Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc.0.9  0.9   0.9 
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc.38.7 (8.9)29.8   29.8 
Coupa Holdings, LLC and Coupa Software Incorporated0.9  0.9   0.9 
Cradle Lux Bidco S.A.R.L.4.0  4.0   4.0 
Creek Parent, Inc. and Creek Feeder, L.P.30.1 (0.1)30.0   30.0 
Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC0.1 (0.1)    
CST Holding Company1.9  1.9   1.9 
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC47.7  47.7   47.7 
Datix Bidco Limited and RL Datix Holdings (USA), Inc.47.1 (4.0)43.1   43.1 
Davidson Hotel Company LLC4.0  4.0   4.0 
DecoPac, Inc. and KCAKE Holdings Inc.19.9 (5.5)14.4   14.4 
Denali Holdco LLC and Denali Apexco LP24.3  24.3   24.3 
Diamond Mezzanine 24 LLC1.7  1.7   1.7 
Diligent Corporation and Diligent Preferred Issuer, Inc.5.4 (0.2)5.2   5.2 
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc.9.3 (1.9)7.4   7.4 
Divisions Holding Corporation, Divisions, Inc. and RC V Tecmo Investor LLC9.6  9.6   9.6 
Dorado Bidco, Inc.7.4  7.4   7.4 
DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP14.8 (0.2)14.6   14.6 
DP Flores Holdings, LLC11.4  11.4   11.4 
DriveCentric Holdings, LLC1.7  1.7   1.7 
Drogon Bidco Inc. & Drogon Aggregator LP9.7  9.7   9.7 
DRS Holdings III, Inc. and DRS Holdings I, Inc.10.9  10.9   10.9 
Duraserv LLC9.2  9.2   9.2 
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP9.6 (4.1)5.5   5.5 
Echo Purchaser, Inc.3.0  3.0   3.0 
Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc.50.4  50.4   50.4 

See accompanying notes to consolidated financial statements.
73


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Edmunds Govtech, Inc.21.5 (1.7)19.8   19.8 
Einstein Parent, Inc.4.8  4.8   4.8 
EIS Legacy Holdco, LLC25.4  25.4   25.4 
Elemica Parent, Inc. & EZ Elemica Holdings, Inc.7.3 (6.8)0.5   0.5 
Elevation Services Parent Holdings, LLC3.5 (3.3)0.2   0.2 
EMB Purchaser, Inc.29.6  29.6   29.6 
Empower Payments Investor, LLC6.3  6.3   6.3 
Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc.12.5 (0.7)11.8   11.8 
eResearchTechnology, Inc. and Astorg VII Co-Invest ERT34.5  34.5   34.5 
ESHA Research, LLC and RMCF VI CIV XLVIII, L.P.1.1 (0.7)0.4   0.4 
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC49.3 (6.6)42.7   42.7 
Eternal Aus Bidco Pty Ltd1.1  1.1   1.1 
Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc.3.6  3.6   3.6 
Excelitas Technologies Corp.27.1  27.1   27.1 
Expereo USA, Inc. and Ristretto Bidco B.V.16.6  16.6   16.6 
Extrahop Networks, Inc.4.3  4.3   4.3 
Faraday Buyer, LLC5.1  5.1   5.1 
Fever Labs, Inc.16.4 (8.5)7.9   7.9 
Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L.17.9  17.9   17.9 
Firebird Acquisition Corp, Inc.11.0 (0.1)10.9   10.9 
Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP2.5 (2.2)0.3   0.3 
FL Hawk Intermediate Holdings, Inc.1.3  1.3   1.3 
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc.17.5 (14.4)3.1   3.1 
Flint OpCo, LLC9.6  9.6   9.6 
FlyWheel Acquireco, Inc.8.2 (4.1)4.1   4.1 
Forescout Technologies, Inc.2.4  2.4   2.4 
Forward Keystone Holdings, LP8.5  8.5   8.5 
Foundation Consumer Brands, LLC2.4  2.4   2.4 
Foundation Risk Partners, Corp.28.7  28.7   28.7 
Frontline Road Safety Operations, LLC7.3 (0.5)6.8   6.8 
FS Squared Holding Corp. and FS Squared, LLC25.1 (0.3)24.8   24.8 
Galway Borrower LLC24.7 (3.8)20.9   20.9 
GAPCO AIV Interholdco (CP), L.P.29.5  29.5   29.5 
Generator US Buyer, Inc. and Total Power Limited1.2 (0.1)1.1   1.1 
Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc.6.4  6.4   6.4 
GHP-VGS Purchaser LLC8.7  8.7   8.7 
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC22.2  22.2   22.2 
GI Ranger Intermediate LLC3.6  3.6   3.6 
Global Music Rights, LLC15.0  15.0   15.0 
GNZ Energy Bidco Limited and Galileo Co-investment Trust I3.0  3.0   3.0 
Goldeneye Parent, LLC2.6  2.6   2.6 
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC23.0  23.0   23.0 
Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC9.4 (1.8)7.6   7.6 
GS SEER Group Borrower LLC and GS SEER Group Holdings LLC4.6 (0.1)4.5   4.5 
GSV Purchaser, Inc.4.1  4.1   4.1 
GTCR Everest Borrower, LLC1.2  1.2   1.2 
GTCR F Buyer Corp. and GTCR (D) Investors LP0.9  0.9   0.9 
Guidepoint Security Holdings, LLC3.4  3.4   3.4 
Harvey Tool Company, LLC66.7  66.7   66.7 
Heavy Construction Systems Specialists, LLC4.0  4.0   4.0 
Helios Service Partners, LLC and Astra Service Partners, LLC10.4 (1.1)9.3   9.3 
Help/Systems Holdings, Inc.15.0  15.0   15.0 
HGC Holdings, LLC34.4  34.4   34.4 

See accompanying notes to consolidated financial statements.
74


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
HH-Stella, Inc. and Bedrock Parent Holdings, LP12.9 (2.2)10.7   10.7 
Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc.2.6  2.6   2.6 
High Street Buyer, Inc. and High Street Holdco LLC15.7  15.7   15.7 
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC17.5  17.5   17.5 
Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP0.4 (0.1)0.3   0.3 
Himalaya TopCo LLC92.3  92.3   92.3 
Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC21.5 (1.6)19.9   19.9 
HP RSS Buyer, Inc.3.7  3.7   3.7 
HPCC Parent, Inc. and Patriot Container Corp.5.8  5.8   5.8 
HuFriedy Group Acquisition LLC8.3 (0.7)7.6   7.6 
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP13.3 (7.0)6.3   6.3 
Hyland Software, Inc.2.0  2.0   2.0 
Icefall Parent, Inc.1.1  1.1   1.1 
ID.me, LLC40.1 (13.4)26.7   26.7 
IFH Franchisee Holdings, LLC18.9 (4.3)14.6   14.6 
Implus Footcare, LLC9.2  9.2   9.2 
Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P.21.0 (1.3)19.7   19.7 
Inszone Mid, LLC and INSZ Holdings, LLC64.3  64.3   64.3 
Internet Truckstop Group LLC1.2  1.2   1.2 
IQN Holding Corp.2.3 (1.7)0.6   0.6 
IRI Group Holdings, Inc. and Circana, LLC23.7 (0.1)23.6   23.6 
ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P.30.2 (3.7)26.5   26.5 
JAMS Holdings LP and Jams Buyer LLC7.0  7.0   7.0 
KBHS Acquisition, LLC (d/b/a Alita Care, LLC)5.0 (4.2)0.8  (0.8) 
Kene Acquisition, Inc. and Kene Holdings, L.P.1.0  1.0   1.0 
Keystone Agency Partners LLC3.6  3.6   3.6 
King Risk Partners, LLC9.0  9.0   9.0 
Kings Buyer, LLC5.0 (1.8)3.2   3.2 
KPS Global LLC and Cool Group LLC3.4  3.4   3.4 
Laboratories Bidco LLC and Laboratories Topco LLC20.0 (17.2)2.8  (2.8) 
LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP9.7  9.7   9.7 
LeanTaaS Holdings, Inc.12.5  12.5   12.5 
Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P.14.4 (6.1)8.3   8.3 
Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P.1.5 (0.7)0.8   0.8 
Lew's Intermediate Holdings, LLC2.3 (2.2)0.1   0.1 
Lido Advisors, LLC9.9 (1.2)8.7   8.7 
Lightbeam Bidco, Inc.0.6 (0.5)0.1   0.1 
LivTech Purchaser, Inc.2.5  2.5   2.5 
LJP Purchaser, Inc. and LJP Topco, LP3.0  3.0   3.0 
Mai Capital Management Intermediate LLC9.0 (0.5)8.5   8.5 
Majesco and Magic Topco, L.P.2.0  2.0   2.0 
Manna Pro Products, LLC7.0  7.0  (7.0) 
Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP32.9 (9.4)23.5   23.5 
McKenzie Creative Brands, LLC4.5  4.5   4.5 
Medlar Bidco Limited8.9  8.9   8.9 
Metatiedot Bidco OY and Metatiedot US, LLC4.2  4.2   4.2 
Meyer Laboratory, LLC and Meyer Parent, LLC6.8 (1.7)5.1   5.1 
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P.8.0 (0.7)7.3   7.3 
Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc.9.1  9.1   9.1 
Modigent, LLC and OMERS PMC Investment Holdings LLC9.1 (2.2)6.9   6.9 
Monica Holdco (US) Inc.3.6  3.6   3.6 
Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC1.2 (0.1)1.1   1.1 
Motor Vehicle Software Corporation7.0  7.0   7.0 

See accompanying notes to consolidated financial statements.
75


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Mountaineer Merger Corporation13.4 (5.5)7.9   7.9 
Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC7.7 (0.9)6.8   6.8 
MRI Software LLC3.8 (0.2)3.6   3.6 
MSIS Holdings, Inc. and MS Precision Parent, LP13.2 (0.8)12.4   12.4 
Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc.5.7 (0.3)5.4   5.4 
NAS, LLC and Nationwide Marketing Group, LLC3.0 (1.9)1.1   1.1 
NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP13.3 (1.8)11.5   11.5 
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V.25.2 (1.7)23.5   23.5 
Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P.12.6 (0.3)12.3   12.3 
Netsmart, Inc. and Netsmart Technologies, Inc.33.8  33.8   33.8 
New ChurcHill HoldCo LLC and Victory Topco, LP5.7  5.7   5.7 
Next Holdco, LLC2.4  2.4   2.4 
NMC Skincare Intermediate Holdings II, LLC9.3 (1.7)7.6   7.6 
NMN Holdings III Corp. and NMN Holdings LP65.4 (3.1)62.3   62.3 
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P.2.5 (2.5)    
North Haven Fairway Buyer, LLC and Fairway Lawns, LLC8.6 (3.0)5.6   5.6 
North Haven Stack Buyer, LLC7.5 (2.4)5.1   5.1 
North Star Acquisitionco, LLC and Toucan Bidco Limited3.3  3.3   3.3 
Northwinds Holding, Inc. and Northwinds Services Group LLC19.6  19.6   19.6 
OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP5.3 (0.1)5.2   5.2 
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC0.9  0.9   0.9 
OneDigital Borrower LLC16.4 (0.7)15.7   15.7 
Optimizely North America Inc. and Optimizely Sweden Holdings AB0.8  0.8   0.8 
Paris US Holdco, Inc. & 1001028292 Ontario Inc.24.0 (0.2)23.8   23.8 
Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.4.2  4.2   4.2 
Pathway Vet Alliance LLC and Jedi Group Holdings LLC1.8  1.8   1.8 
Patriot Growth Insurance Services, LLC2.2  2.2   2.2 
PCIA SPV-3, LLC and ASE Royal Aggregator, LLC0.9  0.9   0.9 
PCMI Parent, LLC and PCMI Ultimate Holdings, LP4.2  4.2   4.2 
PCS MidCo, Inc. and PCS Parent, L.P.5.8 (0.3)5.5   5.5 
PDDS HoldCo, Inc.1.1 (0.2)0.9   0.9 
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC2.5 (1.0)1.5   1.5 
Pelican Products, Inc.2.3 (2.2)0.1   0.1 
People Corporation29.5 (3.8)25.7   25.7 
Perforce Software, Inc.7.5  7.5   7.5 
Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP1.1  1.1   1.1 
PestCo Holdings, LLC and PestCo, LLC2.1  2.1   2.1 
Petrus Buyer, Inc.1.8  1.8   1.8 
PetVet Care Centers, LLC49.4  49.4   49.4 
Petvisor Holdings, LLC20.4  20.4   20.4 
Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc.4.7  4.7   4.7 
Ping Identity Holding Corp.0.2  0.2   0.2 
Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc.6.0 (1.1)4.9   4.9 
Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC18.8 (1.3)17.5   17.5 
Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC15.2  15.2   15.2 
Poseidon IntermediateCo, Inc.9.5  9.5   9.5 
Potomac Intermediate Holdings II LLC30.0 (30.0)    
PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC11.8 (0.5)11.3  (0.5)10.8 
Precision Concepts International LLC and Precision Concepts Canada Corporation14.4 (4.2)10.2   10.2 

See accompanying notes to consolidated financial statements.
76


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P.3.5 (2.5)1.0   1.0 
Premiere Buyer, LLC6.4  6.4   6.4 
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP5.0 (0.4)4.6   4.6 
Project Potter Buyer, LLC and Project Potter Parent, L.P.19.1  19.1   19.1 
Proofpoint, Inc.3.1  3.1   3.1 
PS Operating Company LLC and PS Op Holdings LLC6.9 (6.5)0.4  (0.4) 
PSC Parent, Inc.10.4 (2.3)8.1   8.1 
PumpTech, LLC and Impel CV-B, LP11.0 (0.4)10.6   10.6 
PYE-Barker Fire & Safety, LLC13.3 (0.5)12.8   12.8 
Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC1.6  1.6   1.6 
QBS Parent, Inc.1.6  1.6   1.6 
QF Holdings, Inc.1.1 (0.1)1.0   1.0 
Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P.16.7  16.7   16.7 
Radius Aerospace, Inc. and Radius Aerospace Europe Limited5.8 (2.8)3.0   3.0 
Radwell Parent, LLC6.0 (1.3)4.7   4.7 
RailPros Parent, LLC5.3  5.3   5.3 
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC8.9 (3.8)5.1   5.1 
Raven Acquisition Holdings, LLC5.3  5.3   5.3 
Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.11.8 (1.7)10.1   10.1 
RB Holdings InterCo, LLC2.1 (0.6)1.5   1.5 
Reagent Chemical & Research, LLC2.7 (0.1)2.6   2.6 
Reddy Ice LLC37.4 (19.0)18.4   18.4 
Redwood Services LP12.0  12.0   12.0 
Reef Lifestyle, LLC48.5 (39.8)8.7   8.7 
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P.12.0 (3.9)8.1   8.1 
Relativity ODA LLC8.8  8.8   8.8 
Repairify, Inc. and Repairify Holdings, LLC7.3 (5.1)2.2   2.2 
Revalize, Inc.0.9 (0.7)0.2   0.2 
Revival Animal Health, LLC3.3 (0.4)2.9   2.9 
RFS Opco LLC8.4  8.4   8.4 
Rialto Management Group, LLC0.9 (0.1)0.8   0.8 
RMS HoldCo II, LLC & RMS Group Holdings, Inc.2.9  2.9   2.9 
Rodeo AcquisitionCo LLC2.5 (1.5)1.0   1.0 
Royal Borrower, LLC and Royal Parent, LP14.3 (0.2)14.1   14.1 
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc.10.8  10.8   10.8 
Runway Bidco, LLC15.6  15.6   15.6 
RWA Wealth Partners, LLC7.6 (0.3)7.3   7.3 
SageSure Holdings, LLC and SageSure LLC57.7  57.7   57.7 
Sapphire Software Buyer, Inc.5.9  5.9   5.9 
Saturn Purchaser Corp.0.5  0.5   0.5 
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.13.7 (0.4)13.3   13.3 
SCIH Salt Holdings Inc.22.5  22.5   22.5 
SCM Insurance Services Inc.4.0  4.0   4.0 
Severin Acquisition, LLC67.5 (11.8)55.7   55.7 
SG Acquisition, Inc.2.0  2.0   2.0 
Shermco Intermediate Holdings, Inc.8.6 (2.9)5.7   5.7 
Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC0.6  0.6   0.6 
SIG Parent Holdings, LLC32.8  32.8   32.8 
Silk Holdings III Corp. and Silk Holdings I Corp.0.1 (0.1)    
Slaine Holdings LLC23.2  23.2   23.2 
Smarsh Inc. and Skywalker TopCo, LLC4.7 (0.9)3.8   3.8 
Spaceship Purchaser, Inc.26.9 (0.1)26.8   26.8 
Spark Purchaser, Inc.2.3  2.3   2.3 

See accompanying notes to consolidated financial statements.
77


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Spindrift Beverage Co., Inc. and SBC Aggregator LP3.8 (0.2)3.6   3.6 
Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp1.7 (0.1)1.6   1.6 
Spruce Bidco II Inc.50.7  50.7   50.7 
St Athena Global LLC and St Athena Global Holdings Limited4.0 (0.9)3.1   3.1 
Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC11.1  11.1   11.1 
Sugar PPC Buyer LLC2.7  2.7   2.7 
Sun Acquirer Corp. and Sun TopCo, LP68.3 (0.8)67.5   67.5 
Sundance Group Holdings, Inc.4.4 (1.2)3.2   3.2 
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation8.1 (4.0)4.1   4.1 
Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P.34.8  34.8   34.8 
Superman Holdings, LLC9.3  9.3   9.3 
Supplying Demand, Inc.0.1  0.1   0.1 
Surescripts, LLC22.9  22.9   22.9 
SV Newco 2, Inc. and Site 2020 Incorporated12.0  12.0   12.0 
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc.10.0 (2.6)7.4   7.4 
Systems Planning and Analysis, Inc.4.0 (1.5)2.5   2.5 
Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C.7.5 (1.0)6.5   6.5 
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P.2.2 (1.4)0.8   0.8 
TCI Buyer LLC and TCI Holdings, LP25.8  25.8   25.8 
TCP Hawker Intermediate LLC16.6 (3.6)13.0   13.0 
Team Acquisition Corporation6.1  6.1   6.1 
Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP2.3  2.3   2.3 
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP13.7 (8.8)4.9   4.9 
The Hiller Companies, LLC5.3 (0.1)5.2   5.2 
The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC1.0 (0.4)0.6   0.6 
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP5.6  5.6   5.6 
Thermostat Purchaser III, Inc.7.7 (1.4)6.3   6.3 
THG Acquisition, LLC52.3 (1.6)50.7   50.7 
Tiger Holdco LLC10.6  10.6   10.6 
Transit Technologies LLC5.0  5.0   5.0 
Triwizard Holdings, Inc. and Triwizard Parent, LP21.0 (6.0)15.0   15.0 
Truck-Lite Co., LLC, ECCO Holdings Corp., and Clarience Technologies, LLC95.5 (0.2)95.3   95.3 
Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC5.4  5.4   5.4 
TSS Buyer, LLC0.3  0.3   0.3 
Two Six Labs, LLC36.5 (4.9)31.6   31.6 
U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P.3.9  3.9   3.9 
United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP8.2 (0.7)7.5   7.5 
Unity Purchaser, LLC and Unity Ultimate Holdings, LP10.9  10.9   10.9 
UP Intermediate II LLC and UPBW Blocker LLC4.2 (1.7)2.5   2.5 
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P.9.9  9.9   9.9 
Valcourt Holdings II, LLC and Jobs Holdings, Inc.3.5  3.5   3.5 
Vamos Bidco, Inc.9.9  9.9   9.9 
Verista, Inc.8.0 (0.7)7.3   7.3 
Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC13.6 (1.6)12.0   12.0 
Victors Purchaser, LLC and WP Victors Co-Investment, L.P.7.4  7.4   7.4 
Viper Bidco, Inc.5.1  5.1   5.1 
Visual Edge Technology, Inc.18.9  18.9   18.9 
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P.14.7  14.7   14.7 
VPROP Operating, LLC and V SandCo, LLC2.2  2.2   2.2 
VRC Companies, LLC5.4  5.4   5.4 

See accompanying notes to consolidated financial statements.
78


(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC6.5  6.5   6.5 
Watermill Express, LLC and Watermill Express Holdings, LLC3.9 (0.3)3.6   3.6 
Waverly Advisors, LLC and WAAM Topco, LLC36.5 (0.8)35.7   35.7 
WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P.0.7  0.7   0.7 
Wealth Enhancement Group, LLC34.8  34.8   34.8 
WebPT, Inc. and WPT Intermediate Holdco, Inc.0.9 (0.7)0.2   0.2 
Wellington Bidco Inc. and Wellington TopCo LP16.6 (0.6)16.0   16.0 
Wellington-Altus Financial Inc.1.2 (0.3)0.9   0.9 
Wellness AcquisitionCo, Inc.4.2  4.2   4.2 
WorkWave Intermediate II, LLC5.2 (1.1)4.1   4.1 
World Insurance Associates, LLC and World Associates Holdings, LLC3.9  3.9   3.9 
Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P.1.8 (0.1)1.7   1.7 
WRE Sports Investments LLC5.8  5.8  (5.8) 
WSHP FC Acquisition LLC and WSHP FC Holdings LLC16.3 (16.3)    
WU Holdco, Inc.8.7  8.7   8.7 
XIFIN, Inc. and ACP Charger Co-Invest LLC5.7 (5.6)0.1   0.1 
YE Brands Holdings, LLC3.2  3.2   3.2 
ZB Holdco LLC and ZB TopCo LLC35.8 (7.5)28.3   28.3 
ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP9.5  9.5   9.5 
Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc.6.2 (0.3)5.9   5.9 
$4,788.4 $(539.0)$4,249.4 $ $(26.5)$4,222.9 

(15)As of June 30, 2025, the Company was party to agreements to fund equity investments as follows:

(in millions)
Company
Total equity commitmentsLess: funded equity commitmentsTotal unfunded equity commitmentsLess: equity commitments substantially at the discretion of the CompanyTotal net unfunded equity commitments
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP$1.2 $ $1.2 $ $1.2 
Constellation Wealth Capital Fund, L.P.5.8 (4.0)1.8  1.8 
DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP0.1  0.1  0.1 
European Capital UK SME Debt LP5.8  5.8 (5.8) 
GSM Rights Fund II LP10.1  10.1  10.1 
GTCR F Buyer Corp. and GTCR (D) Investors LP1.3  1.3  1.3 
HFCP XI (Parallel - A), L.P.7.5  7.5  7.5 
High Street Buyer, Inc. and High Street Holdco LLC38.7  38.7  38.7 
Linden Structured Capital Fund II-A LP2.3 (1.2)1.1  1.1 
LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P.11.6 (9.7)1.9  1.9 
NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP1.3 (0.9)0.4  0.4 
Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.0.1  0.1  0.1 
PCG-Ares Sidecar Investment, L.P.50.0 (12.4)37.6 (37.6) 
PumpTech, LLC and Impel CV-B, LP0.3  0.3  0.3 
Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.12.2 (11.0)1.2  1.2 
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.2.5  2.5  2.5 
Spindrift Beverage Co., Inc. and SBC Aggregator LP1.2  1.2  1.2 
Wellington-Altus Financial Inc.1.9  1.9  1.9 
Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P.0.2  0.2  0.2 
$154.1 $(39.2)$114.9 $(43.4)$71.5 

(16)As of June 30, 2025, the Company had commitments to co-invest in the SDLP for its portion of the SDLP’s commitment to fund delayed draw loans of up to $86. See Note 4 for more information on the SDLP.


See accompanying notes to consolidated financial statements.
79


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

(18)As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.







See accompanying notes to consolidated financial statements.
80

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS
As of December 31, 2024
(dollar amounts in millions)



Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Software and Services
Actfy Buyer, Inc. (15)Software provider of end to end fraud management workflow solutionsFirst lien senior secured loan9.36%SOFR (M)5.00%05/202405/2031$57.0 $57.0 $57.0 (2)(11)
Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP (15)Provider of software services that support the management and security of computing devices, applications, data, and networksFirst lien senior secured loan9.58%SOFR (Q)5.25%07/202307/203042.5 42.5 42.5 (2)(6)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%09/202407/20306.9 6.9 6.9 (2)(6)(11)
Limited partnership interest10/20239,249,00010.2 13.3 (2)(6)
59.6 62.7 
AI Titan Parent, Inc. (15)Provider of plant maintenance / scheduling softwareFirst lien senior secured loan9.11%SOFR (M)4.75%08/202408/203161.5 61.5 60.9 (2)(11)
Anaplan, Inc. (15)Provider of cloud-based connected planning platforms for business analyticsFirst lien senior secured loan9.58%SOFR (Q)5.25%06/202206/20291.8 1.8 1.8 (2)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%05/202406/20294.1 4.1 4.1 (2)(11)
5.9 5.9 
Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua (15)Provider of intellectual property management lifecycle softwareFirst lien senior secured loan7.43%Euribor (S)4.75%04/201908/20317.5 8.2 7.5 (2)
First lien senior secured loan9.27%SOFR (S)4.75%06/202108/20313.7 3.7 3.7 (2)(11)
First lien senior secured loan9.41%SOFR (Q)4.75%01/202408/20315.4 5.4 5.4 (2)(11)
Limited partnership units06/20194,400,0004.2 12.9 (2)(6)
21.5 29.5 
APG Intermediate Holdings Corporation and APG Holdings, LLC (4)(15)Aircraft performance software providerFirst lien senior secured loan9.75%SOFR (M)5.25%01/202001/202513.1 13.1 13.1 (2)(11)
Class A membership units01/20209,750,0009.8 5.6 (2)
22.9 18.7 
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc. (15)Software platform for identification, prevention and management of substance use disorderFirst lien senior secured loan12.08%SOFR (S)7.00%05/202105/20275.5 5.5 5.5 (2)(11)
Series A preferred shares
11.00% PIK
05/202132,23648.2 48.2 (2)
53.7 53.7 
Aptean, Inc. and Aptean Acquiror Inc. (15)Provider of CRM, ERP and supply chain software applicationsFirst lien senior secured loan9.58%SOFR (Q)5.00%01/202401/203118.4 18.2 18.4 (2)(11)
Artifact Bidco, Inc. (15)Supply chain risk management SaaS platform for global enterprise clientsFirst lien senior secured loan8.83%SOFR (Q)4.50%05/202407/203118.9 18.9 18.9 (2)(11)
Auctane, Inc.Provider of mailing and shipping solutionsFirst lien senior secured loan10.94%SOFR (S)5.75%10/202110/2028143.8 143.8 136.6 (2)(11)
Avalara, Inc. (15)Provider of cloud-based solutions for transaction tax compliance worldwideFirst lien senior secured loan10.58%SOFR (Q)6.25%10/202210/202872.2 72.2 72.2 (2)(11)
See accompanying notes to consolidated financial statements.
81

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Banyan Software Holdings, LLC and Banyan Software, LP (15)Vertical software businesses holding companyFirst lien senior secured revolving loan9.86%SOFR (M)5.50%01/202310/20261.0 1.0 1.0 (2)(6)(11)
First lien senior secured loan11.46%SOFR (M)7.00%10/202010/20261.0 1.0 1.0 (2)(6)(11)
First lien senior secured loan11.46%SOFR (M)7.00%12/202110/20260.2 0.2 0.2 (2)(6)(11)
First lien senior secured loan11.71%SOFR (M)7.25%01/202310/202610.4 10.4 10.4 (2)(6)(11)
First lien senior secured loan10.61%SOFR (M)6.25%01/202410/202643.0 43.0 43.0 (2)(6)(11)
Preferred units01/2022120,9994.1 12.1 (2)(6)
59.7 67.7 
BCPE Pequod Buyer, Inc. (15)Provider of wealth management technology solutions to financial institutionsFirst lien senior secured loan7.81%SOFR (Q)3.50%09/202411/20311.0 1.0 1.0 (2)(18)
BCTO Ignition Purchaser, Inc.Enterprise software providerFirst lien senior secured loan
13.63% PIK
SOFR (Q)9.00%04/202310/20304.0 4.0 4.0 (2)(6)(11)
Bobcat Purchaser, LLC and Bobcat Topco, L.P. (15)Healthcare software providerFirst lien senior secured loan9.07%SOFR (Q)4.75%06/202306/203015.7 15.7 15.7 (2)(11)
Class A-1 units06/20231,729,2281.7 1.8 
17.4 17.5 
Borrower R365 Holdings LLC (15)Provider of restaurant enterprise resource planning systemsFirst lien senior secured loan10.48%SOFR (Q)6.00%06/202106/202715.9 15.8 15.9 (2)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%01/202206/20271.9 1.9 1.9 (2)(11)
17.7 17.8 
Bottomline Technologies, Inc. and Legal Spend Holdings, LLC (15)Provider of payment automation solutionsFirst lien senior secured loan9.61%SOFR (M)5.25%05/202205/20298.0 8.0 8.0 (2)(11)
First lien senior secured loan10.11%SOFR (M)5.75%10/202305/20294.2 4.2 4.2 (2)(11)
12.2 12.2 
Businessolver.com, Inc. (15)Provider of SaaS-based benefits solutions for employers and employeesFirst lien senior secured loan9.93%SOFR (Q)5.50%12/202112/20270.6 0.6 0.6 (2)(11)
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. (15)Provider of software and technology-enabled content and analytical solutions to insurance brokersFirst lien senior secured loan8.98%SOFR (Q)4.50%04/202411/202711.0 10.6 10.5 (2)(11)(18)
Second lien senior secured loan12.24%SOFR (Q)7.75%11/202011/202864.3 64.3 61.7 (2)(11)
Series A-2 preferred shares
11.00% PIK
12/20208,96314.0 12.3 (2)
Series A-3 preferred shares
11.00% PIK
11/202111,95216.8 14.8 (2)
Series A preferred shares
11.00% PIK
11/202024,89839.3 34.5 (2)
145.0 133.8 
Centralsquare Technologies, LLC and Supermoose Newco, Inc. (15)Provider of mission-critical software solutions for the public sectorFirst lien senior secured revolving loan04/202404/2030   (2)(11)(13)
First lien senior secured loan
10.63% (3.50% PIK)
SOFR (M)6.25%04/202404/2030141.9 141.9 141.9 (2)(11)
Series A preferred stock
15.00% PIK
04/202483,33292.6 92.6 (2)
234.5 234.5 
See accompanying notes to consolidated financial statements.
82

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P. (15)Provider of server, application and desktop virtualization, networking, software as a service, and cloud computing technologiesFirst lien senior secured notes6.50%09/202203/202986.5 84.8 84.9 (2)(18)
First lien senior secured loan8.08%SOFR (M)3.75%10/202403/20313.5 3.5 3.5 (2)(11)(18)
Second lien senior secured notes9.00%04/202309/2029121.0 113.5 122.8 (2)(18)
Limited partnership interests09/202212,250,00012.3 35.3 (2)
214.1 246.5 
Community Brands ParentCo, LLCSoftware and payment services provider to non-profit institutionsClass A units12/2016500,0005.0 3.0 (2)
Computer Services, Inc. (15)Infrastructure software provider to community banksFirst lien senior secured loan9.75%SOFR (Q)5.25%11/202211/202933.5 33.5 33.5 (2)(11)
First lien senior secured loan9.75%SOFR (Q)5.25%02/202411/20295.4 5.4 5.4 (2)(11)
First lien senior secured loan9.25%SOFR (Q)4.75%09/202411/20290.1 0.1 0.1 (2)(11)
39.0 39.0 
Conservice Midco, LLCProvider of outsourced utility management software and billing solutionsSecond lien senior secured loan9.61%SOFR (M)5.25%05/202205/202815.5 15.5 15.5 (2)
Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P. (15)Provider of sales software for the interior design industryFirst lien senior secured revolving loan10.23%SOFR (Q)5.75%05/202105/20285.9 5.9 5.9 (2)(6)(11)
First lien senior secured revolving loan8.97%Euribor (Q)6.25%11/202105/20281.2 1.2 1.2 (2)(6)(11)
First lien senior secured revolving loan9.83%SOFR (Q)5.50%04/202405/20282.4 2.4 2.4 (2)(6)(11)
First lien senior secured loan10.23%SOFR (Q)5.75%05/202105/202873.3 73.3 73.3 (2)(6)(11)
First lien senior secured loan8.97%Euribor (Q)6.25%11/202105/20280.4 0.4 0.4 (2)(6)(11)
First lien senior secured loan8.97%Euribor (Q)6.25%11/202105/202828.0 30.1 28.0 (2)(6)
First lien senior secured loan10.23%SOFR (Q)5.75%06/202205/202811.5 11.5 11.5 (2)(6)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%04/202405/20283.8 3.8 3.8 (2)(6)(11)
Common units05/2021483,5844.8 9.3 (2)(6)
Series A common units09/202223,3400.2 0.4 (2)(6)
133.6 136.2 
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP (15)Provider of information, insight, analytics, software and other outsourced services primarily to the mortgage, real estate and insurance sectorsSecond lien senior secured loan10.97%SOFR (M)6.50%06/202106/2029155.7 155.7 151.0 (2)(11)
Limited partnership units04/202159,665,98959.7 39.5 (2)
215.4 190.5 
See accompanying notes to consolidated financial statements.
83

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc. (15)Provider of environmental, health and safety software to track compliance dataFirst lien senior secured loan9.59%SOFR (Q)5.00%07/201907/20266.2 6.1 6.1 (2)(6)(11)
First lien senior secured loan9.59%SOFR (Q)5.00%10/201907/20264.3 4.3 4.3 (2)(6)(11)
First lien senior secured loan11.59%SOFR (Q)7.00%09/202007/20260.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan10.09%SOFR (Q)5.50%09/202207/20260.2 0.2 0.2 (2)(6)(11)
First lien senior secured loan10.34%SOFR (Q)5.75%04/202307/20267.6 7.6 7.6 (2)(6)(11)
First lien senior secured loan9.27%SOFR (Q)4.75%11/202407/202610.1 10.1 10.1 (2)(6)(11)
Preferred equity
9.00% PIK
07/20191980.3 1.1 (2)(6)
Common equity07/2019190,143  (2)(6)
28.7 29.5 
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc. (15)Provider of a cloud-based, SaaS platform for talent managementFirst lien senior secured revolving loan7.77%SOFR (M)3.25%10/202110/20269.7 9.7 8.5 (2)(14)
First lien senior secured loan8.22%SOFR (M)3.75%06/202410/20281.4 1.3 1.2 (2)(11)(18)
Second lien senior secured loan10.97%SOFR (M)6.50%10/202110/2029137.5 137.5 121.0 (2)(11)
Series A preferred shares
10.50% PIK
10/2021116,413161.8 132.6 (2)
Class A-1 common stock10/20211,360,10013.6 16.2 (2)
323.9 279.5 
Coupa Holdings, LLC and Coupa Software Incorporated (15)Provider of Business Spend Management softwareFirst lien senior secured loan10.09%SOFR (Q)5.50%03/202302/20309.0 9.0 9.0 (2)(11)
Databricks, Inc.Cloud-based data and AI platform that helps companies scale and manage dataFirst lien senior secured loan8.81%SOFR (S)4.50%12/202412/20300.1 0.1 0.1 (2)
Datix Bidco Limited and RL Datix Holdings (USA), Inc. (15)Global healthcare software company that provides software solutions for patient safety and risk managementFirst lien senior secured revolving loan10.20%SONIA (M)5.50%04/202410/20301.3 1.3 1.2 (2)(6)(11)
First lien senior secured revolving loan9.86%SOFR (M)5.50%04/202410/20301.1 1.1 1.1 (2)(6)(11)
First lien senior secured loan9.93%SOFR (S)5.50%04/202404/2031104.6 104.6 104.6 (2)(6)(11)
First lien senior secured loan10.20%SONIA (S)5.50%04/202404/203153.1 53.1 53.1 (2)(6)(11)
160.1 160.0 
Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P.Provider of internet security tools and solutionsSecond lien senior secured loan11.36%SOFR (M)7.00%05/202202/202911.0 10.5 9.5 (2)
Series A preferred shares
10.50% PIK
05/2021129,822187.7 152.1 (2)
Series A units05/2021817,19413.3 12.6 (2)
211.5 174.2 
Denali Holdco LLC and Denali Apexco LP (15)Provider of cybersecurity audit and assessment servicesFirst lien senior secured loan9.63%SOFR (M)5.25%07/202409/202833.3 33.3 33.3 (2)(11)
Class A units02/20222,549,0002.5 3.6 (2)
35.8 36.9 
See accompanying notes to consolidated financial statements.
84

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Diligent Corporation and Diligent Preferred Issuer, Inc. (15)Provider of secure SaaS solutions for board and leadership team documentsFirst lien senior secured loan10.09%SOFR (S)5.00%04/202408/203023.5 23.4 23.5 (2)(11)
Preferred stock
10.50% PIK
04/202113,14018.5 18.5 (2)
41.9 42.0 
DriveCentric Holdings, LLC (15)Provider of CRM software to the automotive dealership industryFirst lien senior secured loan9.27%SOFR (Q)4.75%08/202408/203112.1 12.1 12.0 (2)(11)
Echo Purchaser, Inc. (15)Software provider of mission critical security, supply chain, and collaboration solutions for highly regulated end marketsFirst lien senior secured revolving loan12.00%Base Rate (Q)4.50%11/202311/20291.4 1.4 1.4 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%11/202311/202910.5 10.5 10.5 (2)(11)
11.9 11.9 
Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc. (15)Payment processing solution providerFirst lien senior secured loan9.26%SOFR (M)4.75%09/202409/2031196.1 196.1 194.1 (2)(11)
Preferred units
12.50% PIK
09/20246566.8 6.7 (2)
Class A common units09/20245630.6 0.6 (2)
203.5 201.4 
Edmunds Govtech, Inc. (15)Provider of ERP software solutions for local governmentsFirst lien senior secured revolving loan8.33%SOFR (Q)4.00%02/202402/20301.7 1.7 1.7 (2)(11)
First lien senior secured loan9.33%SOFR (Q)5.00%02/202402/203118.5 18.5 18.5 (2)(11)
20.2 20.2 
Elemica Parent, Inc. & EZ Elemica Holdings, Inc. (15)SaaS based supply chain management software provider focused on chemical marketsFirst lien senior secured revolving loan10.12%SOFR (Q)5.50%05/202409/20267.3 7.3 7.2 (2)(11)
First lien senior secured loan10.29%SOFR (Q)5.50%09/201909/202659.9 59.9 59.3 (2)(11)
First lien senior secured loan10.30%SOFR (Q)5.50%12/202009/20265.6 5.6 5.6 (2)(11)
First lien senior secured loan10.14%SOFR (Q)5.50%05/202409/20264.9 4.9 4.9 (2)(11)
Preferred equity09/20194,5994.6 5.7 (2)
82.3 82.7 
Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc. (15)SaaS based business analytics company focused on oil and gas industryFirst lien senior secured revolving loan9.86%SOFR (M)5.50%12/202312/20290.2 0.2 0.2 (2)(11)
First lien senior secured revolving loan9.86%SOFR (M)5.50%06/202412/20290.1 0.1 0.1 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%12/202312/2029133.9 133.9 133.9 (2)(11)
Preferred stock
13.50% PIK
02/20203055.6 56.5 (2)
189.8 190.7 
EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P.Provider of entertainment workforce and production management solutionsFirst lien senior secured loan9.09%SOFR (Q)4.50%06/202311/202858.3 58.0 57.7 (2)(11)
Second lien senior secured loan11.09%SOFR (Q)6.50%11/202111/202988.9 88.9 88.0 (2)(11)
Partnership units05/20195,034,4833.1 11.1 (2)(6)
See accompanying notes to consolidated financial statements.
85

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
150.0 156.8 
eResearch Technology, Inc. and Astorg VII Co-Invest ERT (15)Provider of mission-critical, software-enabled clinical research solutionsFirst lien senior secured loan8.36%SOFR (M)4.00%11/202302/20271.0 1.0 1.0 (2)(11)(18)
Second lien senior secured loan12.46%SOFR (M)8.00%02/202002/202827.2 26.6 27.2 (2)
Second lien senior secured loan12.46%SOFR (M)8.00%04/202102/202830.6 30.1 30.6 (2)
Limited partnership interest01/20203,988,0004.5 6.9 (2)(6)
62.2 65.7 
ESHA Research, LLC and RMCF VI CIV XLVIII, L.P. (15)Provider of nutritional information and software as a services (SaaS) compliance solutionsFirst lien senior secured revolving loan10.01%SOFR (Q)5.50%06/202206/20280.9 0.9 0.9 (2)(11)
First lien senior secured loan10.05%SOFR (Q)5.50%06/202206/20286.7 6.7 6.7 (2)(11)
Limited partner interests06/20226,246,8016.2 8.3 
13.8 15.9 
Extrahop Networks, Inc. (15)Provider of real-time wire data analytics solutions for application and infrastructure monitoringFirst lien senior secured loan11.96%SOFR (M)7.50%07/202107/202726.0 26.0 26.0 (2)(11)
First lien senior secured loan11.96%SOFR (M)7.50%03/202307/20273.9 3.9 3.9 (2)(11)
29.9 29.9 
Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L. (15)Provider of back-office software services for the banking sectorFirst lien senior secured loan11.65%SOFR (Q)7.25%09/202309/2029189.0 186.1 189.0 (2)(6)(11)
Forescout Technologies, Inc. (15)Network access control solutions providerFirst lien senior secured loan9.52%SOFR (Q)5.00%05/202405/203113.6 13.6 13.4 (2)(11)
GI Ranger Intermediate LLC (15)Provider of payment processing services and software to healthcare providersFirst lien senior secured revolving loan10.47%SOFR (Q)6.00%10/202110/20270.4 0.4 0.4 (2)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%10/202110/202810.0 10.0 9.8 (2)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%03/202210/20283.1 3.1 3.0 (2)(11)
13.5 13.2 
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC (15)Provider of data analysis, statistics, and visualization software solutions for scientific research applicationsFirst lien senior secured loan9.08%SOFR (Q)4.75%06/202406/203171.5 71.5 71.5 (2)(11)
Senior subordinated loan
10.50% PIK
04/202104/203253.6 53.6 52.5 (2)
Preferred units
14.00% PIK
04/20211,828,64574.8 74.8 
199.9 198.8 
Guidepoint Security Holdings, LLC (15)Cybersecurity solutions providerFirst lien senior secured loan10.36%SOFR (M)6.00%10/202310/20296.7 6.7 6.7 (2)(11)
First lien senior secured loan10.36%SOFR (M)6.00%12/202410/20292.4 2.4 2.4 (2)(11)
9.1 9.1 
Heavy Construction Systems Specialists, LLC (15)Provider of construction softwareFirst lien senior secured loan9.83%SOFR (Q)5.50%11/202111/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan9.58%SOFR (M)5.25%03/202411/202813.9 13.9 13.9 (2)(11)
See accompanying notes to consolidated financial statements.
86

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
14.0 14.0 
Help/Systems Holdings, Inc. (15)Provider of IT operations management and cybersecurity softwareFirst lien senior secured revolving loan8.62%SOFR (Q)4.00%11/201908/20261.7 1.7 1.5 (2)
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP (15)Insurance software providerFirst lien senior secured revolving loan9.96%SOFR (M)5.50%11/202111/20278.6 8.6 8.4 (2)(11)
First lien senior secured loan9.96%SOFR (M)5.50%11/202111/202859.1 59.1 58.0 (2)(11)
Senior subordinated loan
10.00% PIK
11/202111/2031121.3 121.3 110.4 (2)
Company units11/20214,246,4578.8 4.6 (2)
197.8 181.4 
Hyland Software, Inc. (15)Enterprise content management software providerFirst lien senior secured revolving loan09/202309/2029   (2)(13)
First lien senior secured loan10.36%SOFR (M)6.00%09/202309/203096.6 95.4 96.6 (2)(11)
95.4 96.6 
Icefall Parent, Inc. (15)Provider of customer engagement software and integrated payments solutionsFirst lien senior secured loan10.86%SOFR (M)6.50%01/202401/203016.7 16.7 16.7 (2)(11)
Internet Truckstop Group LLC (15)Provider of freight-moving lifecycle softwareFirst lien senior secured loan10.48%SOFR (Q)6.00%06/202404/202739.5 39.1 39.1 (2)(11)
IQN Holding Corp. (15)Provider of extended workforce management softwareFirst lien senior secured revolving loan9.77%SOFR (Q)5.25%05/202205/20280.9 0.9 0.9 (2)(11)
First lien senior secured loan9.76%SOFR (Q)5.25%05/202205/20291.4 1.4 1.4 (2)(11)
2.3 2.3 
IV Rollover Holdings, LLCProvider of cloud based IT solutions, infrastructure and servicesClass B units05/2017170,490  (2)
Class X units05/20175,000,0001.9 2.1 (2)
1.9 2.1 
Kaseya Inc. and Knockout Intermediate Holdings I Inc. (15)Provider of cloud-based software and technology solutions for small and medium sized businessesFirst lien senior secured revolving loan9.83%SOFR (Q)5.50%06/202206/20294.9 4.9 4.9 (2)(11)(14)
First lien senior secured loan10.09%SOFR (Q)5.50%06/202206/2029172.8 172.6 172.8 (2)(11)
Preferred stock
15.03% PIK
SOFR (S)10.75%06/202238,79853.9 53.9 (2)(11)
231.4 231.6 
LeanTaaS Holdings, Inc. (15)Provider of SaaS tools to optimize healthcare asset utilizationFirst lien senior secured loan11.83%SOFR (Q)7.50%07/202207/202834.7 34.7 34.7 (2)(11)
First lien senior secured loan13.58%SOFR (Q)9.25%07/202207/202829.6 29.6 29.6 (2)(11)
64.3 64.3 
Majesco and Magic Topco, L.P. (15)Insurance software providerFirst lien senior secured loan9.08%SOFR (Q)4.75%09/202009/202818.0 18.0 18.0 (2)(11)
Class A units
9.00% PIK
09/20202,5393.7 6.5 (2)
Class B units09/2020570,625  (2)
21.7 24.5 
Metatiedot Bidco OY and Metatiedot US, LLC (15)Enterprise content management platformFirst lien senior secured revolving loan8.49%Euribor (S)5.50%11/202411/20300.2 0.2 0.2 (2)(6)(11)
First lien senior secured loan8.49%Euribor (S)5.50%11/202411/20317.2 7.4 7.1 (2)(6)(11)
See accompanying notes to consolidated financial statements.
87

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan10.02%SOFR (Q)5.50%11/202411/20315.2 5.2 5.1 (2)(6)(11)
12.8 12.4 
Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSpCybersecurity solutions providerFirst lien senior secured loan9.36%SOFR (M)5.00%05/202205/202968.5 68.5 68.5 (2)(6)(11)
First lien senior secured loan9.70%SONIA (Q)5.00%05/202205/202935.3 34.9 35.3 (2)(6)(11)
First lien senior secured loan9.36%SOFR (M)5.00%03/202405/20295.2 5.2 5.2 (2)(6)(11)
Limited partnership interest05/20223,97539.8 44.0 (2)(6)
148.4 153.0 
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P. (15)Software and payment services provider to faith-based institutionsFirst lien senior secured loan9.96%SOFR (M)5.50%12/202112/202839.0 39.0 38.2 (2)(11)
Limited partner interests12/20219,574,0009.6 6.3 (2)
48.6 44.5 
Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC (15)Leading technology solution provider for casing and auditioning to the entertainment industryFirst lien senior secured revolving loan10.20%SOFR (Q)5.75%08/202208/20280.4 0.4 0.4 (2)(11)
First lien senior secured loan10.20%SOFR (Q)5.75%08/202208/202824.6 24.6 24.6 (2)(11)
Class A units
8.00% PIK
08/202245,3205.3 3.8 
30.3 28.8 
MRI Software LLC (15)Provider of real estate and investment management softwareFirst lien senior secured revolving loan9.08%SOFR (Q)4.75%02/202002/20270.2 0.2 0.2 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%02/202002/202714.4 14.4 14.4 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%08/202002/202723.9 23.9 23.9 (2)(11)
38.5 38.5 
Netsmart, Inc. and Netsmart Technologies, Inc. (15)Developer and operator of health care software and technology solutionsFirst lien senior secured loan
9.56% (2.70% PIK)
SOFR (M)5.20%08/202408/2031141.0 141.0 139.6 (2)(11)
North Star Acquisitionco, LLC and Toucan Bidco Limited (15)Literacy solution software provider for grades k-12First lien senior secured loan9.45%NIBOR (Q)4.75%04/202405/20295.5 5.8 5.5 (2)(6)
First lien senior secured loan9.45%SONIA (Q)4.75%04/202405/20293.6 3.6 3.6 (2)(6)
First lien senior secured loan9.08%SOFR (Q)4.75%04/202405/202929.5 29.5 29.5 (2)(6)(11)
First lien senior secured loan9.70%SONIA (Q)5.00%04/202405/20291.7 1.7 1.6 (2)(6)
40.6 40.2 
OpenMarket Inc.Provider of cloud-based mobile engagement platformFirst lien senior secured loan10.84%SOFR (Q)6.25%09/202109/202616.1 16.0 16.1 (2)(6)(11)
Optimizely North America Inc. and Optimizely Sweden Holdings AB (15)Provider of web content management and digital commerce solutionsFirst lien senior secured loan9.36%SOFR (M)5.00%10/202410/20315.7 5.6 5.6 (2)(6)(11)
First lien senior secured loan8.11%Euribor (M)5.25%10/202410/20312.0 2.1 2.0 (2)(6)(11)
First lien senior secured loan10.20%SONIA (M)5.50%10/202410/20310.9 0.9 0.9 (2)(6)(11)
8.6 8.5 
See accompanying notes to consolidated financial statements.
88

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
PDDS HoldCo, Inc. (15)Provider of cloud-based dental practice management softwareFirst lien senior secured revolving loan11.98%SOFR (Q)7.50%07/202207/20280.2 0.2 0.2 (2)(11)
First lien senior secured loan11.98%SOFR (Q)7.50%07/202207/202812.5 12.5 12.5 (2)(11)
12.7 12.7 
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC (15)Provider of enterprise management software for the convenience retail and petroleum wholesale marketFirst lien senior secured loan10.09%SOFR (Q)5.50%01/202402/20316.6 6.6 6.6 (2)(11)
First lien senior secured loan10.00%SOFR (M)5.50%02/202402/20310.1 0.1 0.1 (2)(11)
Series A preferred stock
13.25% PIK
03/201913,65629.1 29.4 (2)
Class A units03/20192,062,4932.1 4.6 (2)
37.9 40.7 
Perforce Software, Inc. (15)Developer of software used for application developmentFirst lien senior secured revolving loan10.75%Base Rate (Q)3.25%07/201907/20261.0 1.0 1.0 (2)
Petvisor Holdings, LLC (15)Provider of veterinarian-focused SaaS solutionsFirst lien senior secured revolving loan12.00%Base Rate (Q)4.50%06/202211/20291.7 1.7 1.7 (2)(11)
First lien senior secured loan9.83%SOFR (S)5.50%06/202211/20295.9 5.9 5.9 (2)(11)
First lien senior secured loan
10.78% (4.88% PIK)
SOFR (S)6.50%06/202211/20290.1 0.1 0.1 (2)(11)
First lien senior secured loan
10.78% (4.88% PIK)
SOFR (S)6.50%11/202311/20293.7 3.7 3.7 (2)(11)
11.4 11.4 
Ping Identity Holding Corp. (15)Provider of identity and access management solutionsFirst lien senior secured loan9.08%SOFR (Q)4.75%10/202210/202911.2 11.2 11.2 (2)(11)
Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC (4)(15)Online education learning platformFirst lien senior secured loan
9.01% (1.50% PIK)
SOFR (Q)4.50%08/202408/202921.5 21.5 21.5 (2)(11)
First lien senior secured loan
12.01% PIK
SOFR (Q)7.50%08/202408/202919.7 19.7 19.7 (2)(11)
Common units08/20246,356,81214.3 13.7 (2)
55.5 54.9 
Poplicus IncorporatedBusiness intelligence and market analytics platform for companies that sell to the public sectorWarrant to purchase shares of Series C preferred stock06/201506/20252,402,9910.1  
PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC (15)Software provider for medical practitionersFirst lien senior secured revolving loan8.86%SOFR (M)4.50%08/202308/20290.5 0.5 0.5 (2)(11)
First lien senior secured loan10.11%SOFR (M)5.75%08/202308/202936.6 36.6 36.6 (2)(11)
Senior subordinated loan
14.00% PIK
08/202308/203046.7 46.7 46.7 (2)
Class A units
8.00% PIK
03/202133,220,28225.4 38.2 (2)
109.2 122.0 
ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P. (15)Provider of practice management software to law firmsFirst lien senior secured revolving loan9.86%SOFR (M)5.50%03/202103/20270.7 0.7 0.7 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%03/202103/20275.4 5.4 5.4 (2)(11)
See accompanying notes to consolidated financial statements.
89

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.86%SOFR (M)5.50%06/202403/20276.8 6.8 6.8 (2)(11)
Limited partnership units03/20211,624,0000.7 2.7 (2)
13.6 15.6 
Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc.Provider of data visualization software for data analyticsClass A common stock08/20167,4457.4 19.1 (2)
Class B common stock08/20161,841,6090.1 0.2 (2)
7.5 19.3 
Project Essential Bidco, Inc. and Project Essential Super Parent, Inc. (15)Saas provider of automated crew callout and scheduling software for the utility industryFirst lien senior secured loan
10.91% (3.25% PIK)
SOFR (Q)6.25%04/202104/202837.8 37.8 35.5 (2)(11)
Preferred shares
13.98% PIK
SOFR (Q)9.50%04/202126,43642.8 40.3 (2)(11)
80.6 75.8 
Project Potter Buyer, LLC and Project Potter Parent, L.P. (15)Software solutions provider to the ready-mix concrete industryFirst lien senior secured loan10.33%SOFR (Q)6.00%04/202004/202742.8 42.8 42.8 (2)(11)
First lien senior secured loan10.33%SOFR (Q)6.00%10/202004/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan10.33%SOFR (Q)6.00%11/202004/202711.7 11.7 11.7 (2)(11)
First lien senior secured loan10.33%SOFR (Q)6.00%07/202404/202717.9 17.9 17.9 (2)(11)
Class B units04/2020588,636 3.3 (2)
72.5 75.8 
Proofpoint, Inc. (15)Cybersecurity solutions providerFirst lien senior secured loan7.36%SOFR (M)3.00%06/202108/20281.0 0.9 1.0 (2)(11)(18)
QBS Parent, Inc. (15)Provider of vertical software solutions and related implementation, migration, and integration servicesFirst lien senior secured loan9.27%SOFR (Q)4.75%11/202411/203114.1 14.1 14.0 (2)(11)
QF Holdings, Inc. (15)SaaS based electronic health record software providerFirst lien senior secured revolving loan9.43%SOFR (Q)5.00%09/201912/20270.5 0.5 0.5 (2)(11)
First lien senior secured loan9.69%SOFR (Q)5.00%09/201912/20274.9 4.9 4.9 (2)(11)
First lien senior secured loan9.59%SOFR (Q)5.00%09/201912/20271.9 1.9 1.9 (2)(11)
First lien senior secured loan9.54%SOFR (Q)5.00%08/202012/20274.9 4.9 4.9 (2)(11)
First lien senior secured loan9.59%SOFR (Q)5.00%12/202112/20278.1 8.1 8.1 (2)(11)
First lien senior secured loan9.51%SOFR (Q)5.00%12/202312/20275.1 5.1 5.1 (2)(11)
25.4 25.4 
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC (15)Provider of SaaS-based safety and security software to the K-12 school marketFirst lien senior secured loan9.08%SOFR (Q)4.75%10/202110/20288.4 8.4 8.4 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%04/202310/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%05/202410/20288.1 8.1 8.1 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%12/202410/202825.0 25.0 25.0 (2)(11)
Class A common units12/20182,880,5823.5 8.9 
45.1 50.5 
See accompanying notes to consolidated financial statements.
90

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Regent Education, Inc.Provider of software solutions designed to optimize the financial aid and enrollment processesWarrant to purchase shares of common stock12/201612/20265,394,181  
Relativity ODA LLC (15)Electronic discovery document review software platform for use in litigations and investigationsFirst lien senior secured loan8.86%SOFR (M)4.50%07/202405/20296.6 6.6 6.6 (2)(11)
Revalize, Inc. (15)Developer and operator of software providing configuration, price and quote capabilitiesFirst lien senior secured revolving loan10.43%SOFR (Q)5.75%05/202204/20270.7 0.6 0.6 (2)(11)
First lien senior secured loan10.49%SOFR (Q)5.75%05/202204/20270.7 0.7 0.6 (2)(11)
1.3 1.2 
RMS HoldCo II, LLC & RMS Group Holdings, Inc. (15)Developer of revenue cycle management solutions, process automation, analytics and integration for the healthcare industryFirst lien senior secured loan9.36%SOFR (M)5.00%12/202112/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan9.25%SOFR (S)5.00%08/202212/20280.2 0.2 0.2 (2)(11)
Class A common stock12/20215665.5 4.5 (2)
5.8 4.8 
Runway Bidco, LLC (15)Provider of workload automation softwareFirst lien senior secured loan9.33%SOFR (S)5.00%12/202412/203142.8 42.4 42.4 (2)(11)
Sapphire Software Buyer, Inc. (15)Provider of application security testing solutionsFirst lien senior secured loan
9.75% (3.00% PIK)
SOFR (S)5.50%09/202409/203171.6 71.6 70.8 (2)(11)
Severin Acquisition, LLC (15)Provider of student information system software solutions to the K-12 education market in North AmericaFirst lien senior secured loan
9.57% (2.25% PIK)
SOFR (M)5.00%09/202410/2031221.2 221.1 218.9 (2)(11)
Smarsh Inc. and Skywalker TopCo, LLC (15)SaaS based communication archival service providerFirst lien senior secured revolving loan10.11%SOFR (M)5.75%02/202202/20290.3 0.3 0.3 (2)(11)
First lien senior secured loan10.08%SOFR (Q)5.75%02/202202/20291.4 1.4 1.4 (2)(11)
Common units11/20201,742,6236.3 10.6 (2)
8.0 12.3 
SocialFlow, Inc.Social media optimization platform providerWarrant to purchase shares of Series C preferred stock01/201601/2026215,331  
SoundCloud LimitedPlatform for receiving, sending, and distributing musicCommon stock08/201773,4220.4 0.7 (2)(6)
Spaceship Purchaser, Inc. (15)SaaS based website builder and hosting platformFirst lien senior secured loan9.33%SOFR (Q)5.00%10/202410/2031100.7 100.7 99.7 (2)(11)
Spark Purchaser, Inc. (15)Software platform for Medicare application processFirst lien senior secured loan9.83%SOFR (Q)5.50%04/202404/203130.8 30.8 30.8 (2)(11)
Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp (15)Provider of data, analytics, news, and workflow tools to customers in the counter-cyclical distressed debt spaceFirst lien senior secured loan9.18%SOFR (Q)4.75%09/202209/20282.5 2.5 2.5 (2)(11)
First lien senior secured loan9.43%SOFR (Q)4.75%12/202309/20280.8 0.8 0.8 (2)(11)
Limited partner interests09/20221,01010.2 15.3 (2)
See accompanying notes to consolidated financial statements.
91

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
13.5 18.6 
Storable, Inc. and EQT IX Co-Investment (E) SCSPPayment management system solutions and web services for the self-storage industrySecond lien senior secured loan11.11%SOFR (M)6.75%04/202104/202942.8 42.8 42.8 (2)(11)
Second lien senior secured loan11.11%SOFR (M)6.75%03/202204/202910.3 10.3 10.3 (2)(11)
Limited partnership interests04/2021614,9506.6 12.1 (2)(6)
59.7 65.2 
Sundance Group Holdings, Inc. (15)Provider of cloud-based document management and collaboration solutionsFirst lien senior secured revolving loan9.08%SOFR (Q)4.75%09/202407/20291.8 1.8 1.8 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%09/202407/202926.4 26.2 26.4 (2)(11)
28.0 28.2 
Superman Holdings, LLC (15)Provider of ERP software for the construction industryFirst lien senior secured loan8.86%SOFR (M)4.50%08/202408/203135.5 35.5 35.4 (2)(11)
Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C. (15)Provider of environment, health, safety, and sustainability softwareFirst lien senior secured loan10.30%SOFR (Q)5.75%03/202203/202834.4 34.4 34.4 (2)(11)
First lien senior secured loan10.39%SOFR (Q)5.75%10/202303/202810.8 10.8 10.8 (2)(11)
First lien senior secured loan10.33%SOFR (Q)5.75%06/202403/20285.8 5.8 5.8 (2)(11)
Class A-2 units03/20225,0575.1 6.2 
56.1 57.2 
TCP Hawker Intermediate LLC (15)Workforce management solutions providerFirst lien senior secured revolving loan8.08%SOFR (Q)3.75%11/202408/20293.4 3.4 3.4 (2)(11)
First lien senior secured loan9.33%SOFR (M)5.00%08/201908/202950.7 49.6 50.7 (2)(11)
First lien senior secured loan10.75%SOFR (Q)6.00%10/202308/20291.8 1.2 1.8 (2)(11)
First lien senior secured loan9.33%SOFR (Q)5.00%11/202408/20292.0 2.0 2.0 (2)(11)
56.2 57.9 
Transit Technologies LLC (15)Provider of transportation management software and
specialty telematics solutions
First lien senior secured loan9.17%SOFR (S)4.75%08/202408/203110.8 10.8 10.7 (2)(11)
UKG Inc. and H&F Unite Partners, L.P.Provider of cloud based HCM solutions for businessesLimited partnership interests05/201912,583,55612.6 26.5 (2)(6)
UserZoom Technologies, Inc.User experience research automation softwareFirst lien senior secured loan12.75%SOFR (S)7.50%02/202304/20295.8 5.7 5.8 (2)(11)
Victors Purchaser, LLC and WP Victors Co-Investment, L.P. (15)Third-party maintenance provider for hardware and data center infrastructureFirst lien senior secured revolving loan8.26%CORRA (Q)4.75%08/202408/20311.1 1.1 1.1 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%08/202408/203170.1 70.1 69.4 (2)(11)
Partnership units08/20242,482,0002.5 2.6 (2)
73.7 73.1 
Viper Bidco, Inc. (15)Provider of SaaS based supply chain risk management solutionsFirst lien senior secured loan9.52%SOFR (S)5.00%11/202411/203117.8 17.8 17.6 (2)(11)
First lien senior secured loan9.70%SONIA (M)5.00%11/202411/203110.3 10.4 10.2 (2)(11)
See accompanying notes to consolidated financial statements.
92

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
28.2 27.8 
WebPT, Inc. and WPT Intermediate Holdco, Inc. (15)Electronic medical record software providerFirst lien senior secured revolving loan10.87%SOFR (Q)6.25%08/201901/20280.4 0.4 0.4 (2)(11)
First lien senior secured revolving loan12.75%Base Rate (Q)5.25%08/201901/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan10.86%SOFR (Q)6.25%08/201901/20280.1 0.1 0.1 (2)(11)
Senior subordinated loan
13.25% PIK
05/202405/202965.3 65.3 65.3 (2)
65.9 65.9 
Wellington Bidco Inc. and Wellington TopCo LP (15)Provider of ERP and payments software for local governmentsFirst lien senior secured revolving loan9.33%SOFR (Q)5.00%06/202406/20300.6 0.6 0.6 (2)(11)
First lien senior secured loan9.33%SOFR (Q)5.00%06/202406/203060.9 60.9 60.9 (2)(11)
Class A-2 preferred units
8.00% PIK
06/20242,323,0002.4 2.4 (2)
63.9 63.9 
Wellness AcquisitionCo, Inc. (15)Provider of retail consumer insights and analytics for manufacturers and retailers in the natural, organic and specialty products industryFirst lien senior secured loan9.96%SOFR (M)5.50%01/202101/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan9.96%SOFR (M)5.50%02/202201/20271.7 1.7 1.7 (2)(11)
1.8 1.8 
WorkWave Intermediate II, LLC (15)Provider of cloud-based field services and fleet management solutionsFirst lien senior secured revolving loan11.43%SOFR (Q)7.00%06/202106/20271.1 1.1 1.1 (2)(11)
First lien senior secured loan
11.36% (3.50% PIK)
SOFR (Q)7.00%06/202106/202753.0 53.0 53.0 (2)(11)
First lien senior secured loan
11.43% (3.50% PIK)
SOFR (Q)7.00%02/202206/202719.3 19.3 19.3 (2)(11)
First lien senior secured loan
11.43% (3.50% PIK)
SOFR (Q)7.00%03/202406/20276.4 6.4 6.4 (2)(11)
79.8 79.8 
ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP (15)Provider of cloud-based customer support solutionsFirst lien senior secured loan9.33%SOFR (S)5.00%12/202211/202843.4 43.4 43.4 (2)(11)
Series A preferred stock
13.83% PIK
SOFR (Q)9.50%11/202227,22635.3 35.3 (2)
Class A common units11/2022269,1002.7 2.6 (2)
81.4 81.3 
ZocDoc, Inc.Healthcare marketplace connecting patients and providersFirst lien senior secured loan11.02%SOFR (Q)6.50%05/202405/202974.1 71.8 74.1 (2)(11)
6,561.9 6,544.6 49.01%
Health Care Equipment and Services
Absolute Dental Group LLC and Absolute Dental Equity, LLC (5)(15)Dental services providerFirst lien senior secured revolving loan
9.59% PIK
SOFR (Q)5.00%06/202106/202614.5 14.5 14.5 (2)(11)
First lien senior secured loan
9.59% PIK
SOFR (Q)5.00%09/202406/202641.3 41.3 41.3 (2)(11)
Class A preferred units09/202420,000,00016.2 11.5 (2)
See accompanying notes to consolidated financial statements.
93

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A common units06/20216,553,5534.7  (2)
76.7 67.3 
ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC (5)(15)Dental services providerFirst lien senior secured loan
11.58% (3.00% PIK)
SOFR (Q)7.00%09/201609/202615.5 15.5 15.5 (2)(11)
Second lien senior secured loan
10.00% PIK
06/202303/202743.4 43.4 43.4 (2)
Membership units09/20163,000,000  (2)
Class A common units06/20237,776,18129.4 0.5 (2)
88.3 59.4 
Advarra Holdings, Inc. (15)Provider of central institutional review boards over clinical trialsFirst lien senior secured loan8.86%SOFR (M)4.50%08/202209/20314.0 4.0 4.0 (2)(11)
Aerin Medical Inc. (15)Developer and manufacturer of non-invasive nasal treatment solutionsFirst lien senior secured loan11.06%SOFR (S)6.75%12/202412/203013.1 12.8 12.9 (2)(11)
Series G preferred shares12/2024877,3791.0 1.0 (2)
13.8 13.9 
AHR Funding Holdings, Inc. and AHR Parent Holdings, LPProvider of revenue cycle management solutions to hospitalsSeries A preferred shares
12.75% PIK
07/202207/202835,00047.7 47.7 (2)
Preferred units
8.00% PIK
07/20229,90012.0 13.0 (2)
Class B common units07/2022100,0000.1 0.1 (2)
59.8 60.8 
Amerivet Partners Management, Inc. and AVE Holdings LP (15)Veterinary practice management platformSubordinated loan
16.50% PIK
11/202312/203066.2 65.0 63.5 (2)
Class A units03/20242,9222.9 0.4 (2)
Class C units11/20237,1441.4  (2)
69.3 63.9 
Artivion, Inc. (15)Manufacturer, processor and distributor of medical devices and implantable human tissuesFirst lien senior secured revolving loan8.59%SOFR (Q)4.00%01/202401/20300.9 0.9 0.9 (2)(6)(11)
First lien senior secured loan11.09%SOFR (Q)6.50%01/202401/203011.5 11.5 11.5 (2)(6)(11)
12.4 12.4 
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (15)(16)Revenue cycle management provider to the physician practices and acute care hospitalsFirst lien senior secured loan7.61%SOFR (M)3.25%07/202302/20290.1 0.1 0.1 (2)(11)(18)
Series A preferred stock
10.75% PIK
02/2022198,505270.5 270.5 (2)
Class A units02/202210,487,95110.5 12.8 (2)
281.1 283.4 
Avalign Holdings, Inc. and Avalign Technologies, Inc. (15)Full-service contract manufacturer of medical device components for the orthopedic OEM industryFirst lien senior secured revolving loan10.85%SOFR (M)6.50%03/202412/20281.6 1.6 1.5 (2)(11)
First lien senior secured loan
11.76% (3.63% PIK)
SOFR (Q)7.25%03/202412/202838.9 38.9 36.1 (2)(11)
40.5 37.6 
See accompanying notes to consolidated financial statements.
94

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LPOpioid treatment providerFirst lien senior secured loan9.59%SOFR (Q)5.00%05/202206/20275.9 5.9 5.6 (2)(11)
Bambino Group Holdings, LLCDental services providerClass A preferred units12/20161,000,0001.0 0.8 (2)
Center for Autism and Related Disorders, LLC (15)Autism treatment and services provider specializing in applied behavior analysis therapyFirst lien senior secured revolving loan11/201811/20236.8   (2)(10)(14)
First lien senior secured revolving loan01/202211/20231.0   (2)(10)(14)
First lien senior secured loan06/202308/20231.5   (2)(10)
  
Color Intermediate, LLCProvider of pre-payment integrity software solutionFirst lien senior secured loan9.18%SOFR (Q)4.75%10/202210/202920.0 20.0 20.0 (2)(11)
Comprehensive EyeCare Partners, LLC (15)Vision care practice management companyFirst lien senior secured revolving loan
11.09% (2.50% PIK)
SOFR (M)6.50%02/201802/20252.0 2.0 1.9 (2)(11)
First lien senior secured loan
11.09% (2.50% PIK)
SOFR (M)6.50%02/201802/20250.3 0.3 0.3 (2)(11)
2.3 2.2 
Convey Health Solutions, Inc.Healthcare workforce management software providerFirst lien senior secured loan
9.68% (4.25% PIK)
SOFR (Q)5.25%09/201907/20291.9 1.9 1.6 (2)(6)(11)
First lien senior secured loan
9.68% (4.25% PIK)
SOFR (Q)5.25%02/202207/20290.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan
9.68% (4.25% PIK)
SOFR (Q)5.25%10/202207/20290.1 0.1 0.1 (2)(6)(11)
2.1 1.8 
Cradle Lux Bidco S.A.R.L. (15)Provider of consumables and equipment for ART and IVF proceduresFirst lien senior secured loan10.09%SOFR (S)5.50%11/202411/20312.9 2.9 2.9 (2)(6)(11)
First lien senior secured loan8.28%Euribor (S)5.50%11/202411/20318.3 8.4 8.1 (2)(6)(11)
11.3 11.0 
Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC (15)Provider of medical devices and services for the treatment of positional plagiocephalyFirst lien senior secured revolving loan9.98%SOFR (Q)5.50%03/202203/20280.1 0.1 0.1 (2)(11)(14)
First lien senior secured loan9.98%SOFR (Q)5.50%03/202203/202924.0 24.0 24.0 (2)(11)
Class A shares03/20221921.9 2.4 (2)
Common units03/2022310.3 0.4 (2)
26.3 26.9 
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC (15)Veterinary hospital operatorFirst lien senior secured loan9.11%SOFR (M)4.75%06/202406/2031159.2 159.2 159.2 (2)(11)
Class A preferred units
15.00% PIK
08/20233,6782.7 1.9 (2)
Common stock10/201941,44314.5 21.8 (2)
176.4 182.9 
Empower Payments Investor, LLC (15)Financial communication and payment solutions providerFirst lien senior secured loan8.86%SOFR (M)4.50%03/202403/203132.8 32.2 32.8 (2)(11)
See accompanying notes to consolidated financial statements.
95

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Evolent Health LLC and Evolent Health, Inc. (15)Medical technology company focused on value based care services and payment solutionsSeries A preferred shares10.48%SOFR (Q)6.00%01/202301/20293,8343.8 4.0 (2)(6)(11)
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC (15)On-demand supply chain automation solutions provider to the healthcare industryFirst lien senior secured loan9.08%SOFR (Q)4.75%12/202412/2031243.5 243.5 241.1 (2)(11)
Class A units06/201715,706,53412.9 43.3 (2)
256.4 284.4 
Global Medical Response, Inc. and GMR Buyer Corp.Emergency air medical services providerFirst lien senior secured loan
9.86% (1.25% PIK)
SOFR (M)5.50%06/202210/202841.3 39.3 41.3 (2)(11)(18)
Series B preferred shares
15.00% PIK
05/2024126,377138.6 138.6 (2)
Warrant to purchase units of common stock03/201803/2028115,7330.9 0.4 (2)
Warrant to purchase units of common stock12/202112/20311,9270.1  (2)
Warrants to purchase shares of common stock05/202405/20313,116,642 10.2 (2)
178.9 190.5 
HealthEdge Software, Inc. (15)Provider of financial, administrative and clinical software platforms to the healthcare industryFirst lien senior secured loan9.13%SOFR (M)4.75%07/202407/203126.5 26.5 26.5 (2)(11)
Honor Technology, Inc.Nursing and home care providerWarrant to purchase shares of Series D-2 preferred stock08/202108/2031133,3330.1  (2)
HuFriedy Group Acquisition LLC (15)Manufacturer of surgical dental equipment and sterile instrumentsFirst lien senior secured revolving loan05/202405/2030   (2)(11)(13)
First lien senior secured loan9.99%SOFR (Q)5.50%05/202405/203173.4 73.4 73.4 (2)(11)
73.4 73.4 
KBHS Acquisition, LLC (d/b/a Alita Care, LLC) (15)Provider of behavioral health servicesFirst lien senior secured revolving loan11.95%SOFR (A)6.50%03/201703/20272.0 2.0 1.6 (2)(11)
First lien senior secured revolving loan13.00%Base Rate (Q)5.50%03/201703/20270.4 0.4 0.3 (2)(11)
First lien senior secured revolving loan9.45%SOFR (Q)5.00%03/201703/20271.1 1.1 1.0 (2)(11)
3.5 2.9 
Lifescan Global CorporationProvider of blood glucose monitoring systems for home and hospital useFirst lien senior secured loan05/202212/202611.4 9.5 3.9 (2)(10)(18)
Second lien senior secured loan05/202203/20270.2 0.2  (2)(10)
9.7 3.9 
LivTech Purchaser, Inc. (15)Provider of senior care end-to-end software, payments and RCM platformFirst lien senior secured loan9.01%SOFR (S)4.50%11/202411/20314.9 4.9 4.8 (2)(11)
Napa Management Services Corporation and ASP NAPA Holdings, LLCAnesthesia management services providerPreferred units
15.00% PIK
06/20201,8420.2 0.2 (2)
Senior preferred units
8.00% PIK
06/20205,3200.4 0.4 (2)
Class A units04/201625,2772.5 3.2 (2)
3.1 3.8 
See accompanying notes to consolidated financial statements.
96

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Next Holdco, LLC (15)Provider of electronic medical record and practice management softwareFirst lien senior secured loan10.27%SOFR (Q)5.75%11/202311/20306.5 6.5 6.5 (2)(11)
NMN Holdings III Corp. and NMN Holdings LP (15)Provider of complex rehabilitation technology solutions for patients with mobility lossFirst lien senior secured revolving loan8.88%SOFR (M)4.50%07/202407/20313.6 3.6 3.6 (2)(11)(14)
First lien senior secured loan8.86%SOFR (M)4.50%07/202407/2031247.0 247.0 244.5 (2)(11)
Partnership units11/201830,0003.0 8.8 (2)
253.6 256.9 
Nomi Health, Inc.Provider of software payment services for healthcare industryFirst lien senior secured loan12.84%SOFR (Q)8.25%07/202307/202811.4 11.4 11.3 (2)(11)
First lien senior secured loan12.84%SOFR (Q)8.25%06/202407/20286.8 6.8 6.8 (2)(11)
Warrant to purchase shares of Series B preferred stock07/202307/20339,941  (2)
Warrant to purchase units of Class A common stock06/202406/203422,211 0.1 (2)
18.2 18.2 
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC (5)(15)Behavioral health and special education platform providerFirst lien senior secured loan
14.00% PIK
SOFR (Q)9.50%01/202302/20273.7 3.7 3.7 (2)(11)
First lien senior secured loan09/201902/202764.8 49.3 28.5 (2)(10)
First lien senior secured loan02/202202/202713.2 10.2 5.8 (2)(10)
Preferred units07/202104/2024417,189  (2)
Preferred stock02/20227,9833.1  (2)
Class A common units09/20199,549,0009.5  (2)
Common units02/20227,584  (2)
75.8 38.0 
OMH-HealthEdge Holdings, LLC (15)Revenue cycle management provider to the healthcare industryFirst lien senior secured loan10.25%SOFR (Q)6.00%10/202310/202996.9 96.9 96.9 (2)(11)
Paragon 28, Inc. and Paragon Advanced Technologies, Inc. (15)Medical device companyFirst lien senior secured revolving loan8.59%SOFR (Q)4.00%11/202311/20280.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan11.34%SOFR (Q)6.75%11/202311/202824.0 24.0 24.0 (2)(6)(11)
24.1 24.1 
Pathway Vet Alliance LLC and Jedi Group Holdings LLC (15)Veterinary hospital operatorFirst lien senior secured revolving loan03/202003/2025   (2)(13)
Second lien senior secured loan12.22%SOFR (M)7.75%03/202003/202876.3 76.3 58.8 (2)(11)
Class R common units03/20206,004,7686.0  (2)
82.3 58.8 
PetVet Care Centers, LLC (15)Veterinary hospital operatorFirst lien senior secured loan10.36%SOFR (M)6.00%11/202311/2030131.4 131.4 122.2 (2)(11)
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP (15)Provider of employer-sponsored onsite health and wellness clinics and pharmaciesFirst lien senior secured revolving loan02/202403/2030   (2)(11)(13)
See accompanying notes to consolidated financial statements.
97

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.82%SOFR (Q)5.50%02/202403/203154.2 54.2 54.2 (2)(11)
Class A units07/20189,7759.8 18.3 (2)
64.0 72.5 
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc. (15)Manufacturer of biologic, metal and synthetic implants/devicesFirst lien senior secured revolving loan11.21%SOFR (M)6.75%07/202007/202611.6 11.6 11.6 (2)(11)
First lien senior secured loan12.09%SOFR (S)6.75%07/202007/202622.0 22.0 22.0 (2)(11)
33.6 33.6 
SiroMed Physician Services, Inc. and SiroMed Equity Holdings, LLCOutsourced anesthesia providerCommon units03/2018684,8544.8 1.7 (2)
SM Wellness Holdings, Inc. and SM Holdco, LLC (15)Breast cancer screening providerSeries D units
8.00% PIK
03/20231,1271.3 1.4 (2)
Series A units08/20188,0418.0 8.8 (2)
Series B units08/2018916,795  (2)
9.3 10.2 
SOC Telemed, Inc. and PSC Spark Holdings, LPProvider of acute care telemedicineFirst lien senior secured loan
11.86% (2.00% PIK)
SOFR (Q)7.50%08/202208/2027107.3 104.8 99.8 (2)(11)
Class A-2 units08/20224,8124.9 1.9 (2)
Warrant to purchase units of common stock08/202208/20296,1184.7 3.4 (2)
114.4 105.1 
Surescripts, LLC (15)Healthcare network for e-prescription routing, patient eligibility checks, and secure exchange of medical recordsFirst lien senior secured loan8.33%SOFR (Q)4.00%11/202411/203158.0 58.0 57.5 (2)(11)
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc. (15)SaaS based healthcare compliance platform providerFirst lien senior secured revolving loan8.34%SOFR (Q)3.75%12/202012/20273.7 3.7 3.4 (2)
First lien senior secured loan9.19%SOFR (Q)4.50%02/202212/202728.8 27.9 26.3 (2)(11)(18)
First lien senior secured loan9.94%SOFR (Q)5.25%04/202412/202717.3 17.3 16.1 (2)(11)
Second lien senior secured loan12.56%SOFR (Q)7.88%12/202012/202876.2 76.2 70.9 (2)(11)
Second lien senior secured loan
14.69% (4.00% PIK)
SOFR (Q)10.00%04/202412/202852.9 52.9 51.9 (2)(11)
Series C-1 preferred shares
11.00% PIK
06/202175,939118.3 100.5 (2)
Series C-2 preferred shares
11.00% PIK
06/202140,11559.3 50.3 (2)
Series C-3 preferred shares
11.00% PIK
10/202116,20123.1 19.6 (2)
378.7 339.0 
Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC (15)Franchisor of private-pay home care for the elderlyFirst lien senior secured loan10.23%SOFR (Q)5.75%04/201804/202610.9 10.9 10.9 (2)(11)
Common units04/20185500.5 1.9 
11.4 12.8 
Tempus AI, Inc.Provider of technology enabled precision medicine solutionsFirst lien senior secured loan
12.86% (3.25% PIK)
SOFR (Q)8.25%09/202209/202775.0 75.0 75.0 (2)(6)(11)
First lien senior secured loan
12.86% (3.25% PIK)
SOFR (Q)8.25%04/202309/202721.8 21.8 21.8 (2)(6)(11)
See accompanying notes to consolidated financial statements.
98

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan
12.86% (3.25% PIK)
SOFR (Q)8.25%10/202309/20279.3 9.3 9.3 (2)(6)(11)
Common units10/202360,8211.9 2.1 (2)(6)(18)
108.0 108.2 
Therapy Brands Holdings LLCProvider of software solutions for the mental and behavioral health market segmentsSecond lien senior secured loan11.22%SOFR (M)6.75%06/202105/202929.1 29.0 26.2 (2)(11)
U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc.Anesthesiology service providerSecond lien senior secured loan12.17%SOFR (M)7.50%10/202110/2029147.8 147.8 147.8 (2)(11)
Common stock12/20213,671,42912.9 8.9 (2)
160.7 156.7 
United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP (15)Gastroenterology physician groupFirst lien senior secured revolving loan10.14%SOFR (Q)5.75%03/202303/20290.5 0.5 0.5 (2)(11)
First lien senior secured loan10.08%SOFR (Q)5.75%03/202303/202910.2 10.2 10.2 (2)(11)
Class A interests03/20234,6234.6 5.9 
15.3 16.6 
Viant Medical Holdings, Inc.Manufacturer of plastic and rubber components for health care equipmentFirst lien senior secured loan8.60%SOFR (Q)4.00%10/202410/203127.6 27.5 27.9 (2)(18)
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P. (15)Veterinary hospital operatorFirst lien senior secured loan10.21%SOFR (M)5.75%12/202112/20276.1 6.1 6.1 (2)(11)
First lien senior secured loan10.21%SOFR (M)5.75%08/202212/20279.1 9.1 9.1 (2)(11)
First lien senior secured loan10.16%SOFR (M)5.75%08/202312/202712.4 12.4 12.4 (2)(11)
First lien senior secured loan10.27%SOFR (M)5.75%03/202412/20272.0 2.0 2.0 (2)(11)
Class A-2 units12/20217,5247.5 11.9 (2)
Class A-2 units03/2023450.1 0.1 (2)
37.2 41.6 
WSHP FC Acquisition LLC and WSHP FC Holdings LLC (15)Provider of biospecimen products for pharma researchFirst lien senior secured revolving loan
11.98% (4.00% PIK)
SOFR (Q)7.50%03/201803/202810.2 10.2 9.5 (2)(11)(14)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%03/201803/202833.2 33.2 30.9 (2)(11)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%02/201903/20284.5 4.5 4.2 (2)(11)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%08/201903/202813.9 13.9 12.9 (2)(11)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%10/201903/202810.8 10.7 10.0 (2)(11)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%10/202103/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%11/202103/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan
11.98% (4.00% PIK)
SOFR (Q)7.50%07/202203/202831.2 31.2 29.0 (2)(11)
Class A preferred units11/20244550.3  
Common units07/202235,2995.0 3.1 
109.2 99.8 
See accompanying notes to consolidated financial statements.
99

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
3,333.6 3,211.9 24.05%
Financial Services
Aduro Advisors, LLC (15)Provider of fund administration servicesFirst lien senior secured loan9.36%SOFR (M)5.00%07/202407/20308.3 8.3 8.2 (2)(11)
AQ Sage Buyer, LLC (15)Provider of actuarial consulting and comprehensive wealth management servicesFirst lien senior secured revolving loan10.48%SOFR (Q)6.00%05/202201/20260.4 0.4 0.4 (2)(6)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%05/202201/20273.6 3.6 3.4 (2)(6)(11)
4.0 3.8 
BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLCProvider of comprehensive suite of investment management and wealth planning solutionsFirst lien senior secured loan11.25%SOFR (Q)6.75%09/202109/20270.2 0.2 0.2 (2)(11)
Senior subordinated loan
9.30% PIK
09/202109/20266.0 6.0 6.0 (2)
Common units09/20216,291,5396.3 6.5 (2)
12.5 12.7 
Beacon Pointe Harmony, LLC (15)Provider of comprehensive wealth management servicesFirst lien senior secured loan9.49%SOFR (Q)4.75%12/202112/20285.5 5.5 5.5 (2)(6)(11)
First lien senior secured loan9.21%SOFR (M)4.75%12/202112/202814.1 14.1 14.1 (2)(6)(11)
First lien senior secured loan9.49%SOFR (Q)4.75%07/202312/20283.8 3.8 3.8 (2)(6)(11)
First lien senior secured loan9.18%SOFR (Q)4.75%06/202412/20282.2 2.2 2.2 (2)(6)(11)
25.6 25.6 
Cliffwater LLC (15)Provider of alternative investment advisory servicesFirst lien senior secured loan8.86%SOFR (M)4.50%10/202310/20304.0 4.0 4.0 (2)(6)(11)
Convera International Holdings Limited and Convera International Financial S.A R.L. (15)Provider of B2B international payment and FX risk management solutionsFirst lien senior secured loan10.48%SOFR (Q)6.00%03/202203/20280.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%06/202303/20280.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%11/202403/20288.8 8.8 8.8 (2)(6)(11)
9.0 9.0 
Corient Holdings, Inc.Global wealth management firmSeries A preferred stock05/202341,42741.4 63.1 (2)
CrossCountry Mortgage, LLC and CrossCountry Holdco, LLCMortgage company originating loans in the retail and consumer direct channelsSeries D preferred units11/202390,57724.9 28.5 
DFC Global Facility Borrower III LLC (15)Non-bank provider of alternative financial servicesFirst lien senior secured revolving loan12.15%SOFR (M)7.50%04/202304/202891.3 98.3 91.4 (2)(6)(9)(11)
eCapital Finance Corp.Consolidator of commercial finance businessesSenior subordinated loan12.25%SOFR (M)7.75%10/202412/202542.1 41.5 42.1 (2)(6)(11)
Senior subordinated loan12.40%SOFR (M)7.75%01/202012/202556.0 54.9 56.0 (2)(6)(11)
Senior subordinated loan12.40%SOFR (M)7.75%11/202012/20255.4 5.3 5.4 (2)(6)(11)
Senior subordinated loan12.19%SOFR (M)7.75%01/202212/202524.3 23.8 24.3 (2)(6)(11)
Senior subordinated loan12.40%SOFR (M)7.75%04/202212/202555.8 54.7 55.8 (2)(6)(11)
Senior subordinated loan12.40%SOFR (M)7.75%10/202312/202512.3 12.0 12.3 (2)(6)(11)
See accompanying notes to consolidated financial statements.
100

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Senior subordinated loan12.97%SOFR (M)8.50%12/202412/202521.9 21.5 21.9 (2)(6)(11)
213.7 217.8 
Endeavor Bidco LLC and Endeavor TopCo, Inc.Global securities finance trading platformFirst lien senior secured loan8.58%SOFR (Q)4.25%08/202408/20296.1 6.1 6.0 (2)(11)
Class A common units08/20241,8591.9 1.9 
8.0 7.9 
EP Wealth Advisors, LLCWealth management and financial planning firmFirst lien senior secured loan8.83%SOFR (Q)4.50%09/202009/20290.6 0.6 0.6 (2)(11)
First lien senior secured loan8.83%SOFR (Q)4.50%11/202209/20290.2 0.2 0.2 (2)(11)
0.8 0.8 
GTCR F Buyer Corp. and GTCR (D) Investors LP (15)(16)Provider of end-to-end tech-enabled administrative services to private foundationsFirst lien senior secured loan9.33%SOFR (Q)5.00%09/202309/20305.2 5.2 5.2 (2)(11)
Limited partnership interests09/20234,764,7434.8 6.5 (2)
10.0 11.7 
HighTower Holding, LLCProvider of investment, financial and retirement planning servicesSenior subordinated loan6.75%06/202204/20298.1 7.1 8.0 (2)(6)(18)
Ivy Hill Asset Management, L.P. (5)Asset management servicesMember interest06/2009100.00%1,700.5 1,915.3 (6)
Lido Advisors, LLC (15)Wealth management and financial planning firmFirst lien senior secured revolving loan9.34%SOFR (M)5.00%06/202106/20290.8 0.8 0.8 (2)(11)(14)
First lien senior secured loan9.59%SOFR (Q)5.00%06/202106/20295.1 5.1 5.1 (2)(11)
First lien senior secured loan9.47%SOFR (Q)5.00%06/202306/20296.0 6.0 6.0 (2)(11)
First lien senior secured loan9.49%SOFR (Q)5.00%11/202406/20292.7 2.7 2.7 (2)(11)
14.6 14.6 
Mai Capital Management Intermediate LLC (15)Provider of comprehensive wealth management services and registered investment advisorFirst lien senior secured revolving loan9.08%SOFR (Q)4.75%08/202408/20310.3 0.3 0.2 (2)(6)(11)
First lien senior secured loan9.08%SOFR (M)4.75%08/202408/20319.8 9.8 9.7 (2)(6)(11)
10.1 9.9 
Monica Holdco (US) Inc. (15)Investment technology and advisory firmFirst lien senior secured loan10.23%SOFR (Q)5.75%01/202101/20282.5 2.5 2.5 (2)(6)(11)
First lien senior secured loan10.08%SOFR (Q)5.75%08/202401/20282.7 2.7 2.7 (2)(6)(11)
5.2 5.2 
Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P. (15)(16)Provider of comprehensive wealth management services and registered investment advisorFirst lien senior secured loan9.46%SOFR (M)5.00%05/202305/20294.9 4.9 4.9 (2)(6)(11)
First lien senior secured loan9.46%SOFR (M)5.00%09/202305/20298.0 8.0 8.0 (2)(6)(11)
First lien senior secured loan9.46%SOFR (M)5.00%06/202405/20290.3 0.3 0.3 (2)(6)(11)
First lien senior secured loan9.46%SOFR (M)4.75%12/202405/202915.0 15.0 15.0 (2)(6)(11)
Limited partnership interests09/20231,973,0992.0 2.5 (6)
30.2 30.7 
See accompanying notes to consolidated financial statements.
101

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
PCIA SPV-3, LLC and ASE Royal Aggregator, LLC (15)Provider of comprehensive wealth management servicesFirst lien senior secured loan9.64%SOFR (Q)5.25%08/202308/20296.9 6.9 6.9 (2)(6)(11)
Preferred units07/20236,431,6676.5 7.5 (6)
13.4 14.4 
PCS MidCo, Inc. and PCS Parent, L.P. (15)Provider of 401K recordkeeping software solutionsFirst lien senior secured revolving loan10.08%SOFR (Q)5.75%03/202403/20300.8 0.8 0.8 (2)(11)
First lien senior secured loan10.12%SOFR (Q)5.75%03/202403/20308.5 8.5 8.5 (2)(11)
Class A units03/2024785,0000.8 0.8 (2)
10.1 10.1 
Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP (15)Wealth management and financial planning firmFirst lien senior secured loan9.61%SOFR (M)5.25%03/202403/20312.3 2.3 2.3 (2)(6)(11)
Limited partnership interest03/20242,374,0002.4 2.5 (6)
4.7 4.8 
Petrus Buyer, Inc. (15)Provider of REIT research data and analyticsFirst lien senior secured loan9.87%SOFR (Q)5.25%11/202210/20295.9 5.9 5.9 (2)(11)
Priority Technology Holdings, Inc.Provider of merchant acquiring and payment processing solutionsWarrant to purchase shares of common stock04/202104/2031527,2264.0 6.2 (2)(6)(18)
RFS Opco LLC (15)Provider of wealth management servicesFirst lien senior secured loan9.08%SOFR (Q)4.75%04/202404/203129.5 29.5 29.5 (2)(6)(11)
Rialto Management Group, LLC (15)Investment and asset management platform focused on real estateFirst lien senior secured revolving loan11/201812/2025   (2)(6)(11)(13)
First lien senior secured loan9.53%SOFR (S)5.00%12/202412/203024.8 24.8 24.5 (2)(6)(11)
24.8 24.5 
RWA Wealth Partners, LLC (15)Provider of comprehensive wealth management servicesFirst lien senior secured loan9.27%SOFR (Q)4.75%11/202411/20308.1 8.1 8.1 (2)(6)(11)
Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC (15)Wealth management platformFirst lien senior secured loan9.08%SOFR (Q)4.75%12/202310/20282.7 2.6 2.7 (2)(6)(11)
First lien senior secured loan9.80%SOFR (Q)5.25%12/202310/20280.2 0.2 0.2 (2)(6)(11)
2.8 2.9 
The Edelman Financial Center, LLCProvider of investment, financial and retirement planning servicesSecond lien senior secured loan9.61%SOFR (M)5.25%05/202410/20280.1 0.1 0.1 (2)(6)(18)
The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC (15)Provider of comprehensive wealth management servicesFirst lien senior secured revolving loan12.50%Base Rate (Q)5.00%03/202203/20280.2 0.2 0.2 (2)(6)(11)
First lien senior secured loan10.53%SOFR (Q)6.00%03/202203/20283.9 3.9 3.9 (2)(6)(11)
Senior subordinated loan
12.00% PIK
03/202203/20293.8 3.8 3.7 (2)(6)
Series A preferred units03/20227,1997.2 4.0 (2)(6)
Common units03/20227,199  (2)(6)
15.1 11.8 
See accompanying notes to consolidated financial statements.
102

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP (15)Provider of asset-servicing capabilities for fund managersFirst lien senior secured loan9.68%SOFR (Q)5.25%03/202403/203120.7 20.7 20.7 (2)(11)
Class A preferred units
8.00% PIK
09/20191,4432.3 2.3 
Class A common units02/20192450.2 3.8 
Class B common units02/20192,167,424  
Class B common units02/2019245,194  
23.2 26.8 
TPG IX Cardiff CI II, L.P.Provider of comprehensive wealth management servicesLimited partnership interest11/20245,719,5115.8 5.7 (2)(6)
Waverly Advisors, LLC and WAAM Topco, LLC (15)Wealth management and financial planning firmFirst lien senior secured loan9.98%SOFR (Q)5.50%03/202203/20280.7 0.7 0.7 (2)(6)(11)
First lien senior secured loan9.73%SOFR (Q)5.25%03/202403/20284.3 4.3 4.3 (2)(6)(11)
Class A units06/20231,432,8671.7 3.0 (6)
6.7 8.0 
Wealth Enhancement Group, LLC (15)Wealth management and financial planning firmFirst lien senior secured loan9.57%SOFR (Q)5.00%10/201910/20280.5 0.5 0.5 (2)(11)
First lien senior secured loan9.50%SOFR (Q)5.00%11/202010/20281.9 1.9 1.9 (2)(11)
First lien senior secured loan9.56%SOFR (Q)5.00%06/202110/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan9.55%SOFR (Q)5.00%08/202110/20280.9 0.9 0.9 (2)(11)
First lien senior secured loan9.44%SOFR (Q)5.00%02/202410/202812.0 12.0 12.0 (2)(11)
15.4 15.4 
Wellington-Altus Financial Inc. (15)(16)Wealth management and advisory firmFirst lien senior secured loan9.11%CORRA (Q)5.00%08/202408/20300.8 0.8 0.8 (2)(6)(11)
Common stock08/202446,5621.6 1.6 (2)(6)
2.4 2.4 
2,400.2 2,644.8 19.81%
Commercial and Professional Services
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC (15)Provider of outsourced crew accommodations and logistics management solutions to the airline industryClass A common units05/2018236,3584.3 44.3 
Aero Operating LLCProvider of snow removal and melting service for airports and marine terminalsFirst lien senior secured loan13.74%SOFR (Q)9.00%02/202002/202636.2 36.2 30.8 (2)(11)
First lien senior secured loan13.59%SOFR (Q)9.00%12/202102/20261.1 1.1 1.0 (2)(11)
37.3 31.8 
AI Fire Buyer, Inc. and AI Fire Parent LLC (15)Provider of fire safety and life safety servicesFirst lien senior secured revolving loan12.00%Base Rate (Q)4.50%03/202103/20271.1 1.1 1.1 (2)(11)(14)
First lien senior secured loan10.46%SOFR (Q)5.50%03/202103/20273.9 3.9 3.9 (2)(11)
First lien senior secured loan10.17%SOFR (Q)5.50%06/202203/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan10.66%SOFR (S)5.75%11/202303/20276.2 6.2 6.2 (2)(11)
See accompanying notes to consolidated financial statements.
103

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Second lien senior secured loan
14.97% PIK
SOFR (Q)10.75%03/202109/202762.8 62.8 62.8 (2)(11)
Second lien senior secured loan
15.25% PIK
SOFR (Q)10.75%05/202209/202714.2 14.2 14.2 (2)(11)
Second lien senior secured loan
15.24% PIK
SOFR (S)10.75%06/202209/202713.7 13.7 13.7 (2)(11)
Common units03/202146,9904.7 17.9 (2)
106.7 119.9 
Aldinger Company Inc (15)Provider of outsourced calibration and repair servicesFirst lien senior secured loan9.61%SOFR (M)5.25%07/202407/202732.0 32.0 31.7 (2)(11)
AMCP Clean Acquisition Company, LLC (15)Provider of commercial laundry servicesFirst lien senior secured loan9.08%SOFR (Q)4.75%02/202406/202810.3 10.2 10.3 (2)(11)
First lien senior secured loan9.08%SOFR (M)4.75%11/202406/20280.4 0.3 0.3 (2)(11)
10.5 10.6 
Applied Technical Services, LLC (15)Provider engineering, testing, and inspection services to various industrial, commercial and consumer customersFirst lien senior secured revolving loan12.25%Base Rate (Q)4.75%05/202212/20266.6 6.5 6.5 (2)(11)
First lien senior secured loan10.23%SOFR (Q)5.75%05/202212/20261.0 1.0 1.0 (2)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%09/202312/20262.8 2.7 2.7 (2)(11)
First lien senior secured loan10.23%SOFR (Q)5.75%01/202412/20262.6 2.5 2.5 (2)(11)
12.7 12.7 
Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc. (15)Provider of outsourced security guard services, outsourced facilities management and outsourced aviation servicesFirst lien senior secured loan10.06%SOFR (Q)5.25%04/202409/202853.2 53.2 53.2 (2)(6)(11)
Senior subordinated loan
13.99% (7.00% PIK)
SOFR (Q)9.25%11/202111/20280.7 0.7 0.7 (2)(6)(11)
Senior subordinated loan12.75%SOFR (Q)8.25%11/202111/20281.4 1.4 1.4 (2)(6)(11)
Senior subordinated loan
13.96% (7.00% PIK)
SOFR (Q)9.25%08/202211/20286.8 6.7 6.8 (2)(6)(11)
62.0 62.1 
ATI Restoration, LLC (15)Provider of disaster recovery servicesFirst lien senior secured revolving loan10.22%SOFR (Q)5.50%07/202007/20268.7 8.7 8.5 (2)(11)(14)
First lien senior secured loan10.17%SOFR (Q)5.50%07/202007/202632.3 32.3 31.7 (2)(11)
First lien senior secured loan10.09%SOFR (M)5.50%05/202207/202647.9 47.9 46.9 (2)(11)
First lien senior secured loan10.14%SOFR (Q)5.50%09/202307/202610.4 10.4 10.2 (2)(11)
99.3 97.3 
Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP (15)Outsourced supply chain solutions provider to operators of distribution centersFirst lien senior secured revolving loan08/202405/2029   (2)(11)(13)
First lien senior secured loan8.96%SOFR (M)4.50%08/202411/20296.6 6.6 6.6 (2)(11)
Second lien senior secured loan12.96%SOFR (M)8.50%08/202411/203087.5 87.5 87.5 (2)(11)
Class A units11/202010,5817.3 16.0 (2)
See accompanying notes to consolidated financial statements.
104

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
101.4 110.1 
Compex Legal Services, Inc. (15)Provider of outsourced litigated and non-litigated medical records retrieval servicesFirst lien senior secured revolving loan10.11%SOFR (Q)5.45%05/202202/20251.8 1.8 1.8 (2)(11)
First lien senior secured loan10.73%SOFR (Q)6.00%07/202302/20261.9 1.9 1.9 (2)(11)
3.7 3.7 
Dorado Bidco, Inc. (15)Provider of consumer and market insights for the food and beverage industryFirst lien senior secured loan9.08%SOFR (S)4.50%09/202409/20316.8 6.8 6.7 (2)(11)
DP Flores Holdings, LLC (15)Benefits administrator of tax-advantaged reimbursement plansFirst lien senior secured loan
10.83% (3.00% PIK)
SOFR (Q)6.50%09/202409/203027.3 27.3 26.7 (2)(11)
Drogon Bidco Inc. & Drogon Aggregator LP (15)Provider of fire safety and life safety servicesFirst lien senior secured loan9.36%SOFR (M)5.00%08/202408/203119.8 19.8 19.7 (2)(11)
Class A-2 common units08/20241,850,0001.9 2.8 (2)
21.7 22.5 
DTI Holdco, Inc. and OPE DTI Holdings, Inc.Provider of legal process outsourcing and managed servicesClass A common stock08/20147,5007.5 16.1 (2)
Class B common stock08/20147,500  (2)
7.5 16.1 
Duraserv LLC (15)Provider of commercial loading dock maintenance and remodeling servicesFirst lien senior secured loan8.90%SOFR (M)4.50%06/202406/203125.3 25.3 25.3 (2)(11)
Elevation Services Parent Holdings, LLC (15)Elevator service platformFirst lien senior secured revolving loan10.68%SOFR (Q)6.00%12/202012/20262.2 2.2 2.1 (2)(11)(14)
First lien senior secured loan10.74%SOFR (Q)6.00%12/202012/202610.0 10.0 9.6 (2)(11)
First lien senior secured loan10.68%SOFR (Q)6.00%05/202212/202614.0 14.0 13.4 (2)(11)
26.2 25.1 
FlyWheel Acquireco, Inc. (15)Professional employer organization offering human resources, compliance and risk management servicesFirst lien senior secured revolving loan10.86%SOFR (M)6.50%05/202305/20285.5 5.5 5.5 (2)(11)
First lien senior secured loan10.86%SOFR (M)6.50%05/202305/203052.0 52.0 52.0 (2)(11)
57.5 57.5 
HH-Stella, Inc. and Bedrock Parent Holdings, LP (15)Provider of municipal solid waste transfer management servicesFirst lien senior secured revolving loan9.98%SOFR (Q)5.50%04/202104/20271.3 1.3 1.3 (2)(11)(14)
First lien senior secured loan9.98%SOFR (Q)5.50%04/202104/20288.8 8.8 8.8 (2)(11)
First lien senior secured loan9.99%SOFR (Q)5.50%09/202304/202821.8 21.8 21.8 (2)(11)
First lien senior secured loan9.98%SOFR (Q)5.50%04/202404/20284.4 4.4 4.4 (2)(11)
Class A units04/202132,9823.3 3.3 (2)
39.6 39.6 
HP RSS Buyer, Inc. (15)Provider of road striping, and road safety related servicesFirst lien senior secured loan9.33%SOFR (Q)5.00%12/202312/202917.0 17.0 17.0 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%03/202412/20291.8 1.8 1.8 (2)(11)
See accompanying notes to consolidated financial statements.
105

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
18.8 18.8 
IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P. (15)Market research company focused on the consumer packaged goods industryFirst lien senior secured revolving loan9.36%SOFR (M)5.00%08/202212/20272.9 2.9 2.9 (2)(11)(14)
First lien senior secured loan9.69%SOFR (Q)5.00%08/202212/2028150.7 150.7 150.7 (2)(11)
153.6 153.6 
ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P. (15)Provider of commercial and industrial waste processing and disposal servicesFirst lien senior secured revolving loan11.25%Base Rate (Q)3.75%08/202208/20300.7 0.7 0.7 (2)(11)(14)
First lien senior secured loan9.13%SOFR (M)4.75%08/202208/20314.9 4.9 4.9 (2)(11)
First lien senior secured loan9.25%SOFR (M)4.75%08/202408/20313.9 3.9 3.9 (2)(11)
Class A units09/202212,50112.5 19.8 (2)
22.0 29.3 
Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC (15)Provider of janitorial and facilities management servicesFirst lien senior secured loan
9.99% (3.50% PIK)
SOFR (Q)5.25%11/201911/202841.9 41.9 41.9 (2)(11)
First lien senior secured loan
12.74% (7.00% PIK)
SOFR (Q)8.00%12/202311/202813.8 13.0 13.8 (2)(11)
Preferred units03/20244,042,7677.7 1.4 (2)
Class A common units03/20244,042,767  (2)
62.6 57.1 
Kings Buyer, LLC (15)Provider of comprehensive outsourced waste management consolidation servicesFirst lien senior secured revolving loan11.50%Base Rate (Q)4.00%09/202310/20270.4 0.4 0.4 (2)(11)
First lien senior secured loan9.68%SOFR (Q)5.25%09/202310/202716.3 16.3 16.3 (2)(11)
16.7 16.7 
KPS Global LLC and Cool Group LLC (15)Manufacturer of walk-in cooler and freezer systemsFirst lien senior secured loan9.11%SOFR (M)4.75%09/202409/20305.2 5.2 5.1 (2)(11)
Laboratories Bidco LLC and Laboratories Topco LLC (15)Lab testing services for nicotine containing productsFirst lien senior secured revolving loan
10.23% (4.00% PIK)
SOFR (Q)5.75%07/202107/20290.6 0.6 0.5 (2)(11)
First lien senior secured revolving loan
12.25% (4.00% PIK)
Base Rate (Q)4.75%07/202107/20299.5 9.5 7.6 (2)(11)
First lien senior secured loan
9.07% (4.00% PIK)
CORRA (Q)6.50%10/201907/202922.6 24.5 18.1 (2)(11)
First lien senior secured loan
10.23% (4.00% PIK)
SOFR (Q)5.75%10/201907/202917.0 17.0 13.6 (2)(11)
First lien senior secured loan
10.23% (4.00% PIK)
SOFR (Q)5.75%10/202007/20290.1 0.1 0.1 (2)(11)
First lien senior secured loan
10.23% (4.00% PIK)
SOFR (Q)5.75%07/202107/20294.5 4.5 3.6 (2)(11)
Class A units07/20213,099,3354.6  (2)
60.8 43.5 
LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP (15)Provider of human resources and workforce management solutionsFirst lien senior secured loan10.09%SOFR (S)5.00%07/202407/203119.1 19.1 18.8 (2)(11)
Class A common units07/20241,205,0001.2 1.1 (2)
20.3 19.9 
See accompanying notes to consolidated financial statements.
106

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Lightbeam Bidco, Inc. (15)Provider of yard management servicesFirst lien senior secured revolving loan05/202305/2029   (2)(11)(13)
First lien senior secured loan9.33%SOFR (Q)5.00%05/202305/20305.2 5.2 5.2 (2)(11)
First lien senior secured loan9.37%SOFR (Q)5.00%11/202305/20303.4 3.4 3.4 (2)(11)
8.6 8.6 
LJP Purchaser, Inc. and LJP Topco, LP (15)Provider of non-hazardous solid waste and recycling servicesFirst lien senior secured loan10.68%SOFR (M)6.25%09/202209/20289.6 9.6 9.6 (2)(11)
Class A units
8.00% PIK
09/20225,098,0006.2 6.8 (2)
15.8 16.4 
Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc.Keg management solutions providerFirst lien senior secured loan11.83%SOFR (Q)7.50%12/202412/202968.1 68.1 67.4 (2)(11)
First lien senior secured loan11.83%SOFR (Q)7.50%12/202412/202968.1 68.1 67.4 (2)(11)
Series A preferred stock
20.00% PIK
08/20201,5072.1 3.5 (2)
Series B preferred stock
19.00% PIK
09/202312,00015.2 16.8 (2)
Common stock12/201254,7104.9 10.3 (2)
158.4 165.4 
NAS, LLC and Nationwide Marketing Group, LLC (15)Buying and marketing services organization for appliance, furniture and consumer electronics dealersFirst lien senior secured revolving loan11.21%SOFR (Q)6.50%11/202006/20251.5 1.5 1.5 (2)(11)
First lien senior secured loan11.24%SOFR (Q)6.50%11/202006/20256.1 6.1 6.0 (2)(11)
First lien senior secured loan11.24%SOFR (Q)6.50%12/202106/20252.3 2.3 2.2 (2)(11)
First lien senior secured loan11.24%SOFR (Q)6.50%05/202206/20251.3 1.3 1.3 (2)(11)
11.2 11.0 
NBLY 2021-1 and KKR Nest Co-Invest L.P.Operator of multiple franchise concepts primarily related to home maintenance or repairsLimited partner interest09/20219,725,0009.7 12.1 (2)
Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P. (15)Provider of audience insights, data and analytics to entertainment industryFirst lien senior secured revolving loan10/202210/2027   (2)(13)
First lien senior secured loan9.51%SOFR (Q)4.75%10/202210/202880.7 76.2 72.1 (2)(11)(18)
First lien senior secured loan9.76%SOFR (Q)5.00%10/202204/202997.8 91.8 87.5 (2)(11)(18)
First lien senior secured notes9.29%11/202204/202952.8 51.8 49.1 (2)(18)
Second lien senior secured loan14.51%SOFR (Q)9.75%10/202210/2029227.5 227.4 216.2 (2)(11)
Limited partnership interests10/20224,040,0004.1 6.1 (2)
451.3 431.0 
North Haven Stack Buyer, LLC (15)Provider of environmental testing servicesFirst lien senior secured revolving loan9.71%SOFR (Q)5.25%07/202107/20271.3 1.3 1.3 (2)(11)
First lien senior secured loan9.78%SOFR (Q)5.25%07/202107/20279.7 9.7 9.7 (2)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%08/202307/20274.0 4.0 4.0 (2)(11)
See accompanying notes to consolidated financial statements.
107

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.74%SOFR (Q)5.25%06/202407/20272.2 2.2 2.2 (2)(11)
First lien senior secured loan9.36%SOFR (Q)5.00%06/202407/20273.9 3.8 3.9 (2)(11)
21.0 21.1 
Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLCSolid waste services providerFirst lien senior secured loan
12.59% (2.00% PIK)
SOFR (Q)8.00%08/202308/202934.5 34.1 32.8 (2)(11)
First lien senior secured loan
12.59% (2.00% PIK)
SOFR (Q)8.00%06/202408/202911.0 10.2 10.4 (2)(11)
Warrant to purchase units of Class A common units08/202308/203638,2350.6 6.0 (2)
Warrant to purchase units of Class A common units06/202406/20366,4000.9 1.0 (2)
45.8 50.2 
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC (15)Provider of janitorial and facilities management servicesFirst lien senior secured loan10.28%SOFR (Q)5.75%10/202110/202767.0 67.0 65.9 (2)(11)
First lien senior secured loan10.53%SOFR (S)6.00%11/202310/202712.2 12.2 12.2 (2)(11)
Class A units10/20218,749,2019.0 7.7 (2)
88.2 85.8 
PS Operating Company LLC and PS Op Holdings LLC (5)(15)Specialty distributor and solutions provider to the swine and poultry marketsFirst lien senior secured revolving loan12/202112/20266.8 6.4 2.6 (2)(10)
First lien senior secured loan12/202112/202617.2 15.5 6.5 (2)(10)
Common unit12/2021279,2007.4  (2)
29.3 9.1 
PSC Parent, Inc. (15)Provider of operational services for US petrochemical and refining companiesFirst lien senior secured revolving loan9.64%SOFR (M)5.25%04/202404/20303.4 3.4 3.4 (2)(11)(14)
First lien senior secured loan9.71%SOFR (M)5.25%04/202404/203149.4 49.4 49.4 (2)(11)
52.8 52.8 
PYE-Barker Fire & Safety, LLC (15)Provider of fire protection services and productsFirst lien senior secured revolving loan8.83%SOFR (Q)4.50%05/202405/20300.5 0.5 0.5 (2)(11)
First lien senior secured loan8.83%SOFR (Q)4.50%05/202405/203112.7 12.7 12.7 (2)(11)
13.2 13.2 
R2 Acquisition Corp.Marketing servicesCommon stock05/2007250,0000.2 0.3 (2)
RC V Tecmo Investor LLCTechnology based aggregator for facility maintenance servicesCommon member units08/20209,624,0008.3 16.0 (2)
RE Community Holdings GP, LLC and RE Community Holdings, LPOperator of municipal recycling facilitiesLimited partnership interest03/20112.49%  (2)
Limited partnership interest03/20112.86%  (2)
  
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P. (15)Provider of FDA registration and consulting servicesFirst lien senior secured revolving loan9.55%SOFR (M)5.00%08/202108/20275.4 5.4 5.4 (2)(11)
See accompanying notes to consolidated financial statements.
108

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.66%SOFR (Q)5.00%08/202108/20272.7 2.7 2.7 (2)(11)
Limited partner interests08/20211.13%2.7 2.7 (2)
10.8 10.8 
Research Now Group, LLC and Dynata, LLC and New Insight Holdings, Inc.Provider of outsourced data collection to the market research industryCommon units07/202449  (2)
Warrants to purchase shares of common stock07/202407/2028142  (2)
  
Rodeo AcquisitionCo LLC (15)Provider of food inspection and recovery servicesFirst lien senior secured revolving loan10.17%SOFR (Q)5.50%07/202107/20271.0 1.0 1.0 (2)(11)
First lien senior secured loan10.16%SOFR (Q)5.50%07/202107/202716.6 16.6 16.6 (2)(11)
17.6 17.6 
Saturn Purchaser Corp.Private aviation management companyFirst lien senior secured loan9.81%SOFR (Q)5.25%07/202307/20291.7 1.7 1.7 (2)(11)
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. (15)(16)Provider of landscape design and planning, and snow removal servicesFirst lien senior secured revolving loan10.21%SOFR (M)5.75%12/202112/20270.6 0.6 0.6 (2)(11)
First lien senior secured loan10.21%SOFR (M)5.75%12/202112/20273.4 3.4 3.4 (2)(11)
Class A units12/20218,46421.5 31.4 (2)
25.5 35.4 
Shermco Intermediate Holdings, Inc. (15)Provider of electrician servicesFirst lien senior secured revolving loan9.90%SOFR (Q)5.00%05/202212/20262.3 2.2 2.3 (2)
First lien senior secured loan10.09%SOFR (S)5.00%05/202212/20265.1 5.1 5.1 (2)(11)
First lien senior secured loan9.60%SOFR (S)5.00%09/202312/20261.3 1.3 1.3 (2)(11)
8.6 8.7 
SSE Buyer, Inc., Supply Source Enterprises, Inc., Impact Products LLC, The Safety Zone, LLC and SSE Parent, LPManufacturer and distributor of personal protection equipment, commercial cleaning, maintenance and safety productsLimited partnership class A-1 units06/20202,1731.1  (2)
Limited partnership class A-2 units06/20202,1731.1  (2)
2.2  
Startec Equity, LLC (5)Communication servicesMember interest04/2010190,581  
SV Newco 2, Inc. and Site 2020 Incorporated (15)Provider of outsourced traffic control safety servicesFirst lien senior secured loan9.26%SOFR (Q)4.75%05/202406/203122.5 22.5 22.5 (2)(6)(11)
Systems Planning and Analysis, Inc. (15)Provider of systems engineering and technical assistanceFirst lien senior secured loan9.28%SOFR (S)5.00%05/202208/20271.0 1.0 1.0 (2)(11)
The Hiller Companies, LLC (15)Provider of fire protection and life safety productsFirst lien senior secured loan9.36%SOFR (M)5.00%06/202406/203041.5 41.5 41.5 (2)(11)
Thermostat Purchaser III, Inc. (15)Provider of commercial HVAC equipment maintenance and repair servicesFirst lien senior secured revolving loan8.11%SOFR (Q)3.50%08/202108/20282.4 2.4 2.4 (2)(14)
First lien senior secured revolving loan10.00%Base Rate (Q)2.50%08/202108/20281.2 1.2 1.2 (2)(14)
See accompanying notes to consolidated financial statements.
109

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Second lien senior secured loan11.91%SOFR (Q)7.25%08/202108/202923.0 23.0 23.0 (2)(11)
26.6 26.6 
TSS Buyer, LLC (15)Provider of outsourced testing, inspection, certification, and compliance services to healthcare and life sciences end marketsFirst lien senior secured loan10.23%SOFR (M)5.50%07/202306/20292.1 2.1 2.1 (2)(11)
UP Intermediate II LLC and UPBW Blocker LLC (15)Provider of essential mechanical, electrical and plumbing services to commercial customersFirst lien senior secured revolving loan03/202403/2030   (2)(11)(13)
First lien senior secured loan9.58%SOFR (Q)5.25%03/202403/20314.8 4.8 4.8 (2)(11)
Common units03/202460,4706.0 5.5 (2)
Common units09/20243,9180.3 0.4 (2)
11.1 10.7 
Valcourt Holdings II, LLC and Jobs Holdings, Inc. (15)Provider of window cleaning and building facade maintenance and restoration servicesFirst lien senior secured loan10.43%SOFR (Q)5.75%11/202311/202955.9 55.9 55.9 (2)(11)
Visual Edge Technology, Inc. (5)(15)Provider of outsourced office solutions with a focus on printer and copier equipment and other parts and suppliesFirst lien senior secured loan
11.66% (1.25% PIK)
SOFR (Q)7.00%07/202312/202533.6 33.3 33.6 (2)(11)
Senior preferred stock
10.00% PIK
07/20234,73747.2 45.1 (2)
Junior preferred stock07/20236,600  (2)
Warrant to purchase shares of common stock08/201708/203010,358,5723.9  (2)
84.4 78.7 
VRC Companies, LLC (15)Provider of records and information management servicesSenior subordinated loan
12.00% (2.00% PIK)
05/202206/20285.2 5.3 5.2 (2)
W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC (15)Provider of agronomics products for landscapers, contractors and golf course end usersFirst lien senior secured loan9.58%SOFR (Q)5.25%05/202405/203017.3 17.3 17.1 (2)(11)
Class A preferred units
10.00% PIK
05/20249,2601.0 0.9 
Class A common units05/2024862  
18.3 18.0 
Wash Encore Holdings, LLCProvider of outsourced healthcare linen management solutionsFirst lien senior secured loan10.96%SOFR (M)6.50%07/202107/202796.5 96.5 96.5 (2)(11)
First lien senior secured loan10.96%SOFR (M)6.50%07/202407/202716.6 16.4 16.6 (2)(11)
112.9 113.1 
XIFIN, Inc. and ACP Charger Co-Invest LLC (15)Revenue cycle management provider to labsFirst lien senior secured revolving loan11.23%SOFR (Q)6.75%02/202002/20265.7 5.7 5.3 (2)(11)
First lien senior secured loan11.23%SOFR (Q)6.75%07/202102/20260.1 0.1 0.1 (2)(11)
First lien senior secured loan11.23%SOFR (Q)6.75%12/202102/202637.0 36.8 34.4 (2)(11)
Class A units02/2020180,0001.8 1.7 (2)
Class B units12/202146,3630.9 0.8 (2)
See accompanying notes to consolidated financial statements.
110

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class C units06/20242380.2 0.2 (2)
45.5 42.5 
Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc. (15)Provider of recurring fire protection servicesFirst lien senior secured revolving loan07/202407/2031   (2)(11)(13)
First lien senior secured loan9.08%SOFR (Q)4.75%07/202407/203137.7 37.7 37.3 (2)(11)
37.7 37.3 
2,486.8 2,510.0 18.80%
Insurance
Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc. (15)Insurance brokerFirst lien senior secured loan9.32%SOFR (Q)4.75%11/201911/202937.6 37.5 37.6 (2)(11)
First lien senior secured loan9.26%SOFR (Q)4.75%08/202311/202910.2 10.3 10.2 (2)(11)
First lien senior secured loan9.15%SOFR (Q)4.75%11/202311/20290.3 0.3 0.3 (2)(11)
First lien senior secured loan9.33%SOFR (Q)4.75%08/202411/20292.2 2.2 2.2 (2)(11)
50.3 50.3 
Acrisure, LLCIndependent property and casualty insurance brokerageFirst lien senior secured loan7.36%SOFR (M)3.00%10/202311/20300.2 0.2 0.2 (2)(18)
Alera Group, Inc. (15)Insurance service providerFirst lien senior secured loan9.61%SOFR (M)5.25%09/202110/202846.0 46.0 46.0 (2)(11)
First lien senior secured loan10.09%SOFR (M)5.75%11/202310/202811.3 11.3 11.3 (2)(11)
57.3 57.3 
AQ Sunshine, Inc. (15)Specialized insurance brokerFirst lien senior secured revolving loan9.58%SOFR (Q)5.25%07/202407/20301.1 1.1 1.0 (2)(11)(14)
First lien senior secured loan10.33%SOFR (Q)5.25%07/202407/2031102.7 102.7 101.7 (2)(11)
103.8 102.7 
Ardonagh Midco 2 plc and Ardonagh Midco 3 plcInsurance broker and underwriting servicerFirst lien senior secured loan8.39%Euribor (S)4.75%02/202402/203125.2 26.3 25.2 (2)(6)
First lien senior secured loan9.90%SOFR (S)4.75%02/202402/203176.6 76.6 76.6 (2)(6)(11)
102.9 101.8 
Benecon Midco II LLC and Benecon Holdings, LLC (15)Employee benefits provider for small and mid-size employersFirst lien senior secured loan9.82%SOFR (Q)5.50%01/202401/203183.1 83.1 83.1 (2)(11)
Class A units01/20247,796,55027.1 28.9 
110.2 112.0 
Captive Resources Midco, LLC (15)Provider of independent consulting services to member-owned group captivesFirst lien senior secured loan9.11%SOFR (M)4.75%07/202207/20296.0 6.0 6.0 (2)(11)
Daylight Beta Parent LLC and CFCo, LLC (4)Health insurance sales platform providerFirst lien senior secured loan09/202309/203313.2 12.0 2.5 (2)(10)
First lien senior secured loan09/202309/203820.8 0.5  (2)
Class B units09/202332,391,330  (2)
12.5 2.5 
Diamond Mezzanine 24 LLC (15)Property and casualty insurance underwriting and distribution platformFirst lien senior secured revolving loan11.50%Base Rate (Q)4.00%10/202410/20301.0 1.0 1.0 (2)(11)
First lien senior secured loan9.59%SOFR (Q)5.00%10/202410/203014.0 14.0 13.8 (2)(11)
15.0 14.8 
See accompanying notes to consolidated financial statements.
111

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP (15)(16)Managing general agent insurance distribution platformFirst lien senior secured loan9.67%SOFR (Q)5.25%12/202312/203017.1 17.1 17.1 (2)(6)(11)
Limited partnership interest03/20241,348,3091.3 1.8 (2)(6)
18.4 18.9 
Foundation Risk Partners, Corp. (15)Full service independent insurance agencyFirst lien senior secured loan9.58%SOFR (Q)5.25%10/202110/203078.6 78.6 78.6 (2)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%04/202210/20309.3 9.3 9.3 (2)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%11/202310/203017.4 17.4 17.4 (2)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%05/202410/20308.4 8.4 8.4 (2)(11)
113.7 113.7 
Galway Borrower LLC (15)Insurance service providerFirst lien senior secured revolving loan8.82%SOFR (Q)4.50%09/202109/20280.9 0.9 0.9 (2)(11)(14)
First lien senior secured loan8.83%SOFR (S)4.50%09/202109/202831.3 31.3 31.3 (2)(11)
32.2 32.2 
Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc. (15)Insurance brokerFirst lien senior secured loan8.54%CORRA (Q)5.25%03/202403/20319.3 9.8 9.3 (2)(6)(11)
Higginbotham Insurance Agency, Inc. (15)Independent retail insurance brokerFirst lien senior secured loan8.86%SOFR (M)4.50%08/202311/20285.3 5.3 5.3 (2)(11)
First lien senior secured loan9.11%SOFR (M)4.75%03/202411/20281.5 1.5 1.5 (2)(11)
Series A preferred shares
11.00% PIK
12/20241,0001.0 1.0 (2)
7.8 7.8 
High Street Buyer, Inc. and High Street Holdco LLC (15)(16)Insurance brokerage platformFirst lien senior secured loan9.58%SOFR (Q)5.25%04/202104/202822.3 22.3 22.3 (2)(11)
First lien senior secured loan9.58%SOFR (Q)5.25%08/202104/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan9.67%SOFR (Q)5.25%02/202204/202828.8 28.8 28.8 (2)(11)
Series A preferred units
10.00% PIK
04/2021172,211,694224.7 222.5 (2)
Series A preferred units
10.00% PIK
12/202320,106,66722.4 22.2 (2)
Series A preferred units
10.00% PIK
04/20241,386,6671.5 1.5 (2)
Series A preferred units
10.00% PIK
07/20244,506,6674.7 4.7 (2)
Series A common units
10.00% PIK
04/20215,562,3819.1 15.2 (2)
Series C common units
10.00% PIK
04/202110,043,3682.7 27.4 (2)
316.3 344.7 
Inszone Mid, LLC and INSZ Holdings, LLC (15)Insurance brokerage firmFirst lien senior secured loan10.06%SOFR (Q)5.75%12/202311/202924.7 24.7 24.7 (2)(11)
First lien senior secured loan12.25%Base Rate (Q)4.75%12/202311/20290.1 0.1 0.1 (2)(11)
Limited partnership interests11/20222,146,0881.7 2.7 
Common units11/20238,473,0008.5 10.7 
35.0 38.2 
Keystone Agency Partners LLC (15)Insurance brokerage platformFirst lien senior secured revolving loan9.33%SOFR (Q)5.00%12/202305/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan9.33%SOFR (Q)5.00%12/202305/202712.0 11.9 12.0 (2)(11)
See accompanying notes to consolidated financial statements.
112

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.33%SOFR (Q)5.00%08/202405/20276.5 6.4 6.5 (2)(11)
18.4 18.6 
OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP (15)Insurance brokerage platformFirst lien senior secured revolving loan10.09%SOFR (M)5.75%11/202311/20290.2 0.2 0.2 (2)(11)
First lien senior secured loan10.23%SOFR (M)5.75%11/202311/20298.8 8.8 8.8 (2)(11)
Class A-2 units11/2023115,9282.3 2.1 (2)
11.3 11.1 
OneDigital Borrower LLC (15)Benefits broker and outsourced workflow automation platform provider for brokersFirst lien senior secured revolving loan11/202005/2027   (2)(13)
Patriot Growth Insurance Services, LLC (15)National retail insurance agencyFirst lien senior secured revolving loan9.46%SOFR (M)5.00%10/202110/20281.1 1.1 1.1 (2)(11)
First lien senior secured loan9.48%SOFR (Q)5.00%10/202110/202815.7 15.5 15.7 (2)(11)
16.6 16.8 
People Corporation (15)Provider of group benefits, group retirement and human resources servicesFirst lien senior secured revolving loan9.25%CORRA (Q)5.25%02/202102/20273.5 3.7 3.5 (2)(6)(11)
First lien senior secured loan9.06%CORRA (Q)5.25%02/202102/202840.4 45.7 40.4 (2)(6)(11)
First lien senior secured loan9.06%CORRA (Q)5.25%09/202102/202823.6 25.4 23.6 (2)(6)(11)
First lien senior secured loan9.05%CORRA (Q)5.25%09/202302/202811.5 12.1 11.5 (2)(6)(11)
86.9 79.0 
Riser Topco II, LLC (15)Insurance program administratorFirst lien senior secured loan10.70%SONIA (Q)6.00%10/202310/20291.1 1.0 1.1 (2)(11)
First lien senior secured loan10.33%SOFR (Q)6.00%10/202310/20297.5 7.5 7.5 (2)(11)
First lien senior secured loan9.46%SOFR (S)5.00%05/202410/20299.0 9.0 9.0 (2)(11)
First lien senior secured loan9.70%SONIA (Q)5.00%05/202410/20293.0 3.0 2.9 (2)(11)
20.5 20.5 
SageSure Holdings, LLC and SageSure LLC (15)Insurance service providerFirst lien senior secured loan9.59%SOFR (Q)5.00%08/202401/203026.0 26.0 26.0 (2)(11)
Series A units02/202288619.6 74.5 
45.6 100.5 
SCM Insurance Services Inc. (15)Provider of claims management, claims investigation & support and risk management solutions for the Canadian property and casualty insurance industryFirst lien senior secured loan9.57%CORRA (Q)6.25%06/202208/202619.2 20.4 19.2 (2)(6)(11)
SelectQuote, Inc. and SQ ABS Issuer, LLCDirect to consumer insurance distribution platformFirst lien senior secured notes9.65%10/202410/20391.8 1.8 1.8 (2)
First lien senior secured notes7.80%10/202410/20392.7 2.7 2.7 (2)
First lien senior secured loan
13.96% (3.00% PIK)
SOFR (M)9.50%10/202409/202716.9 15.5 15.4 (2)(11)
Warrant to purchase shares of common stock10/202410/2028179,068  (2)
20.0 19.9 
SG Acquisition, Inc. (15)Provider of insurance solutions for car salesFirst lien senior secured loan9.36%SOFR (Q)4.75%04/202404/203047.0 47.0 47.0 (2)(11)
See accompanying notes to consolidated financial statements.
113

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
SIG Parent Holdings, LLC (15)Independent insurance brokerageFirst lien senior secured loan9.36%SOFR (M)5.00%08/202408/203156.4 56.4 55.9 (2)(11)
Spring Insurance Solutions, LLCTechnology-based direct to consumer sales and marketing platform for insurance productsFirst lien senior secured loan10.98%SOFR (Q)6.50%11/202011/202521.8 21.6 20.1 (2)(11)
THG Acquisition, LLC (15)Multi-line insurance brokerFirst lien senior secured revolving loan9.11%SOFR (M)4.75%10/202410/20311.6 1.6 1.6 (2)(11)(14)
First lien senior secured loan9.11%SOFR (M)4.75%10/202410/2031143.4 143.4 141.9 (2)(11)
145.0 143.5 
Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC (15)Insurance brokerage firmFirst lien senior secured loan7.08%SOFR (Q)2.75%03/202405/20310.1 0.1 0.1 (2)(18)
World Insurance Associates, LLC and World Associates Holdings, LLC (15)Insurance service providerFirst lien senior secured loan10.08%SOFR (Q)5.75%10/202304/20288.9 8.9 8.9 (2)(11)
1,510.1 1,573.5 11.78%
Consumer Distribution and Retail
Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P.Manufacturer and distributor of specialty bakery ingredientsFirst lien senior secured loan9.28%SOFR (Q)4.50%07/202309/202816.3 16.3 16.3 (2)(11)
Second lien senior secured loan11.78%SOFR (Q)7.00%09/202109/202929.5 29.5 29.5 (2)(11)
Class A preferred units
8.00% PIK
09/202108/20515,4847.1 11.4 (2)
Series A preferred shares
11.00% PIK
09/202108/205121,92131.6 31.6 (2)
84.5 88.8 
Bamboo Purchaser, Inc.Provider of nursery, garden, and greenhouse productsFirst lien senior secured loan10.98%SOFR (Q)6.50%11/202111/202717.6 17.6 15.8 (2)(11)
BGI Purchaser, Inc. (15)Developer and manufacturer of customized natural and clean flavorings for the food & beverage end marketFirst lien senior secured revolving loan8.51%SOFR (Q)4.00%05/202405/203010.5 10.5 10.5 (2)(11)
First lien senior secured loan9.51%SOFR (Q)5.00%05/202405/203141.2 41.2 41.2 (2)(11)
51.7 51.7 
BR PJK Produce, LLCSpecialty produce distributorFirst lien senior secured loan10.71%SOFR (Q)6.25%12/202311/20274.0 4.0 4.0 (2)(11)
First lien senior secured loan10.99%SOFR (Q)6.25%09/202411/20270.7 0.7 0.7 (2)(11)
4.7 4.7 
BradyPlus Holdings, LLC (15)Distributor of foodservice disposables and janitorial sanitation productsFirst lien senior secured loan9.52%SOFR (M)5.00%10/202310/2029127.9 127.9 127.9 (2)(11)
First lien senior secured loan9.40%SOFR (Q)5.00%10/202310/20290.8 0.8 0.8 (2)(11)
128.7 128.7 
City Line Distributors LLC and City Line Investments LLC (15)Specialty food distributorFirst lien senior secured loan10.48%SOFR (M)6.00%08/202308/20284.4 4.4 4.4 (2)(11)
Class A units
8.00% PIK
08/20234,172,8524.6 4.5 (2)
9.0 8.9 
See accompanying notes to consolidated financial statements.
114

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
DecoPac, Inc. and KCAKE Holdings Inc. (15)Supplier of cake decorating solutions and products to in-store bakeriesFirst lien senior secured revolving loan9.86%SOFR (M)5.50%05/202105/20304.6 4.6 4.6 (2)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%09/202405/2030171.8 171.8 171.8 (2)(11)
Common stock05/20219,5997.4 12.0 (2)
183.8 188.4 
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc. (15)Provider of visual communications solutionsFirst lien senior secured revolving loan10.46%SOFR (M)6.00%03/201903/20260.6 0.6 0.6 (2)(11)
First lien senior secured loan10.46%SOFR (M)6.00%03/201903/202615.4 15.4 15.4 (2)(11)
First lien senior secured loan10.46%SOFR (M)6.00%08/201903/20260.1 0.1 0.1 (2)(11)
First lien senior secured loan10.46%SOFR (M)6.00%06/202103/20260.1 0.1 0.1 (2)(11)
First lien senior secured loan10.46%SOFR (M)6.00%01/202403/20268.1 8.1 8.1 (2)(11)
Common units03/20196000.6 1.8 (2)
24.9 26.1 
FS Squared Holding Corp. and FS Squared, LLC (15)Provider of on-site vending and micro market solutionsFirst lien senior secured revolving loan9.11%SOFR (M)4.75%12/202412/20305.2 5.2 5.1 (2)(11)(14)
First lien senior secured loan9.11%SOFR (M)4.75%12/202412/203052.7 52.7 51.8 (2)(11)
Class A units03/2019113,21911.1 39.3 (2)
69.0 96.2 
GPM Investments, LLC and ARKO Corp.Convenience store operatorCommon stock12/20202,088,47819.8 13.7 (18)
Warrant to purchase common stock12/202012/20251,088,7801.6 0.5 (2)(18)
21.4 14.2 
Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP (15)Distributor of HVAC, plumbing, and water heater equipment, parts, supplies and fixturesFirst lien senior secured revolving loan8.90%SOFR (M)4.50%11/202311/20290.1 0.1 0.1 (2)(11)
First lien senior secured loan10.39%SOFR (M)6.00%11/202311/20295.2 5.2 5.2 (2)(11)
Limited partnership interest11/20235,441,0005.9 5.4 (2)
11.2 10.7 
JWC/KI Holdings, LLCFoodservice sales and marketing agencyMembership units11/20155,0005.0 13.2 (2)
LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P. (16)Distributor of specialty foodsFirst lien senior secured loan11.21%SOFR (Q)6.50%10/202210/202839.4 39.4 37.9 (2)(11)
Limited partnership interests10/20229,683,9919.7 5.3 (2)
49.1 43.2 
Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLCDistributor of OEM appliance aftermarket partsFirst lien senior secured loan
11.74% (3.25% PIK)
SOFR (Q)7.00%06/202106/20280.4 0.4 0.3 (2)(11)
First lien senior secured loan
11.74% (3.25% PIK)
SOFR (Q)7.00%12/202106/20280.2 0.2 0.2 (2)(11)
Class A common units06/20215,7966.1 0.4 (2)
6.7 0.9 
See accompanying notes to consolidated financial statements.
115

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP (15)Auto parts retailerFirst lien senior secured revolving loan7.60%SOFR (M)3.25%05/202105/202618.4 18.4 18.4 (2)(14)
Series A preferred stock
7.00% PIK
05/202168,60188.4 88.4 (2)
Class A-1 units05/202124,58624.6 34.6 (2)
131.4 141.4 
McKenzie Creative Brands, LLC (15)Designer, manufacturer and distributor of hunting-related suppliesFirst lien senior secured revolving loan11.21%SOFR (M)6.75%09/201409/20251.4 1.4 1.4 (2)(11)
First lien senior secured loan11.21%SOFR (M)6.75%09/201409/202584.5 84.5 84.5 (2)(8)(11)
First lien senior secured loan11.21%SOFR (M)6.75%09/201409/20255.5 5.5 5.5 (2)(11)
91.4 91.4 
Monolith Brands Group, Inc.E-commerce platform focused on consolidating DTC branded businessesSeries A-1 preferred stock04/2022701,25515.5  (2)
Moon Valley Nursery of Arizona Retail, LLC, Moon Valley Nursery Farm Holdings, LLC, Moon Valley Nursery RE Holdings LLC, and Stonecourt IV Partners, LPOperator of retail and wholesale tree and plant nurseriesLimited partnership interests10/202121,939,15220.8 28.9 
Mountaineer Merger Corporation (15)Discount retailer that specialized in apparel, housewares, accessories, and a selection of other productsFirst lien senior secured revolving loan9.33%SOFR (Q)5.00%10/202410/20279.7 9.5 9.5 (2)
Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC (15)Produce distribution platformFirst lien senior secured revolving loan05/202305/2029   (2)(11)(13)
First lien senior secured loan10.75%SOFR (M)6.25%05/202305/20299.6 9.6 9.6 (2)(11)
Class B limited liability company interest05/20233.64%9.6 8.3 (2)
19.2 17.9 
North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLCManufacturer of aftermarket golf cart parts and accessoriesFirst lien senior secured loan05/202105/202727.6 27.2 18.0 (2)(10)
Class A units05/202150,0005.0  
32.2 18.0 
Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc. (15)Distributor and marketer of personal care productsFirst lien senior secured loan9.33%SOFR (M)5.00%05/202405/203054.9 54.9 54.9 (2)(6)(11)
Class B common stock
8.00% PIK
05/20242,2152.2 3.9 (2)(6)
57.1 58.8 
Reddy Ice LLC (15)Packaged ice manufacturer and distributorFirst lien senior secured revolving loan04/202404/2029   (2)(11)(13)
First lien senior secured loan9.34%SOFR (S)4.75%04/202404/2029273.5 273.5 273.5 (2)(11)
273.5 273.5 
See accompanying notes to consolidated financial statements.
116

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Royal Borrower, LLC and Royal Parent, LP (15)Distributor of fresh produce and dairy productsFirst lien senior secured revolving loan07/202407/2030   (2)(11)(13)
First lien senior secured loan9.77%SOFR (M)5.25%07/202407/203020.9 20.9 20.6 (2)(11)
Class A preferred units
10.00% PIK
07/20242,255,0002.4 4.2 
23.3 24.8 
SCIH Salt Holdings Inc. (15)Salt and packaged ice melt manufacturer and distributorFirst lien senior secured revolving loan8.03%CORRA (S)3.50%03/202011/20284.1 4.1 4.1 (2)(11)
First lien senior secured revolving loan8.03%SOFR (Q)3.50%03/202011/20282.1 2.0 2.1 (2)(11)
6.1 6.2 
SFE Intermediate Holdco LLCProvider of outsourced foodservice to K-12 school districtsFirst lien senior secured loan10.48%SOFR (Q)6.00%07/201707/20266.1 6.1 6.1 (2)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%09/201807/20269.8 9.8 9.8 (2)(11)
First lien senior secured loan10.48%SOFR (Q)6.00%03/202207/20260.4 0.4 0.4 (2)(11)
16.3 16.3 
Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc.Provider of tarp systems and accessories for trucks, trailers, carts, and specialty equipment used in the agriculture, construction and flatbed marketsFirst lien senior secured loan9.86%SOFR (M)5.50%06/202107/203031.4 31.4 31.4 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%06/202207/20300.5 0.5 0.5 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%03/202307/20306.1 6.1 6.1 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%05/202407/203012.7 12.7 12.7 (2)(11)
First lien senior secured loan9.95%SOFR (M)5.50%08/202407/20305.4 5.4 5.4 (2)(11)
Common stock06/202175,9907.6 16.3 (2)
63.7 72.4 
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P. (15)Producer and packager of compressed, household, and packaged saltFirst lien senior secured loan9.73%SOFR (Q)5.25%07/202107/202825.3 25.3 25.3 (2)(11)
Limited partner interests07/20210.42%0.8 1.2 (2)
26.1 26.5 
Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P. (15)(16)Fresh and specialty food distributorFirst lien senior secured revolving loan02/202301/2029— — — (2)(11)(13)
First lien senior secured loan10.50%SOFR (Q)6.25%02/202301/20298.2 8.2 7.9 (2)(11)
Common units01/20231,673,0001.7 0.4 
9.9 8.3 
ZB Holdco LLC and ZB TopCo LLC (15)Distributor of Mediterranean food and beveragesFirst lien senior secured revolving loan9.98%SOFR (Q)5.50%02/202202/20285.0 5.0 5.0 (2)(11)(14)
First lien senior secured loan9.98%SOFR (Q)5.50%02/202202/20280.2 0.2 0.2 (2)(11)
First lien senior secured loan10.00%SOFR (Q)5.50%08/202302/20288.6 8.6 8.6 (2)(11)
First lien senior secured loan10.03%SOFR (Q)5.50%03/202402/20287.7 7.7 7.7 (2)(11)
Series A units06/20234,6994.0 6.9 (2)
25.5 28.4 
See accompanying notes to consolidated financial statements.
117

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
1,488.8 1,513.8 11.34%
Consumer Services
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc. (5)Restaurant owner and operatorFirst lien senior secured loan12/201608/202212.6   (2)(10)
Aimbridge Acquisition Co., Inc.Hotel operatorSecond lien senior secured loan02/201902/202722.5 22.1 4.5 (2)(10)
American Residential Services L.L.C. and Aragorn Parent Holdings LP (15)Heating, ventilation and air conditioning services providerFirst lien senior secured revolving loan7.96%SOFR (M)3.50%10/202007/20271.6 1.6 1.6 (2)
First lien senior secured revolving loan10.00%Base Rate (Q)2.50%10/202007/20271.1 1.1 1.1 (2)
Second lien senior secured loan12.97%SOFR (M)8.50%10/202010/20285.9 5.9 5.9 (2)(11)
Series A preferred units
10.00% PIK
10/20202,531,5003.8 6.2 (2)
12.4 14.8 
Apex Service Partners, LLC and Apex Service Partners Holdings, LLC (15)Provider of residential HVAC, plumbing, and electrical maintenance and repair servicesFirst lien senior secured revolving loan9.51%SOFR (Q)5.00%10/202310/20295.9 5.9 5.9 (2)(11)(14)
First lien senior secured loan9.52%SOFR (Q)5.00%09/202410/2030198.3 198.1 198.3 (2)(11)
Series B common units10/2023262,1657.2 9.4 
211.2 213.6 
Belfor Holdings, Inc. (15)Disaster recovery services providerFirst lien senior secured revolving loan11/202311/2028   (2)(13)
Clarion Home Services Group, LLC and LBC Breeze Holdings LLC (15)Provider of HVAC and plumbing services to residential and commercial customersFirst lien senior secured revolving loan10.62%SOFR (Q)6.00%12/202112/20270.7 0.7 0.6 (2)(11)
First lien senior secured loan
12.70% (7.00% PIK)
SOFR (Q)8.00%12/202112/20273.3 3.3 3.0 (2)(11)
First lien senior secured loan
12.68% (7.25% PIK)
SOFR (Q)8.25%03/202312/20271.6 1.6 1.4 (2)(11)
First lien senior secured loan
12.72% (7.25% PIK)
SOFR (Q)8.25%03/202312/20274.9 4.9 4.5 (2)(11)
Class A units12/20214,2964.3 1.1 
14.8 10.6 
CMG HoldCo, LLC and CMG Buyer Holdings, Inc. (15)Provider of commercial HVAC equipment maintenance and repair servicesFirst lien senior secured revolving loan9.28%SOFR (Q)4.75%05/202205/20283.4 3.4 3.4 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%05/202205/202830.7 30.7 30.7 (2)(11)
First lien senior secured loan9.16%SOFR (Q)4.75%11/202305/20289.6 9.6 9.6 (2)(11)
Common stock05/20223023.1 10.3 (2)
46.8 54.0 
Concert Golf Partners Holdco LLC (15)Golf club owner and operatorFirst lien senior secured loan9.13%SOFR (M)4.75%04/202404/203036.9 36.9 36.9 (2)(11)
CST Holding Company (15)Provider of ignition interlock devicesFirst lien senior secured loan9.46%SOFR (M)5.00%11/202211/202811.5 11.5 11.5 (2)(11)
First lien senior secured loan9.46%SOFR (M)5.00%07/202411/20280.1 0.1 0.1 (2)(11)
See accompanying notes to consolidated financial statements.
118

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
11.6 11.6 
Davidson Hotel Company LLC (15)Provider of hotel operations solutions and advisory servicesFirst lien senior secured revolving loan9.36%SOFR (M)5.00%10/202410/20310.7 0.7 0.7 (2)(11)
First lien senior secured loan9.36%SOFR (M)5.00%10/202410/20318.2 8.2 8.1 (2)(11)
8.9 8.8 
Equinox Holdings, Inc.Operator of luxury, full-service health fitness clubsFirst lien senior secured loan
12.58% (4.13% PIK)
SOFR (Q)8.25%03/202403/202944.3 43.4 44.3 (2)(11)
Second lien senior secured loan
16.00% PIK
03/202406/20273.9 3.8 3.9 (2)
47.2 48.2 
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC (15)Provider of plumbing and HVAC servicesFirst lien senior secured revolving loan06/202406/2030   (2)(11)(13)
First lien senior secured loan9.65%SOFR (Q)5.00%06/202406/2031151.5 151.5 150.0 (2)(11)
Preferred units
15.00% PIK
07/20236858.0 8.0 (2)
Class A units11/20206,44722.9 34.2 (2)
182.4 192.2 
Eternal Aus Bidco Pty Ltd (15)Operator of cemetery, crematoria and funeral servicesFirst lien senior secured loan10.72%BBSY (Q)6.25%11/202311/20297.0 7.4 7.0 (2)(6)(11)
Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc. (15)Fitness facility operatorFirst lien senior secured loan9.83%SOFR (Q)5.50%08/202304/20295.4 5.4 5.4 (2)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202404/20290.9 0.9 0.9 (2)(11)
6.3 6.3 
Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP (4)(15)Crunch Fitness franchiseeFirst lien senior secured revolving loan8.36%SOFR (M)4.00%08/202408/20302.5 2.5 2.4 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%08/202408/203137.2 37.2 36.6 (2)(11)
Common units07/202411,957,00012.0 13.8 (2)
51.7 52.8 
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc. (15)Distributor of instructional products, services and resourcesFirst lien senior secured revolving loan9.92%SOFR (M)5.50%08/201804/20263.6 3.6 3.6 (2)(11)(14)
First lien senior secured loan10.09%SOFR (Q)5.50%07/201704/202629.0 29.0 29.0 (2)(11)
First lien senior secured loan10.09%SOFR (Q)5.50%08/201804/20261.1 1.1 1.1 (2)(11)
First lien senior secured loan10.09%SOFR (Q)5.50%06/202404/20267.5 7.5 7.5 (2)(11)
Series A preferred stock10/20141,2720.7 1.1 (2)
41.9 42.3 
Flint OpCo, LLC (15)Provider of residential HVAC and plumbing servicesFirst lien senior secured loan9.11%SOFR (Q)4.75%08/202308/20307.0 7.0 7.0 (2)(11)
First lien senior secured loan9.11%SOFR (Q)4.75%05/202408/20301.3 1.3 1.3 (2)(11)
8.3 8.3 
GS SEER Group Borrower LLC and GS SEER Group Holdings LLC (15)Provider of commercial and residential HVAC, electrical, and plumbing servicesFirst lien senior secured loan11.08%SOFR (Q)6.75%04/202304/203021.9 21.9 21.9 (2)(11)
See accompanying notes to consolidated financial statements.
119

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A common units04/20234,4244.4 3.3 (2)
26.3 25.2 
Helios Service Partners, LLC and Astra Service Partners, LLC (15)Critical HVAC, refrigeration, and plumbing services for commercial businessesFirst lien senior secured revolving loan08/202303/2027   (2)(13)
First lien senior secured loan9.60%SOFR (Q)5.00%08/202303/20275.9 5.9 5.9 (2)(11)
First lien senior secured loan10.87%SOFR (Q)6.00%08/202303/20273.7 3.7 3.7 (2)(11)
9.6 9.6 
IFH Franchisee Holdings, LLC (15)Operator of fitness centersFirst lien senior secured revolving loan8.37%SOFR (M)4.00%12/202412/20294.3 4.3 4.2 (2)(11)
First lien senior secured loan10.12%SOFR (M)5.75%12/202412/202955.3 55.3 54.5 (2)(11)
59.6 58.7 
Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P. (15)Provider of residential roofing and exterior repair and replacement servicesFirst lien senior secured revolving loan12.00%Base Rate (Q)4.50%12/202212/20280.7 0.7 0.7 (2)(6)(11)
First lien senior secured loan9.84%SOFR (M)5.50%12/202212/202814.7 14.7 14.7 (2)(6)(11)
First lien senior secured loan8.79%CORRA (Q)5.50%11/202312/20281.3 1.3 1.3 (2)(6)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%11/202312/20286.4 6.4 6.4 (2)(6)(11)
First lien senior secured loan9.61%SOFR (Q)5.25%10/202412/20280.5 0.5 0.5 (2)(6)(11)
Class A units12/20229,524,0009.5 14.0 (2)(6)
33.1 37.6 
Jenny C Acquisition, Inc.Health club franchisorSenior subordinated loan
8.00% PIK
04/201904/20251.8 1.8 1.8 (2)
Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P. (15)Franchising platform offering adolescent development programsFirst lien senior secured loan11.98%SOFR (Q)7.50%12/202212/202730.3 30.3 30.3 (2)(11)
Limited partnership interests12/20222,149,6902.1 2.7 
32.4 33.0 
ME Equity LLCFranchisor in the massage industryCommon stock09/20123,000,0003.0 4.2 (2)
Modigent, LLC and OMERS PMC Investment Holdings LLC (15)Provider of commercial HVAC servicesFirst lien senior secured revolving loan10.83%SOFR (Q)6.50%08/202208/20275.4 5.4 5.4 (2)(11)
First lien senior secured loan10.83%SOFR (Q)6.50%08/202208/20283.4 3.4 3.4 (2)(11)
First lien senior secured loan10.83%SOFR (Q)6.50%09/202308/20282.8 2.8 2.8 (2)(11)
Class A units08/20221,0019.7 10.7 (2)
21.3 22.3 
Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc. (15)Provider of lawn care, tree care and pest control servicesFirst lien senior secured loan9.33%SOFR (Q)5.00%06/202406/203123.8 23.8 23.8 (2)(11)
Class A preferred units09/20245910.6 0.7 
Class B common units09/2024590,8450.2 0.3 
24.6 24.8 
See accompanying notes to consolidated financial statements.
120

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC (15)Provider of lawncare servicesFirst lien senior secured revolving loan10.86%SOFR (Q)6.50%12/202205/20282.8 2.8 2.8 (2)(11)
First lien senior secured loan10.94%SOFR (Q)6.50%12/202205/202817.7 17.6 17.7 (2)(11)
First lien senior secured loan9.66%SOFR (Q)5.25%06/202405/20282.4 2.4 2.4 (2)(11)
22.8 22.9 
Northwinds Holding, Inc. and Northwinds Services Group LLC (15)Provider of HVAC and plumbing servicesFirst lien senior secured revolving loan9.80%SOFR (Q)5.25%05/202305/20290.8 0.8 0.8 (2)(11)
First lien senior secured loan9.96%SOFR (Q)5.25%05/202305/202927.1 27.1 27.1 (2)(11)
Common units05/20232,911,6074.0 4.8 (2)
31.9 32.7 
OTG Concessions Management, LLC and Octa Parent Holdings, LLCAirport restaurant operatorSecond lien notes
10.00% PIK
02/202402/20318.0 8.0 7.0 (2)
Participation rights02/202402/20541  (2)
8.0 7.0 
PestCo Holdings, LLC and PestCo, LLC (15)Provider of pest control services to the residential and commercial marketsFirst lien senior secured loan10.95%SOFR (Q)6.25%02/202302/20282.5 2.5 2.5 (2)(11)
First lien senior secured loan9.50%SOFR (Q)5.25%10/202402/20280.8 0.8 0.8 (2)(11)
Class A units01/20231391.9 2.5 
5.2 5.8 
Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc. (15)Provider of commercial and residential HVAC, electrical & plumbing servicesFirst lien senior secured revolving loan9.13%SOFR (M)4.75%10/202410/20300.4 0.4 0.4 (2)(11)
First lien senior secured loan9.32%SOFR (Q)4.75%10/202410/20305.6 5.6 5.5 (2)(11)
Common stock10/20246670.7 0.7 (2)
6.7 6.6 
Premiere Buyer, LLC (15)Third-party residential property manager for multi-family residential properties in the United StatesFirst lien senior secured loan9.32%SOFR (Q)4.75%05/202405/203138.4 38.4 38.4 (2)(11)
Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC (15)Hotel operatorFirst lien senior secured loan9.88%SOFR (Q)5.25%01/202301/20287.6 7.6 7.6 (2)(11)
First lien senior secured loan9.87%SOFR (Q)5.25%10/202401/20282.6 2.6 2.6 (2)(11)
Preferred membership units
8.00% PIK
07/2016996,8331.1 3.3 
11.3 13.5 
Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P. (15)Car wash operatorFirst lien senior secured loan9.11%SOFR (M)4.75%05/202406/203152.9 52.9 52.9 (2)(11)
Limited partnership interest06/202411,184,00011.2 11.6 (2)
64.1 64.5 
Radiant Intermediate Holding, LLCProvider of HVAC, plumbing and electrical servicesFirst lien senior secured loan
10.61% (3.00% PIK)
SOFR (Q)6.00%04/202311/20262.1 2.0 1.8 (2)(11)
See accompanying notes to consolidated financial statements.
121

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Redwood Services, LLC and Redwood Services Holdco, LLC (15)Provider of residential HVAC and plumbing servicesFirst lien senior secured revolving loan10.98%SOFR (Q)6.50%05/202412/20270.2 0.2 0.2 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%12/202012/20270.2 0.2 0.2 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%12/202112/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%09/202212/20275.0 5.0 5.0 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%05/202312/20278.6 8.6 8.6 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%03/202412/202712.4 12.4 12.4 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%05/202412/20272.4 2.4 2.4 (2)(11)
Series D units12/202019,592,99923.9 69.3 
52.8 98.2 
Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc.Provider of safety systems for business and residential customersFirst lien senior secured loan11.70%SOFR (M)7.25%08/202003/202546.9 46.9 46.4 (2)(11)
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P. (15)Planet Fitness franchiseeFirst lien senior secured revolving loan9.28%CORRA (M)5.38%07/201807/20260.6 0.6 0.6 (2)(11)
First lien senior secured revolving loan10.05%SOFR (M)5.38%07/201807/20260.2 0.2 0.2 (2)(11)
First lien senior secured revolving loan9.74%CORRA (M)5.50%01/202407/20260.4 0.4 0.4 (2)(11)
First lien senior secured revolving loan9.96%SOFR (M)5.50%01/202407/20260.1 0.1 0.1 (2)(11)
First lien senior secured loan9.79%SOFR (M)5.33%03/202007/20261.4 1.4 1.4 (2)(11)
First lien senior secured loan9.95%SOFR (M)5.50%01/202407/20260.4 0.4 0.4 (2)(11)
Class A units07/201837,0203.8 8.4 
6.9 11.5 
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP (15)Refrigeration, heating, ventilation and air conditioning services providerFirst lien senior secured revolving loan
11.86% (4.00% PIK)
SOFR (M)7.50%12/202112/20270.8 0.8 0.8 (2)(11)
First lien senior secured loan
11.86% (4.00% PIK)
SOFR (M)7.50%12/202112/20270.2 0.2 0.2 (2)(11)
First lien senior secured loan
11.86% (4.00% PIK)
SOFR (M)7.50%08/202212/20270.2 0.2 0.2 (2)(11)
First lien senior secured loan
11.86% (4.00% PIK)
SOFR (M)7.50%04/202312/20271.6 1.6 1.6 (2)(11)
First lien senior secured loan
11.86% (4.00% PIK)
SOFR (M)7.50%10/202312/20275.3 5.3 5.3 (2)(11)
First lien senior secured loan
11.86% (4.00% PIK)
SOFR (M)7.50%08/202412/20278.6 8.6 8.6 (2)(11)
Class A units12/20218,493,6988.5 9.5 
Class C units03/2023333,510 0.4 
25.2 26.6 
Triwizard Holdings, Inc. and Triwizard Parent, LP (15)Parking management and hospitality services providerFirst lien senior secured revolving loan11.75%Base Rate (Q)4.25%06/202306/20293.0 3.0 3.0 (11)
See accompanying notes to consolidated financial statements.
122

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A-2 common units06/202330,0003.0 4.5 (2)
6.0 7.5 
Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC (15)Provider of residential roofing repair & replacementFirst lien senior secured revolving loan10.12%SOFR (Q)5.75%11/202311/20301.4 1.4 1.4 (2)(11)
First lien senior secured loan10.13%SOFR (M)5.75%11/202311/203015.2 15.2 15.2 (2)(11)
First lien senior secured loan9.50%SOFR (Q)5.00%10/202411/20300.3 0.3 0.3 (2)(11)
Class B common units11/20232120.2 0.4 
17.1 17.3 
Wrench Group LLCProvider of essential home services specializing in HVAC, plumbing and electrical servicesFirst lien senior secured loan8.59%SOFR (Q)4.00%11/202410/20280.1 0.1 0.1 (2)(18)
YE Brands Holdings, LLC (15)Sports camp operatorFirst lien senior secured revolving loan9.08%SOFR (Q)4.75%10/202110/20271.6 1.6 1.6 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%10/202110/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%06/202210/20278.0 8.0 8.0 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%09/202310/20273.6 3.6 3.6 (2)(11)
First lien senior secured loan9.08%SOFR (Q)4.75%01/202410/20272.3 2.3 2.3 (2)(11)
15.6 15.6 
ZBS Mechanical Group Co-Invest Fund 2, LLCProvider of residential HVAC and plumbing servicesMembership interest10/20212,771,0001.4 12.1 
1,284.0 1,357.6 10.17%
Investment Funds and Vehicles
ACAS Equity Holdings Corporation (5)Investment companyCommon stock01/20175890.4 0.5 (6)
Constellation Wealth Capital Fund, L.P. (16)Specialist alternative asset management platformLimited partner interests01/20242,901,0412.6 2.7 (6)(18)
CREST Exeter Street Solar 2004-1Investment vehiclePreferred shares01/201706/20393,500,000  (6)
CWC Fund I Co-Invest (ALTI) LPGlobal wealth and alternatives managerLimited partnership interest03/20246,224,0006.2 6.7 (2)(6)
European Capital UK SME Debt LP (4)(16)Investment partnershipLimited partnership interest01/201744.73%1.0 7.4 (6)
HCI Equity, LLC (5)Investment companyMember interest04/2010100.00%  (6)(18)
Linden Structured Capital Fund II-A LP (16)Investment partnershipLimited partnership interest07/20241,090,1211.2 1.1 (2)(6)(18)
Partnership Capital Growth Investors III, L.P.Investment partnershipLimited partnership interest10/20112.50%1.8 4.6 (2)(6)(18)
PCG-Ares Sidecar Investment II, L.P. (4)(16)Investment partnershipLimited partnership interest10/2014100.00%7.3 22.3 (2)(6)
PCG-Ares Sidecar Investment, L.P. (4)(16)Investment partnershipLimited partnership interest05/2014100.00%4.4 0.6 (6)
Piper Jaffray Merchant Banking Fund I, L.P.Investment partnershipLimited partnership interest08/20122.00%0.1 0.5 (6)(18)
See accompanying notes to consolidated financial statements.
123

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Senior Direct Lending Program, LLC (5)(17)Co-investment vehicleSubordinated certificates12.00%SOFR (Q)8.00%07/201612/20361,309.9 1,263.2 1,192.0 (6)(12)
Membership interest87.50%  (6)
1,263.2 1,192.0 
1,288.2 1,238.4 9.27%
Sports, Media and Entertainment
22 HoldCo LimitedSports and entertainment platformSenior subordinated loan
12.73% PIK
SONIA (S)7.50%08/202308/203356.9 57.9 56.9 (2)(6)(11)
3 Step Sports LLC (15)Provider of integrated youth sports solutionsFirst lien senior secured loan
12.34% (1.50% PIK)
SOFR (Q)8.00%10/202310/202912.5 12.5 11.7 (2)(11)
Aventine Intermediate LLC & Aventine Holdings II LLCMedia and production companyFirst lien senior secured loan
10.43% (3.00% PIK)
SOFR (Q)6.00%12/202106/202710.4 10.4 9.9 (2)(11)
Senior subordinated loan
10.25% PIK
12/202112/203048.1 48.1 39.0 (2)
58.5 48.9 
Axiomatic, LLCPremiere e-sports and video game investment platformClass A-1 units05/2022500,0005.0 5.8 
Broadcast Music, Inc. (15)Music rights management companyFirst lien senior secured loan10.39%SOFR (Q)5.75%02/202402/203021.2 21.2 21.2 (2)(11)
CFC Funding LLCSME-related SPVLoan instrument units
9.75% PIK
07/202316,68018.3 18.3 (6)
CMW Parent LLC (fka Black Arrow, Inc.)Multiplatform media firmSeries A units09/201532  
Dundee Eros, LPCatalog of premier music intellectual propertyLimited partnership interest11/20244,234,0004.2 4.2 (2)
Eagle Football Holdings BidCo Limited and Eagle Football Holdings LimitedMulti-club sports platformSenior subordinated loan
19.00% PIK
12/202212/20280.6 0.6 0.6 (2)(6)
Senior subordinated loan
19.00% PIK
12/202212/202828.7 28.7 28.7 (2)(6)
Senior subordinated loan
12.29% PIK
SOFR (S)8.00%12/202212/202853.9 53.9 52.3 (2)(6)(11)
Ordinary shares09/20234944.4 1.6 (2)(6)
Warrant to purchase shares of ordinary shares12/202211/2028180 2.0 (2)(6)
Warrant to purchase shares of ordinary shares12/202211/2028199 0.7 (2)(6)
87.6 85.9 
Fever Labs, Inc. (15)Technology led marketing and ticketing platform for live eventsFirst lien senior secured revolving loan11.00%08/202411/20284.1 4.1 4.1 (2)
First lien senior secured loan11.00%05/202411/202814.0 13.2 14.0 (2)
Series E-5 Convertible Shares08/2024217,9070.9 1.0 (2)
18.2 19.1 
FinEquity Holdings, LLCProfessional sports team and entertainment complexClass A common interest12/202426181.9 181.9 
Class A common interest12/2024265.3 5.3 
Class A common interest12/2024261.3 1.3 
188.5 188.5 
See accompanying notes to consolidated financial statements.
124

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Global Music Rights, LLC (15)Music right management companyFirst lien senior secured loan9.10%SOFR (S)4.75%12/202412/2031220.9 220.9 217.6 (2)(11)
League One Volleyball, Inc.Operator of youth volleyball clubsSeries B preferred stock07/2023194  (2)
Series C preferred stock09/202467  (2)
  
Legends Hospitality Holding Company, LLC and ASM Buyer, Inc. (15)Hospitality platform provider of premium experiential servicesFirst lien senior secured revolving loan9.41%SOFR (M)5.00%08/202408/20301.1 1.1 1.1 (2)(11)(14)
First lien senior secured loan
10.02% (2.75% PIK)
SOFR (Q)5.50%08/202408/203157.2 57.2 56.0 (2)(11)
58.3 57.1 
LiveBarn Inc.Provider of Live & On Demand broadcasting of amateur and youth sporting eventsMiddle preferred shares08/20234,902,98817.3 21.6 (2)(6)
Miami Beckham United LLCAmerican professional soccer clubClass A preferred units
9.50% PIK
09/202185,000113.7 113.7 
Class B preferred units
9.50% PIK
06/202342,50048.9 48.9 
162.6 162.6 
Production Resource Group, L.L.C. and PRG III, LLC (4)Provider of rental equipment, labor, production management, scenery, and other products to various entertainment end-marketsFirst lien senior secured loan
17.29% (9.52% PIK)
SOFR (Q)8.50%08/201808/202950.2 50.2 50.2 (2)(11)
First lien senior secured loan
12.61% (9.25% PIK)
SOFR (Q)8.13%07/202008/202916.1 16.1 16.1 (2)(11)
First lien senior secured loan
12.61% (9.25% PIK)
SOFR (Q)8.13%06/202108/20290.9 0.9 0.9 (2)(11)
First lien senior secured loan
12.61% (9.25% PIK)
SOFR (Q)8.13%08/202108/20297.8 7.8 7.8 (2)(11)
First lien senior secured loan
12.61% (9.25% PIK)
SOFR (Q)8.13%05/202408/202927.5 27.3 27.5 (2)(11)
Class A units10/2020113,6174.9 5.7 (2)
107.2 108.2 
Professional Fighters League, LLC and PFL MMA, Inc.Mixed martial arts leagueFirst lien senior secured loan
14.00% PIK
01/202101/202622.2 21.8 22.2 (2)
Second lien senior secured loan
16.00% PIK
11/202201/20260.2 0.1 0.2 (2)
Series E preferred stock04/2022219,0350.7 0.7 (2)
Warrant to purchase shares of common stock01/202101/20273,223,1221.7  (2)
Warrant to purchase shares of common stock11/202211/202968,7870.2  (2)
24.5 23.1 
Sandlot Action Sports, LLCYouth sports platformCommon units05/20243,384  
South Florida Motorsports, LLCProfessional sporting eventClass A common interest12/2024265.4 5.4 
Storm Investment S.a.r.l. and Atletico Holdco, S.L.Spanish soccer clubFirst lien senior secured loan3.75%06/202106/202963.9 73.6 63.9 (2)(6)
Senior subordinated loan
10.00% PIK
07/202407/202629.1 31.7 29.9 (2)(6)
Ordinary shares06/20213,958 0.3 (2)(6)
See accompanying notes to consolidated financial statements.
125

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Class A redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class B redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class C redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class D redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class E redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class F redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class G redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class H redeemable shares06/20213,297,7911.6 4.5 (2)(6)
Class I redeemable shares06/20213,297,7911.6 4.5 (2)(6)
119.7 134.6 
The Teaching Company Holdings, Inc.Education publications providerPreferred stock09/200610,6631.1 2.6 (2)
Common stock09/200615,393 0.2 (2)
1.1 2.8 
WRE Sports Investments LLC (15)Professional sports clubFirst lien senior secured loan
11.00% (5.50% PIK)
07/202407/203124.9 24.9 24.4 (2)
11.00%07/202407/20310.4 0.4 0.4 (2)
25.3 24.8 
1,214.2 1,218.3 9.12%
Independent Power and Renewable Electricity Producers
Apex Clean Energy TopCo, LLC (4)Developer, builder and owner of utility-scale wind and solar power facilitiesClass A common units11/20211,335,610134.7 222.3 
BNZ TopCo B.V. (15)Developer and operator of solar photovoltaic plantsSenior subordinated loan8.60%Euribor (Q)5.75%10/202410/203011.8 11.9 11.5 (2)(6)(11)
PosiGen, Inc.Seller and leaser of solar power systems for residential and commercial customersWarrant to purchase shares of series D-1 preferred stock06/202106/20287,616  (2)
Warrant to purchase shares of common stock01/202001/20275,560  (2)
  
Potomac Intermediate Holdings II LLC (5)Gas turbine power generation facilities operatorSeries A units11/2021251,384,442210.8 350.6 
Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLCResidential solar energy providerFirst lien senior secured loan3.61%10/201902/20550.1 0.1 0.1 (2)
Senior subordinated loan
11.49% (8.14% PIK)
SOFR (Q)6.90%11/201911/2025173.2 173.2 169.8 (2)(11)
173.3 169.9 
Sunrun Luna Holdco 2021, LLCResidential solar energy providerSenior subordinated loan11.34%SOFR (Q)6.75%03/202204/2027150.0 150.0 148.5 (2)(6)(11)
See accompanying notes to consolidated financial statements.
126

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLCResidential solar energy providerFirst lien senior secured loan3.98%06/201906/20540.3 0.3 0.3 (2)
Senior subordinated loan
10.00% (6.00% PIK)
SOFR (Q)6.90%06/201907/203081.2 81.2 78.8 (2)(11)
81.5 79.1 
762.2 981.9 7.35%
Capital Goods
AI Aqua Merger Sub, Inc.End to end provider of water solutions to a wide range of customer basesFirst lien senior secured loan8.05%SOFR (M)3.50%06/202107/20281.0 1.0 1.0 (2)(11)(18)
Airx Climate Solutions, Inc. (15)Provider of commercial HVAC equipment and servicesFirst lien senior secured loan10.18%SOFR (Q)5.75%11/202311/20299.8 9.8 9.8 (2)(11)
First lien senior secured loan9.47%SOFR (Q)5.00%07/202411/20299.7 9.7 9.7 (2)(11)
19.5 19.5 
API Commercial Inc., API Military Inc., and API Space Intermediate, Inc.Provider of military aircraft aftermarket parts and distribution, repair and logistics servicesFirst lien senior secured loan05/202208/20256.6 2.3 3.0 (2)(10)
Arrowhead Holdco Company and Arrowhead GS Holdings, Inc.Distributor of non-discretionary, mission-critical aftermarket replacement partsFirst lien senior secured loan
9.91% (2.75% PIK)
SOFR (Q)5.25%08/202108/20280.1 0.1 0.1 (2)(11)
Common stock08/20215,0545.1  (2)
5.2 0.1 
BGIF IV Fearless Utility Services, Inc. (15)Maintenance and installation service provider for electric transmission and distribution infrastructureFirst lien senior secured revolving loan06/202406/2030   (2)(11)(13)
First lien senior secured loan9.45%SOFR (M)5.00%06/202406/203135.2 35.2 35.2 (2)(11)
35.2 35.2 
BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC (15)Provides products and services to the Department of Defense and Intelligence CommunityFirst lien senior secured revolving loan10.40%SOFR (Q)6.00%05/202210/20252.7 2.6 2.7 (2)(11)(14)
First lien senior secured loan10.41%SOFR (Q)6.00%05/202210/20251.8 1.8 1.8 (2)(11)
4.4 4.5 
Burgess Point Purchaser CorporationRemanufacturer of mission-critical and non-discretionary aftermarket vehicle, industrial, energy storage, and solar replacement partsFirst lien senior secured loan9.68%SOFR (Q)5.25%07/202207/202921.8 20.7 19.3 (2)(11)(18)
CPIG Holdco Inc.Distributor of engineered fluid power and complex machined solutionsFirst lien senior secured loan11.69%SOFR (Q)7.00%04/202304/202814.6 14.6 14.6 (2)(11)
DFS Holding Company, Inc. (15)Distributor of maintenance, repair, and operations parts, supplies, and equipment to the foodservice industryFirst lien senior secured loan10.53%SOFR (Q)6.25%01/202301/20292.1 2.0 2.1 (2)(11)
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP (15)Provider of aerospace technology and equipmentFirst lien senior secured revolving loan11.21%SOFR (Q)6.50%12/202012/20274.4 4.4 4.4 (2)(11)
See accompanying notes to consolidated financial statements.
127

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan10.96%SOFR (Q)6.50%12/202012/202725.6 25.6 25.6 (2)(11)
Common units12/20209,773,0009.8 12.0 
39.8 42.0 
EIS Legacy Holdco, LLC (15)Distributor of electric applicator componentsFirst lien senior secured loan9.30%SOFR (Q)4.75%11/202411/203111.6 11.6 11.5 (2)(11)
ESCP PPG Holdings, LLC (4)Distributor of new equipment and aftermarket parts to the heavy-duty truck industryClass A-1 units08/202296,8972.3 1.4 (2)
Class A-2 units12/20163,5003.5 2.2 (2)
5.8 3.6 
Generator US Buyer, Inc. and Total Power Limited (15)Provider of generator-based power solutionsFirst lien senior secured loan8.42%CORRA (Q)5.25%07/202407/20304.8 5.1 4.8 (2)(6)(11)
First lien senior secured loan9.58%SOFR (S)5.25%10/202407/20301.4 1.4 1.4 (2)(6)(11)
6.5 6.2 
GSV Purchaser, Inc. (15)Provider of maintenance, repair, and sales services for commercial emergency power backup generatorsFirst lien senior secured loan9.30%SOFR (M)4.75%08/202408/20310.1 0.1 0.1 (2)(11)
Harvey Tool Company, LLC (15)Manufacturer of cutting tools used in the metalworking industryFirst lien senior secured loan9.64%SOFR (M)5.25%10/202110/20273.6 3.6 3.6 (2)(11)
First lien senior secured loan9.61%SOFR (M)5.25%04/202410/202779.1 79.1 79.1 (2)(11)
82.7 82.7 
Helix Acquisition Holdings, Inc.Manufacturer of springs, fasteners and custom componentsFirst lien senior secured loan11.46%SOFR (M)7.00%03/202303/203011.9 11.9 11.9 (2)(11)
HPCC Parent, Inc. and Patriot Container Corp. (15)Manufacturer of waste handling and recycling equipmentFirst lien senior secured loan
13.00% (7.00% PIK)
09/202409/203078.4 78.4 76.2 (2)
Common stock09/2024459,2084.4 4.4 (2)
82.8 80.6 
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation (5)Provider of high-speed intelligent document scanning hardware and softwareSenior subordinated loan
14.00% (7.00% PIK)
01/201712/202818.5 18.3 18.4 (2)
Class A common stock01/201748,54413.5 47.8 
31.8 66.2 
Kene Acquisition, Inc. and Kene Holdings, L.P. (15)National utility services firm providing engineering and consulting services to natural gas, electric power and other energy and industrial end marketsFirst lien senior secured loan9.83%SOFR (Q)5.25%02/202402/20315.3 5.3 5.3 (2)(11)
Class A units08/20194,549,0000.5 8.8 (2)
5.8 14.1 
LTG Acquisition, Inc.Designer and manufacturer of display, lighting and passenger communication systems for mass transportation marketsClass A membership units01/20175,0005.1  
Maverick Acquisition, Inc.Manufacturer of precision machined components for defense and high-tech industrial platformsFirst lien senior secured loan06/202106/202727.1 27.1 17.6 (2)(10)
See accompanying notes to consolidated financial statements.
128

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
NCWS Intermediate, Inc. and NCWS Holdings LPManufacturer and supplier of car wash equipment, parts and supplies to the conveyorized car wash marketClass A-2 common units12/202012,296,00012.9 14.3 (2)
OPH NEP Investment, LLC (4)Provider of energy services for multi-family property owners, developers, and managersSenior subordinated loan
10.00% (7.00% PIK)
05/202405/203230.3 29.0 30.0 (2)
Class B common units05/202471.5 2.1 
30.5 32.1 
Osmose Utilities Services, Inc. and Pine Intermediate Holding LLCProvider of structural integrity management services to transmission and distribution infrastructureSecond lien senior secured loan11.22%SOFR (M)6.75%06/202106/202955.3 55.3 55.3 (2)(11)
Paris US Holdco, Inc. & 1001028292 Ontario Inc. (15)Manufacturer of high-tolerance precision machined components and assemblies for the aerospace and defense industryFirst lien senior secured loan9.55%SOFR (S)5.00%12/202412/203177.5 77.5 76.7 (2)(6)(11)
Qnnect, LLC and Connector TopCo, LP (15)Manufacturer of highly engineered hermetic packaging productsFirst lien senior secured loan10.33%SOFR (S)5.25%11/202211/202910.5 10.5 10.5 (2)(11)
First lien senior secured loan9.85%SOFR (S)5.25%10/202411/202931.4 31.4 31.4 (2)(11)
Limited partnership interests11/2022992,5009.9 13.3 (2)
51.8 55.2 
Radius Aerospace, Inc. and Radius Aerospace Europe Limited (15)Metal fabricator in the aerospace industryFirst lien senior secured revolving loan
10.55% (0.25% PIK)
SOFR (S)6.00%03/201903/20272.1 2.1 2.0 (2)(6)(11)
First lien senior secured revolving loan
10.70% (0.25% PIK)
SONIA (M)6.00%11/201903/20272.0 2.0 1.9 (2)(6)(11)
First lien senior secured loan
10.48% (0.25% PIK)
SOFR (Q)6.00%06/202403/202710.6 10.6 10.4 (2)(6)(11)
14.7 14.3 
Radwell Parent, LLC (15)Distributor of maintenance, repair, and operations partsFirst lien senior secured revolving loan9.83%SOFR (Q)5.50%12/202204/20290.9 0.8 0.9 (2)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%12/202204/20290.1 0.1 0.1 (2)(11)
0.9 1.0 
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation (15)Manufacturer of metal castings, precision machined components and sub-assemblies in the electrical products, power transmission and distribution and general industrial marketsFirst lien senior secured revolving loan10.21%SOFR (M)5.75%10/201710/20252.1 2.1 2.1 (2)(11)(14)
First lien senior secured loan10.21%SOFR (M)5.75%04/202410/20253.8 3.8 3.8 (2)(11)
5.9 5.9 
Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P. (15)Provider of aircraft component maintenance, repair, and overhaul servicesFirst lien senior secured loan9.74%SOFR (Q)5.00%05/202405/203135.9 35.9 35.9 (2)(11)
Series A common units05/20241,0421.0 1.4 (2)
36.9 37.3 
See accompanying notes to consolidated financial statements.
129

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Two Six Labs, LLC (15)Provider of information operations, cyber, and data analytics products and services for government and defense contractsFirst lien senior secured loan10.33%SOFR (Q)6.00%10/202308/20278.6 8.6 8.6 (2)(11)
710.9 736.5 5.52%
Pharmaceuticals, Biotechnology and Life Sciences
Abzena Holdings, Inc. and Astro Group Holdings Ltd.Organization providing discovery, development and manufacturing services to the pharmaceutical and biotechnology industriesA ordinary shares05/20212,476,7445.7 4.0 (2)(6)
ADMA Biologics Inc.Biopharmaceutical companyFirst lien senior secured loan10.85%SOFR (Q)6.50%12/202312/20273.4 3.3 3.4 (2)(6)(11)
Alcami Corporation and ACM Note Holdings, LLC (15)Outsourced drug development services providerFirst lien senior secured revolving loan11.44%SOFR (M)7.00%12/202212/20280.1 0.1 0.1 (2)(11)
First lien senior secured loan11.66%SOFR (Q)7.00%12/202212/202810.0 10.0 10.0 (2)(11)
Senior subordinated loan
10.00% PIK
12/202206/202923.2 23.2 23.2 (2)
33.3 33.3 
Athyrium Buffalo LPBiotechnology company engaging in the development, manufacture, and commercialization of novel neuromodulatorsLimited partnership interests06/20227,628,9667.6 7.6 (2)(6)
Limited partnership interests08/20233,756,3953.7 3.8 (2)(6)
11.3 11.4 
Bamboo US BidCo LLC (15)Biopharmaceutical companyFirst lien senior secured loan9.77%SOFR (Q)5.25%09/202309/203032.5 32.5 32.5 (2)(11)
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc. (15)Provider of biological products to life science and pharmaceutical companiesFirst lien senior secured revolving loan9.86%SOFR (M)5.50%10/202110/20270.7 0.7 0.7 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%10/202110/202831.1 31.1 31.1 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%06/202310/202811.4 11.4 11.4 (2)(11)
First lien senior secured loan9.86%SOFR (M)5.50%08/202410/20286.9 6.9 6.9 (2)(11)
Preferred units
8.00% PIK
10/202110/20513,0203.9 4.0 (2)
Series A preferred shares
13.75% PIK
10/202160,23694.1 95.6 (2)
Class A common units10/202130,500  (2)
148.1 149.7 
Creek Parent, Inc. and Creek Feeder, L.P. (15)Provider of delivery technologies, development, drug manufacturing, biologics, gene therapies and consumer health productsFirst lien senior secured loan9.63%SOFR (S)5.25%12/202412/2031208.7 208.7 205.0 (2)(11)
Limited partnership interest12/20246,891,0006.9 6.9 (2)
215.6 211.9 
See accompanying notes to consolidated financial statements.
130

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Gula Buyer Inc.Distributor and manufacturer of veterinarian-grade pet prescription medications and health productsFirst lien senior secured loan9.55%SOFR (M)5.00%10/202410/2031125.6 125.6 124.0 (2)(11)
NMC Skincare Intermediate Holdings II, LLC (15)Developer, manufacturer and marketer of skincare productsFirst lien senior secured revolving loan10.69%SOFR (M)6.00%10/201811/20265.0 5.0 4.6 (2)(11)
First lien senior secured revolving loan10.44%SOFR (M)6.00%05/202211/20260.1 0.1 0.1 (2)(11)
First lien senior secured loan
10.75% (1.00% PIK)
SOFR (Q)6.00%10/201811/202630.4 30.4 28.0 (2)(11)
First lien senior secured loan
10.75% (1.00% PIK)
SOFR (Q)6.00%05/202211/20264.5 4.5 4.1 (2)(11)
40.0 36.8 
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P. (15)Contract research organization providing research and development and testing of medical devicesFirst lien senior secured revolving loan9.05%SOFR (Q)4.50%09/202103/20272.5 2.5 2.4 (2)(11)
First lien senior secured loan10.50%SOFR (Q)6.00%09/202009/202746.6 46.6 44.7 (2)(11)
First lien senior secured loan10.50%SOFR (Q)6.00%12/202009/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan10.50%SOFR (Q)6.00%02/202109/20272.5 2.5 2.4 (2)(11)
First lien senior secured loan10.50%SOFR (Q)6.00%09/202109/20279.3 9.3 8.9 (2)(11)
Senior subordinated loan
11.00% PIK
03/202303/20251.7 1.7 1.6 (2)
Senior subordinated loan
20.00% PIK
11/202403/20281.0 1.0 1.0 (2)
Class A preferred units
8.00% PIK
09/202013,52818.9 19.6 (2)
82.6 80.7 
Verista, Inc. (15)Provides systems consulting for compliance, automation, validation, and packaging solutions to the healthcare sectorFirst lien senior secured revolving loan10.61%SOFR (Q)6.00%05/202202/20270.7 0.5 0.6 (2)(11)
First lien senior secured loan
11.11% (0.50% PIK)
SOFR (Q)6.50%05/202202/20270.8 0.8 0.7 (2)(11)
1.3 1.3 
Vertice Pharma UK Parent LimitedManufacturer and distributor of generic pharmaceutical productsPreferred shares12/201540,662  (6)
WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P. (15)Manufacturer of monoclonal antibodiesFirst lien senior secured loan10.78%SOFR (Q)6.25%11/202311/20305.0 5.0 5.0 (2)(11)
Limited partnership interest11/20231,529,0001.5 1.4 (2)
6.5 6.4 
705.8 695.4 5.21%
Consumer Durables and Apparel
760203 N.B. LTD. (15)Manufacturer of hockey equipment and related accessoriesFirst lien senior secured loan8.80%CDOR (S)5.50%12/202412/203035.2 35.2 34.3 (2)(6)(11)
See accompanying notes to consolidated financial statements.
131

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Bowhunter Holdings, LLCProvider of branded archery and bowhunting accessoriesCommon units04/20144214.2  
Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P. (4)Designer, marketer and distributor of licensed and owned apparelFirst lien senior secured loan10.03%SOFR (Q)5.50%02/202408/202928.4 26.6 28.4 (2)(11)
Senior subordinated loan
12.53% PIK
SOFR (Q)8.00%02/202402/203126.6 25.1 26.6 (2)(11)
Senior subordinated loan11.03%SOFR (Q)6.50%02/202402/203129.3 27.4 29.3 (2)(11)
Class A limited partnership interests02/20246.27%2.9 18.5 (2)
82.0 102.8 
DRS Holdings III, Inc. and DRS Holdings I, Inc. (15)Footwear and orthopedic foot-care brandFirst lien senior secured loan10.71%SOFR (M)6.25%11/201911/202526.1 26.1 25.9 (2)(11)
First lien senior secured loan10.71%SOFR (M)6.25%06/202111/202524.1 24.1 23.8 (2)(11)
Common stock11/20198,5498.5 7.3 (2)
58.7 57.0 
Implus Footcare, LLCProvider of footwear and other accessoriesFirst lien senior secured loan06/201607/20251.3 1.2 1.0 (2)(10)
First lien senior secured loan06/201707/2025117.3 114.9 93.8 (2)(10)
First lien senior secured loan07/201807/20255.0 4.9 4.0 (2)(10)
121.0 98.8 
Johnnie-O Inc. and Johnnie-O Holdings Inc.Apparel retailerFirst lien senior secured loan10.99%SOFR (Q)6.25%03/202203/202717.5 17.2 17.5 (2)(11)
Series A convertible preferred stock03/2022144,2104.2 5.0 (2)
Warrant to purchase shares of common stock03/202203/203293,5771.5 3.2 (2)
22.9 25.7 
Lew's Intermediate Holdings, LLC (15)Outdoor brand holding companyFirst lien senior secured revolving loan8.87%SOFR (Q)4.50%02/202102/20261.0 1.0 0.8 (2)(14)
First lien senior secured loan9.51%SOFR (Q)5.00%02/202102/20281.0 1.0 0.8 (2)(11)
2.0 1.6 
Pelican Products, Inc. (15)Flashlights manufacturerFirst lien senior secured revolving loan8.48%SOFR (Q)4.00%12/202112/20261.6 1.6 1.4 (2)(11)
Second lien senior secured loan12.34%SOFR (Q)7.75%12/202112/202960.0 60.0 55.2 (2)(11)
61.6 56.6 
Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P. (15)(16)Sports equipment manufacturing companyFirst lien senior secured revolving loan8.08%SOFR (Q)3.75%11/202411/20297.9 7.9 7.9 (2)(11)
First lien senior secured loan9.23%SOFR (Q)4.75%12/202011/203043.8 43.8 43.8 (2)(11)
First lien senior secured loan9.23%SOFR (Q)4.75%11/202111/20300.1 0.1 0.1 (2)(11)
First lien senior secured loan9.23%SOFR (Q)4.75%02/202411/20305.6 5.6 5.6 (2)(11)
First lien senior secured loan10.17%SOFR (S)5.50%11/202411/20303.4 3.4 3.4 (2)(11)
Limited partnership interest06/202410,918,65610.9 10.9 (2)
71.7 71.7 
See accompanying notes to consolidated financial statements.
132

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Reef Lifestyle, LLC (15)Apparel retailerFirst lien senior secured revolving loan
12.49% (2.25% PIK)
SOFR (M)8.00%10/201810/202727.3 27.3 27.3 (2)(11)(14)
First lien senior secured revolving loan
12.51% (2.25% PIK)
SOFR (Q)8.00%07/202010/20273.9 3.8 3.9 (2)(11)(14)
First lien senior secured loan
12.51% (2.25% PIK)
SOFR (Q)8.00%10/201810/202721.1 21.0 21.0 (2)(11)
First lien senior secured loan
12.51% (2.25% PIK)
SOFR (Q)8.00%07/202010/20273.4 3.4 3.4 (2)(11)
55.5 55.6 
S Toys Holdings LLC (fka The Step2 Company, LLC) (5)Toy manufacturerCommon units04/20111,116,879  
Class B common units10/2014126,278,000  
Warrant to purchase units04/201012/20503,157,895  
  
Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC (4)(15)Manufacturer and distributor of slip resistant footwearFirst lien senior secured loan11.17%SOFR (M)6.50%04/202407/20291.2 1.2 1.2 (2)(11)
First lien senior secured loan11.17%SOFR (M)6.50%06/202407/20296.5 6.5 6.5 (2)(11)
First lien senior secured loan
11.67% (5.00% PIK)
SOFR (M)7.00%06/202407/20293.7 3.7 3.7 (2)(11)
Class A common units06/20248,47410.5 11.3 (2)
21.9 22.7 
St Athena Global LLC and St Athena Global Holdings Limited (15)Designer and manufacturer of branded premium-quality tablewareFirst lien senior secured revolving loan9.84%SOFR (Q)5.25%06/202406/20290.7 0.7 0.7 (2)(6)(11)
First lien senior secured loan9.82%SOFR (Q)5.25%06/202406/203030.0 30.0 29.4 (2)(6)(11)
First lien senior secured loan9.95%SONIA (M)5.25%06/202406/203017.0 17.2 16.7 (2)(6)(11)
47.9 46.8 
SVP-Singer Holdings Inc. and SVP-Singer Holdings LPManufacturer of consumer sewing machinesClass A common units07/20216,264,70626.1  (2)
Team Acquisition Corporation (15)Provider of team uniforms and athletic wearFirst lien senior secured loan10.90%SOFR (M)6.50%01/202411/202934.6 34.0 32.8 (2)(11)
644.7 606.4 4.54%
Food and Beverage
American Seafoods Group LLC and American Seafoods Partners LLCHarvester and processor of seafoodClass A units08/201577,9220.1  (2)
Warrant to purchase units of Class A units08/201508/20357,422,0787.4 2.5 (2)
7.5 2.5 
Badia Spices, LLC (15)Spices & seasonings brandFirst lien senior secured loan9.07%SOFR (Q)4.50%11/202411/2030122.0 122.0 119.9 (2)(11)
Berner Food & Beverage, LLC (15)Supplier of dairy-based food and beverage productsFirst lien senior secured loan10.30%SOFR (S)5.50%12/202407/20271.4 1.4 1.4 (2)(11)
Bragg Live Food Products, LLC and SPC Investment Co., L.P. (4)(15)Health food companyFirst lien senior secured loan10.43%SOFR (Q)6.00%12/202012/202523.1 23.1 23.1 (2)(11)
Common units03/201914,85011.5 33.2 (2)
34.6 56.3 
See accompanying notes to consolidated financial statements.
133

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
CHG PPC Parent LLC & PPC CHG Blocker LLCDiversified food products manufacturerCommon units12/2021593.0 4.7 (2)
Demakes Borrower, LLC (15)Value-added protein manufacturerFirst lien senior secured loan10.45%SOFR (M)6.00%12/202312/20296.2 6.2 6.2 (2)(11)
Florida Food Products, LLCProvider of plant extracts and juicesFirst lien senior secured loan9.59%SOFR (Q)5.00%10/202110/20280.4 0.4 0.4 (2)(11)
First lien senior secured loan9.33%SOFR (Q)5.00%06/202210/20280.4 0.4 0.4 (2)(11)
Second lien senior secured loan12.59%SOFR (Q)8.00%10/202110/202971.8 71.8 61.0 (2)(11)
72.6 61.8 
Gotham Greens Holdings, PBCProducer of vegetables and culinary herbs for restaurants and retailersFirst lien senior secured loan
14.24% (2.00% PIK)
SOFR (S)9.25%06/202212/202636.8 36.8 36.8 (11)
Series E-1 preferred stock
6.00% PIK
06/2022188,60514.2 11.5 (2)
Warrant to purchase shares of Series E-1 preferred stock06/202206/203278,216  (2)
51.0 48.3 
KNPC HoldCo, LLCProducer of trail mix and mixed nut snack productsFirst lien senior secured loan10.99%SOFR (S)5.75%04/202210/20295.5 5.5 5.5 (2)(11)
First lien senior secured loan12.24%SOFR (S)7.00%12/202210/20291.3 1.3 1.3 (2)(11)
First lien senior secured loan11.49%SOFR (S)6.25%11/202310/20292.7 2.7 2.7 (2)(11)
First lien senior secured loan10.27%SOFR (M)5.75%12/202410/202927.6 27.6 26.8 (2)(11)
37.1 36.3 
Manna Pro Products, LLC (15)Manufacturer and supplier of specialty nutrition and care products for animalsFirst lien senior secured revolving loan10.53%SOFR (S)6.00%12/202012/20265.1 5.1 4.2 (2)(11)
First lien senior secured revolving loan12.50%Base Rate (Q)5.00%12/202012/20261.8 1.8 1.4 (2)(11)
6.9 5.6 
Max US Bidco Inc.Manufacturer of premium dry dog foodFirst lien senior secured loan9.36%SOFR (M)5.00%10/202310/20301.0 0.9 1.0 (2)(18)
RB Holdings InterCo, LLC (15)Manufacturer of pet food and treatsFirst lien senior secured revolving loan9.56%SOFR (M)5.00%05/202205/20281.5 1.5 1.5 (2)(11)
First lien senior secured loan9.62%SOFR (M)5.00%05/202205/202811.3 11.3 11.0 (2)(11)
12.8 12.5 
Sugar PPC Buyer LLC (15)Manufacturer and distributor of food productsFirst lien senior secured loan9.69%SOFR (M)5.25%10/202310/203015.7 15.7 15.7 (2)(11)
Teasdale Foods, Inc. and Familia Group Holdings Inc.Provider of beans, sauces and hominy to the retail, foodservice and wholesale channelsFirst lien senior secured loan11.99%SOFR (Q)7.25%12/202012/202575.9 75.9 72.9 (2)(11)
Warrant to purchase shares of common stock02/201902/203457,827  (2)
75.9 72.9 
Triton Water Holdings, Inc.Producer and provider of bottled water brandsFirst lien senior secured loan7.84%SOFR (Q)3.25%03/202103/20281.0 1.0 1.0 (2)(11)(18)
Senior subordinated loan6.25%03/202104/20290.1 0.1 0.1 (2)(18)
1.1 1.1 
Watermill Express, LLC and Watermill Express Holdings, LLC (15)Owner and operator of self-service water and ice stationsFirst lien senior secured revolving loan9.81%SOFR (Q)5.25%04/202107/20290.4 0.4 0.4 (2)(11)(14)
See accompanying notes to consolidated financial statements.
134

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.73%SOFR (Q)5.25%04/202107/202920.7 20.7 20.7 (2)(11)
First lien senior secured loan9.74%SOFR (Q)5.25%01/202407/20295.6 5.6 5.6 (2)(11)
First lien senior secured loan9.23%SOFR (Q)4.75%08/202407/20290.9 0.9 0.9 (2)(11)
Class A units04/2021282,2003.1 5.8 
30.7 33.4 
479.4 479.6 3.59%
Automobiles and Components
Automotive Keys Group, LLC and Automotive Keys Investor, LLCProvider of replacement wireless keys for automotive marketFirst lien senior secured loan10.98%SOFR (Q)6.50%12/202111/20250.1 0.1 0.1 (2)(11)
First lien senior secured loan10.98%SOFR (Q)6.50%12/202211/20254.7 4.7 4.2 (2)(11)
Preferred units11/20204,113,1135.1 0.3 (2)
Preferred units11/20201,095,0461.1 0.1 (2)
Class A common units11/20205,208,159  (2)
11.0 4.7 
Collision SP Subco, LLC (15)Provider of auto body collision repair servicesFirst lien senior secured revolving loan10.09%SOFR (Q)5.50%01/202401/20300.1 0.1 0.1 (2)(11)
First lien senior secured loan10.09%SOFR (Q)5.50%01/202401/20306.9 6.9 6.9 (2)(11)
7.0 7.0 
Continental Acquisition Holdings, Inc.Distributor of aftermarket batteries to the electric utility vehicle, automotive, commercial, marine and industrial marketsFirst lien senior secured loan7.41%SOFR (Q)2.93%01/202101/202737.8 37.0 29.1 (2)(11)
First lien senior secured loan7.41%SOFR (Q)2.93%12/202101/20275.6 5.5 4.3 (2)(11)
42.5 33.4 
Eckler Purchaser LLC (5)Restoration parts and accessories provider for classic automobilesClass A common units07/201267,972  (2)
Faraday Buyer, LLC (15)Manufacturer and supplier for the power utility and automotive markets worldwideFirst lien senior secured loan10.33%SOFR (Q)6.00%10/202210/202854.9 54.9 54.9 (2)(11)
First lien senior secured loan10.33%SOFR (Q)6.00%11/202310/20287.8 7.8 7.8 (2)(11)
62.7 62.7 
Faraday&Future Inc., FF Inc., Faraday SPE, LLC and Faraday Future Intelligent Electric Inc.Electric vehicle manufacturerWarrant to purchase shares of Class A common stock08/202108/202727,824,5272.3  (2)
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC (15)Manufacturer and distributor of automotive fluidsFirst lien senior secured revolving loan11/202008/2027   (2)(13)
Second lien senior secured loan11.83%SOFR (Q)7.25%11/202011/202870.4 70.4 70.4 (2)(11)
Co-invest units11/202059,2305.9 10.0 (2)
76.3 80.4 
See accompanying notes to consolidated financial statements.
135

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
New ChurcHill HoldCo LLC and Victory Topco, LP (15)Operator of collision repair centersFirst lien senior secured loan9.83%SOFR (Q)5.50%11/202311/202914.4 14.4 14.4 (2)(11)
Class A-2 common units11/202320,1702.0 3.4 (2)
16.4 17.8 
Sun Acquirer Corp. and Sun TopCo, LP (15)Automotive parts and repair services retailerFirst lien senior secured revolving loan09/202109/2027   (2)(13)
First lien senior secured loan9.36%SOFR (M)5.00%09/202109/202852.8 52.6 52.8 (2)(11)
First lien senior secured loan9.36%SOFR (M)5.00%11/202109/202816.6 16.6 16.6 (2)(11)
First lien senior secured loan9.36%SOFR (M)5.00%06/202209/20289.5 9.5 9.5 (2)(11)
First lien senior secured loan9.36%SOFR (M)5.00%11/202409/20280.9 0.9 0.9 (2)(11)
Class A units09/202179,6888.0 10.6 (2)
87.6 90.4 
Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC (15)Provider of global transportation safety and productivity applicationsFirst lien senior secured loan10.27%SOFR (Q)5.75%02/202402/203180.9 80.9 80.9 (2)(11)
Class A common units02/20242,5016.2 6.5 
87.1 87.4 
392.9 383.8 2.87%
Materials
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP (15)Manufacturer and supplier of printed packaging and trimmingsFirst lien senior secured revolving loan10.47%SOFR (M)6.00%12/202112/20271.2 1.2 1.2 (2)(11)
First lien senior secured loan10.85%SOFR (Q)6.00%12/202112/20270.1 0.1 0.1 (2)(11)
First lien senior secured loan10.57%SOFR (M)6.00%10/202412/20273.3 3.3 3.3 (2)(11)
Class A units12/2021195,99019.6 13.9 (2)
24.2 18.5 
Halex Holdings, Inc. (5)Manufacturer of flooring installation productsCommon stock01/201751,853  
H-Food Holdings, LLC and Matterhorn Parent, LLCFood contract manufacturerFirst lien senior secured loan12/202105/20250.1 0.1 0.1 (2)(10)
First lien senior secured loan06/202205/202524.5 23.5 16.1 (2)(10)
First lien senior secured loan07/202205/20253.3 3.2 2.1 (2)(10)
Second lien senior secured loan11/201803/202673.0 3.8 3.8 (2)(10)
Common units11/20185,8275.8  
36.4 22.1 
Meyer Laboratory, LLC and Meyer Parent, LLC (15)Provider of industrial and institutional cleaning chemicals and application systemsFirst lien senior secured loan9.61%SOFR (M)5.25%02/202402/203027.1 27.1 27.1 (2)(11)
Common units02/2024440,0000.4 0.5 
27.5 27.6 
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V. (15)Manufacturer of thermoformed packaging for medical devicesFirst lien senior secured revolving loan9.86%SOFR (M)5.50%03/202403/20311.1 1.1 1.1 (2)(6)(11)
See accompanying notes to consolidated financial statements.
136

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured revolving loan8.32%Euribor (M)5.50%03/202403/20310.6 0.6 0.5 (2)(6)(11)
First lien senior secured loan9.86%SOFR (M)5.50%03/202403/203116.5 16.5 16.2 (2)(6)(11)
First lien senior secured loan8.36%Euribor (M)5.50%03/202403/203132.1 33.6 31.4 (2)(6)(11)
Class A units07/20196,762,6686.8 7.0 (2)(6)
58.6 56.2 
Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C.Developer and manufacturer of absorbent pads for food productsFirst lien senior secured loan
12.71% (1.00% PIK)
SOFR (M)8.25%12/202012/202622.1 22.1 20.3 (2)(11)
First lien senior secured loan
12.71% (1.00% PIK)
SOFR (M)8.25%12/202212/20260.3 0.3 0.2 (2)(11)
Class A preferred units12/20204,7724.6 2.7 (2)
Class C units12/20204,772  (2)
27.0 23.2 
Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLCManufacturer of specialized acrylic and polycarbonate sheetsFirst lien senior secured loan8.78%SOFR (Q)4.00%12/201812/202522.1 21.8 21.4 (2)(11)(18)
Second lien senior secured loan12.12%SOFR (S)7.25%12/201812/202655.0 55.0 53.3 (2)(11)
Preferred units
15.00% PIK
10/20238410.1  (2)
Co-Invest units12/20185,9690.6 0.3 (2)
77.5 75.0 
Precision Concepts International LLC and Precision Concepts Canada Corporation (15)Manufacturer of diversified packaging solutions and plastic injection molded productsFirst lien senior secured revolving loan9.93%SOFR (Q)5.50%01/201904/20263.6 3.6 3.6 (2)(6)(11)
First lien senior secured revolving loan12.00%Base Rate (Q)4.50%01/201904/20260.7 0.7 0.7 (2)(6)(11)
First lien senior secured loan9.93%SOFR (Q)5.50%01/201904/202611.5 11.5 11.5 (2)(6)(11)
First lien senior secured loan9.93%SOFR (Q)5.50%06/202104/20260.1 0.1 0.1 (2)(6)(11)
First lien senior secured loan9.93%SOFR (Q)5.50%05/202204/20260.1 0.1 0.1 (2)(6)(11)
16.0 16.0 
Reagent Chemical & Research, LLC (15)Supplier of liquid hydrochloric acidFirst lien senior secured revolving loan04/202404/2030   (2)(11)(13)
First lien senior secured loan9.61%SOFR (M)5.25%04/202404/203147.6 47.6 47.6 (2)(11)
47.6 47.6 
SCI PH Parent, Inc.Industrial container manufacturer, reconditioner and servicerSeries B shares08/2018111.1 2.1 (2)
Vobev, LLC and Vobev Holdings, LLC (15)Producer and filler of aluminum beverage cansFirst lien senior secured loan
13.36% PIK
SOFR (M)9.00%12/202403/20253.4 3.3 3.4 (2)
First lien senior secured loan04/202304/202863.9 62.6 19.2 (2)(10)
First lien senior secured loan01/202404/20285.7 5.6 1.7 (2)(10)
First lien senior secured loan05/202404/20288.4 8.0 2.5 (2)(10)
First lien senior secured loan09/202404/20284.2 4.1 1.3 (2)(10)
First lien senior secured loan11/202404/20282.5 2.4 0.7 (2)(10)
Warrant to purchase shares of ordinary shares04/202311/20334,378  (2)
See accompanying notes to consolidated financial statements.
137

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
Warrant to purchase units of class B units11/202304/202859,450  (2)
86.0 28.8 
401.9 317.1 2.37%
Household and Personal Products
Beacon Wellness Brands, Inc. and CDI Holdings I Corp. (15)Provider of personal care appliancesFirst lien senior secured loan
10.71% (0.50% PIK)
SOFR (M)6.25%12/202112/20273.7 3.7 3.6 (2)(11)
Common stock12/20216,1496.1 3.6 (2)
9.8 7.2 
Foundation Consumer Brands, LLCPharmaceutical holding company of over the counter brandsFirst lien senior secured loan10.89%SOFR (Q)6.25%02/202102/202712.6 12.5 12.6 (2)(11)
First lien senior secured loan10.89%SOFR (Q)6.25%06/202302/20270.2 0.2 0.2 (2)(11)
12.7 12.8 
LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P.Provider of intimate wellness productsFirst lien senior secured loan11.08%SOFR (Q)6.75%11/202211/202818.3 18.3 18.3 (2)(6)(11)
First lien senior secured loan10.81%SOFR (Q)6.50%12/202311/20288.3 8.8 8.3 (2)(6)(11)
Preferred units
8.00% PIK
11/20223,1783.7 3.7 (2)(6)
Class B common units11/202232,105 1.0 (2)(6)
30.8 31.3 
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P. (15)Manufacturer and supplier of natural fragrance materials and cosmeceuticalsFirst lien senior secured revolving loan11.46%SOFR (M)7.00%08/202108/20271.0 1.0 1.0 (2)(11)
First lien senior secured loan
11.46% (3.50% PIK)
SOFR (M)7.00%08/202108/202728.0 28.0 26.3 (2)(11)
Limited partner interests08/20214.03%5.0 3.0 (2)
34.0 30.3 
RD Holdco Inc. (5)Manufacturer and marketer of carpet cleaning machinesSenior subordinated loan01/201710/202632.6 22.0 14.2 (2)(10)
Senior subordinated loan04/202310/20261.2 0.9 0.5 (2)(10)
Common stock01/2017458,59614.0  
36.9 14.7 
Silk Holdings III Corp. and Silk Holdings I Corp. (15)Producer of personal care productsFirst lien senior secured revolving loan8.33%SOFR (Q)4.00%05/202305/20290.1 0.1 0.1 (2)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202305/20295.4 5.4 5.4 (2)(11)
First lien senior secured loan9.83%SOFR (Q)5.50%05/202405/202955.9 55.9 55.9 (2)(11)
Common stock05/202314,19914.2 37.4 (2)
75.6 98.8 
TCI Buyer LLC and TCI Holdings, LP (15)Contract formulator and manufacturer of beauty and personal care productsFirst lien senior secured loan9.09%SOFR (M)4.75%11/202411/203033.6 33.6 33.1 (2)(11)
Common stock11/202424,0102.4 2.4 (2)
36.0 35.5 
Walnut Parent, Inc.Manufacturer of natural solution pest and animal control productsFirst lien senior secured loan9.96%SOFR (M)5.50%11/202011/202714.3 14.3 13.9 (2)(11)
See accompanying notes to consolidated financial statements.
138

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.96%SOFR (M)5.50%04/202211/20270.1 0.1 0.1 (2)(11)
14.4 14.0 
250.2 244.6 1.83%
Energy
GNZ Energy Bidco Limited and Galileo Co-investment Trust I (15)Independent fuel provider in New ZealandFirst lien senior secured loan10.60%BKBM (Q)6.00%05/202207/202727.2 30.5 27.2 (2)(6)(11)
Common units07/202217,616,6675.1 8.4 (2)(6)
35.6 35.6 
HighPeak Energy, Inc.Oil and gas exploration and production companyFirst lien senior secured loan11.98%SOFR (Q)7.50%09/202309/202682.7 81.4 82.7 (2)(6)(11)
Murchison Holdings, LLCExploration and production companyPreferred units06/202241,000 6.7 
Offen, Inc.Distributor of fuel, lubricants, diesel exhaust fluid, and premium additivesFirst lien senior secured loan9.47%SOFR (M)5.00%05/202206/20260.1 0.1 0.1 (2)
VPROP Operating, LLC and V SandCo, LLC (5)(15)Sand-based proppant producer and distributor to the oil and natural gas industryFirst lien senior secured loan
14.21% PIK
SOFR (M)9.50%03/201711/202628.0 28.0 28.0 (2)(11)
First lien senior secured loan
14.21% PIK
SOFR (M)9.50%06/202011/20266.2 6.2 6.2 (2)(11)
First lien senior secured loan
14.21% PIK
SOFR (M)9.50%11/202011/20265.1 5.1 5.1 (2)(11)
First lien senior secured loan
13.85% PIK
SOFR (M)9.50%12/202411/20264.5 4.5 4.5 (2)(11)
Class A units11/2020347,90032.8 32.0 (2)
76.6 75.8 
193.7 200.9 1.50%
Technology Hardware and Equipment
Chariot Buyer LLC (15)Provider of smart access solutions across residential and commercial propertiesFirst lien senior secured loan8.11%SOFR (M)3.75%01/202411/20280.1 0.1 0.1 (2)(11)(18)
Everspin Technologies, Inc.Designer and manufacturer of computer memory solutionsWarrant to purchase shares of common stock10/201610/202618,4610.4  
Excelitas Technologies Corp. (15)Provider of photonic solutionsFirst lien senior secured loan9.61%SOFR (M)5.25%05/202408/20297.1 7.1 7.1 (2)(11)
FL Hawk Intermediate Holdings, Inc. (15)Provider of variable data labeling for the apparel industryFirst lien senior secured loan8.83%SOFR (Q)4.50%10/202402/20309.3 9.2 9.3 (2)(11)
ITI Holdings, Inc. (15)Provider of innovative software and equipment for motor vehicle agenciesFirst lien senior secured revolving loan9.96%SOFR (M)5.50%03/202203/20282.7 2.7 2.7 (2)(11)
First lien senior secured revolving loan12.00%Base Rate (Q)4.50%03/202203/20281.4 1.4 1.4 (2)(11)
First lien senior secured loan10.05%SOFR (Q)5.50%03/202203/202834.3 34.3 34.3 (2)(11)
38.4 38.4 
PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P. (15)Provider of analytical instrumentation and testing equipment and servicesFirst lien senior secured loan9.34%SOFR (M)5.00%03/202303/202917.2 17.2 17.2 (2)(11)
First lien senior secured loan9.34%SOFR (M)5.00%10/202303/20292.8 2.8 2.8 (2)(11)
See accompanying notes to consolidated financial statements.
139

ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED SCHEDULE OF INVESTMENTS    
As of December 31, 2024
(dollar amounts in millions)

Company (1)Business DescriptionInvestmentCoupon (3)Reference (7)Spread (3)Acquisition DateMaturity DateShares/UnitsPrincipalAmortized CostFair Value% of Net Assets
First lien senior secured loan9.34%SOFR (M)5.00%05/202403/20293.2 3.2 3.2 (2)(11)
Class A-2 units01/202234,8324.8 5.4 
Limited partnership interests03/20230.55%9.9 15.1 (2)
37.9 43.7 
Repairify, Inc. and Repairify Holdings, LLC (15)Provider of automotive diagnostics scans and solutionsFirst lien senior secured revolving loan9.95%SOFR (S)5.00%06/202106/20277.3 7.3 7.3 (2)(11)
Class A common units06/2021163,8204.9 4.2 (2)
12.2 11.5 
105.3 110.1 0.82%
Gas Utilities
Ferrellgas, L.P. and Ferrellgas Partners, L.P.Distributor of propane and related accessoriesSenior preferred units8.96%03/202164,15564.2 64.8 
Class B units09/202295,35415.4 19.7 (2)
79.6 84.5 
Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc.Owner of natural gas facilitiesFirst lien senior secured loan7.83%SOFR (M)3.50%09/202309/20280.1 0.1 0.1 (2)(6)
Class A common stock07/20223,059,53323.3 10.4 (6)(18)
23.4 10.5 
103.0 95.0 0.71%
Telecommunication Services
Expereo USA, Inc. and Ristretto Bidco B.V. (15)Global internet managed service providerFirst lien senior secured loan10.40%SOFR (Q)6.00%12/202412/203056.0 56.0 55.5 (2)(6)(11)
56.0 55.5 0.42%
Transportation
Nordic Ferry Infrastructure ASPrivate passenger & freight ferry transportation companySenior subordinated loan7.91%Euribor (Q)5.00%11/202411/20310.1 0.1 0.1 (2)(6)
Senior subordinated loan9.70%NIBOR (Q)5.00%11/202411/20310.1 0.1 0.1 (2)(6)
0.2 0.2 
0.2 0.2 %
Total Investments$26,374.0 $26,719.9 (19)200.09%
See accompanying notes to consolidated financial statements.
140




Derivative Instruments

Foreign currency forward contracts
DescriptionNotional Amount to be PurchasedNotional Amount to be SoldCounterpartySettlement DateUnrealized Appreciation / (Depreciation)
Foreign currency forward contract$195 182 Canadian Imperial Bank of CommerceJanuary 24, 2025$6 
Foreign currency forward contract$184  CAD 240 Canadian Imperial Bank of CommerceJanuary 24, 20255 
Foreign currency forward contract$109 103 Royal Bank of CanadaJanuary 24, 20254 
Foreign currency forward contract$96  NOK 97 Royal Bank of CanadaJanuary 24, 2025 
Foreign currency forward contract$93  CAD 133 Royal Bank of CanadaJanuary 21, 2025 
Foreign currency forward contract$84 £68 Royal Bank of CanadaAugust 21, 2026 
Foreign currency forward contract$84 £65 Royal Bank of CanadaJanuary 24, 20252 
 Foreign currency forward contract  $ 76 £59 Canadian Imperial Bank of CommerceJanuary 24, 20252 
Foreign currency forward contract$41  NZD 68 Royal Bank of CanadaJanuary 24, 20253 
Foreign currency forward contract$40  CAD 55 Royal Bank of CanadaJanuary 24, 20252 
Foreign currency forward contract$19 £15 Canadian Imperial Bank of CommerceAugust 21, 2026 
Foreign currency forward contract$14  AUD 21 Canadian Imperial Bank of CommerceNovember 17, 2026 
Foreign currency forward contract$6  NOK 63 Canadian Imperial Bank of CommerceJanuary 24, 2025 
Total$24 
Interest rate swaps
DescriptionHedged ItemCompany ReceivesCompany PaysCounterpartyMaturity DateNotional AmountFair Value Upfront Payments/Receipts Change in Unrealized Appreciation / (Depreciation)
Interest rate swap January 2027 Notes7.000 %
SOFR +2.581%
Wells Fargo Bank, N.A. 01/15/2027$900 $4 $ $(11)
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.023%
Wells Fargo Bank, N.A.03/01/20291,000 (9) (9)
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.643%
Wells Fargo Bank, N.A.07/15/2029850 7  7 
Total$2,750 $2 $ $(13)
______________________________________________

(1)Other than the Company’s investments listed in footnote 5 below (subject to the limitations set forth therein), the Company does not “Control” any of its portfolio companies, for the purposes of the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”). In general, under the Investment Company Act, the Company would “Control” a portfolio company if the Company owned more than 25% of its outstanding voting securities (i.e., securities with the right to elect directors) and/or had the power to exercise control over the management or policies of such portfolio company. All of the Company’s portfolio company investments, which as of December 31, 2024 represented 200% of the Company’s net assets or 95% of the Company’s total assets, are subject to legal restrictions on sales.

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

(3)Investments without an interest rate are non-income producing.
See accompanying notes to consolidated financial statements.
141




(4)As defined in the Investment Company Act, the Company is deemed to be an “Affiliated Person” because it owns 5% or more of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the year ended December 31, 2024 in which the issuer was an Affiliated Person of the Company (but not a portfolio company that the Company is deemed to Control) are as follows:
For the Year Ended December 31, 2024
As of December 31, 2024
(in millions)
Company
Purchases (cost)Redemptions (cost)Sales (cost)Interest incomeCapital
structuring service fees
Dividend incomeOther incomeNet realized gains (losses)Net 
unrealized gains (losses)
Fair Value
Apex Clean Energy TopCo, LLC$3.2 $ $ $ $ $ $ $ $31.2 $222.3 
APG Intermediate Holdings Corporation and APG Holdings, LLC 0.1  1.4     (4.9)18.7 
Bragg Live Food Products, LLC and SPC Investment Co., L.P. 3.5  2.8   0.1  15.9 56.3 
Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P.   8.9   0.1  20.8 102.8 
Daylight Beta Parent LLC and CFCo, LLC        (9.7)2.5 
ESCP PPG Holdings, LLC        (0.8)3.6 
European Capital UK SME Debt LP 7.2    1.8   (1.8)7.4 
Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP51.7   1.7 0.8  0.1  1.0 52.8 
OPH NEP Investment, LLC29.0   2.1 0.7  0.1  1.6 32.1 
PCG-Ares Sidecar Investment II, L.P.        4.1 22.3 
PCG-Ares Sidecar Investment, L.P.        (0.4)0.6 
Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC8.7   1.6   0.1  (0.5)54.9 
Production Resource Group, L.L.C. and PRG III, LLC26.8 1.9  14.4 1.3  1.4  (40.1)108.2 
Shoes For crews Global, LLC and Shoes for crews Holdings, LLC 0.1  0.7     0.9 22.7 
Totes Isotoner Corporation and Totes Ultimate Holdco, Inc. 3.8 6.0 0.2    (6.0)6.1  
$119.4 $16.6 $6.0 $33.8 $2.8 $1.8 $1.9 $(6.0)$23.4 $707.2 

See accompanying notes to consolidated financial statements.
142




(5)As defined in the Investment Company Act, the Company is deemed to be both an “Affiliated Person” and “Control” this portfolio company because it owns more than 25% of the portfolio company’s outstanding voting securities or it has the power to exercise control over the management or policies of such portfolio company (including through a management agreement). Transactions as of and during the year ended December 31, 2024 in which the issuer was both an Affiliated Person and a portfolio company that the Company is deemed to Control are as follows:
For the Year Ended December 31, 2024
As of December 31, 2024
(in millions)
Company
Purchases (cost)Redemptions (cost)Sales (cost)Interest incomeCapital
structuring service fees
Dividend incomeOther incomeNet realized gains (losses)Net 
unrealized gains (losses)
Fair Value
Absolute Dental Group LLC and Absolute Dental Equity, LLC$29.9 $26.0 $3.9 $8.7 $ $ $0.1 $(3.8)$(12.2)$67.3 
ACAS Equity Holdings Corporation         0.5 
ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc.          
ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC7.8   5.2   0.1  (18.2)59.4 
Eckler Industries, Inc. and Eckler Purchaser LLC          
Halex Holdings, Inc.          
HCI Equity, LLC          
Heelstone Renewable Energy, LLC and Heelstone Renewable Energy Investors, LLC 91.0 80.8 3.5    146.2 (114.3) 
Imaging Business Machines, L.L.C. and Scanner Holdings Corporation   2.6   0.5  (0.5)66.2 
Ivy Hill Asset Management, L.P.412.2 474.2  1.7  285.0   (9.2)1,915.3 
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC 0.3  0.6   0.1 (0.3)(5.4)38.0 
Potomac Intermediate Holdings II LLC25.1        247.4 350.6 
PS Operating Company LLC and PS Op Holdings LLC5.6 3.8  0.1     (14.9)9.1 
RD Holdco Inc.        0.8 14.7 
S Toys Holdings LLC (fka The Step2 Company, LLC)          
Senior Direct Lending Program, LLC210.8 263.8  172.9 12.5  4.5 0.1 (43.0)1,192.0 
Startec Equity, LLC          
SHO Holding I Corporation, Shoes For Crews (Europe) Limited and Never Slip TopCo, Inc.1.1 118.5  (1.0)0.1   (118.7)87.8  
Visual Edge Technology, Inc. 0.3  4.8  5.1 0.1  (4.6)78.7 
VPROP Operating, LLC and V SandCo, LLC4.5   5.8     (29.0)75.8 
$697.0 $977.9 $84.7 $204.9 $12.6 $290.1 $5.4 $23.5 $84.7 $3,867.6 
______________________________________________________________________

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

See accompanying notes to consolidated financial statements.
143



(6)This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act. Under the Investment Company Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Company's total assets. Pursuant to Section 55(a) of the Investment Company Act, 22% of the Company's total assets are represented by investments at fair value and other assets that are considered “non-qualifying assets” as of December 31, 2024.

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

(8)In addition to the interest earned based on the stated interest rate of this security, the Company is entitled to receive an additional interest amount of 2.00% on $38.7 in aggregate principal amount of a “first out” tranche of the portfolio company’s senior term debt previously syndicated by the Company into “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any other amounts due thereunder.

(9)The Company sold a participating interest of approximately $32.0 in aggregate principal amount outstanding of the portfolio company’s first lien senior secured revolving loan. As the transaction did not qualify as a “true sale” in accordance with U.S. generally accepted accounting principles (“GAAP”), the Company recorded a corresponding $32.0 secured borrowing, at fair value, included in “secured borrowings” in the accompanying consolidated balance sheet. As of December 31, 2024, the interest rate in effect for the secured borrowing was 12.15%.

(10)Loan was on non-accrual status as of December 31, 2024.

(11)Loan includes interest rate floor feature.

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

(13)As of December 31, 2024, no amounts were funded by the Company under this first lien senior secured revolving loan; however, there were letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(14)As of December 31, 2024, in addition to the amounts funded by the Company under this first lien senior secured revolving loan, there were also letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.

(15)As of December 31, 2024, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to issue letters of credit through a financial intermediary on behalf of certain portfolio companies. Such commitments are subject to the satisfaction of certain conditions set forth in the documents governing these loans and letters of credit and there can be no assurance that such conditions will be satisfied. See Note 7 for further information on revolving and delayed draw loan commitments, including commitments to issue letters of credit, related to certain portfolio companies.

See accompanying notes to consolidated financial statements.
144




(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
3 Step Sports LLC$10.4 $ $10.4 $ $(10.0)$0.4 
760203 N.B. LTD.7.4  7.4   7.4 
Absolute Dental Group LLC and Absolute Dental Equity, LLC15.6 (14.5)1.1   1.1 
Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc.14.1  14.1   14.1 
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC4.1  4.1   4.1 
Actfy Buyer, Inc.24.8  24.8   24.8 
Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP3.6  3.6   3.6 
ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC12.3  12.3   12.3 
Aduro Advisors, LLC7.4  7.4   7.4 
Advarra Holdings, Inc.0.4  0.4   0.4 
Aerin Medical Inc.6.5  6.5   6.5 
AI Fire Buyer, Inc. and AI Fire Parent LLC9.5 (1.5)8.0   8.0 
AI Titan Parent, Inc.18.5  18.5   18.5 
Airx Climate Solutions, Inc.9.9  9.9   9.9 
Alcami Corporation and ACM Note Holdings, LLC1.9 (0.1)1.8   1.8 
Aldinger Company Inc5.1  5.1   5.1 
Alera Group, Inc.0.6  0.6   0.6 
AMCP Clean Acquisition Company, LLC4.0  4.0   4.0 
American Residential Services L.L.C. and Aragorn Parent Holdings LP10.0 (2.7)7.3   7.3 
Amerivet Partners Management, Inc. and AVE Holdings LP6.3  6.3   6.3 
Anaplan, Inc.1.4  1.4   1.4 
Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua55.4  55.4   55.4 
Apex Service Partners, LLC and Apex Service Partners Holdings, LLC62.0 (6.2)55.8   55.8 
APG Intermediate Holdings Corporation and APG Holdings, LLC0.1  0.1   0.1 
Applied Technical Services, LLC9.6 (6.6)3.0   3.0 
Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc.0.1  0.1   0.1 
Aptean, Inc. and Aptean Acquiror Inc.0.8  0.8   0.8 
AQ Sage Buyer, LLC0.7 (0.4)0.3   0.3 
AQ Sunshine, Inc.37.5 (1.1)36.4   36.4 
Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc.11.3  11.3   11.3 
Artifact Bidco, Inc.6.9  6.9   6.9 
Artivion, Inc.7.8 (0.9)6.9   6.9 
ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP6.2 (1.2)5.0   5.0 
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP9.0  9.0   9.0 
ATI Restoration, LLC45.4 (11.5)33.9   33.9 
Avalara, Inc.2.7  2.7   2.7 
Avalign Holdings, Inc. and Avalign Technologies, Inc.5.3 (1.6)3.7   3.7 
Badia Spices, LLC16.8  16.8   16.8 
Bamboo US BidCo LLC19.4  19.4   19.4 
Banyan Software Holdings, LLC and Banyan Software, LP12.5 (1.0)11.5   11.5 
BCPE Pequod Buyer, Inc.8.6  8.6   8.6 
Beacon Pointe Harmony, LLC9.3  9.3   9.3 
Beacon Wellness Brands, Inc. and CDI Holdings I Corp.0.5  0.5   0.5 
Belfor Holdings, Inc.58.5 (6.2)52.3   52.3 
Benecon Midco II LLC and Benecon Holdings, LLC8.7  8.7   8.7 
Berner Food & Beverage, LLC1.7  1.7   1.7 
BGI Purchaser, Inc.35.3 (10.5)24.8   24.8 
BGIF IV Fearless Utility Services, Inc.15.2 (0.2)15.0   15.0 
BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC3.0 (2.8)0.2   0.2 
BNZ TopCo B.V.19.9  19.9   19.9 
Bobcat Purchaser, LLC and Bobcat Topco, L.P.2.5  2.5   2.5 
Borrower R365 Holdings LLC1.5  1.5   1.5 
Bottomline Technologies, Inc. and Legal Spend Holdings, LLC2.3  2.3   2.3 
See accompanying notes to consolidated financial statements.
145



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
BradyPlus Holdings, LLC3.0  3.0   3.0 
Bragg Live Food Products, LLC and SPC Investment Co., L.P.4.4  4.4   4.4 
Broadcast Music, Inc.4.2  4.2   4.2 
Businessolver.com, Inc.1.5  1.5   1.5 
Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP28.1 (14.3)13.8   13.8 
Captive Resources Midco, LLC1.6  1.6   1.6 
Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc.5.0  5.0   5.0 
Center for Autism and Related Disorders, LLC9.5 (9.5)    
Centralsquare Technologies, LLC and Supermoose Newco, Inc.15.8 (0.4)15.4   15.4 
Chariot Buyer LLC12.3  12.3   12.3 
City Line Distributors LLC and City Line Investments LLC2.7  2.7   2.7 
Clarion Home Services Group, LLC and LBC Breeze Holdings LLC1.4 (0.7)0.7   0.7 
Cliffwater LLC1.0  1.0   1.0 
Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P.19.0  19.0   19.0 
CMG HoldCo, LLC and CMG Buyer Holdings, Inc.33.6 (3.4)30.2   30.2 
Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc.21.1 (0.7)20.4   20.4 
Collision SP Subco, LLC2.1 (0.1)2.0   2.0 
Compex Legal Services, Inc.3.6 (1.8)1.8   1.8 
Comprehensive EyeCare Partners, LLC2.0 (2.0)    
Computer Services, Inc.38.5  38.5   38.5 
Concert Golf Partners Holdco LLC34.6  34.6   34.6 
Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P.14.7 (9.5)5.2   5.2 
Convera International Holdings Limited and Convera International Financial S.A R.L.2.3  2.3   2.3 
CoreLogic, Inc. and T-VIII Celestial Co-Invest LP38.9  38.9   38.9 
Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc.0.9  0.9   0.9 
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc.38.7 (10.2)28.5   28.5 
Coupa Holdings, LLC and Coupa Software Incorporated0.9  0.9   0.9 
Cradle Lux Bidco S.A.R.L.4.0  4.0   4.0 
Creek Parent, Inc. and Creek Feeder, L.P.30.1  30.1   30.1 
Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC0.1 (0.1)    
CST Holding Company1.9  1.9   1.9 
CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC56.4  56.4   56.4 
Datix Bidco Limited and RL Datix Holdings (USA), Inc.47.1 (2.3)44.8   44.8 
Davidson Hotel Company LLC4.1 (0.7)3.4   3.4 
DecoPac, Inc. and KCAKE Holdings Inc.19.9 (4.6)15.3   15.3 
Demakes Borrower, LLC1.8  1.8   1.8 
Denali Holdco LLC and Denali Apexco LP24.3  24.3   24.3 
DFC Global Facility Borrower III LLC70.1 (59.4)10.7   10.7 
DFS Holding Company, Inc.0.3  0.3   0.3 
Diamond Mezzanine 24 LLC4.8 (1.0)3.8   3.8 
Diligent Corporation and Diligent Preferred Issuer, Inc.5.4  5.4   5.4 
Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc.9.3 (0.6)8.7   8.7 
Dorado Bidco, Inc.8.4  8.4   8.4 
DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP15.0  15.0   15.0 
DP Flores Holdings, LLC11.4  11.4   11.4 
DriveCentric Holdings, LLC1.7  1.7   1.7 
Drogon Bidco Inc. & Drogon Aggregator LP9.7  9.7   9.7 
DRS Holdings III, Inc. and DRS Holdings I, Inc.10.8  10.8   10.8 
Duraserv LLC5.3  5.3   5.3 
Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP9.6 (4.4)5.2   5.2 
Echo Purchaser, Inc.3.9 (1.4)2.5   2.5 
Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc.50.4  50.4   50.4 
See accompanying notes to consolidated financial statements.
146



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Edmunds Govtech, Inc.24.7 (1.7)23.0   23.0 
EIS Legacy Holdco, LLC26.5  26.5   26.5 
Elemica Parent, Inc. & EZ Elemica Holdings, Inc.7.3 (7.3)    
Elevation Services Parent Holdings, LLC3.5 (2.4)1.1   1.1 
Empower Payments Investor, LLC1.3  1.3   1.3 
Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc.16.7 (0.3)16.4   16.4 
eResearch Technology, Inc. and Astorg VII Co-Invest ERT15.0  15.0   15.0 
ESHA Research, LLC and RMCF VI CIV XLVIII, L.P.1.1 (0.9)0.2   0.2 
Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC49.3 (4.3)45.0   45.0 
Eternal Aus Bidco Pty Ltd1.0  1.0   1.0 
Evolent Health LLC and Evolent Health, Inc.31.2  31.2   31.2 
Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc.3.6  3.6   3.6 
Excelitas Technologies Corp.27.1  27.1   27.1 
Expereo USA, Inc. and Ristretto Bidco B.V.20.9  20.9   20.9 
Extrahop Networks, Inc.11.3  11.3   11.3 
Faraday Buyer, LLC5.1  5.1   5.1 
Fever Labs, Inc.14.2 (4.1)10.1   10.1 
Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L.17.9  17.9   17.9 
Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP22.6 (2.5)20.1   20.1 
FL Hawk Intermediate Holdings, Inc.1.3  1.3   1.3 
Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc.17.5 (3.6)13.9   13.9 
Flint OpCo, LLC4.8  4.8   4.8 
FlyWheel Acquireco, Inc.8.2 (5.5)2.7   2.7 
Forescout Technologies, Inc.2.4  2.4   2.4 
Foundation Risk Partners, Corp.35.9  35.9   35.9 
FS Squared Holding Corp. and FS Squared, LLC70.6 (5.7)64.9   64.9 
Galway Borrower LLC27.1 (1.3)25.8   25.8 
Generator US Buyer, Inc. and Total Power Limited1.9  1.9   1.9 
Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc.6.1  6.1   6.1 
GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC18.8  18.8   18.8 
GI Ranger Intermediate LLC3.6 (0.4)3.2   3.2 
Global Music Rights, LLC15.0  15.0   15.0 
GNZ Energy Bidco Limited and Galileo Co-investment Trust I2.8  2.8   2.8 
GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC23.0  23.0   23.0 
GS SEER Group Borrower LLC and GS SEER Group Holdings LLC6.9  6.9   6.9 
GSV Purchaser, Inc.4.1  4.1   4.1 
GTCR Everest Borrower, LLC1.2  1.2   1.2 
GTCR F Buyer Corp. and GTCR (D) Investors LP1.9  1.9   1.9 
Guidepoint Security Holdings, LLC3.4  3.4   3.4 
Harvey Tool Company, LLC66.7  66.7   66.7 
HealthEdge Software, Inc.1.1  1.1   1.1 
Heavy Construction Systems Specialists, LLC4.0  4.0   4.0 
Helios Service Partners, LLC and Astra Service Partners, LLC11.7 (0.4)11.3   11.3 
Help/Systems Holdings, Inc.15.0 (1.7)13.3   13.3 
HGC Holdings, LLC7.5  7.5   7.5 
HH-Stella, Inc. and Bedrock Parent Holdings, LP18.7 (1.8)16.9   16.9 
Higginbotham Insurance Agency, Inc.3.7  3.7   3.7 
High Street Buyer, Inc. and High Street Holdco LLC32.6  32.6   32.6 
Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC17.5 (0.5)17.0   17.0 
Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP0.4 (0.1)0.3   0.3 
HP RSS Buyer, Inc.4.9  4.9   4.9 
HPCC Parent, Inc. and Patriot Container Corp.7.0  7.0   7.0 
See accompanying notes to consolidated financial statements.
147



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
HuFriedy Group Acquisition LLC10.2 (0.3)9.9   9.9 
Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP13.3 (8.6)4.7   4.7 
Hyland Software, Inc.2.0 (0.1)1.9   1.9 
Icefall Parent, Inc.1.1  1.1   1.1 
IFH Franchisee Holdings, LLC18.9 (4.3)14.6   14.6 
Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P.25.9 (0.7)25.2   25.2 
Inszone Mid, LLC and INSZ Holdings, LLC72.0  72.0   72.0 
Internet Truckstop Group LLC1.2  1.2   1.2 
IQN Holding Corp.2.3 (0.9)1.4   1.4 
IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P.14.4 (3.0)11.4   11.4 
ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P.30.2 (1.1)29.1   29.1 
ITI Holdings, Inc.5.7 (4.1)1.6   1.6 
Kaseya Inc. and Knockout Intermediate Holdings I Inc.28.2 (6.9)21.3   21.3 
KBHS Acquisition, LLC (d/b/a Alita Care, LLC)5.0 (3.5)1.5   1.5 
Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC3.1  3.1   3.1 
Kene Acquisition, Inc. and Kene Holdings, L.P.1.0  1.0   1.0 
Keystone Agency Partners LLC1.1 (0.1)1.0   1.0 
Kings Buyer, LLC1.6 (0.4)1.2   1.2 
KPS Global LLC and Cool Group LLC3.4  3.4   3.4 
Laboratories Bidco LLC and Laboratories Topco LLC19.7 (10.1)9.6   9.6 
LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP9.7  9.7   9.7 
LeanTaaS Holdings, Inc.17.2  17.2   17.2 
Legends Hospitality Holding Company, LLC and ASM Buyer, Inc.14.4 (2.8)11.6   11.6 
Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P.1.5  1.5   1.5 
Lew's Intermediate Holdings, LLC2.3 (1.0)1.3   1.3 
Lido Advisors, LLC7.5 (0.8)6.7   6.7 
Lightbeam Bidco, Inc.3.7 (0.2)3.5   3.5 
LivTech Purchaser, Inc.7.0  7.0   7.0 
LJP Purchaser, Inc. and LJP Topco, LP3.1  3.1   3.1 
Mai Capital Management Intermediate LLC5.2 (0.3)4.9   4.9 
Majesco and Magic Topco, L.P.2.0  2.0   2.0 
Manna Pro Products, LLC7.0 (6.8)0.2   0.2 
Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP32.9 (21.6)11.3   11.3 
McKenzie Creative Brands, LLC4.5 (1.4)3.1   3.1 
Medlar Bidco Limited64.3  64.3   64.3 
Metatiedot Bidco OY and Metatiedot US, LLC3.7 (0.2)3.5   3.5 
Meyer Laboratory, LLC and Meyer Parent, LLC11.6  11.6   11.6 
Ministry Brands Holdings, LLC and RCP MB Investments B, L.P.8.0  8.0   8.0 
Modigent, LLC and OMERS PMC Investment Holdings LLC12.6 (5.4)7.2   7.2 
Monica Holdco (US) Inc.3.6  3.6   3.6 
Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC1.2 (0.4)0.8   0.8 
Mountaineer Merger Corporation13.4 (9.7)3.7   3.7 
Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC6.3 (0.3)6.0   6.0 
MRI Software LLC3.8 (0.2)3.6   3.6 
Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc.5.7  5.7   5.7 
NAS, LLC and Nationwide Marketing Group, LLC3.0 (1.5)1.5   1.5 
Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V.23.2 (1.7)21.5   21.5 
Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P.12.6 (0.3)12.3   12.3 
Netsmart, Inc. and Netsmart Technologies, Inc.33.8  33.8   33.8 
New ChurcHill HoldCo LLC and Victory Topco, LP9.8  9.8   9.8 
Next Holdco, LLC2.4  2.4   2.4 
NMC Skincare Intermediate Holdings II, LLC12.8 (5.1)7.7   7.7 
NMN Holdings III Corp. and NMN Holdings LP65.4 (6.0)59.4   59.4 
See accompanying notes to consolidated financial statements.
148



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P.2.5 (2.5)    
North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC9.6 (2.8)6.8   6.8 
North Haven Stack Buyer, LLC9.6 (1.3)8.3   8.3 
North Star Acquisitionco, LLC and Toucan Bidco Limited3.3  3.3   3.3 
Northwinds Holding, Inc. and Northwinds Services Group LLC11.4 (0.8)10.6   10.6 
OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP3.4 (0.2)3.2   3.2 
Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC0.9  0.9   0.9 
OMH-HealthEdge Holdings, LLC7.2  7.2   7.2 
OneDigital Borrower LLC16.4 (0.7)15.7   15.7 
Optimizely North America Inc. and Optimizely Sweden Holdings AB0.8  0.8   0.8 
Packaging Coordinators Midco, Inc.15.0  15.0   15.0 
Paragon 28, Inc. and Paragon Advanced Technologies, Inc.8.1 (0.1)8.0   8.0 
Paris US Holdco, Inc. & 1001028292 Ontario Inc.24.0  24.0   24.0 
Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.4.2  4.2   4.2 
Pathway Vet Alliance LLC and Jedi Group Holdings LLC1.9 (0.2)1.7   1.7 
Patriot Growth Insurance Services, LLC2.2 (1.1)1.1   1.1 
PCIA SPV-3, LLC and ASE Royal Aggregator, LLC2.5  2.5   2.5 
PCS MidCo, Inc. and PCS Parent, L.P.5.8 (0.8)5.0   5.0 
PDDS HoldCo, Inc.1.9 (0.2)1.7   1.7 
PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC2.5  2.5   2.5 
Pelican Products, Inc.2.3 (1.6)0.7   0.7 
People Corporation34.0 (3.5)30.5   30.5 
Perforce Software, Inc.7.5 (1.0)6.5   6.5 
Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP1.7  1.7   1.7 
PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P.1.1  1.1   1.1 
PestCo Holdings, LLC and PestCo, LLC2.1  2.1   2.1 
Petrus Buyer, Inc.1.8  1.8   1.8 
PetVet Care Centers, LLC49.4  49.4   49.4 
Petvisor Holdings, LLC30.2 (1.7)28.5   28.5 
Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc.4.7  4.7   4.7 
Ping Identity Holding Corp.0.2  0.2   0.2 
Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc.7.0 (0.4)6.6   6.6 
Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC15.2  15.2   15.2 
PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC11.8 (0.5)11.3   11.3 
Precision Concepts International LLC and Precision Concepts Canada Corporation14.4 (4.3)10.1   10.1 
Premier Specialties, Inc. and RMCF V CIV XLIV, L.P.3.5 (1.0)2.5   2.5 
Premiere Buyer, LLC8.5  8.5   8.5 
Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP5.0 (0.1)4.9   4.9 
Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC20.1  20.1   20.1 
ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P.5.8 (0.7)5.1   5.1 
Project Essential Bidco, Inc. and Project Essential Super Parent, Inc.1.1  1.1   1.1 
Project Potter Buyer, LLC and Project Potter Parent, L.P.5.5  5.5   5.5 
Proofpoint, Inc.3.1  3.1   3.1 
PS Operating Company LLC and PS Op Holdings LLC6.8 (6.8)    
PSC Parent, Inc.14.8 (3.5)11.3   11.3 
PYE-Barker Fire & Safety, LLC14.7 (0.5)14.2   14.2 
Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC1.6  1.6   1.6 
QBS Parent, Inc.1.6  1.6   1.6 
QF Holdings, Inc.1.1 (0.5)0.6   0.6 
Qnnect, LLC and Connector TopCo, LP0.8  0.8   0.8 
See accompanying notes to consolidated financial statements.
149



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P.12.4  12.4   12.4 
Radius Aerospace, Inc. and Radius Aerospace Europe Limited5.6 (4.0)1.6   1.6 
Radwell Parent, LLC6.0 (0.9)5.1   5.1 
Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC8.9  8.9   8.9 
Raven Acquisition Holdings, LLC5.3  5.3   5.3 
Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.11.8 (7.9)3.9   3.9 
RB Holdings InterCo, LLC2.1 (1.5)0.6   0.6 
Reagent Chemical & Research, LLC2.7 (0.1)2.6   2.6 
Reddy Ice LLC37.4 (3.5)33.9   33.9 
Redwood Services, LLC and Redwood Services Holdco, LLC14.3 (0.2)14.1   14.1 
Reef Lifestyle, LLC33.3 (32.9)0.4   0.4 
Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P.6.9 (5.4)1.5   1.5 
Relativity ODA LLC8.8  8.8   8.8 
Repairify, Inc. and Repairify Holdings, LLC7.3 (7.3)    
Revalize, Inc.0.9 (0.7)0.2   0.2 
RFS Opco LLC7.0  7.0   7.0 
Rialto Management Group, LLC2.2 (0.3)1.9   1.9 
Riser Topco II, LLC3.7  3.7   3.7 
RMS HoldCo II, LLC & RMS Group Holdings, Inc.2.9  2.9   2.9 
Rodeo AcquisitionCo LLC2.5 (1.0)1.5   1.5 
Royal Borrower, LLC and Royal Parent, LP14.3 (0.2)14.1   14.1 
RTI Surgical, Inc. and Pioneer Surgical Technology, Inc.21.1 (11.6)9.5   9.5 
Runway Bidco, LLC15.6  15.6   15.6 
RWA Wealth Partners, LLC7.6  7.6   7.6 
SageSure Holdings, LLC and SageSure LLC26.2  26.2   26.2 
Sapphire Software Buyer, Inc.5.9  5.9   5.9 
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.15.2 (0.6)14.6   14.6 
SCIH Salt Holdings Inc.22.5 (6.2)16.3   16.3 
SCM Insurance Services Inc.3.7  3.7   3.7 
SePro Holdings, LLC8.5  8.5   8.5 
Severin Acquisition, LLC73.6  73.6   73.6 
SG Acquisition, Inc.2.0  2.0   2.0 
Shermco Intermediate Holdings, Inc.8.3 (2.3)6.0   6.0 
Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC0.7  0.7   0.7 
SIG Parent Holdings, LLC33.8  33.8   33.8 
Silk Holdings III Corp. and Silk Holdings I Corp.0.1 (0.1)    
SM Wellness Holdings, Inc. and SM Holdco, LLC3.8  3.8   3.8 
Smarsh Inc. and Skywalker TopCo, LLC2.0 (0.3)1.7   1.7 
Spaceship Purchaser, Inc.26.9  26.9   26.9 
Spark Purchaser, Inc.2.3  2.3   2.3 
Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp2.5  2.5   2.5 
St Athena Global LLC and St Athena Global Holdings Limited4.0 (0.7)3.3   3.3 
Star US Bidco LLC15.5  15.5   15.5 
Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC2.0  2.0   2.0 
Sugar PPC Buyer LLC3.9  3.9   3.9 
Sun Acquirer Corp. and Sun TopCo, LP73.1 (0.4)72.7   72.7 
Sundance Group Holdings, Inc.4.4 (1.8)2.6   2.6 
Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation7.6 (2.7)4.9   4.9 
Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P.37.9  37.9   37.9 
Superman Holdings, LLC16.7  16.7   16.7 
Supplying Demand, Inc.0.1  0.1   0.1 
Surescripts, LLC22.9  22.9   22.9 
SV Newco 2, Inc. and Site 2020 Incorporated17.5  17.5   17.5 
See accompanying notes to consolidated financial statements.
150



(in millions)
Portfolio Company
Total revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitmentsLess: commitments substantially at discretion of the CompanyLess: unavailable commitments due to borrowing base or other covenant restrictionsTotal net unfunded revolving and delayed draw commitments
Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc.10.0 (3.7)6.3   6.3 
Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC4.2  4.2   4.2 
Systems Planning and Analysis, Inc.4.0  4.0   4.0 
Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C.7.5  7.5   7.5 
Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P.2.2 (1.4)0.8   0.8 
TCI Buyer LLC and TCI Holdings, LP25.8  25.8   25.8 
TCP Hawker Intermediate LLC14.9 (3.4)11.5   11.5 
Team Acquisition Corporation6.1  6.1   6.1 
The Arcticom Group, LLC and AMCP Mechanical Holdings, LP16.0 (0.8)15.2   15.2 
The Hiller Companies, LLC11.9  11.9   11.9 
The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC1.0 (0.2)0.8   0.8 
The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP5.6  5.6   5.6 
Thermostat Purchaser III, Inc.7.7 (4.0)3.7   3.7 
THG Acquisition, LLC53.4 (1.6)51.8   51.8 
Transit Technologies LLC6.3  6.3   6.3 
Triwizard Holdings, Inc. and Triwizard Parent, LP21.0 (3.0)18.0   18.0 
Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC18.4  18.4   18.4 
Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC5.4  5.4   5.4 
TSS Buyer, LLC0.5  0.5   0.5 
Two Six Labs, LLC36.5  36.5   36.5 
United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP8.4 (0.5)7.9   7.9 
UP Intermediate II LLC and UPBW Blocker LLC4.2 (0.1)4.1   4.1 
US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P.9.9  9.9   9.9 
Valcourt Holdings II, LLC and Jobs Holdings, Inc.3.5  3.5   3.5 
Verista, Inc.8.0 (0.7)7.3   7.3 
Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC16.2 (1.4)14.8   14.8 
Victors Purchaser, LLC and WP Victors Co-Investment, L.P.24.0 (1.1)22.9   22.9 
Viper Bidco, Inc.5.1  5.1   5.1 
Visual Edge Technology, Inc.18.9  18.9   18.9 
Vobev, LLC and Vobev Holdings, LLC6.6  6.6  (6.6) 
VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P.3.2  3.2   3.2 
VPROP Operating, LLC and V SandCo, LLC2.2  2.2   2.2 
VRC Companies, LLC5.4  5.4   5.4 
W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC6.3  6.3   6.3 
Watermill Express, LLC and Watermill Express Holdings, LLC4.0 (0.4)3.6   3.6 
Waverly Advisors, LLC and WAAM Topco, LLC0.8  0.8   0.8 
WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P.0.7  0.7   0.7 
Wealth Enhancement Group, LLC43.2  43.2   43.2 
WebPT, Inc. and WPT Intermediate Holdco, Inc.0.9 (0.5)0.4   0.4 
Wellington Bidco Inc. and Wellington TopCo LP16.6 (0.6)16.0   16.0 
Wellington-Altus Financial Inc.1.1  1.1   1.1 
Wellness AcquisitionCo, Inc.2.2  2.2   2.2 
WorkWave Intermediate II, LLC5.2 (1.1)4.1   4.1 
World Insurance Associates, LLC and World Associates Holdings, LLC4.4  4.4   4.4 
Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P.1.8 (0.1)1.7   1.7 
WRE Sports Investments LLC6.5  6.5  (6.5) 
WSHP FC Acquisition LLC and WSHP FC Holdings LLC16.3 (11.2)5.1   5.1 
XIFIN, Inc. and ACP Charger Co-Invest LLC5.7 (5.7)    
YE Brands Holdings, LLC3.5 (1.6)1.9   1.9 
ZB Holdco LLC and ZB TopCo LLC15.2 (6.3)8.9   8.9 
ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP12.8  12.8   12.8 
Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc.10.9 (0.1)10.8   10.8 
$4,447.5 $(529.3)$3,918.2 $ $(23.1)$3,895.1 

See accompanying notes to consolidated financial statements.
151



(16)As of December 31, 2024, the Company was party to agreements to fund equity investment commitments as follows:

(in millions)
Company
Total equity commitmentsLess: funded equity commitmentsTotal unfunded equity commitmentsLess: equity commitments substantially at the discretion of the CompanyTotal net unfunded equity commitments
AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP$1.2 $ $1.2 $ $1.2 
Constellation Wealth Capital Fund, L.P.5.7 (2.9)2.8  2.8 
DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP0.1  0.1  0.1 
European Capital UK SME Debt LP56.3 (51.0)5.3 (5.3) 
GTCR F Buyer Corp. and GTCR (D) Investors LP1.4  1.4  1.4 
HFCP XI (Parallel - A), L.P.7.5  7.5  7.5 
High Street Buyer, Inc. and High Street Holdco LLC38.7  38.7  38.7 
Linden Structured Capital Fund II-A LP1.9 (1.1)0.8  0.8 
LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P.11.6 (9.7)1.9  1.9 
Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.0.1  0.1  0.1 
PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P.50.0 (12.4)37.6 (37.6) 
Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.12.2 (10.9)1.3  1.3 
Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.2.5  2.5  2.5 
Wellington-Altus Financial Inc.1.9  1.9  1.9 
Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P.0.2  0.2  0.2 
$191.3 $(88.0)$103.3 $(42.9)$60.4 

(17)As of December 31, 2024, the Company had commitments to co-invest in the SDLP for its portion of the SDLP’s commitment to fund delayed draw loans of up to $119. See Note 4 for more information on the SDLP.

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

(19)As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     
See accompanying notes to consolidated financial statements.
152



ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED STATEMENT OF STOCKHOLDERS’ EQUITY
(in millions, except per share data)
(unaudited)
 Common StockCapital in
Excess of
Par Value
Accumulated Undistributed (Overdistributed) EarningsTotal
Stockholders’
Equity
 SharesAmount
Balance at December 31, 2023582 $1 $10,738 $462 $11,201 
Issuances of common stock (net of offering and underwriting costs)5 — 85 — 85 
Shares issued in connection with dividend reinvestment plan1 — 21 — 21 
Net investment income— — — 326 326 
Net realized losses on investments, foreign currency, extinguishment of debt and other transactions— — — (33)(33)
Net unrealized gains on investments, foreign currency and other transactions— — — 156 156 
Conversion of 2024 Convertible Notes20 — 407 — 407 
Dividends declared and payable ($0.48 per share)
— — — (291)(291)
Balance at March 31, 2024608 $1 $11,251 $620 $11,872 
Issuances of common stock (net of offering and underwriting costs)21 — 449 — 449 
Shares issued in connection with dividend reinvestment plan1 — 21 — 21 
Net investment income— — — 386 386 
Net realized losses on investments, foreign currency and other transactions— — — (16)(16)
Net unrealized losses on investments, foreign currency and other transactions— — — (48)(48)
Dividends declared and payable ($0.48 per share)
— — — (300)(300)
Balance at June 30, 2024630 $1 $11,721 $642 $12,364 
Issuances of common stock (net of offering and underwriting costs)15 — 302 — 302 
Shares issued in connection with dividend reinvestment plan1 — 21 — 21 
Net investment income— — — 361 361 
Net realized losses on investments, foreign currency and other transactions— — — (24)(24)
Net unrealized gains on investments, foreign currency and other transactions— — — 57 57 
Dividends declared and payable ($0.48 per share)
— — — (308)(308)
Balance at September 30, 2024646 $1 $12,044 $728 $12,773 
Issuances of common stock (net of offering and underwriting costs)25 — 528 — 528 
Shares issued in connection with dividend reinvestment plan1 — 17 — 17 
Net investment income— — — 363 363 
Net realized losses on investments, foreign currency and other transactions— — — (29)(29)
Net unrealized gains on investments, foreign currency and other transactions— — — 23 23 
Dividends declared and payable ($0.48 per share)
— — — (320)(320)
Tax reclassification of stockholders’ equity in accordance with GAAP— — (87)87  
Balance at December 31, 2024
672 $1 $12,502 $852 $13,355 
Issuances of common stock (net of offering and underwriting costs)17 — 384 — 384 
Shares issued in connection with dividend reinvestment plan1 — 20 — 20 
Net investment income— — — 365 365 
Net realized losses on investments, foreign currency and other transactions— — — (61)(61)
Net unrealized losses on investments, foreign currency and other transactions— — — (63)(63)
Dividends declared and payable ($0.48 per share)
— — — (328)(328)
Balance at March 31, 2025
690 $1 $12,906 $765 $13,672 
Issuances of common stock (net of offering and underwriting costs)15 — 318 — 318 
Shares issued in connection with dividend reinvestment plan1 — 20 — 20 
Net investment income— — — 342 342 
Net realized gains on investments, foreign currency and other transactions— — — 34 34 
Net unrealized losses on investments, foreign currency and other transactions— — — (15)(15)
Dividends declared and payable ($0.48 per share)
— — — (337)(337)
Balance at June 30, 2025
706 $1 $13,244 $789 $14,034 

See accompanying notes to consolidated financial statements.
153



ARES CAPITAL CORPORATION AND SUBSIDIARIES
CONSOLIDATED STATEMENT OF CASH FLOWS
(in millions)
(unaudited)
 For the Six Months Ended June 30,
 20252024
OPERATING ACTIVITIES: 
Net increase in stockholders' equity resulting from operations$602 $771 
Adjustments to reconcile net increase in stockholders’ equity resulting from operations:
Net realized losses on investments, foreign currency and other transactions27 35 
Net unrealized (gains) losses on investments, foreign currency and other transactions78 (108)
Realized loss on extinguishment of debt 14 
Net (gain) loss on interest rate swaps accounted for as hedge instruments and the related hedged items(2) 
Net accretion of discount on investments(8)(9)
PIK interest(106)(99)
Collections of PIK interest41 26 
PIK dividends(143)(121)
Collections of PIK dividends52  
Amortization of debt issuance costs18 16 
Net amortization of premium on notes payable(2)(3)
Proceeds from sales and repayments of investments and other transactions4,709 4,347 
Purchases of investments(5,755)(6,221)
Changes in operating assets and liabilities:
Interest receivable11 (38)
Other assets(27)(2)
Base management fee payable4 7 
Income based fee payable(5)3 
Capital gains incentive fee payable(21)12 
Interest and facility fees payable23 21 
Payable to participants(89)8 
Interest rate swap collateral payable81 44 
Accounts payable and other liabilities(5)(42)
Net cash used in operating activities(517)(1,339)
FINANCING ACTIVITIES: 
Borrowings on debt4,603 7,790 
Repayments and repurchases of debt(4,297)(6,275)
Debt issuance costs(30)(33)
 Repayment of 2024 Convertible Notes (10)
Net proceeds from issuance of common stock702 534 
Dividends paid(625)(549)
Secured borrowings, net(32)(1)
Net cash provided by financing activities321 1,456 
CHANGE IN CASH, CASH EQUIVALENTS AND RESTRICTED CASH(196)117 
CASH, CASH EQUIVALENTS AND RESTRICTED CASH, BEGINNING OF PERIOD860 564 
CASH, CASH EQUIVALENTS AND RESTRICTED CASH, END OF PERIOD$664 $681 
Supplemental Information: 
Interest paid during the period$339 $288 
Taxes, including excise taxes, paid during the period$38 $32 
Dividends declared and payable during the period$665 $591 

See accompanying notes to consolidated financial statements.
154



ARES CAPITAL CORPORATION AND SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
As of June 30, 2025
(in millions, except per share data, percentages and as otherwise indicated;
for example, with the word “billion” or otherwise)
(unaudited)
1. ORGANIZATION

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

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

Interim financial statements are prepared in accordance with GAAP for interim financial information and pursuant to the requirements for reporting on Form 10-Q and Articles 6 or 10 of Regulation S-X. In the opinion of management, all adjustments, consisting solely of normal recurring accruals considered necessary for the fair presentation of financial statements for the interim period presented, have been included. The interim period’s results of operations will not necessarily be indicative of results that ultimately may be achieved for the fiscal year ending December 31, 2025.

The Company reclassified certain prior period amounts in the accompanying consolidated balance sheet and consolidated statement of operations to conform to its current period presentation. The Company separately disclosed “interest rate swap collateral payable” and “deferred tax liabilities” from “accounts payable and other liabilities” in the accompanying consolidated balance sheet. In addition, the Company separately disclosed “income tax expense on net realized gains” from “income tax expense, including excise taxes” and “net change in deferred tax liabilities” from “net unrealized gains (losses) from investments” in the accompanying consolidated statement of operations. These reclassifications had no impact on prior periods’ net income or stockholders’ equity.
 
Cash, Cash Equivalents and Restricted Cash
 
Cash and cash equivalents include funds from time to time deposited with financial institutions and short-term, liquid investments in a money market account. Cash and cash equivalents are carried at cost which approximates fair value. As of June 30, 2025 and December 31, 2024, there was $22 and $18, respectively, of cash denominated in foreign currencies included within “cash and cash equivalents” or “restricted cash” in the accompanying consolidated balance sheet.
155



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

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

 As of
June 30, 2025December 31, 2024
Cash and cash equivalents$447 $635 
Restricted cash217 225 
Total cash, cash equivalents and restricted cash$664 $860 
 
Concentration of Credit Risk
 
The Company places its cash and cash equivalents with financial institutions and, at times, cash held in depository or money market accounts may exceed the Federal Deposit Insurance Corporation insured limits.
 
Investments
 
Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. Unrealized gains or losses primarily reflect the change in investment values, including the reversal of previously recorded unrealized gains or losses when gains or losses are realized.

Pursuant to Rule 2a-5 under the Investment Company Act, the Company’s board of directors designated the Company’s investment adviser as the Company’s valuation designee (the “Valuation Designee”) to perform the fair value determinations for investments held by the Company without readily available market quotations, subject to the oversight of the Company’s board of directors. All investments are recorded at their fair value.
 
Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, the Valuation Designee looks at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available (i.e., substantially all of the Company’s investments) are valued at least quarterly at fair value as determined in good faith by the Valuation Designee, subject to the oversight of the Company’s board of directors, based on, among other things, the input of the Company’s independent third-party valuation providers (“IVPs”) that have been engaged to support the valuation of such portfolio investments quarterly, beginning as of the third quarter after origination (with certain de minimis exceptions) and under a valuation policy and a consistently applied valuation process. The valuation process is conducted at the end of each fiscal quarter by the Valuation Designee, and beginning with the first quarter of 2025, substantially all investments in the Company’s investment portfolio at fair value are subject to review by an IVP each quarter as discussed further below. However, the Company may use these IVPs to review the value of its investments more frequently, including in connection with the occurrence of significant events or changes in value affecting a particular investment. In addition, the Company’s independent registered public accounting firm obtains an understanding of, and performs select procedures relating to, the Company’s valuation process within the context of performing the Company’s integrated audit.

As part of the valuation process, the Valuation Designee may take into account the following types of factors, if relevant, in determining the fair value of the Company’s investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company’s securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent sale occurs, the Valuation Designee considers the pricing indicated by the external event to corroborate the valuation.
156


 
Because there is not a readily available market value for most of the investments in the Company’s portfolio, substantially all of the Company’s portfolio investments are valued at fair value as determined in good faith by the Valuation Designee, as described herein. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Company’s investments may fluctuate from period to period. Additionally, the fair value of the Company’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Company may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Company was required to liquidate a portfolio investment in a forced or liquidation sale, the Company could realize significantly less than the value at which the Company has recorded it.
 
In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.

The Valuation Designee, subject to the oversight of the Company’s board of directors, undertakes a multi-step valuation process each quarter, as described below:

The Company’s quarterly valuation process begins with a preliminary valuation being prepared by the investment professionals responsible for the portfolio investment in conjunction with the Company’s portfolio management and valuation team.

Preliminary valuations are reviewed and discussed by the valuation committee of the Valuation Designee.

When a portfolio investment is reviewed by an IVP:

Relevant information related to the portfolio investment is made available by the Valuation Designee to the IVP, who does not independently verify such information.

The IVP reviews and analyzes the information provided by the Valuation Designee, along with relevant market and economic data, and independently determines a range of values for the portfolio investment.

The IVP provides its analysis to the Valuation Designee to support the IVP’s valuation methodology and calculations.

The valuation committee of the Valuation Designee determines the fair value of each investment in the Company’s portfolio without a readily available market quotation in good faith based on, among other things, the input of the IVPs, where applicable.

When a portfolio investment is reviewed by an IVP, a positive assurance opinion or independent valuation report is issued by the IVP that confirms the fair value determined by the Valuation Designee for the portfolio investment is within the range of values independently calculated by such IVP.
 
See Note 8 for more information on the Company’s valuation process.

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

Loans are generally placed on non-accrual status when principal or interest payments are past due 30 days or more or when there is reasonable doubt that principal or interest will be collected in full. Accrued and unpaid interest is generally
157


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

Dividend Income Recognition 

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

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

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

Derivative Instruments
 
The Company follows the guidance in ASC Topic 815, Derivatives and Hedging, when accounting for derivative instruments. The Company designated certain interest rate swaps as hedging instruments in a qualifying fair value hedge
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accounting relationship, and as a result, the change in fair value of the hedging instruments and hedged items are recorded in interest expense and recognized as components of “interest and credit facility fees” in the Company’s consolidated statement of operations. The change in fair value of the interest rate swaps is offset by a change in the carrying value of the corresponding fixed rate debt. For all other derivatives, the Company does not utilize hedge accounting and values such derivatives at fair value with the unrealized gains or losses recorded in “net unrealized gains (losses) from foreign currency and other transactions” in the Company’s consolidated statement of operations.
 
Equity Offering Expenses
 
The Company’s offering costs are charged against the proceeds from equity offerings when proceeds are received.
 
Debt Issuance Costs
 
Debt issuance costs are amortized over the life of the related debt instrument using the straight line method or the effective yield method, depending on the type of debt instrument.

Secured Borrowings

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

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

Segment Reporting

In accordance with ASC Topic 280 - Segment Reporting (“ASC 280”), the Company has determined that it has a single operating and reporting segment. As a result, the Company’s segment accounting policies are the same as described herein and the Company does not have any intra-segment sales and transfers of assets.
 
Use of Estimates in the Preparation of Consolidated Financial Statements
 
The preparation of consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of actual and contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of income or loss and expenses during the reporting period. Actual results could differ from those estimates. Significant estimates include the valuation of investments.

Recent Accounting Pronouncements

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

In December 2023, the FASB issued ASU 2023-09, Income Taxes (Topic 740): Improvements to Income Tax Disclosures (“ASU 2023-09”), which is intended to enhance 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 this guidance, however, the Company does not expect a material impact on its consolidated financial statements.

In November 2024, the FASB issued ASU 2024-03, Income Statement—Reporting Comprehensive Income—Expense Disaggregation Disclosures (“ASU 2024-03”), which requires disaggregated disclosure of certain costs and expenses, including purchases of inventory, employee compensation, depreciation, amortization and depletion, within relevant income statement captions. ASU 2024-03 is effective for fiscal years beginning after December 15, 2026, and interim periods beginning with the first quarter ended March 31, 2028. Early adoption and retrospective application is permitted. The Company is currently assessing the impact of this guidance, however, the Company does not expect a material impact on its consolidated financial statements.

3. AGREEMENTS

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

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

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

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

The capital gains incentive fee is determined and payable in arrears as of the end of each calendar year (or, upon termination of the investment advisory and management agreement, as of the termination date) and is calculated at the end of each applicable year by subtracting (a) the sum of the Company’s cumulative aggregate realized capital losses and aggregate unrealized capital depreciation from (b) the Company’s cumulative aggregate realized capital gains, in each case calculated from October 8, 2004 (the date the Company completed its initial public offering). Realized capital gains and losses include gains and losses on investments and foreign currencies, gains and losses on extinguishment of debt and from other assets, as well as any income tax and other expenses related to cumulative aggregate realized gains and losses. If such amount is positive
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at the end of such year, then the capital gains incentive fee for such year is equal to 20% of such amount, less the aggregate amount of capital gains incentive fee paid in all prior years. If such amount is negative, then there is no capital gains incentive fee for such year.
 
The cumulative aggregate realized capital gains are calculated as the sum of the differences, if positive, between (a) the net sales price of each investment in the Company’s portfolio when sold and (b) the accreted or amortized cost basis of such investment.
 
The cumulative aggregate realized capital losses are calculated as the sum of the amounts by which (a) the net sales price of each investment in the Company’s portfolio when sold is less than (b) the accreted or amortized cost basis of such investment.
 
The aggregate unrealized capital depreciation is calculated as the sum of the differences, if negative, between (a) the valuation of each investment in the Company’s portfolio as of the applicable capital gains incentive fee calculation date and (b) the accreted or amortized cost basis of such investment.
 
Notwithstanding the foregoing, if the Company is required by GAAP to record an investment at its fair value as of the time of acquisition instead of at the actual amount paid for such investment by the Company (including, for example, as a result of the application of the asset acquisition method of accounting), then solely for the purposes of calculating the capital gains incentive fee, the “accreted or amortized cost basis” of an investment shall be an amount (the “Contractual Cost Basis”) equal to (1) (x) the actual amount paid by the Company for such investment plus (y) any amounts recorded in the Company’s financial statements as required by GAAP that are attributable to the accretion of such investment plus (z) any other adjustments made to the cost basis included in the Company’s financial statements, including PIK interest or additional amounts funded (net of repayments) minus (2) any amounts recorded in the Company’s financial statements as required by GAAP that are attributable to the amortization of such investment, whether such calculated Contractual Cost Basis is higher or lower than the fair value of such investment (as determined in accordance with GAAP) at the time of acquisition.
  
The base management fee, income based fee and capital gains incentive fee for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Base management fee$104 $91 $206 $178 
Income based fee$86 $93 $171 $181 
Capital gains incentive fee(1)$4 $(13)$(21)$12 
________________________________________

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

There was no capital gains incentive fee payable to the Company’s investment adviser as calculated under the investment advisory and management agreement for the three and six months ended June 30, 2025 and 2024. In addition, in accordance with GAAP, the Company had cumulatively accrued a capital gains incentive fee of $84 as of June 30, 2025. GAAP requires that the capital gains incentive fee accrual consider the cumulative aggregate unrealized capital appreciation in the calculation, as a capital gains incentive fee would be payable if such unrealized capital appreciation were realized, even though such unrealized capital appreciation is not permitted to be considered in calculating the fee actually payable under the investment advisory and management agreement. This GAAP accrual is calculated using the aggregate cumulative realized capital gains and losses and aggregate cumulative unrealized capital depreciation included in the calculation of the capital gains incentive fee plus the aggregate cumulative unrealized capital appreciation, net of any expense associated with cumulative unrealized capital depreciation or appreciation. If such amount is positive at the end of a period, then GAAP requires the Company to record a capital gains incentive fee equal to 20% of such cumulative amount, less the aggregate amount of actual capital gains incentive fee paid or capital gains incentive fee accrued under GAAP in all prior periods. As of June 30, 2025, the Company has paid capital gains incentive fee since inception totaling $133. The resulting accrual for any capital gains incentive fee under GAAP in a given period may result in an additional expense if such cumulative amount is greater than in the prior period or a reversal of previously recorded expense if such cumulative amount is less than in the prior period. If such cumulative amount is negative, then there is no accrual. There can be no assurance that such unrealized capital appreciation will be realized in the future.

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

Administration Agreement
 
The Company is party to an administration agreement (the “administration agreement”) with its administrator, Ares Operations. Pursuant to the administration agreement, Ares Operations furnishes the Company with office equipment and clerical, bookkeeping and record keeping services at the Company’s office facilities. Under the administration agreement, Ares Operations also performs, or oversees the performance of, the Company’s required administrative services, which include, among other things, providing assistance in accounting, legal, compliance, operations, technology and investor relations, being responsible for the financial and other records that the Company is required to maintain and preparing all reports and other materials required to be filed with the SEC or any other regulatory authority, including reports to stockholders. In addition, Ares Operations assists the Company in determining and publishing its net asset value, assists the Company in providing managerial assistance to its portfolio companies, oversees the preparation and filing of the Company’s tax returns and the printing and dissemination of reports to its stockholders, and generally oversees the payment of its expenses and the performance of administrative and professional services rendered to the Company by others. Payments under the administration agreement are equal to an amount based upon the Company’s allocable portion of Ares Operations’ overhead and other expenses (including travel expenses) incurred by Ares Operations in performing its obligations under the administration agreement, including the Company’s allocable portion of the compensation, rent and other expenses of certain of the Company’s officers (including the Company’s chief compliance officer, chief financial officer, chief accounting officer, general counsel, secretary, treasurer and assistant treasurer) and their respective staffs. The administration agreement may be terminated by either party without penalty upon 60 days’ written notice to the other party.
 
For the three and six months ended June 30, 2025, the Company incurred $4 and $8, respectively, and $3 and $6, respectively, for the comparable periods in 2024, in administrative and other fees, including certain costs that are reimbursable to the Company’s investment adviser under the investment advisory and management agreement or the Company’s administrator under the administration agreement. As of June 30, 2025 and December 31, 2024, $5 and $5, respectively, of the administrative and other fees were unpaid and included in “accounts payable and other liabilities” in the accompanying consolidated balance sheet.

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4. INVESTMENTS

As of June 30, 2025 and December 31, 2024, investments consisted of the following:

 As of
June 30, 2025December 31, 2024
Amortized Cost(1)Fair ValueAmortized Cost(1)Fair Value
First lien senior secured loans(2)$16,827 $16,547 $15,519 $15,179 
Second lien senior secured loans1,609 1,523 1,935 1,847 
Subordinated certificates of the SDLP(3)1,063 1,052 1,263 1,192 
Senior subordinated loans1,456 1,388 1,384 1,351 
Preferred equity2,753 2,642 2,667 2,649 
Ivy Hill Asset Management, L.P.(4)1,856 2,081 1,701 1,915 
Other equity2,017 2,653 1,905 2,587 
Total$27,581 $27,886 $26,374 $26,720 
________________________________________

(1)The amortized cost represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest or dividends.
    
(2)First lien senior secured loans include certain loans that the Company classifies as “unitranche” loans. The total amortized cost and fair value of the loans that the Company classified as “unitranche” loans were $10,650 and $10,489 respectively, as of June 30, 2025, and $8,772 and $8,624, respectively, as of December 31, 2024.

(3)The proceeds from these certificates were applied to co-investments with Varagon Capital Partners (“Varagon”) and its clients to fund first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively.

(4)Includes the Company’s subordinated loan and equity investments in IHAM (as defined below), as applicable.
  
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The Company uses GICS for classifying the industry groupings of its portfolio companies. The industrial and geographic compositions of the Company’s portfolio at fair value as of June 30, 2025 and December 31, 2024 were as follows:

 As of
June 30, 2025December 31, 2024
Industry
Software and Services23.5 %24.5 %
Health Care Equipment and Services12.9 12.0 
Financial Services(1)10.2 9.9 
Commercial and Professional Services9.9 9.4 
Insurance6.4 5.9 
Consumer Distribution and Retail4.7 5.7 
Consumer Services4.6 5.1 
Sports, Media and Entertainment4.5 4.6 
Investment Funds and Vehicles(2)3.8 4.6 
Independent Power and Renewable Electricity Producers3.8 3.7 
Capital Goods3.2 2.7 
Pharmaceuticals, Biotechnology and Life Sciences2.5 2.6 
Materials2.2 1.2 
Consumer Durables and Apparel2.2 2.3 
Food and Beverage1.8 1.8 
Other3.8 4.0 
Total100.0 %100.0 %
________________________________________

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

(2)Includes the Company’s investment in the SDLP (as defined below), which had made first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively. The portfolio companies in the SDLP are in industries similar to the companies in the Company’s portfolio.

 As of
June 30, 2025December 31, 2024
Geographic Region
West(1)22.3 %25.2 %
Midwest21.8 20.9 
Southeast18.2 19.3 
Mid-Atlantic16.6 16.1 
Northeast(2)14.7 12.2 
International6.4 6.3 
Total100.0 %100.0 %
________________________________________

(1)Includes the Company’s investment in the SDLP, which represented 3.8% and 4.5% of the total investment portfolio at fair value as of June 30, 2025 and December 31, 2024, respectively.

(2)Includes the Company’s investment in IHAM, which represented 7.4% and 7.1% of the total investment portfolio at fair value as of June 30, 2025 and December 31, 2024, respectively.

As of June 30, 2025 and December 31, 2024, loans on non-accrual status represented 2.0% of the total investments at amortized cost (or 1.2% at fair value) and 1.7% at amortized cost (or 1.0% at fair value), respectively.

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Ivy Hill Asset Management, L.P.

Ivy Hill Asset Management, L.P. (“IHAM”), a wholly owned portfolio company of the Company, is an asset manager and an SEC-registered investment adviser. As of June 30, 2025, IHAM had assets under management of approximately $13.1 billion. As of June 30, 2025, IHAM managed 21 vehicles (the “IHAM Vehicles”). IHAM earns fee income from managing the IHAM Vehicles and has also invested in certain of these vehicles as part of its business strategy. The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 and $2,237, respectively. For the three and six months ended June 30, 2025, IHAM had management and incentive fee income of $12 and $24, respectively, and investment-related income of $52 and $110, respectively, which included net realized gains or losses on investments and other transactions. For the three and six months ended June 30, 2024, IHAM had management and incentive fee income of $14 and $28, respectively, and investment-related income of $92 and $191, respectively, which included net realized gains or losses on investments and other transactions.

 The amortized cost and fair value of the Company’s investment in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
As of
June 30, 2025December 31, 2024
Amortized CostFair ValueAmortized CostFair Value
Subordinated loan(1)
$155 $155 $ $ 
Equity
1,701 1,926 1,701 1,915 
Total investment in IHAM$1,856 $2,081 $1,701 $1,915 
_______________________________________________________________________________

(1)The Company has provided a commitment to fund up to $500 to IHAM, of which the availability is solely at the Company’s discretion.

The interest income and dividend income that the Company earned from IHAM for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Interest income
$1 $ $1 $1 
Dividend income
$73 $69 $146 $135 

From time to time, IHAM or certain IHAM Vehicles may purchase investments from, or sell investments to, the Company. For any such sales or purchases by the IHAM Vehicles to or from the Company, the IHAM Vehicle must obtain approval from third parties unaffiliated with the Company or IHAM, as applicable. During the six months ended June 30, 2025 and 2024, IHAM or certain of the IHAM Vehicles purchased $1,371 and $35, respectively, of loans from the Company. For the six months ended June 30, 2025 and 2024, the Company recognized $0 of net realized gains and $1 of net realized losses, respectively, from these sales. During the six months ended June 30, 2025, IHAM or certain IHAM Vehicles did not sell any investments to the Company. During the six months ended June 30, 2024, IHAM or certain IHAM vehicles sold $32 of investments to the Company.

The yields at amortized cost and fair value of the Company’s investments in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
 As of
June 30, 2025December 31, 2024
 Amortized CostFair ValueAmortized CostFair Value
Equity(1)
17.2 %15.2 %16.7 %14.8 %
_______________________________________________________________________________

(1)Represents the yield on the Company’s equity investment in IHAM, which is computed as (a) the annualized amount of the regular dividend received by the Company related to the Company’s equity investment in IHAM during the most recent quarter end, divided by (b) the amortized cost or fair value of the Company’s equity investment in IHAM, as applicable.
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IHAM is party to an administration agreement, referred to herein as the “IHAM administration agreement,” with Ares Operations. Pursuant to the IHAM administration agreement, Ares Operations provides IHAM with, among other things, office facilities, equipment, clerical, bookkeeping and record keeping services, services relating to the marketing and sale of interests in vehicles managed by IHAM, services of, and oversight of, custodians, depositories, accountants, attorneys, underwriters and such other persons in any other capacity deemed to be necessary. Under the IHAM administration agreement, IHAM reimburses Ares Operations for all of the actual costs associated with such services, including Ares Operations’ allocable portion of the compensation, rent and other expenses of its officers, employees and respective staff in performing its obligations under the IHAM administration agreement.

Selected Financial Information

Pursuant to Rule 4-08(g) of Regulation S-X, selected financial information of IHAM, in conformity with GAAP, as of June 30, 2025 and December 31, 2024 and for the three and six months ended June 30, 2025 and 2024 are presented below.

In conformity with GAAP, IHAM is required to consolidate entities in which IHAM has a direct or indirect controlling financial interest based on either a variable interest model or voting interest model, which include certain of the IHAM Vehicles (the “Consolidated IHAM Vehicles”). As such, for GAAP purposes only, IHAM consolidates (a) entities in which it holds a majority voting interest or has majority ownership and control over the operational, financial and investing decisions of that entity and (b) entities that it concludes are variable interest entities in which IHAM has more than insignificant economic interest and power to direct the activities that most significantly impact the entities, and for which IHAM is deemed to be the primary beneficiary.

When IHAM consolidates an IHAM Vehicle for GAAP purposes only, IHAM reflects the assets, liabilities, revenues and expenses of the Consolidated IHAM Vehicles on a gross basis, including the economic interests held by third-party investors in the Consolidated IHAM Vehicles as debt obligations, subordinated notes or non-controlling interests, in the consolidated IHAM financials below. All of the revenues earned by IHAM as the investment manager of the Consolidated IHAM Vehicles are eliminated in GAAP consolidation. However, because the eliminated amounts are earned from and funded by third-party investors, the GAAP consolidation of an IHAM Vehicle does not impact the net income or loss attributable to IHAM. As a result, the Company believes an assessment of IHAM's business and the impact to the Company’s investment in IHAM is best viewed on a stand-alone basis as reflected in the first column in the tables below.

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As of June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,619 $9,733 $(2,511)$9,841 
Cash and cash equivalents7 562  569 
Other assets68 79 (61)86 
Total assets$2,694 $10,374 $(2,572)$10,496 
Liabilities
Debt$708 $7,427 $ $8,135 
Subordinated note from ARCC155   155 
Subordinated notes(3) 1,119 (791)328 
Other liabilities19 176 (13)182 
Total liabilities882 8,722 (804)8,800 
Equity
Contributed capital1,701   1,701 
Accumulated earnings146   146 
Net unrealized losses on investments and foreign currency transactions(4) (35)  (35)
Non-controlling interests in Consolidated IHAM Vehicles(5)
 1,652 (1,768)(116)
Total equity1,812 1,652 (1,768)1,696 
Total liabilities and equity$2,694 $10,374 $(2,572)$10,496 

As of December 31, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,160 $8,098 $(2,086)$8,172 
Cash and cash equivalents9 967  976 
Other assets60 122 (54)128 
Total assets$2,229 $9,187 $(2,140)$9,276 
Liabilities
Debt$406 $6,550 $ $6,956 
Subordinated notes(3) 1,025 (714)311 
Other liabilities16 266 (13)269 
Total liabilities422 7,841 (727)7,536 
Equity
Contributed capital1,700   1,700 
Accumulated earnings186   186 
Net unrealized losses on investments and foreign currency transactions(4)(79)  (79)
Non-controlling interests in Consolidated IHAM Vehicles(5)
 1,346 (1,413)(67)
Total equity1,807 1,346 (1,413)1,740 
Total liabilities and equity$2,229 $9,187 $(2,140)$9,276 
________________________________________
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(1)Consolidated for GAAP purposes only.

(2)The determination of such fair value is determined in accordance with IHAM’s valuation process (separate and apart from the Company’s valuation process described elsewhere herein). The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 and $2,237, respectively. The amortized cost of the total investments of IHAM on a consolidated basis as of June 30, 2025 and December 31, 2024 was $10,027 and $8,343, respectively.

(3)Subordinated notes generally represent the most junior capital in certain of the Consolidated IHAM Vehicles and effectively represent equity in such vehicles.

(4)As of June 30, 2025 and December 31, 2024, net unrealized losses of $49 and $70, respectively, have been eliminated upon consolidation and the elimination is included in “non-controlling interests in Consolidated IHAM Vehicles” in the selected balance sheet information.

(5)Non-controlling interests in Consolidated IHAM Vehicles includes net unrealized depreciation in the Consolidated IHAM Vehicles of $185 and $171 as of June 30, 2025 and December 31, 2024, respectively.

For the Three Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$77 $232 $(76)$233 
Management fees and other income12 2 (12)2 
Total revenues89 234 (88)235 
Expenses
Interest expense14 120  134 
Distributions to subordinated notes 32 (23)9 
Management fees and other expenses4 14 (12)6 
Total expenses18 166 (35)149 
Net operating income71 68 (53)86 
Net realized losses on investments and foreign currency (22)(1)21 (2)
Net realized gain on extinguishment of debt 23 (23) 
Net unrealized gains (losses) on investments, foreign currency and other transactions19 (32)(12)(25)
Total net realized and unrealized losses on investments, foreign currency and other transactions (3)(10)(14)(27)
Net income68 58 (67)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles 58 (67)(9)
Net income attributable to Ivy Hill Asset Management, L.P.$68 $ $ $68 

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For the Six Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$144 $449 $(141)$452 
Management fees and other income24 4 (23)5 
Total revenues168 453 (164)457 
Expenses
Interest expense23 238  261 
Distributions to subordinated notes 64 (46)18 
Management fees and other expenses8 28 (23)13 
Total expenses31 330 (69)292 
Net operating income137 123 (95)165 
Net realized losses on investments and foreign currency (31)(56)21 (66)
Net realized gains (losses) on extinguishment of debt 22 (23)(1)
Net unrealized gains (losses) on investments, foreign currency and other transactions44 (19)(21)4 
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions13 (53)(23)(63)
Net income150 70 (118)102 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles 70 (118)(48)
Net income attributable to Ivy Hill Asset Management, L.P.$150 $ $ $150 

For the Three Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$92 $259 $(90)$261 
Management fees and other income14 3 (13)4 
Total revenues106 262 (103)265 
Expenses
Interest expense10 143  153 
Distributions to subordinated notes 52 (40)12 
Management fees and other expenses3 15 (13)5 
Total expenses13 210 (53)170 
Net operating income93 52 (50)95 
Net realized gains (losses) on investments and foreign currency (16) (16)
Net unrealized losses on investments, foreign currency and other transactions (16)(14)10 (20)
Total net realized and unrealized losses on investments, foreign currency and other transactions (16)(30)10 (36)
Net income77 22 (40)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles 22 (40)(18)
Net income attributable to Ivy Hill Asset Management, L.P.$77 $ $ $77 
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For the Six Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$186 $533 $(182)$537 
Management fees and other income28 6 (26)8 
Total revenues214 539 (208)545 
Expenses
Interest expense20 293  313 
Distributions to subordinated notes 105 (77)28 
Management fees and other expenses7 33 (26)14 
Total expenses27 431 (103)355 
Net operating income187 108 (105)190 
Net realized gains (losses) on investments and foreign currency5 (74)(9)(78)
Net realized loss on extinguishment of debt (1) (1)
Net unrealized gains (losses) on investments, foreign currency and other transactions(33)47 30 44 
Total net realized and unrealized losses on investments, foreign currency and other transactions (28)(28)21 (35)
Net income159 80 (84)155 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles 80 (84)(4)
Net income attributable to Ivy Hill Asset Management, L.P.$159 $ $ $159 
____________________________________

(1)Consolidated for GAAP purposes only.

Senior Direct Lending Program

The Company has established a joint venture with Varagon to make certain first lien senior secured loans, including certain stretch senior and unitranche loans, primarily to U.S. middle-market companies. The joint venture is called the Senior Direct Lending Program, LLC (the “Senior Direct Lending Program” or the “SDLP”). In July 2016, the Company and Varagon and its clients completed the initial funding of the SDLP. The SDLP may generally commit and hold individual loans of up to $450. The Company may directly co-invest with the SDLP to accommodate larger transactions. The SDLP is capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of the Company and Varagon (with approval from a representative of each required).

The Company provides capital to the SDLP in the form of subordinated certificates (the “SDLP Certificates”), and Varagon and its clients provide capital to the SDLP in the form of senior notes, intermediate funding notes and the SDLP Certificates. As of June 30, 2025 and December 31, 2024, the Company and a client of Varagon owned 87.5% and 12.5%, respectively, of the outstanding SDLP Certificates.

As of June 30, 2025 and December 31, 2024, the Company and Varagon and its clients had agreed to make capital available to the SDLP of $6,150 and $6,150, respectively, in the aggregate, of which $1,444 and $1,444, respectively, is to be made available from the Company. The Company will continue to provide capital to the SDLP in the form of the SDLP Certificates, and Varagon and its clients will provide capital to the SDLP in the form of senior notes, intermediate funding notes and the SDLP Certificates. This capital will only be committed to the SDLP upon approval of transactions by the investment committee of the SDLP as discussed above. Below is a summary of the funded capital and unfunded capital commitments of the SDLP.

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 As of
June 30, 2025December 31, 2024
Total capital funded to the SDLP(1)$4,572 $5,054 
Total capital funded to the SDLP by the Company(1)$1,231 $1,310 
Total unfunded capital commitments to the SDLP(2)$339 $489 
Total unfunded capital commitments to the SDLP by the Company(2)$86 $119 
___________________________________________________________________________
(1)At principal amount.

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

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

The amortized cost and fair value of the SDLP Certificates held by the Company and the Company’s yield on its investment in the SDLP Certificates at amortized cost and fair value as of June 30, 2025 and December 31, 2024 were as follows:

As of
June 30, 2025December 31, 2024
Amortized CostFair ValueAmortized CostFair Value
Investment in the SDLP Certificates$1,063 $1,052 $1,263 $1,192 
Yield on the investment in the SDLP Certificates12.0 %12.1 %12.4 %13.2 %

The interest income from the Company’s investment in the SDLP Certificates and capital structuring service fees and other income earned for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Interest income
$38 $45 $76 $88 
Capital structuring service fees and other income
$2 $2 $5 $5 

As of June 30, 2025 and December 31, 2024, the SDLP’s portfolio was comprised entirely of first lien senior secured loans to U.S. middle-market companies and were in industries similar to the companies in the Company’s portfolio. As of June 30, 2025, one of the loans in the SDLP portfolio was on non-accrual status. As of December 31, 2024, two of the loans in the SDLP portfolio were on non-accrual status. Below is a summary of the SDLP’s portfolio.

As of
June 30, 2025December 31, 2024
Total first lien senior secured loans(1)(2)$4,415 $4,759 
Largest loan to a single borrower(1)$420 $400 
Total of five largest loans to borrowers(1)$1,711 $1,692 
Number of borrowers in the SDLP19 20 
Commitments to fund delayed draw loans(3)$339 $489 
___________________________________________________________________________

(1)At principal amount.

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(2)First lien senior secured loans include certain loans that the SDLP classifies as “unitranche” loans. As of June 30, 2025 and December 31, 2024, the total principal amount of loans in the SDLP portfolio that the SDLP classified as “unitranche” loans was $3,452 and $3,937, respectively.

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

5. DEBT

In accordance with the Investment Company Act, the Company is allowed to borrow amounts such that its asset coverage, calculated pursuant to the Investment Company Act, is at least 150% after such borrowing. The Company’s asset coverage requirement applicable to senior securities was reduced from 200% to 150% effective June 21, 2019. As of June 30, 2025, the aggregate principal amount outstanding of the senior securities issued by the Company was $14,114 and the Company’s asset coverage was 199%.

The Company’s outstanding debt as of June 30, 2025 and December 31, 2024 was as follows:

 As of 
June 30, 2025December 31, 2024
Total Aggregate Principal Amount Committed/ Outstanding (1)Principal Amount OutstandingCarrying ValueTotal Aggregate Principal Amount Committed/ Outstanding (1)Principal Amount OutstandingCarrying Value
Revolving Credit Facility$5,393 (2)$1,144 $1,144 $4,513 (2)$1,113 $1,113 
Revolving Funding Facility2,150 750 750 2,150 1,065 1,065 
SMBC Funding Facility800 (3)400 400 800 (3)502 502 
BNP Funding Facility1,265 450 450 1,265 889 889 
April 2036 CLO Notes(4)476 476 473 (5)476 476 473 (5)
October 2036 CLO Secured Loans(4)544 544 541 (5)544 544 541 (5)
March 2025 Notes   (5)600 600 600 (5)
July 2025 Notes1,250 1,250 1,250 (5)1,250 1,250 1,252 (5)
January 2026 Notes1,150 1,150 1,149 (5)1,150 1,150 1,148 (5)
July 2026 Notes1,000 1,000 997 (5)1,000 1,000 996 (5)
January 2027 Notes900 900 901 (5)(6)900 900 891 (5)(6)
June 2027 Notes500 500 497 (5)500 500 497 (5)
June 2028 Notes1,250 1,250 1,248 (5)1,250 1,250 1,248 (5)
March 2029 Notes1,000 1,000 999 (5)(6)1,000 1,000 985 (5)(6)
July 2029 Notes850 850 862 (5)(6)850 850 835 (5)(6)
September 2030 Notes750 750 742 (5)(6)   
November 2031 Notes700 700 693 (5)700 700 692 (5)
March 2032 Notes1,000 1,000 1,013 (5)(6)   
Total$20,978 $14,114 $14,109 $18,948 $13,789 $13,727 
________________________________________

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

(2)Provides for an “accordion” feature that allows the Company, under certain circumstances, to increase the size of the Revolving Credit Facility to a maximum of approximately $7,925 and $6,732 as of June 30, 2025 and December 31, 2024, respectively.

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

(4)Excludes the April 2036 CLO Subordinated Notes and the October 2036 CLO Subordinated Notes (each as defined below), which were retained by the Company and, as such, eliminated in consolidation.

(5)Represents the aggregate principal amount outstanding, less unamortized debt issuance costs and the net unaccreted/amortized discount or premium recorded upon issuance. In March 2025, the Company repaid in full the March 2025 Notes (as defined below) upon their maturity. See Note 15 for a subsequent event relating to the July 2025 Notes (as defined below).

(6)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes (each as defined below) as of June 30, 2025 includes adjustments as a result of effective hedge accounting relationships. The carrying value of the January 2027 Notes, the March 2029 Notes and the July 2029 Notes as of December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Note 6 for more information on the interest rate swaps related to these unsecured notes issuances.

 The weighted average stated interest rate and weighted average maturity, both on aggregate principal amount outstanding, of all the Company’s outstanding debt as of June 30, 2025 were 4.9% and 3.8 years, respectively, and as of December 31, 2024 were 4.9% and 3.8 years, respectively. The weighted average stated interest rate of all the Company’s outstanding debt as of June 30, 2025 and December 31, 2024 includes the impact of interest rate swaps. See Note 6 for more information on the interest rate swaps.
 
Revolving Credit Facility
 
The Company is party to a senior secured revolving credit facility (as amended and restated, the “Revolving Credit Facility”) that allows the Company to borrow up to $5,393 at any one time outstanding. The Revolving Credit Facility consists of an approximately $4,249 revolving tranche and an approximately $1,144 term loan tranche. As of June 30, 2025, the end of the revolving periods and the stated maturity dates of the various revolving and term loan tranches of the Revolving Credit Facility were as follows:

Total Aggregate Principal Amount Committed/ OutstandingEnd of Revolving PeriodMaturity Date
Revolving tranche$3,958 April 15, 2029April 15, 2030
246March 31, 2026March 31, 2027
45April 12, 2028April 12, 2029
4,249 
Term loan tranche1,035 April 15, 2030
45April 12, 2029
40April 19, 2028
24March 31, 2027
1,144 
$5,393 

The Revolving Credit Facility also provides for an “accordion” feature that allows the Company, under certain circumstances, to increase the overall size of the Revolving Credit Facility to a maximum of approximately $7,925. The Revolving Credit Facility generally requires payments of interest at the end of each SOFR interest period, but no less frequently than quarterly, on SOFR based loans, and monthly payments of interest on other loans. Subsequent to the end of the respective revolving periods and prior to the respective stated maturity dates, the Company is required to repay the relevant outstanding principal amounts under both the term loan tranche and revolving tranche on a monthly basis in an amount equal to 1/12th of the outstanding principal amount at the end of the respective revolving periods. See Note 15 for a subsequent event relating to the Revolving Credit Facility.

Under the Revolving Credit Facility, the Company is required to comply with various covenants, reporting requirements and other customary requirements for similar revolving credit facilities, including, without limitation, covenants related to: (a) limitations on the incurrence of additional indebtedness and liens, (b) limitations on certain investments, (c) limitations on certain restricted payments, (d) maintaining a certain minimum stockholders’ equity, (e) maintaining a ratio of
174


total assets (less total liabilities not representing indebtedness) to total indebtedness of the Company and its consolidated subsidiaries (subject to certain exceptions) of not less than 1.5:1.0, (f) limitations on pledging certain unencumbered assets, and (g) limitations on the creation or existence of agreements that prohibit liens on certain properties of the Company and certain of its subsidiaries. These covenants are subject to important limitations and exceptions that are described in the documents governing the Revolving Credit Facility. Amounts available to borrow under the Revolving Credit Facility (and the incurrence of certain other permitted debt) are also subject to compliance with a borrowing base that applies different advance rates to different types of assets (based on their value as determined pursuant to the Revolving Credit Facility) that are pledged as collateral. As of June 30, 2025, the Company was in compliance in all material respects with the terms of the Revolving Credit Facility.
 
As of June 30, 2025 and December 31, 2024, there was $1,144 and $1,113 outstanding, respectively, under the Revolving Credit Facility. The Revolving Credit Facility also provides for a sub-limit for the issuance of letters of credit for up to an aggregate amount of $400. As of June 30, 2025 and December 31, 2024, the Company had $53 and $52, respectively, in letters of credit issued through the Revolving Credit Facility. The amount available for borrowing under the Revolving Credit Facility is reduced by any letters of credit and swingline loans issued. As of June 30, 2025, there was $4,196, available for borrowing (net of letters of credit and swingline loans issued) under the Revolving Credit Facility, subject to borrowing base restrictions.
 
Since April 15, 2025, subject to certain exceptions, the interest rate charged on the Revolving Credit Facility is based on SOFR plus a credit spread adjustment of 0.10% (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in certain approved foreign currencies plus a spread adjustment, if applicable) plus an applicable spread of either 1.525%, 1.650% or 1.775% or an “alternate base rate” (as defined in the documents governing the Revolving Credit Facility) plus an applicable spread of either 0.525%, 0.650% or 0.775%, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving credit exposure and term loans outstanding under the Revolving Credit Facility and (b) 85% of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. Prior to April 15, 2025, the interest rate charged on the Revolving Credit Facility was based on SOFR plus a credit spread adjustment of 0.10% (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in certain approved foreign currencies plus a spread adjustment, if applicable) plus an applicable spread of either 1.750% or 1.875% or an “alternate base rate” plus an applicable spread of either 0.750% or 0.875%, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving exposure and term loans outstanding under the Revolving Credit Facility and (b) 85% of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving credit exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. The Revolving Credit Facility allows for borrowings to be made using one, three or six month SOFR. As of June 30, 2025, the one, three and six month SOFR was 4.32%, 4.29% and 4.15%, respectively. As of June 30, 2025, the applicable spread in effect was 1.65%. In addition to the stated interest expense on the Revolving Credit Facility, subject to certain exceptions, the Company is required to pay a commitment fee of 0.325% per annum on any unused portion of the Revolving Credit Facility. The Company is also required to pay a letter of credit fee of either 1.775%, 1.900% or 2.025% per annum on letters of credit issued, determined monthly based on the total amount of the borrowing base relative to the total commitments of the Revolving Credit Facility and other debt, if any, secured by the same collateral as the Revolving Credit Facility.

The Revolving Credit Facility is secured by certain assets in the Company’s portfolio and excludes investments held by Ares Capital CP (as defined below) under the Revolving Funding Facility, those held by ACJB under the SMBC Funding Facility, those held by AFB (as defined below) under the BNP Funding Facility and those held by ADL CLO 1 (as defined below) and ADL CLO 4 (as defined below) and certain other investments.

For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Credit Facility were as follows:

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 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$18 $23 $35 $45 
Credit facility fees4 3 7 7 
Amortization of debt issuance costs2 3 4 5 
Total interest and credit facility fees expense$24 $29 $46 $57 
Cash paid for interest expense$22 $23 $43 $61 
Average stated interest rate6.01 %7.34 %6.10 %7.31 %
Average outstanding balance$1,183 $1,242 $1,151 $1,220 
 
Letter of Credit Facility

The Company and Deutsche Bank AG New York Branch (the “DB Issuer”) are party to an uncommitted continuing agreement (the “Letter of Credit Facility”), which allows the DB Issuer to issue letters of credit or demand guarantees, at the request of the Company, on behalf of certain portfolio companies. The Company is required to make payments to the DB Issuer if the portfolio companies were to default on their related payment obligations. The Letter of Credit Facility is secured on a pari passu basis with the Revolving Credit Facility and pursuant to substantially the same collateral as the Revolving Credit Facility. As of June 30, 2025 and December 31, 2024, the DB Issuer had $211 and $140, respectively, in letters of credit issued under the Letter of Credit Facility.

Revolving Funding Facility
 
The Company and the Company’s consolidated subsidiary, Ares Capital CP Funding LLC (“Ares Capital CP”), are party to a revolving funding facility (as amended, the “Revolving Funding Facility”), that allows Ares Capital CP to borrow up to $2,150 at any one time outstanding. The Revolving Funding Facility is secured by all of the assets held by, and the membership interest in, Ares Capital CP. The end of the reinvestment period and the stated maturity date for the Revolving Funding Facility are October 8, 2027 and October 8, 2029, respectively. See Note 15 for a subsequent event relating to the Revolving Funding Facility.

Amounts available to borrow under the Revolving Funding Facility are subject to a borrowing base that applies different advance rates to different types of assets held by Ares Capital CP. Ares Capital CP is also subject to limitations with respect to the loans securing the Revolving Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and Ares Capital CP are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the Revolving Funding Facility. As of June 30, 2025, the Company and Ares Capital CP were in compliance in all material respects with the terms of the Revolving Funding Facility.
 
As of June 30, 2025 and December 31, 2024, there was $750 and $1,065 outstanding, respectively, under the Revolving Funding Facility. Since October 8, 2024, the interest rate charged on the Revolving Funding Facility is based on SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 2.00% per annum. Prior to October 8, 2024, the interest rate charged on the Revolving Funding Facility was based on SOFR plus a credit spread adjustment of 0.10% or a “base rate” plus an applicable spread of 1.90% per annum. Ares Capital CP is also required to pay a commitment fee of between 0.50% and 1.25% per annum depending on the size of the unused portion of the Revolving Funding Facility. See Note 15 for a subsequent event relating to the Revolving Funding Facility.
  
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Funding Facility were as follows:

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 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$14 $14 $30 $24 
Credit facility fees2 2 4 4 
Amortization of debt issuance costs2 1 3 2 
Total interest and credit facility fees expense$18 $17 $37 $30 
Cash paid for interest expense$18 $13 $35 $26 
Average stated interest rate6.31 %7.40 %6.32 %7.39 %
Average outstanding balance$921 $747 $954 $645 

SMBC Funding Facility
 
The Company and the Company’s consolidated subsidiary, Ares Capital JB Funding LLC (“ACJB”), are party to a revolving funding facility (as amended, the “SMBC Funding Facility”), with ACJB, as the borrower, and Sumitomo Mitsui Banking Corporation, as the administrative agent and collateral agent, that allows ACJB to borrow up to $800 at any one time outstanding. The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1,000. The SMBC Funding Facility is secured by all of the assets held by ACJB. The end of the reinvestment period and the stated maturity date for the SMBC Funding Facility are December 6, 2027 and December 6, 2029, respectively. The reinvestment period and the stated maturity date are both subject to two one-year extensions by mutual agreement. See Note 15 for a subsequent event relating to the SMBC Funding Facility.
 
Amounts available to borrow under the SMBC Funding Facility are subject to a borrowing base that applies an advance rate to assets held by ACJB. ACJB is also subject to limitations with respect to the loans securing the SMBC Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and ACJB are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the SMBC Funding Facility. As of June 30, 2025, the Company and ACJB were in compliance in all material respects with the terms of the SMBC Funding Facility.
 
As of June 30, 2025 and December 31, 2024, there was $400 and $502 outstanding, respectively, under the SMBC Funding Facility. Since December 6, 2024, the interest rate charged on the SMBC Funding Facility is based on an applicable spread of either (i) 2.00% over SOFR or (ii) 1.00% over a “base rate” (as defined in the documents governing the SMBC Funding Facility), in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. From March 28, 2024 to December 5, 2024, the interest rate charged on the SMBC Funding Facility was based on an applicable spread of either (i) 2.50% over SOFR or (ii) 1.50% over a “base rate”, in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. Prior to March 28, 2024, the interest rate charged on the SMBC Funding Facility was based on an applicable spread of either (i) 1.75% or 2.00% over one month SOFR plus a credit spread adjustment of 0.10% or (ii) 0.75% or 1.00% over a “base rate”, in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. ACJB is required to pay a commitment fee of between 0.50% and 1.00% per annum depending on the size of the unused portion of the SMBC Funding Facility. See Note 15 for a subsequent event relating to the SMBC Funding Facility.
 
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the SMBC Funding Facility were as follows:

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 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$7 $7 $14 $12 
Credit facility fees1 1 1 2 
Amortization of debt issuance costs  1 1 
Total interest and credit facility fees expense$8 $8 $16 $15 
Cash paid for interest expense$8 $6 $15 $12 
Average stated interest rate6.32 %7.95 %6.32 %7.66 %
Average outstanding balance$449 $346 $432 $316 
    
BNP Funding Facility
 
The Company and the Company’s consolidated subsidiary, ARCC FB Funding LLC (“AFB”), are party to a revolving funding facility (as amended, the “BNP Funding Facility”) with AFB, as the borrower, and BNP Paribas, as the administrative agent and lender, that allows AFB to borrow up to $1,265 at any one time outstanding. The BNP Funding Facility is secured by all of the assets held by AFB. The end of the reinvestment period and the stated maturity date for the BNP Funding Facility are March 20, 2028 and March 20, 2030, respectively.
 
Amounts available to borrow under the BNP Funding Facility are subject to a borrowing base that applies an advance rate to assets held by AFB. AFB is also subject to limitations with respect to the loans securing the BNP Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and AFB are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the BNP Funding Facility. As of June 30, 2025, the Company and AFB were in compliance in all material respects with the terms of the BNP Funding Facility.
 
As of June 30, 2025 and December 31, 2024, there was $450 and $889, respectively, outstanding under the BNP Funding Facility. Since March 20, 2025, the interest rate charged on the BNP Funding Facility is based on an applicable SOFR or a “base rate” (as defined in the documents governing the BNP Funding Facility) plus a margin of (i) 1.90% during the reinvestment period and (ii) 2.40% following the reinvestment period. From April 20, 2023 to March 19, 2025, the range of interest rate charged on the BNP Funding Facility was based on an applicable SOFR or a “base rate” plus a margin of between 2.10% and 2.80% during the reinvestment period.

For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the BNP Funding Facility were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$11 $10 $22 $23 
Credit facility fees1  1  
Amortization of debt issuance costs  1  
Total interest and credit facility fees expense$12 $10 $24 $23 
Cash paid for interest expense$13 $11 $25 $23 
Average stated interest rate6.20 %7.93 %6.31 %8.03 %
Average outstanding balance$664 $537 $687 $555 

Debt Securitizations

ADL CLO 1 Debt Securitization

In May 2024, the Company, through its wholly owned, consolidated subsidiary, Ares Direct Lending CLO 1 LLC (“ADL CLO 1”), completed a $702 term debt securitization (the “ADL CLO 1 Debt Securitization”). The ADL CLO 1 Debt Securitization is also known as a collateralized loan obligation and is an on-balance sheet financing incurred by the Company,
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which is consolidated by the Company for financial reporting purposes and subject to its overall asset coverage requirement. The notes offered in the ADL CLO 1 Debt Securitization that mature on April 25, 2036 (collectively, the “April 2036 CLO Notes”) were issued by ADL CLO 1 pursuant to the indenture governing the April 2036 CLO Notes (the “April 2036 CLO Indenture”) and include (i) $406 of Class A Senior Notes (the “April 2036 Class A CLO Notes”); (ii) $70 of Class B Senior Notes (the “April 2036 Class B CLO Notes” and, together with the April 2036 Class A CLO Notes, the “April 2036 CLO Secured Notes”); and (iii) approximately $226 of subordinated notes (the “April 2036 CLO Subordinated Notes”). The Company retained all of the April 2036 CLO Subordinated Notes, as such, the April 2036 CLO Subordinated Notes are eliminated in consolidation. The following table presents information on the April 2036 CLO Notes as of June 30, 2025:

ClassTypePrincipal OutstandingMaturity DateInterest Rate
April 2036 Class A CLO NotesSenior Secured Floating Rate$406 April 25, 2036
SOFR+1.80%
April 2036 Class B CLO NotesSenior Secured Floating Rate70 April 25, 2036
SOFR+2.20%
Total April 2036 CLO Secured Notes476 
April 2036 CLO Subordinated NotesSubordinated226 April 25, 2036None
Total April 2036 CLO Notes$702 

The April 2036 CLO Secured Notes are the secured obligations of ADL CLO 1 and are backed by a diversified portfolio of first lien senior secured loans contributed by the Company to ADL CLO 1 pursuant to the terms of a contribution agreement. The April 2036 CLO Indenture contains certain conditions pursuant to which additional loans can be acquired by ADL CLO 1, in accordance with rating agency criteria or as otherwise agreed with certain institutional investors who purchased the April 2036 CLO Secured Notes. Through April 25, 2028, all principal collections received on the underlying collateral may be used by ADL CLO 1 to purchase new collateral under the direction of the Company’s investment adviser in its capacity as asset manager to ADL CLO 1 under an asset management agreement and in accordance with the Company’s investment strategy, including additional collateral that may be purchased from the Company, pursuant to the terms of a master purchase and sale agreement between the Company as seller and ADL CLO 1 as buyer.

The April 2036 CLO Indenture includes customary covenants and events of default. The Company’s investment adviser serves as asset manager to ADL CLO 1 under an asset management agreement and is entitled to receive certain management fees for providing these services under the agreement. The Company’s investment adviser has agreed to waive any management fees from ADL CLO 1.

ADL CLO 4 Debt Securitization

In November 2024, the Company, through its wholly owned, consolidated subsidiary, Ares Direct Lending CLO 4 LLC (“ADL CLO 4”), completed a $544 term debt securitization (the “ADL CLO 4 Debt Securitization”). The ADL CLO 4 Debt Securitization is also known as a collateralized loan obligation and is an on-balance sheet financing incurred by the Company, which is consolidated by the Company for financial reporting purposes and subject to its overall asset coverage requirement. The loans incurred by ADL CLO 4 in the ADL CLO 4 Debt Securitization that mature on October 24, 2036 (collectively, the “October 2036 CLO Secured Loans”) were issued by ADL CLO 4 pursuant to the indenture governing the October 2036 CLO Secured Loans (the “October 2036 CLO Indenture”) and include (i) $464 of Class A Senior Loans (the “October 2036 Class A CLO Loans”), and (ii) $80 of Class B Senior Loans (the “October 2036 Class B CLO Loans”). In addition, in connection with the ADL CLO 4 Debt Securitization, ADL CLO 4 issued approximately $260 of subordinated notes (the “October 2036 CLO Subordinated Notes”). The Company retained all of the October 2036 CLO Subordinated Notes, as such, the October 2036 CLO Subordinated Notes are eliminated in consolidation. The October 2036 CLO Secured Loans may be converted by the lender into notes issued by ADL CLO 4 and bearing the same economic terms, subject to certain conditions under the documents governing the October 2036 CLO Secured Loans and the indenture governing such notes (the “October 2036 CLO Indenture”). The following table presents information on the October 2036 CLO Secured Loans as of June 30, 2025:

ClassTypePrincipal OutstandingMaturity DateInterest Rate
October 2036 Class A CLO Loans
Senior Secured Floating Rate$464 October 24, 2036
SOFR+1.54%
October 2036 Class B CLO Loans
Senior Secured Floating Rate80 October 24, 2036
SOFR+1.83%
Total October 2036 CLO Secured Loans$544 

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The October 2036 CLO Secured Loans are the secured obligations of ADL CLO 4 and are backed by a diversified portfolio of first lien senior secured loans contributed by the Company to ADL CLO 4 pursuant to the terms of a contribution agreement. The documents governing the October 2036 CLO Secured Loans contain certain conditions pursuant to which additional loans can be acquired by ADL CLO 4, in accordance with rating agency criteria or as otherwise agreed with lenders who extended the October 2036 CLO Secured Loans. Through October 24, 2028, all principal collections received on the underlying collateral may be used by ADL CLO 4 to purchase new collateral under the direction of the Company’s investment adviser in its capacity as asset manager to ADL CLO 4 under an asset management agreement and in accordance with the Company’s investment strategy, including additional collateral that may be purchased from the Company, pursuant to the terms of a master purchase and sale agreement between the Company as seller and ADL CLO 4 as buyer.

The October 2036 CLO Indenture includes customary covenants and events of default. The Company’s investment adviser serves as asset manager to ADL CLO 4 under an asset management agreement and is entitled to receive certain management fees for providing these services under the agreement. The Company’s investment adviser has agreed to waive any management fees from ADL CLO 4.

The interest rate charged on the April 2036 CLO Secured Notes and the October 2036 CLO Secured Loans is based on SOFR plus a blended weighted average spread of 1.71%. For the three and six months ended June 30, 2025, the components of interest expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the April 2036 CLO Secured Notes and the October 2036 CLO Secured Loans were as follows.

 For the Three Months Ended June 30, 2025For the Six Months Ended June 30, 2025
Stated interest expense$15 $31 
Amortization of debt issuance costs1 1 
Total interest expense$16 $32 
Cash paid for interest expense$21 $29 
Average stated interest rate5.90 %6.04 %
Average outstanding balance$1,020 $1,020 

2024 Convertible Unsecured Notes

In March 2024, the Company repaid in full the $403 in aggregate principal amount of unsecured convertible notes, which bore interest at a rate of 4.625% per year (the “2024 Convertible Notes”) upon their maturity, resulting in a realized loss on extinguishment of debt of $14. In accordance with the indenture governing the 2024 Convertible Notes, the Company settled the repayment of the 2024 Convertible Notes with a combination of cash and shares of its common stock. Approximately $393 of aggregate principal amount was settled with approximately 20 shares of the Company’s common stock and the remaining $10 of aggregate principal amount was settled with available cash.

For the three and six months ended June 30, 2024, the components of interest expense and cash paid for interest expense for the 2024 Convertible Notes were as follows.
 For the Three Months Ended June 30, 2024For the Six Months Ended June 30, 2024
Stated interest expense$ $3 
Total interest expense$ $3 
Cash paid for interest expense$ $9 

Unsecured Notes
 
The Company has issued certain unsecured notes (the Company refers to each series of unsecured notes using the defined term set forth under the “Unsecured Notes” column of the table below and collectively refers to all such series as the “Unsecured Notes”), that pay interest semi-annually and all principal amounts are due upon maturity. Each of the Unsecured Notes may be redeemed in whole or in part at any time at the Company’s option at a redemption price equal to par plus a “make whole” premium, if applicable, as determined pursuant to the indentures governing each of the Unsecured Notes, plus any accrued and unpaid interest. Certain key terms related to the features for the Unsecured Notes as of June 30, 2025 are listed below.
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Unsecured Notes
Aggregate Principal Amount IssuedEffective Stated Interest RateOriginal Issuance DateMaturity Date
July 2025 Notes$1,250 3.250%January 15, 2020July 15, 2025
January 2026 Notes$1,150 3.875%July 15, 2020January 15, 2026
July 2026 Notes$1,000 2.150%January 13, 2021July 15, 2026
January 2027 Notes(1)$900 6.893%August 3, 2023January 15, 2027
June 2027 Notes $500 2.875%January 13, 2022June 15, 2027
June 2028 Notes$1,250 2.875%June 10, 2021June 15, 2028
March 2029 Notes(1)$1,000 6.347%January 23, 2024March 1, 2029
July 2029 Notes(1)$850 5.955%May 13, 2024July 15, 2029
September 2030 Notes(1)$750 6.093%June 3, 2025September 1, 2030
November 2031 Notes$700 3.200%November 4, 2021November 15, 2031
March 2032 Notes$1,000 5.800%January 8, 2025March 8, 2032
________________________________________

(1)The effective stated interest rates for the January 2027 Notes, the March 2029 Notes, the July 2029 Notes and the September 2030 Notes include the impact of interest rate swaps.

In March 2025, the Company repaid in full the $600 in aggregate principal amount outstanding of unsecured notes (the “March 2025 Notes”) upon their maturity. The March 2025 Notes bore interest at a rate of 4.250% per annum.

See Note 15 for a subsequent event relating to the July 2025 Notes.

In connection with certain of the unsecured notes issued by the Company, the Company has entered into interest rate swaps to more closely align the interest rates of such liabilities with the Company’s investment portfolio, which consists primarily of floating rate loans. Under the interest rate swaps, the Company receives a fixed interest rate and pays a floating interest rate of one-month SOFR plus an applicable spread, as disclosed below. The Company designated these interest rate swaps and the associated unsecured notes as qualifying fair value hedge accounting relationships. Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.

DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.

See Note 6 for more information on the interest rate swaps.
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For the three and six months ended June 30, 2025 and 2024, the components of interest expense and cash paid for interest expense for the Unsecured Notes, as well as any other unsecured notes outstanding during the periods presented were as follows.
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense(1)$108 $103 $215 $196 
Amortization of debt issuance costs4 4 8 8 
Net amortization of original issue premium/discount(1)(1)(2)(3)
Net gain on interest rate swaps accounted for as hedge instruments and the related hedged items(1) (2) 
Total interest expense$110 $106 $219 $201 
Cash paid for interest expense(1)$81 $59 $192 $157 
________________________________________

(1)Includes the impact of the interest rate swaps.
 
The Unsecured Notes contain certain covenants, including covenants requiring the Company to comply with Section 18(a)(1)(A) as modified by Section 61(a) of the Investment Company Act, or any successor provisions, and to provide financial information to the holders of such notes under certain circumstances. These covenants are subject to important limitations and exceptions set forth in the indentures governing such notes. As of June 30, 2025, the Company was in compliance in all material respects with the terms of the respective indentures governing each of the Unsecured Notes.
 
The Unsecured Notes are the Company’s senior unsecured obligations and rank senior in right of payment to any future indebtedness that is expressly subordinated in right of payment to the Unsecured Notes; equal in right of payment to the Company’s existing and future unsecured indebtedness that is not expressly subordinated; effectively junior in right of payment to any of its secured indebtedness (including existing unsecured indebtedness that the Company later secures) to the extent of the value of the assets securing such indebtedness; and structurally junior to all existing and future indebtedness (including trade payables) incurred by the Company’s subsidiaries, financing vehicles or similar facilities.

6. DERIVATIVE INSTRUMENTS

The Company enters into derivative instruments from time to time to help mitigate its foreign currency and interest rate risk exposures.

Foreign Currency Forward Contracts

Certain information related to the Company’s foreign currency forward derivative instruments as of June 30, 2025 and December 31, 2024 is presented below.

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 As of June 30, 2025
Derivative InstrumentNotional
Amount
Gross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet
Location of Net Amounts
Foreign currency forward contract¥8,131$58 $(59) Accounts payable and other liabilities
Foreign currency forward contract CAD 366265 (270) Accounts payable and other liabilities
Foreign currency forward contract£143173 (177) Accounts payable and other liabilities
Foreign currency forward contract£142183 (190) Accounts payable and other liabilities
Foreign currency forward contract CAD 13195 (97) Accounts payable and other liabilities
Foreign currency forward contract122141 (146) Accounts payable and other liabilities
Foreign currency forward contract8799 (102) Accounts payable and other liabilities
Foreign currency forward contract NOK 646 (6)Accounts payable and other liabilities
Foreign currency forward contract NZD 6438 (39) Accounts payable and other liabilities
Foreign currency forward contract AUD 2215 (15)Accounts payable and other liabilities
Total$1,073 $(1,101)

 As of December 31, 2024
Derivative InstrumentNotional
Amount
Gross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet
Location of Net Amounts
Foreign currency forward contractCAD240$184 $(179)Other assets
Foreign currency forward contractCAD188133 (131)Other assets
Foreign currency forward contract182195 (189)Other assets
Foreign currency forward contract£133168 (166)Other assets
Foreign currency forward contract103109 (105)Other assets
Foreign currency forward contractNOK9796 (96)Other assets
Foreign currency forward contract£7495 (93)Other assets
Foreign currency forward contractNZD6841 (38)Other assets
Foreign currency forward contractNOK636 (6)Other assets
Foreign currency forward contractAUD2114 (14)Other assets
Total$1,041 $(1,017)

As of June 30, 2025 and December 31, 2024, the counterparties to each of the Company’s foreign currency forward contracts were Canadian Imperial Bank of Commerce or Royal Bank of Canada.

Net realized and unrealized gains and losses on derivative instruments not designated as a qualifying hedge accounting relationship recognized by the Company for the three and six months ended June 30, 2025 and 2024 is in the following location in the consolidated statements of operations:

For the Three Months Ended June 30,For the Six Months Ended June 30,
Derivative InstrumentStatement Location2025202420252024
Foreign currency forward contractNet realized gains (losses) from foreign currency and other transactions$(40)$14 $(9)$(1)
Foreign currency forward contractNet unrealized gains (losses) from foreign currency and other transactions$(10)$(10)$(54)$20 

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Interest Rate Swaps

In connection with certain of the unsecured notes issued by the Company, the Company has entered into interest rate swaps to more closely align the interest rates of such liabilities with the Company’s investment portfolio, which consists primarily of floating rate loans. Under the interest rate swaps, the Company receives a fixed interest rate and pays a floating interest rate of one-month SOFR plus an applicable spread, as disclosed below. The Company designated these interest rate swaps and the associated unsecured notes as qualifying fair value hedge accounting relationships. As of June 30, 2025 and December 31, 2024, the counterparty to all of the Company’s interest rate swaps was Wells Fargo Bank, N.A. Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.

DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.

See Note 5 for more information on the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes.

As a result of the Company’s designation of the interest rate swaps as hedging instruments in qualifying fair value hedge accounting relationships, the Company is required to fair value the hedging instruments and the related hedged items, with the changes in the fair value of each being recorded in interest expense. The net gain related to the fair value hedges was approximately $1 and $2 for the three and six months ended June 30, 2025, respectively, and approximately $0 for each of the comparable periods in 2024, which is included in “interest and credit facility fees” in the Company’s consolidated statement of operations. The balance sheet impact of fair valuing the interest rate swaps as of June 30, 2025 and December 31, 2024 is presented below:

 As of June 30, 2025
Derivative InstrumentNotional AmountMaturity DateGross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet Location of Amounts
Interest rate swap(1)$900 January 15, 2027$10 $ Other assets
Interest rate swap(2)$1,000 March 1, 202913  Other assets
Interest rate swap(3)$850July 15, 202927  Other assets
Interest rate swap(4)$750 September 1, 20308  Other assets
Interest rate swap(5)$1,000 March 8, 203232  Other assets
Total$90 $ 
________________________________________

(1)The asset related to the fair value of the interest rate swaps was offset by a $10 increase to the carrying value of the January 2027 Notes.

(2)The asset related to the fair value of the interest rate swap was offset by a $13 increase to the carrying value of the March 2029 Notes.

(3)The asset related to the fair value of the interest rate swap was offset by a $27 increase to the carrying value of the July 2029 Notes.

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(4)The asset related to the fair value of the interest rate swap was offset by a $8 increase to the carrying value of the September 2030 Notes.

(5)The asset related to the fair value of the interest rate swap was offset by a $32 increase to the carrying value of the March 2032 Notes.

 As of December 31, 2024
Derivative InstrumentNotional AmountMaturity DateGross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet Location of Amounts
Interest rate swap(1)$900 January 15, 2027$4 $ Other assets
Interest rate swap(2)$1,000 March 1, 2029 (9)Accounts payable and other liabilities
Interest rate swap(3)$850July 15, 20297  Other assets
Total$11 $(9)
________________________________________

(1)The asset related to the fair value of the interest rate swaps was offset by a $4 increase to the carrying value of the January 2027 Notes.

(2)The liability related to the fair value of the interest rate swap was offset by a $9 decrease to the carrying value of the March 2029 Notes.

(3)The asset related to the fair value of the interest rate swap was offset by a $7 increase to the carrying value of the July 2029 Notes.

7. COMMITMENTS AND CONTINGENCIES

Investment Commitments

The Company has various commitments to fund investments in its portfolio as described below. As of June 30, 2025 and December 31, 2024, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to fund which are at (or substantially at) the Company’s discretion:

 As of
 June 30, 2025December 31, 2024
Total revolving loan commitments $2,469 $2,254 
Less: funded commitments(539)(529)
Less: unavailable revolving loan commitments due to borrowing base or other covenant restrictions(12)(1)
Total net unfunded revolving loan commitments1,918 1,724 
Total unfunded delayed draw loan commitments2,320 2,193 
Less: unavailable delayed draw loan commitments due to borrowing base or other covenant restrictions(15)(22)
Total net unfunded delayed draw loan commitments2,305 2,171 
Total net unfunded revolving and delayed draw loan commitments$4,223 $3,895 
    
The Company’s commitment to fund delayed draw loans is generally triggered upon the satisfaction of certain pre-negotiated terms and conditions. Generally, the most significant and uncertain term requires the borrower to satisfy a specific use of proceeds covenant. The use of proceeds covenant typically requires the borrower to use the additional loans for the specific purpose of a permitted acquisition or permitted investment, for example. In addition to the use of proceeds covenant, the borrower is generally required to satisfy additional negotiated covenants (including specified leverage levels).

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Also included within the total revolving loan commitments as of June 30, 2025 were commitments to issue up to $507 in letters of credit through a financial intermediary on behalf of certain portfolio companies. As of June 30, 2025, the Company had $94 in letters of credit issued and outstanding under these commitments on behalf of the portfolio companies. For all these letters of credit issued and outstanding, the Company would be required to make payments to third parties if the portfolio companies were to default on their related payment obligations. Of these letters of credit, $53 expire in 2025 and $41 expire in 2026.
 
The Company also has commitments to co-invest in the SDLP for the Company’s portion of the SDLP’s commitments to fund delayed draw loans to certain portfolio companies of the SDLP. See Note 4 for more information.
 
As of June 30, 2025 and December 31, 2024, the Company was party to agreements to fund equity investment commitments as follows:
 As of
 June 30, 2025December 31, 2024
Total equity commitments$154 $191 
Less: funded equity commitments(39)(88)
Total unfunded equity commitments115 103 
Less: equity commitments substantially at discretion of the Company(43)(43)
Total net unfunded equity commitments$72 $60 
 
In the ordinary course of business, the Company may sell certain of its investments to third party purchasers. In particular, in connection with the sale of certain controlled portfolio company equity investments (as well as certain other sales) the Company has, and may continue to do so in the future, agreed to indemnify such purchasers for future liabilities arising from the investments and the related sale transaction. Such indemnification provisions have given rise to liabilities in the past and may do so in the future.

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

8. FAIR VALUE OF FINANCIAL INSTRUMENTS

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

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

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

Level 3—Valuations based on inputs that are unobservable and significant to the overall fair value measurement.
 
In addition to using the above inputs in investment valuations, the Valuation Designee continues to employ its net asset valuation policy and procedures that have been reviewed by the Company’s board of directors in connection with their designation of the Company’s investment adviser as the valuation designee and are consistent with the provisions of Rule 2a-5 under the Investment Company Act and ASC 820-10 (see Note 2 for more information). Consistent with its valuation policy and procedures, the Valuation Designee evaluates the source of inputs, including any markets in which the Company’s investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. Because there is not a readily available market value for most of the investments in the Company’s portfolio, the fair value of the investments must typically be determined using unobservable inputs.
 
The Company’s portfolio investments (other than as described below in the following paragraph) are typically valued using two different valuation techniques. The first valuation technique is an analysis of the enterprise value (“EV”) of the portfolio company. EV means the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time. The primary method for determining EV uses a multiple analysis whereby appropriate multiples are applied to the portfolio company’s EBITDA (generally defined as net income before net interest expense, income tax expense, depreciation and amortization). EBITDA multiples are typically determined based upon review of market comparable transactions and publicly traded comparable companies, if any. The Valuation Designee may also employ other valuation multiples to determine EV, such as revenues or, in the case of certain portfolio companies in the power generation industry, kilowatt capacity. The second method for determining EV uses a discounted cash flow analysis whereby future expected cash flows of the portfolio company are discounted to determine a present value using estimated discount rates (typically a weighted average cost of capital based on costs of debt and equity consistent with current market conditions). The EV analysis is performed to determine the value of equity investments, the value of debt investments in portfolio companies where the Company has control or could gain control through an option or warrant security, and to determine if there is credit impairment for debt investments. If debt investments are credit impaired, an EV analysis may be used to value such debt investments; however, in addition to the methods outlined above, other methods such as a liquidation or wind-down analysis may be utilized to estimate EV. The second valuation technique is a yield analysis, which is typically performed for non-credit impaired debt investments in portfolio companies where the Company does not own a controlling equity position. To determine fair value using a yield analysis, a current price is imputed for the investment based upon an assessment of the expected market yield for a similarly structured investment with a similar level of risk. In the yield analysis, the Valuation Designee considers the current contractual interest rate, the maturity and other terms of the investment relative to risk of the company and the specific investment. A key determinant of risk, among other things, is the leverage through the investment relative to the EV of the portfolio company. As debt investments held by the Company are substantially illiquid with no active transaction market, the Valuation Designee depends on primary market data, including newly funded transactions, as well as secondary market data with respect to high yield debt instruments and syndicated loans, as inputs in determining the appropriate market yield, as applicable.
 
For other portfolio investments such as investments in the SDLP Certificates and IHAM, discounted cash flow analysis is the primary technique utilized to determine fair value. Expected future cash flows associated with the investment are discounted to determine a present value using a discount rate that reflects estimated market return requirements.

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The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, unfunded revolving and delayed draw loan commitments and derivatives as of June 30, 2025:

 Fair Value Measurements Using
TotalLevel 1Level 2Level 3
Cash and cash equivalents$447 $447 $ $ 
Restricted cash$217 $217 $ $ 
Investments not measured at net asset value$27,870 $20 $724 $27,126 
Investments measured at net asset value(1)16 
 Total investments$27,886 
Unfunded revolving and delayed draw loan commitments(2)$(25)$ $ $(25)
Derivatives:
Foreign currency forward contracts$(28)$ $(28)$ 
Interest rate swaps$90 $ $90 $ 
________________________________________

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

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

The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, unfunded revolving and delayed draw loan commitments and derivatives as of December 31, 2024:

 Fair Value Measurements Using
TotalLevel 1Level 2Level 3
Cash and cash equivalents$635 $635 $ $ 
Restricted cash$225 $225 $ $ 
Investments not measured at net asset value$26,711 $33 $587 $26,091 
Investments measured at net asset value(1)9 
 Total investments$26,720 
Unfunded revolving and delayed draw loan commitments(2)$(29)$ $ $(29)
Derivatives:
Foreign currency forward contracts$24 $ $24 $ 
Interest rate swaps$2 $ $2 $ 
________________________________________

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

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

The following tables summarize the significant unobservable inputs the Valuation Designee used to value the majority of the Company’s investments categorized within Level 3 as of June 30, 2025 and December 31, 2024. The tables are not intended to be all-inclusive, but instead to capture the significant unobservable inputs relevant to the Valuation Designee’s determination of fair values.

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 As of June 30, 2025
Unobservable Input
Asset CategoryFair ValuePrimary Valuation TechniquesInputEstimated Range
Weighted Average(1)
First lien senior secured loans$16,137 Yield analysisMarket yield
5.4% - 20.8%
10.1 %
Second lien senior secured loans1,229 Yield analysisMarket yield
11.0% - 18.7%
14.0 %
Subordinated certificates of the SDLP1,052 Discounted cash flow analysisDiscount rate
9.4% - 12.7%
11.8 %
Senior subordinated loans1,379 Yield analysisMarket yield
6.9% - 22.6%
14.0 %
Preferred equity2,643 Yield analysisMarket yield
7.0% - 19.6%
13.2 %
EV market multiple analysisEBITDA multiple
3.0x - 27.4x
16.0x
Ivy Hill Asset Management, L.P.(2)2,081 Discounted cash flow analysisDiscount rate
9.3% - 19.0%
10.1 %
Other equity2,605 EV market multiple analysisEBITDA multiple
5.0x - 35.0x
16.2x
Total investments$27,126 
________________________________________

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

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

 As of December 31, 2024
Unobservable Input
Asset CategoryFair ValuePrimary Valuation TechniquesInputEstimated Range
Weighted Average(1)
First lien senior secured loans$14,722 Yield analysisMarket yield
3.8% - 22.9%
10.4 %
Second lien senior secured loans1,724 Yield analysisMarket yield
9.6% - 23.2%
14.2 %
Subordinated certificates of the SDLP1,192 Discounted cash flow analysisDiscount rate
10.0% - 13.0%
12.0 %
Senior subordinated loans1,343 Yield analysisMarket yield
8.4% - 21.9%
12.8 %
Preferred equity2,649 Yield analysisMarket yield
7.0% - 19.0%
13.3 %
EV market multiple analysisEBITDA multiple
2.6x - 25.1x
15.4x
Ivy Hill Asset Management, L.P.(2)1,915 Discounted cash flow analysisDiscount rate
9.9% - 19.0%
11.4 %
Other equity2,546 EV market multiple analysisEBITDA multiple
5.6x - 49.7x
18.1x
Total investments$26,091 
________________________________________

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

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

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

The following tables present changes in investments that use Level 3 inputs as of and for the three and six months ended June 30, 2025:

 As of and For the Three Months Ended June 30, 2025
Balance as of March 31, 2025$26,385 
Net realized gains110 
Net unrealized losses(83)
Purchases2,730 
Sales(665)
Repayments(1,452)
PIK interest and dividends150 
Net accretion of discount on investments3 
Net transfers in and/or out of Level 3(52)
Balance as of June 30, 2025$27,126 

 As of and For the Six Months Ended June 30, 2025
Balance as of December 31, 2024$26,091 
Net realized gains7 
Net unrealized losses(57)
Purchases5,409 
Sales(1,464)
Repayments(2,908)
PIK interest and dividends255 
Net accretion of discount on investments5 
Net transfers in and/or out of Level 3(212)
Balance as of June 30, 2025$27,126 

Investments were transferred into and out of Level 3 during the three and six months ended June 30, 2025. Transfers into and out of Level 3 were generally as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.

As of June 30, 2025, the net unrealized appreciation on the investments that use Level 3 inputs was $316.

For the three and six months ended June 30, 2025, the total amount of gains (losses) for the period included in earnings attributable to the change in unrealized gains (losses) relating to the Company’s Level 3 assets still held as of June 30, 2025, and reported within the net unrealized gains (losses) on investments, foreign currency and other transactions in the Company’s consolidated statement of operations was $76 and $(18), respectively.

The following tables present changes in investments that use Level 3 inputs as of and for the three and six months ended June 30, 2024:

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 As of and For the Three Months Ended June 30, 2024
Balance as of March 31, 2024$22,353 
Net realized losses(15)
Net unrealized losses(51)
Purchases3,245 
Sales(60)
Repayments(1,301)
PIK interest and dividends128 
Net accretion of discount on investments3 
Net transfers in and/or out of Level 3 
Balance as of June 30, 2024$24,302 

 As of and For the Six Months Ended June 30, 2024
Balance as of December 31, 2023$22,084 
Net realized losses(13)
Net unrealized gains59 
Purchases6,116 
Sales(1,111)
Repayments(3,055)
PIK interest and dividends218 
Net accretion of discount on investments4 
Net transfers in and/or out of Level 3 
Balance as of June 30, 2024$24,302 

Investments were transferred into and out of Level 3 during the three and six months ended June 30, 2024. Transfers into and out of Level 3 were generally as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.

As of June 30, 2024, the net unrealized appreciation on the investments that use Level 3 inputs was $294.

For the three and six months ended June 30, 2024, the total amount of gains (losses) for the period included in earnings attributable to the change in unrealized gains (losses) relating to the Company’s Level 3 assets still held as of June 30, 2024, and reported within the net unrealized gains (losses) on investments, foreign currency and other transactions in the Company’s consolidated statement of operations was $(68) and $75, respectively.

The following are the carrying and fair values of the Company’s debt obligations as of June 30, 2025 and December 31, 2024. Fair value is estimated by discounting remaining payments using applicable current market rates, which take into account changes in the Company’s marketplace credit ratings, or market quotes, if available.

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 As of
 June 30, 2025December 31, 2024
Carrying Value(1)Fair Value(6)Carrying Value(1)Fair Value(6)
Revolving Credit Facility$1,144 $1,144 $1,113 $1,113 
Revolving Funding Facility750 750 1,065 1,065 
SMBC Funding Facility400 400 502 502 
BNP Funding Facility450 450 889 889 
April 2036 CLO Notes (principal amount outstanding of $476)(2)
473 (3)473 473 (3)476 
October 2036 CLO Secured Loans (principal amount outstanding of $544)(2)
541 (3)541 541 (3)544 
March 2025 Notes (principal amount outstanding of $0 and $600, respectively)
  600 (3)599 
July 2025 Notes (principal amount outstanding of $1,250)
1,250 (3)1,249 1,252 (3)1,238 
January 2026 Notes (principal amount outstanding of $1,150)
1,149 (3)1,145 1,148 (3)1,137 
July 2026 Notes (principal amount outstanding of $1,000)
997 (3)975 996 (3)957 
January 2027 Notes (principal amount outstanding of $900)
901 (3)(4)929 891 (3)(4)933 
June 2027 Notes (principal amount outstanding of $500)
497 (3)484 497 (3)475 
June 2028 Notes (principal amount outstanding of $1,250)
1,248 (3)1,179 1,248 (3)1,151 
March 2029 Notes (principal amount outstanding of $1,000)
999 (3)(4)1,020 985 (3)(4)1,010 
July 2029 Notes (principal amount outstanding of $850)
862 (3)(4)870 835 (3)(4)861 
September 2030 Notes (principal amount outstanding of $750 and $0, respectively)
742 (3)(4)748   
November 2031 Notes (principal amount outstanding of $700)
693 (3)610 692 (3)602 
March 2032 Notes (principal amount outstanding of $1,000 and $0, respectively)
1,013 (3)(4)997   
Total$14,109 (5)$13,964 $13,727 (5)$13,552 
________________________________________

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

(2)Excludes the April 2036 CLO Subordinated Notes and October 2036 CLO Subordinated Notes, which were retained by the Company and, as such, eliminated in consolidation. See Note 5 for more information on the Debt Securitizations.

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

(4)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes as of June 30, 2025 includes adjustments as a result of effective hedge accounting relationships. The carrying value of the January 2027 Notes, the March 2029 Notes and the July 2029 Notes as of December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Notes 5 and 6 for more information.

(5)Total principal amount of outstanding debt totaled $14,114 and $13,789 as of June 30, 2025 and December 31, 2024, respectively.

(6)The fair value of these debt obligations would be categorized as Level 2 under ASC 820-10.
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9. STOCKHOLDERS’ EQUITY

The Company may from time to time issue and sell shares of its common stock through public or “at the market” offerings. During the six months ended June 30, 2025, the Company issued and sold the following shares of common stock:


Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings32.0$709.4 $7.5 $701.9 $22.14 
Total32.0$709.4 $7.5 $701.9 
________________________________________

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

During the six months ended June 30, 2024, the Company issued and sold the following shares of common stock:


Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings25.9$538.7 $5.9 $532.8 $20.83 
Total25.9$538.7 $5.9 $532.8 
________________________________________

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

“At the Market” Offerings

The Company is party to equity distribution agreements with several banks (the “Equity Distribution Agreements”). The Equity Distribution Agreements provide that the Company may from time to time issue and sell, by means of “at the market” offerings, up to $1,500 of its common stock. Subject to the terms and conditions of the Equity Distribution Agreements, sales of common stock, if any, may be made in transactions that are deemed to be “at the market” offerings as defined in Rule 415(a)(4) under the Securities Act of 1933, as amended. Under the Equity Distribution Agreements, common stock with an aggregate offering amount of $791 remained available for issuance as of June 30, 2025.

Conversion of the 2024 Convertible Notes

In March 2024, in connection with the repayment of the 2024 Convertible Notes, the Company issued approximately 20 shares of its common stock at a conversion price of $20.12 per share for a total value of $407. See Note 5 for more information relating to the repayment of the 2024 Convertible Notes.

Dividend Reinvestment Plan

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

Stock Repurchase Program

The Company is authorized under its stock repurchase program to purchase up to $1,000 in the aggregate of its outstanding common stock in the open market at certain thresholds below its net asset value per share, in accordance with the guidelines specified in Rule 10b-18 under the Securities Exchange Act of 1934, as amended. The timing, manner, price and amount of any share repurchases will be determined by the Company, in its sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program does not require the Company to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, the Company cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. As of June 30, 2025, the expiration date of the stock
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repurchase program was February 15, 2026. The program may be suspended, extended, modified or discontinued at any time. As of June 30, 2025, there was $1,000 available for repurchases under the stock repurchase program.

During the six months ended June 30, 2025 and 2024, the Company did not repurchase any shares of the Company’s common stock under the stock repurchase program.

10. EARNINGS PER SHARE

The following information sets forth the computations of basic and diluted net increase in stockholders’ equity resulting from operations per share for the three and six months ended June 30, 2025 and 2024:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Net increase in stockholders’ equity resulting from operations$361 $322 $602 $771 
Weighted average shares of common stock outstanding—basic and diluted695 616 686 603 
Basic and diluted net increase in stockholders’ equity resulting from operations per share$0.52 $0.52 $0.88 $1.28 


11. DIVIDENDS AND DISTRIBUTIONS

The following table summarizes the Company’s dividends declared and payable during the six months ended June 30, 2025 and 2024:

Date declaredRecord datePayment datePer share
amount
Total amount
April 29, 2025June 13, 2025June 30, 2025$0.48 $337 
February 5, 2025March 14, 2025March 31, 20250.48 328 
Total dividends declared and payable for the six months ended June 30, 2025
$0.96 $665 
May 1, 2024June 14, 2024June 28, 2024$0.48 $300 
February 7, 2024March 15, 2024March 29, 20240.48 291 
Total dividends declared and payable for the six months ended June 30, 2024
$0.96 $591 

The Company has a dividend reinvestment plan, whereby the Company may buy shares of its common stock in the open market or issue new shares in order to satisfy dividend reinvestment requests. When the Company issues new shares in connection with the dividend reinvestment plan, the issue price is equal to the closing price of its common stock on the dividend payment date. Dividend reinvestment plan activity for the six months ended June 30, 2025 and 2024, was as follows:

For the Six Months Ended June 30,
20252024
Shares issued1.8 2.0 
Average issue price per share$22.06 $20.83 

12. RELATED PARTY TRANSACTIONS

In accordance with the investment advisory and management agreement, the Company bears all costs and expenses of the operation of the Company and reimburses its investment adviser or its affiliates for certain of such costs and expenses paid for by the investment adviser or its affiliates on behalf of the Company. For the three and six months ended June 30, 2025, the Company’s investment adviser or its affiliates incurred and the Company reimbursed such expenses totaling $1 and $3,
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respectively. For the three and six months ended June 30, 2024, the Company’s investment adviser or its affiliates incurred and the Company reimbursed such expenses totaling $6 and $7, respectively.

The Company has entered into agreements with Ares Management LLC and IHAM, pursuant to which Ares Management LLC and IHAM are entitled to use the Company’s proprietary portfolio management software. For the three and six months ended June 30, 2025, amounts payable to the Company under these agreements totaled $0 and $0, respectively. For the three and six months ended June 30, 2024, amounts payable to the Company under these agreements totaled $0 and $0, respectively.

Ares Management Capital Markets LLC (“AMCM”), an affiliate of Ares Management, served as a co-manager and an underwriter in connection with the Company’s offering of the September 2030 Notes and the March 2032 Notes issued during the six months ended June 30, 2025. Under the purchase agreement the Company entered into in connection with such issuances, AMCM received an aggregate of $0.5 of underwriting and advisory fees for the six months ended June 30, 2025. The underwriting and advisory fees AMCM received were on terms equivalent to those of other underwriters.

See Notes 3, 4 and 5 for descriptions of other related party transactions.

13. FINANCIAL HIGHLIGHTS

The following is a schedule of financial highlights as of and for the six months ended June 30, 2025 and 2024:

 As of and For the Six Months Ended June 30,
Per Share Data:20252024
Net asset value at beginning of period(1)$19.89 $19.24 
Issuances of common stock0.09 0.04 
Conversion of 2024 Convertible Notes  0.01 
Net investment income for period(2)1.03 1.17 
Net realized and unrealized gains (losses) for period(2)(0.15)0.11 
Net increase in stockholders' equity resulting from operations0.97 1.33 
Total distributions to stockholders(0.96)(0.96)
Net asset value at end of period(1)$19.90 $19.61 
Per share market value at end of period$21.96 $20.84 
Total return based on market value(3)4.87 %9.02 %
Total return based on net asset value(4)4.95 %6.98 %
Shares outstanding at end of period706 630 
Ratio/Supplemental Data: 
Net assets at end of period$14,034 $12,364 
Ratio of operating expenses to average net assets(5)(6)11.12 %12.31 %
Ratio of net investment income to average net assets(5)(7)10.42 %12.13 %
Portfolio turnover rate(5)34 %37 %
_________________________________________________________________________________

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

(2)Weighted average basic per share data.

(3)For the six months ended June 30, 2025, the total return based on market value equaled the increase of the ending market value at June 30, 2025 of $21.96 per share from the ending market value at December 31, 2024 of $21.89 per share plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2025, divided by the market value at December 31, 2024. For the six months ended June 30, 2024, the total return based on market value equaled the increase of the ending market value at June 30, 2024 of $20.84 per share from the ending market value at December 31, 2023 of $20.03 per share plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2024, divided by the market value at December 31, 2023. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.
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(4)For the six months ended June 30, 2025, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2025, divided by the beginning net asset value for the period. For the six months ended June 30, 2024, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2024, divided by the beginning net asset value for the period. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.

(5)The ratios reflect an annualized amount.

(6)For the six months ended June 30, 2025 and 2024, the ratio of operating expenses to average net assets consisted of the following:
 For the Six Months Ended June 30,
20252024
Base management fee3.05 %3.03 %
Income based fee and capital gains incentive fee2.21 3.27 
Interest and credit facility fees5.51 5.66 
Other operating expenses0.35 0.35 
Total operating expenses11.12 %12.31 %

(7)The ratio of net investment income to average net assets excludes income taxes related to realized gains and losses.

14. SEGMENT REPORTING

The Company operates through a single operating and reporting segment with an investment objective to generate both current income and capital appreciation through debt and equity investments. The chief operating decision maker (“CODM”) is comprised of the Company’s chief executive officer, president, chief financial officer and chief operating officer and the CODM assesses the performance and makes operating decisions of the Company on a consolidated basis primarily based on the Company’s net increase in stockholders’ equity resulting from operations (“net income”). In addition to numerous other factors and metrics, the CODM utilizes net income as a key metric in determining the amount of dividends to be distributed to the Company’s stockholders. As the Company’s operations comprise of a single reporting segment, the segment assets are reflected on the accompanying consolidated balance sheet as “total assets” and the significant segment expenses are listed on the accompanying consolidated statement of operations.

15. SUBSEQUENT EVENTS

The Company’s management has evaluated subsequent events through the date of issuance of the consolidated financial statements included herein. There have been no subsequent events that occurred during such period that would require disclosure in this Form 10-Q or would be required to be recognized in the consolidated financial statements as of and for the six months ended June 30, 2025, except as discussed below.

In July 2025, the Company increased the total commitment under its Revolving Credit Facility from $5,393 to $5,493. The other terms of the Revolving Credit Facility remained unchanged.

In July 2025, the Company and Ares Capital CP entered into an agreement to amend the Revolving Funding Facility. The amendment, among other things, (a) increased the commitments under the Revolving Funding Facility from $2,150 to $2,250, (b) extended the end of the reinvestment period from October 8, 2027 to July 28, 2028, (c) extended the stated maturity date from October 8, 2029 to July 28, 2030 and (d) adjusted the interest rate charged on the Revolving Funding Facility from an applicable SOFR or a “base rate” plus an applicable spread of 2.00% per annum to an applicable SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 1.80% per annum. The other terms of the Revolving Funding Facility remained materially unchanged.

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In July 2025, the Company and ACJB entered into an agreement to amend the SMBC Funding Facility. The amendment, among other things, (a) increased the commitments under the SMBC Funding Facility from $800 to $1,100, (b) extended the end of the reinvestment period from December 6, 2027 to July 25, 2028, (c) extended the stated maturity date from December 6, 2029 to July 25, 2030 and (d) adjusted the interest rate charged on the SMBC Funding Facility from an applicable spread of either (x) 2.00% over SOFR or (y) 1.00% over a “base rate” to an applicable spread of either (x) 1.80% over SOFR or (y) 0.80% over a “base rate” (as defined in the documents governing the SMBC Funding Facility). The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1,300. The other terms of the SMBC Funding Facility remained materially unchanged.

In July 2025, the Company repaid in full the July 2025 Notes upon their maturity, which bore interest at a rate of 3.250% per annum.



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

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

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

the return or impact of current and future investments;

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

changes in the general economy, including those caused by tariffs and trade disputes with other countries, changes in inflation and risk of recession;

fluctuations in global interest rates;

the impact of changes in laws or regulations (including the interpretation thereof), including tax laws, governing our operations or the operations of our portfolio companies or the operations of our competitors;

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

our ability to recover unrealized losses;

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

our contractual arrangements and relationships with third parties;

political and regulatory conditions that contribute to uncertainty and market volatility including the impact of the legislative, regulatory, trade, immigration and other policy changes associated with the current U.S. presidential administration;

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

uncertainty surrounding global financial stability;

ongoing conflicts in the Middle East and the Russia-Ukraine war, including the potential for volatility in energy prices and other commodities and their impact on the industries in which we invest;

the disruption of global shipping activities;

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

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

the impact of global health crises on our or our portfolio companies’ business and the U.S. and global economy;

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

our ability to successfully complete and integrate any acquisitions;

the outcome and impact of any litigation or regulatory proceeding;

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the adequacy of our cash resources and working capital;

the timing, form and amount of any dividend distributions;

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

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

We use words such as “anticipates,” “believes,” “expects,” “intends,” “projects,” “estimates,” “will,” “should,” “could,” “would,” “may” and similar expressions to identify forward-looking statements, although not all forward-looking statements include these words. Our actual results and condition could differ materially from those implied or expressed in the forward-looking statements for any reason, including the factors set forth in “Risk Factors” and elsewhere in our Annual Report on Form 10-K for the fiscal year ended December 31, 2024 and in this Quarterly Report.

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

OVERVIEW

We are a specialty finance company that is a closed-end, non-diversified management investment company incorporated in Maryland. We have elected to be regulated as a business development company (“BDC”) under the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”).
 
We are externally managed by Ares Capital Management LLC (“Ares Capital Management” or our “investment adviser”), a subsidiary of Ares Management Corporation (“Ares Management”), a publicly traded, leading global alternative investment manager, pursuant to our investment advisory and management agreement. Ares Operations LLC (“Ares Operations” or our “administrator”), a subsidiary of Ares Management, provides certain administrative and other services necessary for us to operate.
 
Our investment objective is to generate both current income and capital appreciation through debt and equity investments. We invest primarily in first lien senior secured loans (including “unitranche” loans, which are loans that combine both senior and subordinated debt, generally in a first lien position) and second lien senior secured loans. In addition to senior secured loans, we also invest in subordinated loans (sometimes referred to as mezzanine debt) and preferred equity.
 
To a lesser extent, we also make common equity investments, which have generally been non-control equity investments of less than $20 million (usually in conjunction with a concurrent debt investment). However, we may increase the size or change the nature of these investments.
 
Since our initial public offering (“IPO”) on October 8, 2004 through June 30, 2025, our exited investments resulted in an asset level realized gross internal rate of return to us of approximately 13% (based on original cash invested, net of syndications, of approximately $47.1 billion and total proceeds from such exited investments of approximately $60.3 billion). Internal rate of return is the discount rate that makes the net present value of all cash flows related to a particular investment equal to zero. Internal rate of return is gross of expenses related to investments as these expenses are not allocable to specific investments. Investments are considered to be exited when the original investment objective has been achieved through the receipt of cash and/or non-cash consideration upon the repayment of a debt investment or sale of an investment or through the determination that no further consideration was collectible and, thus, a loss may have been realized.

Additionally, since our IPO on October 8, 2004 through June 30, 2025, our realized gains have exceeded our realized losses by approximately $0.9 billion (excluding a one-time gain on the acquisition of Allied Capital Corporation in April 2010 (the “Allied Acquisition”), income tax expense on net realized gains, and realized gains/losses from the extinguishment of debt and other transactions). For the same time period, our average annualized net realized gain rate was approximately 0.8% (excluding a one-time gain on the Allied Acquisition, income tax expense on net realized gains, and realized gains/losses from
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the extinguishment of debt and other transactions). Net realized gain/loss rates for a particular period are the amount of net realized gains/losses during such period divided by the average quarterly investments at amortized cost in such period.
 
Information included herein regarding internal rates of return, realized gains and losses and annualized net realized gain rates are historical results relating to our past performance and are not necessarily indicative of future results, the achievement of which cannot be assured.

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

MACROECONOMIC ENVIRONMENT

During the second quarter of 2025, leveraged corporate credit markets posted positive returns amid heightened volatility driven by shifting trade policies and geopolitical uncertainty. Although expectations for future economic growth were revised downward, a stable macroeconomic backdrop, marked by a steady labor market and inflation levels, underpinned the relative strength of U.S. debt and equity markets.


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PORTFOLIO AND INVESTMENT ACTIVITY

Our investment activity for the three months ended June 30, 2025 and 2024 is presented below.

 For the Three Months Ended June 30,
(dollar amounts in millions)20252024
New investment commitments(1):  
New portfolio companies$669 $1,371 
Existing portfolio companies1,904 2,486 
Total new investment commitments(2)$2,573 $3,857 
Less: 
Investment commitments exited(3)(1,963)(1,376)
Net investment commitments$610 $2,481 
Principal amount of investments funded: 
First lien senior secured loans(4)$2,252 $2,837 
Second lien senior secured loans10 58 
Subordinated certificates of the SDLP(5)29 12 
Senior subordinated loans63 167 
Preferred equity81 125 
Ivy Hill Asset Management, L.P.(6)155 23 
Other equity145 55 
Total$2,735 $3,277 
Principal amount of investments sold or repaid: 
First lien senior secured loans(4)$1,638 $1,007 
Second lien senior secured loans81 259 
Subordinated certificates of the SDLP(5)200 21 
Senior subordinated loans10 
Preferred equity102 49 
Ivy Hill Asset Management, L.P.(6)— 58 
Other equity60 112 
Total$2,091 $1,507 
Number of new investment commitments(7)57 81 
Average new investment commitment amount$45 $48 
Weighted average term for new investment commitments (in months)69 68 
Percentage of new investment commitments at floating rates92 %92 %
Percentage of new investment commitments at fixed rates%%
Weighted average yield of debt and other income producing securities(8): 
Funded during the period at amortized cost9.9 %11.2 %
Funded during the period at fair value(9)10.1 %11.4 %
Exited or repaid during the period at amortized cost10.4 %11.6 %
Exited or repaid during the period at fair value(9)10.2 %11.6 %

_______________________________________________________________________________

(1)New investment commitments include new agreements to fund revolving loans or delayed draw loans. See Note 7 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on our commitments to fund revolving loans or delayed draw loans.

(2)Includes both funded and unfunded commitments. Of these new investment commitments, we funded $2.0 billion and $2.9 billion for the three months ended June 30, 2025 and 2024, respectively.

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(3)Includes both funded and unfunded commitments. For the three months ended June 30, 2025 and 2024, investment commitments exited included exits of unfunded commitments of $171 million and $123 million, respectively.

(4)For the three months ended June 30, 2025 and 2024, net fundings (repayments) of first lien secured revolving loans were $(23) million and $8 million, respectively.

(5)See “Senior Direct Lending Program” below and Note 4 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the SDLP (as defined below). 

(6)Includes our subordinated loan and equity investments in IHAM (as defined below), as applicable. See “Ivy Hill Asset Management, L.P.” below and Note 4 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on IHAM.

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

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

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

As of June 30, 2025 and December 31, 2024, our investments consisted of the following:

 As of
 June 30, 2025December 31, 2024
(in millions)Amortized Cost(1)Fair ValueAmortized Cost(1)Fair Value
First lien senior secured loans(2)$16,827 $16,547 $15,519 $15,179 
Second lien senior secured loans1,609 1,523 1,935 1,847 
Subordinated certificates of the SDLP(3)1,063 1,052 1,263 1,192 
Senior subordinated loans1,456 1,388 1,384 1,351 
Preferred equity2,753 2,642 2,667 2,649 
Ivy Hill Asset Management, L.P.(4)1,856 2,081 1,701 1,915 
Other equity2,017 2,653 1,905 2,587 
Total$27,581 $27,886 $26,374 $26,720 
_______________________________________________________________________________

(1)The amortized cost represents the original cost adjusted for any accretion of discounts, amortization of premiums and payment-in-kind (“PIK”) interest or dividends.

(2)First lien senior secured loans include certain loans that we classify as “unitranche” loans. The total amortized cost and fair value of the loans that we classified as “unitranche” loans were $10.7 billion and $10.5 billion, respectively, as of June 30, 2025, and $8.8 billion and $8.6 billion, respectively, as of December 31, 2024.

(3)The proceeds from these certificates were applied to co-investments with Varagon Capital Partners (“Varagon”) and its clients to fund first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively.

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

We have commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to fund which are at (or substantially at) our discretion. Our commitment to fund delayed draw loans is triggered
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upon the satisfaction of certain pre-negotiated terms and conditions. Generally, the most significant and uncertain term requires the borrower to satisfy a specific use of proceeds covenant. The use of proceeds covenant typically requires the borrower to use the additional loans for the specific purpose of a permitted acquisition or permitted investment, for example. In addition to the use of proceeds covenant, the borrower is generally required to satisfy additional negotiated covenants (including specified leverage levels). We are also party to subscription agreements to fund equity investments. See Note 7 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on our unfunded commitments, including commitments to issue letters of credit, related to certain of our portfolio companies.

The weighted average yields at amortized cost and fair value of the following portions of our portfolio as of June 30, 2025 and December 31, 2024 were as follows:
 As of
 June 30, 2025December 31, 2024
 Amortized CostFair ValueAmortized CostFair Value
Debt and other income producing securities(1)10.9 %10.9 %11.1 %11.2 %
Total portfolio(2)9.8 %9.7 %10.0 %9.9 %
First lien senior secured loans(3)9.7 %9.8 %9.9 %10.1 %
Second lien senior secured loans(3)10.9 %11.5 %12.1 %12.7 %
Subordinated certificates of the SDLP(3)(6)12.0 %12.1 %12.4 %13.2 %
Senior subordinated loans(3)12.0 %12.5 %11.9 %12.2 %
Ivy Hill Asset Management L.P.(4)17.2 %15.2 %16.7 %14.8 %
Other income producing equity securities(5)11.4 %11.5 %11.3 %11.5 %
_______________________________________________________________________________

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

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

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

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

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

(6)The proceeds from these certificates were applied to co-investments with Varagon and its clients to fund first lien senior secured loans.
 
Ares Capital Management employs an investment rating system to categorize our investments. In addition to various risk management and monitoring tools, our investment adviser grades the credit risk of all investments on a scale of 1 to 4 no less frequently than quarterly. This system is intended primarily to reflect the underlying risk of a portfolio investment relative to our initial cost basis in respect of such portfolio investment (i.e., at the time of origination or acquisition), although it may also take into account under certain circumstances the performance of the portfolio company’s business, the collateral coverage
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of the investment and other relevant factors. The grade of a portfolio investment may be reduced or increased over time. The following is a description of each investment grade:

Investment gradeDescription
4Involves the least amount of risk to our initial cost basis. The trends and risk factors for this investment since origination or acquisition are generally favorable, which may include the performance of the portfolio company or a potential exit.
3Involves a level of risk to our initial cost basis that is similar to the risk to our initial cost basis at the time of origination or acquisition. This portfolio company is generally performing as expected and the risk factors to our ability to ultimately recoup the cost of our investment are neutral to favorable. All investments or acquired investments in new portfolio companies are initially assessed a grade of 3.
2Indicates that the risk to our ability to recoup the initial cost basis of such investment has increased materially since origination or acquisition, including as a result of factors such as declining performance and non-compliance with debt covenants; however, payments are generally not more than 120 days past due. For investments graded 2, our investment adviser enhances its level of scrutiny over the monitoring of such portfolio company.
1Indicates that the risk to our ability to recoup the initial cost basis of such investment has substantially increased since origination or acquisition, and the portfolio company likely has materially declining performance. For debt investments with an investment grade of 1, most or all of the debt covenants are out of compliance and payments are substantially delinquent. For investments graded 1, it is anticipated that we will not recoup our initial cost basis and may realize a substantial loss of our initial cost basis upon exit. For investments graded 1, our investment adviser enhances its level of scrutiny over the monitoring of such portfolio company.
    
Set forth below is the grade distribution of our portfolio companies as of June 30, 2025 and December 31, 2024:

 As of
 June 30, 2025December 31, 2024
(dollar amounts in millions)Fair Value%Number of
Companies
%Fair Value%Number of
Companies
%
Grade 4$5,193 18.6 %66 11.6 %$4,792 17.9 %64 11.6 %
Grade 321,448 76.9 446 78.8 21,156 79.2 432 78.6 
Grade 2944 3.4 31 5.5 513 1.9 31 5.6 
Grade 1301 1.1 23 4.1 259 1.0 23 4.2 
Total$27,886 100.0 %566 100.0 %$26,720 100.0 %550100.0 %

As of June 30, 2025 and December 31, 2024, the weighted average grade of the investments in our portfolio at fair value was 3.1 and 3.1, respectively.

As of June 30, 2025 and December 31, 2024, loans on non-accrual status represented 2.0% of the total investments at amortized cost (or 1.2% at fair value) and 1.7% at amortized cost (or 1.0% at fair value), respectively.

Ivy Hill Asset Management, L.P.

Ivy Hill Asset Management, L.P. (“IHAM”), our wholly owned portfolio company, is an asset manager and an SEC-registered investment adviser. As of June 30, 2025, IHAM had assets under management of approximately $13.1 billion. As of June 30, 2025, IHAM managed 21 vehicles (the “IHAM Vehicles”). IHAM earns fee income from managing the IHAM Vehicles and has also invested in certain of these vehicles as part of its business strategy. The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 million and $2,237 million, respectively. For the three and six months ended June 30, 2025, IHAM had management and incentive fee income of $12 million and $24 million, respectively, and other investment-related income of $52 million and $110 million, respectively, which included net realized gains or losses on investments and other transactions. For the three and six months ended June 30, 2024, IHAM had management and incentive fee income of $14 million and $28 million, respectively, and investment related income of $92 million and $191 million, respectively, which included net realized gains or losses on investments and other transactions.

 The amortized cost and fair value of our investments in IHAM as of June 30, 2025 and December 31, 2024 were as follows:

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As of
June 30, 2025December 31, 2024
(in millions)Amortized CostFair ValueAmortized CostFair Value
Subordinated loan(1)
$155 $155 $— $— 
Equity
1,701 1,926 1,701 1,915 
Total investment in IHAM$1,856 $2,081 $1,701 $1,915 
_______________________________________________________________________________

(1)We have provided a commitment to fund up to $500 million to IHAM, of which the availability is solely at our discretion.

The interest income and dividend income that we earned from IHAM for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Interest income
$$— $$
Dividend income
$73 $69 $146 $135 

From time to time, IHAM or certain IHAM Vehicles may purchase investments from, or sell investments to, us. For any such sales or purchases by the IHAM Vehicles to or from us, the IHAM Vehicle must obtain approval from third parties unaffiliated with us or IHAM, as applicable. During the six months ended June 30, 2025 and 2024, IHAM or certain of the IHAM Vehicles purchased $1,371 million and $35 million, respectively, of loans from us. For the six months ended June 30, 2025 and 2024, we recognized $0 million of net realized gains and $1 million of net realized losses, respectively, from these sales. During the six months ended June 30, 2025, IHAM or certain IHAM Vehicles did not sell any investments to us. During the six months ended June 30, 2024, IHAM or certain IHAM vehicles sold $32 million of investments to us.

The yields at amortized cost and fair value of our investments in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
 As of
 June 30, 2025December 31, 2024
 Amortized CostFair ValueAmortized CostFair Value
Equity(1)
17.2 %15.2 %16.7 %14.8 %
_______________________________________________________________________________

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

Selected Financial Information

Pursuant to Rule 4-08(g) of Regulation S-X, selected financial information of IHAM, in conformity with U.S. generally accepted accounting principles (“GAAP”), as of June 30, 2025 and December 31, 2024 and for the three and six months ended June 30, 2025 and 2024 are presented below.

In conformity with GAAP, IHAM is required to consolidate entities in which IHAM has a direct or indirect controlling financial interest based on either a variable interest model or voting interest model, which include certain of the IHAM Vehicles (the “Consolidated IHAM Vehicles”). As such, for GAAP purposes only, IHAM consolidates (a) entities in which it holds a majority voting interest or has majority ownership and control over the operational, financial and investing decisions of that entity and (b) entities that it concludes are variable interest entities in which IHAM has more than insignificant economic interest and power to direct the activities that most significantly impact the entities, and for which IHAM is deemed to be the primary beneficiary.

When IHAM consolidates an IHAM Vehicle for GAAP purposes only, IHAM reflects the assets, liabilities, revenues and expenses of the Consolidated IHAM Vehicles on a gross basis, including the economic interests held by third-party
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investors in the Consolidated IHAM Vehicles as debt obligations, subordinated notes or non-controlling interests, in the consolidated IHAM financials below. All of the revenues earned by IHAM as the investment manager of the Consolidated IHAM Vehicles are eliminated in GAAP consolidation. However, because the eliminated amounts are earned from and funded by third-party investors, the GAAP consolidation of an IHAM Vehicle does not impact the net income or loss attributable to IHAM. As a result, we believe an assessment of IHAM’s business and the impact to our investment in IHAM is best viewed on a stand-alone basis as reflected in the first column in the tables below.

As of June 30, 2025
(in millions)IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,619 $9,733 $(2,511)$9,841 
Cash and cash equivalents562 — 569 
Other assets68 79 (61)86 
Total assets$2,694 $10,374 $(2,572)$10,496 
Liabilities
Debt$708 $7,427 $— $8,135 
Subordinated note from ARCC155 — — 155 
Subordinated notes(3)— 1,119 (791)328 
Other liabilities19 176 (13)182 
Total liabilities882 8,722 (804)8,800 
Equity
Contributed capital1,701 — — 1,701 
Accumulated earnings146 — — 146 
Net unrealized losses on investments and foreign currency transactions(4) (35)— — (35)
Non-controlling interests in Consolidated IHAM Vehicles(5)
— 1,652 (1,768)(116)
Total equity1,812 1,652 (1,768)1,696 
Total liabilities and equity$2,694 $10,374 $(2,572)$10,496 

206


As of December 31, 2024
(in millions)IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,160 $8,098 $(2,086)$8,172 
Cash and cash equivalents967 — 976 
Other assets60 122 (54)128 
Total assets$2,229 $9,187 $(2,140)$9,276 
Liabilities
Debt$406 $6,550 $— $6,956 
Subordinated notes(3)— 1,025 (714)311 
Other liabilities16 266 (13)269 
Total liabilities422 7,841 (727)7,536 
Equity
Contributed capital1,700 — — 1,700 
Accumulated earnings186 — — 186 
Net unrealized losses on investments and foreign currency transactions(4)(79)— — (79)
Non-controlling interests in Consolidated IHAM Vehicles(5)
— 1,346 (1,413)(67)
Total equity1,807 1,346 (1,413)1,740 
Total liabilities and equity$2,229 $9,187 $(2,140)$9,276 
____________________________________

(1)Consolidated for GAAP purposes only.

(2)The determination of such fair value is determined in accordance with IHAM’s valuation process (separate and apart from our valuation process described elsewhere herein). The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 million and $2,237 million, respectively. The amortized cost of the total investments of IHAM on a consolidated basis as of June 30, 2025 and December 31, 2024 was $10,027 million and $8,343 million, respectively.

(3)Subordinated notes generally represent the most junior capital in certain of the Consolidated IHAM Vehicles and effectively represent equity in such vehicles.

(4)As of June 30, 2025 and December 31, 2024, net unrealized losses of $49 million and $70 million, respectively, have been eliminated upon consolidation and the elimination is included in “non-controlling interests in Consolidated IHAM Vehicles” in the selected balance sheet information.

(5)Non-controlling interests in Consolidated IHAM Vehicles includes net unrealized depreciation in the Consolidated IHAM Vehicles of $185 million and $171 million as of June 30, 2025 and December 31, 2024, respectively.

207


For the Three Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$77 $232 $(76)$233 
Management fees and other income12 (12)
Total revenues89 234 (88)235 
Expenses
Interest expense14 120 — 134 
Distributions to subordinated notes— 32 (23)
Management fees and other expenses14 (12)
Total expenses18 166 (35)149 
Net operating income71 68 (53)86 
Net realized losses on investments and foreign currency (22)(1)21 (2)
Net realized gain on extinguishment of debt— 23 (23)— 
Net unrealized gains (losses) on investments, foreign currency and other transactions19 (32)(12)(25)
Total net realized and unrealized losses on investments, foreign currency and other transactions (3)(10)(14)(27)
Net income68 58 (67)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 58 (67)(9)
Net income attributable to Ivy Hill Asset Management, L.P.$68 $— $— $68 

For the Six Months Ended June 30, 2025
(in millions)IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$144 $449 $(141)$452 
Management fees and other income24 (23)
Total revenues168 453 (164)457 
Expenses
Interest expense23 238 — 261 
Distributions to subordinated notes— 64 (46)18 
Management fees and other expenses28 (23)13 
Total expenses31 330 (69)292 
Net operating income137 123 (95)165 
Net realized losses on investments and foreign currency (31)(56)21 (66)
Net realized gains (losses) on extinguishment of debt— 22 (23)(1)
Net unrealized gains (losses) on investments, foreign currency and other transactions44 (19)(21)
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions13 (53)(23)(63)
Net income150 70 (118)102 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 70 (118)(48)
Net income attributable to Ivy Hill Asset Management, L.P.$150 $— $— $150 

208


For the Three Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$92 $259 $(90)$261 
Management fees and other income14 (13)
Total revenues106 262 (103)265 
Expenses
Interest expense10 143 — 153 
Distributions to subordinated notes— 52 (40)12 
Management fees and other expenses15 (13)
Total expenses13 210 (53)170 
Net operating income (loss)93 52 (50)95 
Net realized gains (losses) on investments and foreign currency— (16)— (16)
Net unrealized gains (losses) on investments, foreign currency and other transactions(16)(14)10 (20)
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions(16)(30)10 (36)
Net income (loss)77 22 (40)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 22 (40)(18)
Net income (loss) attributable to Ivy Hill Asset Management, L.P.$77 $— $— $77 
For the Six Months Ended June 30, 2024
(in millions)IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$186 $533 $(182)$537 
Management fees and other income28 (26)
Total revenues214 539 (208)545 
Expenses
Interest expense20 293 — 313 
Distributions to subordinated notes— 105 (77)28 
Management fees and other expenses33 (26)14 
Total expenses27 431 (103)355 
Net operating income187 108 (105)190 
Net realized gains (losses) on investments and foreign currency(74)(9)(78)
Net realized loss on extinguishment of debt— (1)— (1)
Net unrealized gains (losses) on investments, foreign currency and other transactions(33)47 30 44 
Total net realized and unrealized losses on investments, foreign currency and other transactions (28)(28)21 (35)
Net income159 80 (84)155 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 80 (84)(4)
Net income attributable to Ivy Hill Asset Management, L.P.$159 $— $— $159 
____________________________________
(1)Consolidated for GAAP purposes only.

209


Senior Direct Lending Program

We have established a joint venture with Varagon to make certain first lien senior secured loans, including certain stretch senior and unitranche loans, primarily to U.S. middle-market companies. The joint venture is called the Senior Direct Lending Program, LLC (d/b/a the “Senior Direct Lending Program” or the “SDLP”). In July 2016, we and Varagon and its clients completed the initial funding of the SDLP. The SDLP may generally commit and hold individual loans of up to $450 million. The SDLP is capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of ours and Varagon (with approval from a representative of each required).

We provide capital to the SDLP in the form of subordinated certificates (the “SDLP Certificates”), and Varagon and its clients provide capital to the SDLP in the form of senior notes, intermediate funding notes and the SDLP Certificates. As of June 30, 2025, we and a client of Varagon owned 87.5% and 12.5%, respectively, of the outstanding SDLP Certificates.

As of June 30, 2025 and December 31, 2024, we and Varagon and its clients had agreed to make capital available to the SDLP of $6.2 billion and $6.2 billion, respectively, in the aggregate, of which $1.4 billion and $1.4 billion, respectively, is to be made available from us. This capital will only be committed to the SDLP upon approval of transactions by the investment committee of the SDLP. Below is a summary of the funded capital and unfunded capital commitments of the SDLP.

 As of
(in millions)June 30, 2025December 31, 2024
Total capital funded to the SDLP(1)$4,572 $5,054 
Total capital funded to the SDLP by the Company(1)$1,231 $1,310 
Total unfunded capital commitments to the SDLP(2)$339 $489 
Total unfunded capital commitments to the SDLP by the Company(2)$86 $119 
___________________________________________________________________________
(1) At principal amount.

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

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

The amortized cost and fair value of our SDLP Certificates and our yield on our investment in the SDLP Certificates at amortized cost and fair value as of June 30, 2025 and December 31, 2024 were as follows:

As of
June 30, 2025December 31, 2024
(dollar amounts in millions)Amortized CostFair ValueAmortized CostFair Value
Investment in the SDLP Certificates$1,063 $1,052 $1,263 $1,192 
Yield on the investment in the SDLP Certificates12.0 %12.1 %12.4 %13.2 %

The interest income from our investment in the SDLP Certificates and capital structuring service fees and other income earned for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Interest income
$38 $45 $76 $88 
Capital structuring service fees and other income
$$$$

210


As of June 30, 2025 and December 31, 2024, the SDLP portfolio was comprised entirely of first lien senior secured loans primarily to U.S. middle-market companies and were in industries similar to the companies in our portfolio. As of June 30, 2025, one of the loans in the SDLP portfolio was on non-accrual status. As of December 31, 2024, two of the loans in the SDLP portfolio were on non-accrual status. Below is a summary of the SDLP’s portfolio as of June 30, 2025 and December 31, 2024:

 As of
(dollar amounts in millions)June 30, 2025December 31, 2024
Total first lien senior secured loans(1)(2)$4,415 $4,759 
Weighted average yield on first lien senior secured loans(3)8.6 %8.9 %
Largest loan to a single borrower(1)$420 $400 
Total of five largest loans to borrowers(1)$1,711 $1,692 
Number of borrowers in the SDLP19 20 
Commitments to fund delayed draw loans(4)$339 $489 
_______________________________________________________________________________

(1)At principal amount.

(2)First lien senior secured loans include certain loans that the SDLP classifies as “unitranche” loans. As of June 30, 2025 and December 31, 2024, the total principal amount of loans in the SDLP portfolio that the SDLP classified as “unitranche” loans was $3,452 million and $3,937 million, respectively.

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

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

Selected financial information of the SDLP, in conformity with GAAP, as of June 30, 2025 and December 31, 2024 and for the three and six months ended June 30, 2025 and 2024 are presented below:

As of
(in millions)June 30, 2025December 31, 2024
Selected Balance Sheet Information:
Investments at fair value (amortized cost of $4,388 and $4,591, respectively)
$4,146 $4,390 
Other assets141 449 
Total assets$4,287 $4,839 
Senior notes$3,049 $3,428 
Intermediate funding notes116 130 
Other liabilities110 124 
Total liabilities3,275 3,682 
Subordinated certificates and members’ capital1,012 1,157 
Total liabilities and members’ capital$4,287 $4,839 

211


For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Selected Statement of Operations Information:
Total investment income$105 $133 $212 $283 
Interest expense60 76 120 154 
Other expenses
Total expenses64 80 128 162 
Net investment income41 53 84 121 
Net realized and unrealized losses on investments (9)(71)(37)(72)
Net increase (decrease) in members’ capital resulting from operations$32 $(18)$47 $49 
212



SDLP Loan Portfolio as of June 30, 2025

(dollar amounts in millions)
Portfolio Company
Business DescriptionMaturity DateStated Interest Rate(1)Principal AmountAmortized CostFair
Value(2)
Arrowhead Holdco Company (3)(4)Distributor of non-discretionary, mission-critical aftermarket replacement parts08/20286.9 %$284.1 $279.5 $224.4 
Concert Golf Partners Holdco LLC (3)Golf club owner and operator03/20318.9 %289.0 289.0 289.0 
EIS Legacy Holdco, LLC (3)Distributor of electric applicator components11/20319.0 %240.4 240.4 240.4 
FS Squared Holding Corp. (3)Provider of on-site vending and micro market solutions12/20309.1 %420.0 420.0 420.0 
Ground Penetrating Radar Systems, LLC (3)(4)Provider of underground utility locating and concrete scanning01/20328.8 %183.4 183.4 181.6 
Harvey Tool Company, LLC (3)Manufacturer of cutting tools used in the metalworking industry10/20279.6 %267.5 267.5 267.5 
ISQ Hawkeye Holdco, Inc. (3)(4)Provider of commercial and industrial waste processing and disposal services08/20319.1 %310.6 310.6 310.6 
Manna Pro Products, LLC (3)Manufacturer and supplier of specialty nutrition and care products for animals12/20297.4 %266.4 262.1 210.5 
NMN Holdings III Corp. (3)(4)Provider of complex rehabilitation technology solutions for patients with mobility loss07/20318.8 %227.8 227.8 227.8 
North Haven Falcon Buyer, LLC (3)(4)(5)Manufacturer of aftermarket golf cart parts and accessories05/2027243.4 224.8 112.0 
Penn Power Group LLCDistributor of aftermarket parts to the heavy-duty truck industry12/202711.4 %32.9 32.9 31.9 
Pritchard Industries, LLC (3)(4)Provider of janitorial and facilities management services10/202710.2 %241.5 241.5 234.2 
SePro Holdings, LLC Provider of specialty chemicals for aquatics, turf and ornamental horticulture07/20309.6 %117.7 117.7 117.7 
Surescripts, LLC (3)Healthcare network for e-prescription routing, patient eligibility checks, and secure exchange of medical records11/20318.3 %112.2 112.2 112.2 
THG Acquisition, LLC (3)Multi-line insurance broker10/20318.8 %123.2 123.2 123.2 
Tiger Holdco LLC (3)Provider of payment processing solutions03/20318.6 %116.9 116.9 115.7 
Triwizard Holdings, Inc.(3)(4)Parking management and hospitality services provider06/20299.3 %246.7 246.7 246.7 
Valcourt Holdings II, LLC (3)Provider of window cleaning and building facade maintenance and restoration services11/202910.2 %324.3 324.3 324.3 
Walnut Parent, Inc. (3)Manufacturer of natural solution pest and animal control products11/20279.9 %367.3 367.3 356.3 
$4,415.3 $4,387.8 $4,146.0 
____________________________________________________________________________

(1)Represents the weighted average annual stated interest rate as of June 30, 2025. All interest rates are payable in cash.

(2)Represents the fair value in accordance with Accounting Standards Codification 820-10, Fair Value Measurements and Disclosures (“ASC 820-10”). The determination of such fair value is not included in our valuation process described elsewhere herein.

(3)We also hold a portion of this company’s first lien senior secured loan.

(4)We hold an equity investment in this company.

(5)Loan was on non-accrual status as of June 30, 2025.


213



SDLP Loan Portfolio as of December 31, 2024

(dollar amounts in millions)
Portfolio Company
Business DescriptionMaturity DateStated Interest Rate(1)Principal AmountAmortized CostFair
Value(2)
Arrowhead Holdco Company (3)(4)Distributor of non-discretionary, mission-critical aftermarket replacement parts08/20289.9 %$279.6 $279.6 $234.9 
Center for Autism and Related Disorders, LLC (3)(5)Autism treatment and services provider specializing in applied behavior analysis therapy11/2024164.3 — — 
Concert Golf Partners Holdco LLC (3)Golf club owner and operator04/20309.1 %286.2 286.2 286.2 
EIS Legacy Holdco, LLC (3)Distributor of electric applicator components11/20319.3 %220.5 220.5 218.3 
FS Squared Holding Corp. (3)(4)Provider of on-site vending and micro market solutions12/20309.1 %250.8 250.8 246.4 
Harvey Tool Company, LLC (3)Manufacturer of cutting tools used in the metalworking industry10/20279.6 %268.1 268.1 268.1 
HGC Holdings, LLC (3)Operator of golf facilities06/20269.9 %400.1 400.1 400.1 
ISQ Hawkeye Holdco, Inc. (3)(4)Provider of commercial and industrial waste processing and disposal services08/20319.1 %312.2 312.2 312.2 
Manna Pro Products, LLC (3)Manufacturer and supplier of specialty nutrition and care products for animals12/202610.5 %264.8 264.8 217.1 
NMN Holdings III Corp. (3)(4)Provider of complex rehabilitation technology solutions for patients with mobility loss07/20318.9 %228.9 228.9 226.6 
North Haven Falcon Buyer, LLC (3)(4)(5)Manufacturer of aftermarket golf cart parts and accessories05/2027237.3 233.9 154.3 
Penn Power Group LLCDistributor of aftermarket parts to the heavy-duty truck industry12/202710.2 %32.9 32.9 32.9 
Pritchard Industries, LLC (3)(4)Provider of janitorial and facilities management services10/202710.3 %242.7 242.7 238.3 
Qnnect, LLC (3)(4)Manufacturer of highly engineered hermetic packaging products11/202910.3 %275.6 275.6 275.6 
SePro Holdings, LLC (3)Provider of specialty chemicals for aquatics, turf and ornamental horticulture07/20309.6 %118.3 118.3 115.9 
Surescripts, LLC (3)Healthcare network for e-prescription routing, patient eligibility checks, and secure exchange of medical records11/20318.3 %112.5 112.5 111.4 
THG Acquisition, LLC (3)Multi-line insurance broker10/20319.1 %122.7 122.7 121.4 
Triwizard Holdings, Inc. (4)Parking management and hospitality services provider06/20299.7 %247.9 247.9 247.9 
Valcourt Holdings II, LLC (3)Provider of window cleaning and building facade maintenance and restoration services11/202910.4 %325.9 325.9 325.9 
Walnut Parent, Inc. (3)Manufacturer of natural solution pest and animal control products11/202710.0 %367.3 367.3 356.3 
$4,758.6 $4,590.9 $4,389.8 
____________________________________________________________________________

(1)Represents the weighted average annual stated interest rate as of December 31, 2024. All interest rates are payable in cash, except for portions of the stated interest rates which are PIK for the investment in Arrowhead Holdco Company.

(2)Represents the fair value in accordance with ASC 820-10. The determination of such fair value is not included in our valuation process described elsewhere herein.

(3)We also hold a portion of this company’s first lien senior secured loan.

(4)We hold an equity investment in this company.

(5)Loan was on non-accrual status as of December 31, 2024.

214


RESULTS OF OPERATIONS

For the three and six months ended June 30, 2025 and 2024

Operating results for the three and six months ended June 30, 2025 and 2024 were as follows:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Total investment income$745 $755 $1,477 $1,456 
Total expenses395 356 755 725 
Net investment income before income taxes350 399 722 731 
Income tax expense, including excise taxes13 15 19 
Net investment income342 386 707 712 
Net realized gains (losses) on investments, foreign currency and other transactions34 (16)(27)(35)
Net unrealized gains (losses) on investments, foreign currency and other transactions(15)(48)(78)108 
 Realized loss on extinguishment of debt — — — (14)
Net increase in stockholders’ equity resulting from operations$361 $322 $602 $771 

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

Investment Income
 For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Interest income from investments$533 $539 $1,059 $1,052 
Capital structuring service fees34 58 80 86 
Dividend income158 143 301 290 
Other income20 15 37 28 
Total investment income$745 $755 $1,477 $1,456 

Interest income from investments for the three months ended June 30, 2025 decreased from the comparable period in 2024 primarily as a result of declining base rates, resulting in a decrease in the weighted average yield of our portfolio, and partially offset by an increase in the average size of our portfolio. Interest income from investments for the six months ended June 30, 2025 increased from the comparable period in 2024 primarily due to the increase in the average size of our portfolio. The average size and weighted average yield of our portfolio at amortized cost for the three and six months ended June 30, 2025 and 2024 were as follows:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
(dollar amounts in millions)2025202420252024
Average size of portfolio(1)$27,180 $23,757 $26,878 $23,247 
Weighted average yield on portfolio10.1 %11.5 %10.1 %11.4 %

_______________________________________________________________________________

(1)    Includes non-interest earning investments.

215


Capital structuring service fees for the three and six months ended June 30, 2025 decreased from the comparable periods in 2024 primarily due to a decrease in new investment commitments. The new investment commitments and weighted average capital structuring service fee percentages for the three and six months ended June 30, 2025 and 2024 were as follows:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
(dollar amounts in millions)2025202420252024
New investment commitments(1)$2,257 $3,800 $5,344 $5,562 
Weighted average capital structuring service fee percentages(1)1.5 %1.6 %1.5 %1.6 %
_______________________________________________________________________________

(1)Excludes $161 million and $34 million of new investment commitments sold to third party lenders during the three months ended June 30, 2025 and 2024, respectively, and $526 million and $1,586 million during the six months ended June 30, 2025 and 2024, respectively. Excludes $155 million and $155 million of investment commitments to IHAM for the three and six months ended June 30, 2025, respectively, and $23 million and $263 million, respectively for the comparable periods in 2024.

Dividend income for the three and six months ended June 30, 2025 and 2024 were as follows:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Dividend income received from IHAM$73 $69 $146 $135 
Recurring dividend income75 73 144 139 
Non-recurring dividend income10 11 16 
Total dividend income$158 $143 $301 $290 

Dividend income received from IHAM for the three and six months ended June 30, 2025 increased from the comparable periods in 2024 primarily due to the increased earnings from the IHAM Vehicles. Recurring dividend income for the three and six months ended June 30, 2025 increased from the comparable periods in 2024 primarily due to an increase in yielding preferred equity investments.
    
Operating Expenses
 For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Interest and credit facility fees$188 $174 $374 $333 
Base management fee104 91 206 178 
Income based fee86 93 171 181 
Capital gains incentive fee(1)(13)(21)12 
Administrative and other fees
Other general and administrative17 15 
Total expenses$395 $356 $755 $725 
_______________________________________________________________________________
                        
(1)Calculated in accordance with GAAP as discussed below.

216


Interest and credit facility fees for the three and six months ended June 30, 2025 and 2024, were comprised of the following:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Stated interest expense(1)$173 $161 $347 $307 
Credit facility fees13 13 
Amortization of debt issuance costs18 16 
Net amortization of premium on notes payable(1)(1)(2)(3)
Net gain on interest rate swaps accounted for as hedge instruments and the related hedged items(1)— (2)— 
Total interest and credit facility fees$188 $174 $374 $333 
________________________________________

(1)Includes the impact of the interest rate swaps for the three and six months ended June 30, 2025 and 2024.

Stated interest expense for the three and six months ended June 30, 2025 increased from the comparable periods in 2024 primarily due to the increase in the average principal amount of outstanding debt. Average outstanding debt and weighted average stated interest rate on our outstanding debt for the three and six months ended June 30, 2025 and 2024 were as follows:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
(dollar amounts in millions)2025202420252024
Average outstanding debt$14,067 $12,635 $14,120 $12,254 
Weighted average stated interest rate on outstanding debt(1)4.9 %5.1 %4.9 %5.0 %
________________________________________

(1)The weighted average stated interest rate on our outstanding debt for the three and six months ended June 30, 2025 and 2024 includes the impact of interest rate swaps. See Note 6 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the interest rate swaps.

The base management fee for the three and six months ended June 30, 2025 increased from the comparable periods in 2024 primarily due to the increase in the average size of our portfolio.

The income based fee for the three and six months ended June 30, 2025 decreased from the comparable periods in 2024 primarily due to the pre-incentive fee net investment income, as defined in the investment advisory and management agreement, for the three and six months ended June 30, 2025 being lower than in the comparable periods in 2024.

For the three months ended June 30, 2025, the capital gains incentive fee calculated in accordance with GAAP was $4 million. For the six months ended June 30, 2025, the reduction in the capital gains incentive fee calculated in accordance with GAAP was $21 million. For the three months ended June 30, 2024, the reduction in the capital gains incentive fee calculated in accordance with GAAP was $13 million. For the six months ended June 30, 2024, the capital gains incentive fee calculated in accordance with GAAP was $12 million. The capital gains incentive fee accrual for the six months ended June 30, 2025 changed from the comparable period in 2024 primarily due to net losses on investments, foreign currency, other transactions and the extinguishment of debt of $105 million compared to net gains of $59 million for the comparable period in 2024. The capital gains incentive fee accrued under GAAP includes an accrual related to unrealized capital appreciation, whereas the capital gains incentive fee actually payable under our investment advisory and management agreement does not. There can be no assurance that such unrealized capital appreciation will be realized in the future. The accrual for any capital gains incentive fee under GAAP in a given period may result in an additional expense if such cumulative amount is greater than in the prior period or a reduction of previously recorded expense if such cumulative amount is less than in the prior period. If such cumulative amount is negative, then there is no accrual. As of June 30, 2025, there was $84 million of capital gains incentive fee accrued in accordance with GAAP. As of June 30, 2025, there was no capital gains incentive fee actually payable under our investment advisory and management agreement. See Note 3 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the base management fee, income based fee and capital gains incentive fee.
 
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Cash payment of any income based fee and capital gains incentive fee otherwise earned by our investment adviser is deferred if during the most recent four full calendar quarter period ending on or prior to the date such payment is to be made the sum of (a) the aggregate distributions to our stockholders and (b) the change in net assets (defined as total assets less indebtedness and before taking into account any income based fee and capital gains incentive fee payable during the period) is less than 7.0% of our net assets (defined as total assets less indebtedness) at the beginning of such period. These calculations will be adjusted for any share issuances or repurchases. Any income based fee and capital gains incentive fee deferred for payment are carried over for payment in subsequent calculation periods to the extent such fees are payable under the terms of the investment advisory and management agreement. See Note 3 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the related deferral terms.

Administrative and other fees represent fees paid to Ares Operations and our investment adviser for our allocable portion of overhead and other expenses incurred by Ares Operations and our investment adviser in performing their obligations under the administration agreement and the investment advisory and management agreement, respectively, including our allocable portion of the compensation, rent and other expenses of certain of our officers and their respective staffs. See Note 3 to our consolidated financial statements for the three and six months ended June 30, 2025, for more information on the administrative and other fees.

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

Income Tax Expense, Including Excise Taxes

We have elected to be treated as a RIC under the Code and operate in a manner so as to qualify for the tax treatment applicable to RICs. To qualify as a RIC, we must, among other requirements, meet certain source-of-income and asset diversification requirements and timely distribute to our stockholders at least 90% of our investment company taxable income, as defined by the Code, for each year. We have made and intend to continue to make the requisite distributions to our stockholders which will generally relieve us from U.S. federal corporate-level income taxes.
 
Depending on the level of taxable income earned in a tax year, we may choose to carry forward such taxable income in excess of current year dividend distributions from such current year taxable income into the next tax year and pay a 4% excise tax on such income, as required. To the extent that we determine that our estimated current year taxable income will be in excess of estimated dividend distributions for the current year from such income, we accrue excise tax, if any, on estimated excess taxable income as such taxable income is earned. For the three and six months ended June 30, 2025, we recorded a net expense of $7 million and $14 million, respectively, for U.S. federal excise taxes. For the three and six months ended June 30, 2024 we recorded a net expense of $9 million and $17 million, respectively, for U.S. federal excise taxes.

Certain of our consolidated subsidiaries are subject to U.S. federal and state income taxes. For the three and six months ended June 30, 2025, we recorded a net tax expense of $46 million and $46 million, respectively, for these subsidiaries. For the three and six months ended June 30, 2024, we recorded a net tax expense of $32 million and $31 million, respectively, for these subsidiaries. The income tax expense for our taxable consolidated subsidiaries will vary depending on the level of realized gains from the exits of investments held by such taxable subsidiaries during the respective periods.

Net Realized Gains/Losses

The net realized gains (losses) from the sales, repayments or exits of investments during the three and six months ended June 30, 2025 and 2024 were comprised of the following:

For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Sales, repayments or exits of investments(1)$2,196 $1,491 $4,586 $4,396 
Net realized gains (losses) on investments:
Gross realized gains$229 $164 $275 $206 
Gross realized losses(112)(166)(250)(212)
Total net realized gains (losses) on investments$117 $(2)$25 $(6)
_______________________________________________________________________________

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(1)Includes $577 million and $1,371 million of loans sold to IHAM or certain vehicles managed by IHAM during the three and six months ended June 30, 2025, respectively. There were no loans sold to IHAM or certain vehicles managed by IHAM during the three months ended June 30, 2024. Includes $35 million of loans sold to IHAM or certain vehicles managed by IHAM during the six months ended June 30, 2024. Net realized gains of $0 million and $0 million were recorded on these transactions with IHAM during the three and six months ended June 30, 2025, respectively. Net realized losses of $1 million were recorded on these transactions with IHAM during the six months ended June 30, 2024. See Note 4 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on IHAM and its managed vehicles.

The net realized gains on investments during the three months ended June 30, 2025 consisted of the following:

(in millions)
Portfolio Company
Net Realized Gains (Losses)
SageSure Holdings, LLC$68 
Redwood Services, LLC64 
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC38 
FS Squared Holding Corp. and FS Squared, LLC19 
Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc.16 
Senior Direct Lending Program, LLC(112)
Other, net24 
Total$117 

During the three months ended June 30, 2025, we also recognized net realized losses on foreign currency and other transactions of $39 million.

The net realized losses on investments during the three months ended June 30, 2024 consisted of the following:

(in millions)
Portfolio Company
Net Realized Gains (Losses)
Heelstone Renewable Energy, LLC$146 
SVP-Singer Holdings Inc. (20)
SSE Buyer, Inc.(21)
SHO Holding I Corporation, Shoes For Crews (Europe) Limited and Never Slip TopCo, Inc.(119)
Other, net12 
Total$(2)

During the three months ended June 30, 2024, we also recognized net realized gains on foreign currency and other transactions of $14 million.

The net realized gains on investments during the six months ended June 30, 2025 consisted of the following:
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(in millions)
Portfolio Company
Net Realized Gains (Losses)
SageSure Holdings, LLC$68 
Redwood Services, LLC64 
Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC38 
FS Squared Holding Corp. and FS Squared, LLC19 
Project Alpha Intermediate Holding, Inc. and Qlik Parent, Inc.15 
Aimbridge Acquisition Co., Inc.(19)
H-Food Holdings, LLC(20)
SVP-Singer Holdings Inc.(22)
Vobev, LLC and Vobev Holdings, LLC(63)
Senior Direct Lending Program, LLC(112)
Other, net57 
Total$25 

During the six months ended June 30, 2025, we also recognized net realized losses on foreign currency and other transactions of $8 million.

The net realized losses on investments during the six months ended June 30, 2024 consisted of the following:

(in millions)
Portfolio Company
Net Realized Gains (Losses)
Heelstone Renewable Energy, LLC$146 
Benecon Midco II LLC23 
SVP-Singer Holdings Inc.(20)
OTG Management, LLC(20)
SSE Buyer, Inc.,(21)
SHO Holding I Corporation, Shoes For Crews (Europe) Limited and Never Slip TopCo, Inc.(119)
Other, net
Total$(6)

During the six months ended June 30, 2024, we repaid in full the $403 million in aggregate principal amount of unsecured convertible notes, which bore interest at a rate of 4.625% per year, upon their maturity with a combination of cash and shares of our common stock, resulting in a realized loss on extinguishment of debt of approximately $14 million.

Net Unrealized Gains/Losses

We value our portfolio investments at least quarterly and the changes in value are recorded as unrealized gains or losses in our consolidated statement of operations. Net unrealized gains and losses on investments, including the net change in deferred tax liabilities, for the three and six months ended June 30, 2025 and 2024, were comprised of the following:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
(in millions)2025202420252024
Unrealized appreciation$316 $219 $418 $502 
Unrealized depreciation(273)(291)(444)(439)
Net unrealized (appreciation) depreciation reversed related to net realized gains or losses(1)(48)34 25 
Total net unrealized gains (losses) on investments$(5)$(38)$(24)$88 
_______________________________________________________________________________
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(1)The net unrealized (appreciation) depreciation reversed related to net realized gains or losses represents the unrealized appreciation or depreciation recorded on the related asset at the end of the prior periods.

The changes in net unrealized appreciation and depreciation on investments during the three months ended June 30, 2025 consisted of the following:

(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Neptune Bidco US Inc.$37 
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc.19 
Global Medical Response, Inc.18 
Production Resource Group, L.L.C. and PRG III, LLC(15)
Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC(17)
Sunrun Luna Holdco 2021, LLC(21)
Other, net22 
Total$43 

During the three months ended June 30, 2025, we also recognized net unrealized losses on foreign currency and other transactions of $10 million.

The changes in net unrealized appreciation and depreciation on investments during the three months ended June 30, 2024 consisted of the following:

(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Potomac Intermediate Holdings II LLC$(17)
H-Food Holdings, LLC (17)
Pluralsight, Inc.(40)
Other, net
Total$(72)

During the three months ended June 30, 2024, we also recognized net unrealized losses on foreign currency and other transactions of $10 million.

The changes in net unrealized appreciation and depreciation on investments during the six months ended June 30, 2025 consisted of the following:

(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Potomac Intermediate Holdings II LLC$62 
Neptune Bidco US Inc.20 
Global Medical Response, Inc.18 
Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc.16 
Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC(18)
Production Resource Group, L.L.C. and PRG III, LLC(21)
Sunrun Luna Holdco 2021, LLC(21)
Implus Footcare, LLC(23)
VPROP Operating, LLC and V SandCo, LLC(30)
Other, net(29)
Total$(26)

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During the six months ended June 30, 2025, we also recognized net unrealized losses on foreign currency and other transactions of $54 million.

The changes in net unrealized appreciation and depreciation on investments during the six months ended June 30, 2024 consisted of the following:

(in millions)
Portfolio Company
Net Unrealized Appreciation (Depreciation)
Potomac Intermediate Holdings II LLC$34 
SageSure Holdings, LLC28 
Global Medical Response, Inc.25 
Redwood Services, LLC20 
Neptune Bidco US Inc.15 
Production Resource Group, L.L.C.(16)
H-Food Holdings, LLC(39)
Pluralsight, Inc.(44)
Other, net40 
Total$63 

During the six months ended June 30, 2024, we also recognized net unrealized gains on foreign currency and other transactions of $20 million.

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FINANCIAL CONDITION, LIQUIDITY AND CAPITAL RESOURCES

Our liquidity and capital resources are generated primarily from the net proceeds of public offerings of equity and debt securities, advances from our credit facilities (the Revolving Credit Facility, the Revolving Funding Facility, the SMBC Funding Facility and the BNP Funding Facility (each as defined below, and together, the “Credit Facilities”)), net proceeds from the issuance of other securities, including unsecured notes and debt securitizations, as well as cash flows from operations.

In accordance with the Investment Company Act, we are allowed to borrow amounts such that our asset coverage, calculated pursuant to the Investment Company Act, is at least 150% after such borrowings (i.e., we are able to borrow up to two dollars for every dollar we have in assets less all liabilities and indebtedness not represented by senior securities issued by us). As of June 30, 2025, we had $447 million in cash and cash equivalents and $14.1 billion in total aggregate principal amount of outstanding debt ($14.1 billion at carrying value) and our asset coverage was 199%. Subject to borrowing base and other restrictions, we had approximately $6.8 billion available for additional borrowings under the Credit Facilities as of June 30, 2025.
 
We may from time to time seek to retire or repurchase our common stock through cash purchases, as well as retire, cancel or purchase our outstanding debt through cash purchases and/or exchanges, in open market purchases, privately negotiated transactions or otherwise. The amounts involved may be material. In addition, we may from time to time enter into additional debt facilities, increase the size of existing facilities or issue additional debt securities, including secured debt, unsecured debt and/or debt securities convertible into common stock. Any such purchases or exchanges of common stock or outstanding debt, or incurrence or issuance of additional debt would be subject to prevailing market conditions, our liquidity requirements, contractual and regulatory restrictions and other factors.

Equity Capital Activities

As of June 30, 2025 and December 31, 2024, our total equity market capitalization was $15.5 billion and $14.7 billion, respectively.
    
We may from time to time issue and sell shares of our common stock through public or “at the market” offerings. During the six months ended June 30, 2025, we issued and sold the following shares of common stock:

(in millions, except per share amount)
Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings32.0$709.4 $7.5 $701.9 $22.14 
Total32.0$709.4 $7.5 $701.9 
________________________________________

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

“At the Market” Offerings

We are a party to equity distribution agreements with several banks (the “Equity Distribution Agreements”). The Equity Distribution Agreements provide that we may from time to time issue and sell, by means of “at the market” offerings, up to $1.5 billion of our common stock. Subject to the terms and conditions of the Equity Distribution Agreements, sales of common stock, if any, may be made in transactions that are deemed to be “at the market” offerings as defined in Rule 415(a)(4) under the Securities Act of 1933, as amended (the “Securities Act”). Under the currently effective Equity Distribution Agreements, common stock with an aggregate offering amount of $791 million remained available for issuance as of June 30, 2025.

Dividend Reinvestment Plan

See Note 11 to our consolidated financial statements for the three and six months ended June 30, 2025 for information regarding shares of common stock issued or purchased in accordance with our dividend reinvestment plan.

Stock Repurchase Program

We are authorized under our stock repurchase program to purchase up to $1.0 billion in the aggregate of our outstanding common stock in the open market at certain thresholds below our net asset value per share, in accordance with the
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guidelines specified in Rule 10b-18 under the Securities Exchange Act of 1934, as amended (the “Exchange Act”). The timing, manner, price and amount of any share repurchases will be determined by us, in our sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program does not require us to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, we cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. As of June 30, 2025, the expiration date of the stock repurchase program was February 15, 2026. The program may be suspended, extended, modified or discontinued at any time. As of June 30, 2025, there was $1.0 billion available for additional repurchases under the program.
 
During the six months ended June 30, 2025 and 2024, we did not repurchase any shares of our common stock in the open market under the stock repurchase program.

Price Range of Common Stock

The following table sets forth, for the second quarter of the year ending December 31, 2025 and each fiscal quarter for the fiscal years ended December 31, 2024 and 2023, the net asset value per share of our common stock, the range of high and low closing sales prices of our common stock, the closing sales price as a premium (discount) to net asset value and the dividends or distributions declared by us. On July 24, 2025, the last reported closing sales price of our common stock on the NASDAQ Global Select Market was $23.03 per share, which represented a premium of approximately 15.73% to the net asset value per share reported by us as of June 30, 2025.

Net
Asset
Price Range
High
Sales Price
Premium
(Discount)
to Net Asset
Low
Sales Price
Premium
(Discount)
to Net Asset
Cash
Dividend
Per
Value(1)
High
Low
Value(2)
Value(2)
Share(3)
Year ending December 31, 2025
First Quarter
$19.82 $23.81 $21.28 20.13 %7.37 %$0.48 
Second Quarter
$19.90 $22.43 $18.91 12.71 %(4.97)%$0.48 
Year ended December 31, 2024
First Quarter
$19.53 $20.82 $19.94 6.61 %2.10 %$0.48 
Second Quarter
$19.61 $21.58 $20.24 10.05 %3.21 %$0.48 
Third Quarter
$19.77 $21.28 $19.80 7.64 %0.15 %$0.48 
Fourth Quarter
$19.89 $22.27 $20.74 11.97 %4.27 %$0.48 
Year ended December 31, 2023
First Quarter
$18.45 $20.04 $17.19 8.62 %(6.83)%$0.48 
Second Quarter
$18.58 $19.11 $17.65 2.85 %(5.01)%$0.48 
Third Quarter
$18.99 $19.81 $18.86 4.32 %(0.68)%$0.48 
Fourth Quarter
$19.24 $20.21 $18.66 5.04 %(3.01)%$0.48 

_______________________________________________________________________________

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

(2)Calculated as the respective high or low closing sales price less net asset value, divided by net asset value (in each case, as of the applicable quarter).

(3)Represents the dividend or distribution declared in the relevant quarter.
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Debt Capital Activities

Our debt obligations consisted of the following as of June 30, 2025 and December 31, 2024:
 As of 
 June 30, 2025December 31, 2024 
(in millions)Total
Aggregate
Principal
Amount
Available/
Outstanding(1)
 Principal Amount OutstandingCarrying
Value
 Total
Aggregate
Principal
Amount
Available/
Outstanding(1)
 Principal Amount OutstandingCarrying
Value
 
Revolving Credit Facility$5,393 (2)$1,144 $1,144 $4,513 (2)$1,113 $1,113 
Revolving Funding Facility2,150 750 750 2,150 1,065 1,065 
SMBC Funding Facility800 (3)400 400 800 (3)502 502 
BNP Funding Facility1,265 450 450 1,265 889 889 
April 2036 CLO Notes(4)476 476 473 (5)476 476 473 (5)
October 2036 CLO Secured Loans(4)544 544 541 (5)544 544 541 (5)
March 2025 Notes— — — 600 600 600 (5)
July 2025 Notes1,250 1,250 1,250 (5)1,250 1,250 1,252 (5)
January 2026 Notes1,150 1,150 1,149 (5)1,150 1,150 1,148 (5)
July 2026 Notes1,000 1,000 997 (5)1,000 1,000 996 (5)
January 2027 Notes900 900 901 (5)(6)900 900 891 (5)(6)
June 2027 Notes500 500 497 (5)500 500 497 (5)
June 2028 Notes1,250 1,250 1,248 (5)1,250 1,250 1,248 (5)
March 2029 Notes1,000 1,000 999 (5)(6)1,000 1,000 985 (5)(6)
July 2029 Notes850 850 862 (5)(6)850 850 835 (5)(6)
September 2030 Notes750 750 742 (5)(6)— — — 
November 2031 Notes700 700 693 (5)700 700 692 (5)
March 2032 Notes1,000 1,000 1,013 (5)(6)— — — 
Total$20,978 $14,114 $14,109 $18,948 $13,789 $13,727 
________________________________________

(1)Represents the total aggregate amount committed or outstanding, as applicable, under such instrument. Borrowings under the committed Credit Facilities are subject to borrowing base and other restrictions.

(2)Provides for an “accordion” feature that allows us, under certain circumstances, to increase the size of the Revolving Credit Facility to a maximum of $7.9 billion and $6.7 billion as of June 30, 2025 and December 31, 2024, respectively.

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

(4)Excludes the April 2036 CLO Subordinated Notes and the October 2036 CLO Subordinated Notes (each as defined below), which were retained by us and, as such, eliminated in consolidation.

(5)Represents the aggregate principal amount outstanding, less unamortized debt issuance costs and the net unaccreted/amortized discount or premium recorded upon issuance. In March 2025, we repaid in full the March 2025 Notes (as defined below) upon their maturity. See “Recent Developments,” as well as Note 15 to our consolidated financial statements for the three and six months ended June 30, 2025 for a subsequent event relating to the July 2025 Notes.

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(6)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes (each as defined below) as of June 30, 2025 and December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Note 6 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the interest rate swaps related to these unsecured notes issuances.

 The weighted average stated interest rate and weighted average maturity, both on aggregate principal amount outstanding, of all our outstanding debt as of June 30, 2025 were 4.9% and 3.8 years, respectively, and as of December 31, 2024 were 4.9% and 3.8 years, respectively. The weighted average stated interest rate of all our outstanding debt as of June 30, 2025 and December 31, 2024 includes the impact of interest rate swaps. See Note 6 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the interest rate swaps.
 
The ratio of total principal amount of outstanding debt to stockholders’ equity as of June 30, 2025 was 1.01:1.00 compared to 1.03:1.00 as of December 31, 2024.
 
Revolving Credit Facility
 
We are party to a senior secured revolving credit facility (as amended and restated, the “Revolving Credit Facility”), that allows us to borrow up to $5.4 billion at any one time outstanding. The Revolving Credit Facility consists of an approximately $4.3 billion revolving tranche and an approximately $1.1 billion term loan tranche. As of June 30, 2025, the end of the revolving periods and the stated maturity dates of the various revolving and term loan tranches of the Revolving Credit Facility were as follows:

(in millions)Total Aggregate Principal Amount Committed/ OutstandingEnd of Revolving PeriodMaturity Date
Revolving tranche$3,958 April 15, 2029April 15, 2030
246March 31, 2026March 31, 2027
45April 12, 2028April 12, 2029
4,249 
Term loan tranche1,035 April 15, 2030
45April 12, 2029
40April 19, 2028
24March 31, 2027
1,144 
$5,393 

The Revolving Credit Facility also provides for an “accordion” feature that allows us, under certain circumstances, to increase the overall size of the Revolving Credit Facility to a maximum of approximately $7.9 billion.

Subject to certain exceptions, the interest rate charged on the Revolving Credit Facility is based on SOFR plus a credit spread adjustment of 0.10% (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in certain approved foreign currencies plus a spread adjustment, if applicable) plus an applicable spread of either 1.525%, 1.650%, 1.775% or an “alternate base rate” (as defined in the documents governing the Revolving Credit Facility) plus an applicable spread of either 0.525%, 0.650% or 0.775%, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving credit exposure and term loans outstanding under the Revolving Credit Facility and (b) 85% of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving credit exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. As of June 30, 2025, the applicable spread in effect was 1.65%. Additionally, subject to certain exceptions, we are required to pay a commitment fee of 0.325% per annum on any unused portion of the Revolving Credit Facility. We are also required to pay letter of credit fees of 1.775%, 1.900% or 2.025% per annum on letters of credit issued, determined monthly based on the total amount of the borrowing base relative to the total commitments of the Revolving Credit Facility and other debt, if any, secured by the same collateral as the Revolving Credit Facility. As of June 30, 2025, there was $1.1 billion outstanding under the Revolving Credit Facility and we were in compliance in all material respects with the terms of the Revolving Credit Facility. See “Recent Developments,” as well as Note 15 to our consolidated financial statements for the three and six months ended June 30, 2025 for a subsequent event relating to the Revolving Credit Facility.

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Revolving Funding Facility
 
We and our consolidated subsidiary, Ares Capital CP Funding LLC (“Ares Capital CP”), are party to a revolving funding facility (as amended, the “Revolving Funding Facility”), that allows Ares Capital CP to borrow up to $2.2 billion at any one time outstanding. The Revolving Funding Facility is secured by all of the assets held by, and the membership interest in, Ares Capital CP. The end of the reinvestment period and the stated maturity date for the Revolving Funding Facility are October 8, 2027 and October 8, 2029, respectively. The interest rate charged on the Revolving Funding Facility is based on SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 2.00% per annum. Ares Capital CP is also required to pay a commitment fee of between 0.50% and 1.25% per annum depending on the size of the unused portion of the Revolving Funding Facility. As of June 30, 2025, there was $750 million outstanding under the Revolving Funding Facility and we and Ares Capital CP were in compliance in all material respects with the terms of the Revolving Funding Facility. See “Recent Developments,” as well as Note 15 to our consolidated financial statements for the three and six months ended June 30, 2025 for a subsequent event relating to the Revolving Funding Facility.

SMBC Funding Facility
 
We and our consolidated subsidiary, Ares Capital JB Funding LLC (“ACJB”), are party to a revolving funding facility (as amended, the “SMBC Funding Facility”), with ACJB, as the borrower, and Sumitomo Mitsui Banking Corporation, as the administrative agent and collateral agent, that allows ACJB to borrow up to $800 million at any one time outstanding. The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1.0 billion. The SMBC Funding Facility is secured by all of the assets held by ACJB. The end of the reinvestment period and the stated maturity date for the SMBC Funding Facility are December 6, 2027 and December 6, 2029, respectively. The reinvestment period and the stated maturity date are both subject to two one-year extensions by mutual agreement. The interest rate charged on the SMBC Funding Facility is based on an applicable spread of either (i) 2.00% over one month SOFR or (ii) 1.00% over a “base rate” (as defined in the documents governing the SMBC Funding Facility), in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. ACJB is also required to pay a commitment fee of between 0.50% and 1.00% per annum depending on the size of the unused portion of the SMBC Funding Facility. As of June 30, 2025, there was $400 million outstanding under the SMBC Funding Facility and we and ACJB were in compliance in all material respects with the terms of the SMBC Funding Facility. See “Recent Developments,” as well as Note 15 to our consolidated financial statements for the three and six months ended June 30, 2025 for a subsequent event relating to the SMBC Funding Facility.
  
BNP Funding Facility
 
We and our consolidated subsidiary, ARCC FB Funding LLC (“AFB”), are party to a revolving funding facility (as amended, the “BNP Funding Facility”) with AFB, as the borrower, and BNP Paribas, as the administrative agent and lender, that allows AFB to borrow up to $1,265 million at any one time outstanding. The BNP Funding Facility is secured by all of the assets held by AFB. The end of the reinvestment period and the stated maturity date for the BNP Funding Facility are March 20, 2028 and March 20, 2030, respectively. The interest rate charged on the BNP Funding Facility is based on applicable SOFR, or a “base rate” (as defined in the documents governing the BNP Funding Facility) plus a margin of (i) 1.90% during the reinvestment period and (ii) 2.40% following the reinvestment period. As of June 30, 2025, the applicable spread in effect was 1.90%. AFB is required to pay a commitment fee of between 0.00% and 1.25% per annum depending on the size of the unused portion of the BNP Funding Facility. As of June 30, 2025, there was $450 million outstanding under the BNP Funding Facility and we and AFB were in compliance in all material respects with the terms of the BNP Funding Facility.

Debt Securitizations

ADL CLO 1 Debt Securitization

In May 2024, we, through our wholly owned consolidated subsidiary, Ares Direct Lending CLO 1 LLC (“ADL CLO 1”), completed a $702 million term debt securitization (the “ADL CLO 1 Debt Securitization”). The ADL CLO 1 Debt Securitization is also known as a collateralized loan obligation and is an on-balance sheet financing incurred by us, which is consolidated by us for financial reporting purposes and subject to our overall asset coverage requirement. The notes offered in the ADL CLO 1 Debt Securitization that mature on April 25, 2036 (collectively, the “April 2036 CLO Notes”) were issued by ADL CLO 1 pursuant to the indenture governing the April 2036 CLO Notes and include (i) $406 million of Class A Senior Notes (the “April 2036 Class A CLO Notes”); (ii) $70 million of Class B Senior Notes (the “April 2036 Class B CLO Notes” and, together with the April 2036 Class A CLO Notes, the “April 2036 CLO Secured Notes”); and (iii) approximately $226 million of subordinated notes (the “April 2036 CLO Subordinated Notes”). We retained all of the April 2036 CLO
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Subordinated Notes, as such, the April 2036 CLO Subordinated Notes are eliminated in consolidation. The following table presents information on the April 2036 CLO Notes as of June 30, 2025 (dollar amounts in millions):

ClassTypePrincipal OutstandingMaturity DateInterest Rate
April 2036 Class A CLO NotesSenior Secured Floating Rate$406 April 25, 2036
SOFR+1.80%
April 2036 Class B CLO NotesSenior Secured Floating Rate70 April 25, 2036
SOFR+2.20%
Total April 2036 CLO Secured Notes476 
April 2036 CLO Subordinated NotesSubordinated226 April 25, 2036None
Total April 2036 CLO Notes$702 

The April 2036 CLO Secured Notes are the secured obligations of ADL CLO 1 and are backed by a diversified portfolio of first lien senior secured loans contributed by us to ADL CLO 1 pursuant to the terms of a contribution agreement. The interest rate charged on the April 2036 CLO Secured Notes is based on SOFR plus a blended weighted average spread of 1.86%.

Our investment adviser serves as asset manager to ADL CLO 1 under an asset management agreement and is entitled to receive certain management fees for providing these services under the agreement. Our investment adviser has agreed to waive any management fees from ADL CLO 1.

ADL CLO 4 Debt Securitization

In November 2024, we, through our wholly owned consolidated subsidiary, Ares Direct Lending CLO 4 LLC (“ADL CLO 4”), completed a $544 million term debt securitization (the “ADL CLO 4 Debt Securitization”). The ADL CLO 4 Debt Securitization is also known as a collateralized loan obligation and is an on-balance sheet financing incurred by us, which is consolidated by us for financial reporting purposes and subject to our overall asset coverage requirement. The loans incurred by ADL CLO 4 in the ADL CLO 4 Debt Securitization that mature on October 24, 2036 (collectively, the “October 2036 CLO Secured Loans”) include (i) $464 million of Class A Senior Loans (the “October 2036 Class A CLO Loans”), and (ii) $80 million of Class B Senior Loans (the “October 2036 Class B CLO Loans”). In addition, in connection with the ADL CLO 4 Debt Securitization, ADL CLO 4 issued approximately $260 million of subordinated notes (the “October 2036 CLO Subordinated Notes”). We retained all of the October 2036 CLO Subordinated Notes, as such, the October 2036 CLO Subordinated Notes are eliminated in consolidation. The October 2036 CLO Secured Loans may be converted by the lender into notes issued by ADL CLO 4 and bearing the same economic terms, subject to certain conditions under the documents governing the October 2036 CLO Secured Loans and the indenture governing such notes. The following table presents information on the October 2036 CLO Secured Loans as of June 30, 2025 (dollar amounts in millions):

ClassTypePrincipal OutstandingMaturity DateInterest Rate
October 2036 Class A CLO Loans
Senior Secured Floating Rate$464 October 24, 2036SOFR+1.54%
October 2036 Class B CLO Loans
Senior Secured Floating Rate80 October 24, 2036SOFR+1.83%
Total October 2036 CLO Secured Loans$544 

The October 2036 CLO Secured Loans are the secured obligations of ADL CLO 4 and are backed by a diversified portfolio of first lien senior secured loans contributed by us to ADL CLO 4 pursuant to the terms of a contribution agreement. The interest rate charged on the October 2036 CLO Secured Loans is based on SOFR plus a blended weighted average spread of 1.58%.

Our investment adviser serves as asset manager to ADL CLO 4 under an asset management agreement and is entitled to receive certain management fees for providing these services under the agreement. Our investment adviser has agreed to waive any management fees from ADL CLO 4.

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Unsecured Notes
 
We issued certain unsecured notes (we refer to each series of unsecured notes using the defined term set forth under the “Unsecured Notes” column of the table below and collectively refer to all such series as the “Unsecured Notes”), that pay interest semi-annually and all principal amounts are due upon maturity. Each of the Unsecured Notes may be redeemed in whole or in part at any time at our option at a redemption price equal to par plus a “make whole” premium, if applicable, as determined pursuant to the indentures governing each of the Unsecured Notes, plus any accrued and unpaid interest. Certain key terms related to the features for the Unsecured Notes as of June 30, 2025 are listed below.

(dollar amounts in millions)
Unsecured Notes
Aggregate Principal Amount IssuedEffective Stated Interest RateOriginal Issuance DateMaturity Date
July 2025 Notes$1,250 3.250%January 15, 2020July 15, 2025
January 2026 Notes$1,150 3.875%July 15, 2020January 15, 2026
July 2026 Notes$1,000 2.150%January 13, 2021July 15, 2026
January 2027 Notes(1)$900 6.893%August 3, 2023January 15, 2027
June 2027 Notes $500 2.875%January 13, 2022June 15, 2027
June 2028 Notes$1,250 2.875%June 10, 2021June 15, 2028
March 2029 Notes(1)$1,000 6.347%January 23, 2024March 1, 2029
July 2029 Notes(1)$850 5.955%May 13, 2024July 15, 2029
September 2030 Notes(1)$750 6.093%June 3, 2025September 1, 2030
November 2031 Notes$700 3.200%November 4, 2021November 15, 2031
March 2032 Notes$1,000 5.800%January 8, 2025March 8, 2032
________________________________________

(1)The effective stated interest rates of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes and the September 2030 Notes include the impact of interest rate swaps.

In March 2025, we repaid in full the $600 million in aggregate principal amount outstanding of unsecured notes (the “March 2025 Notes”) upon their maturity. The March 2025 Notes bore interest at a rate of 4.250% per annum. See “Recent Developments,” as well as Note 15 to our consolidated financial statements for the three and six months ended June 30, 2025 for a subsequent event relating to the July 2025 Notes.

In connection with certain of the unsecured notes issued by us, we have entered into interest rate swaps to more closely align the interest rates of such liabilities with our investment portfolio, which consists primarily of floating rate loans. We designated these interest rate swaps and the associated unsecured notes as qualifying fair value hedge accounting relationships. Under the interest rate swaps, we receive a fixed interest rate and pay a floating interest rate of one-month SOFR plus an applicable spread, as disclosed below. Certain information related to our interest rate swaps as of June 30, 2025 is presented below.

(dollar amounts in millions) DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, we entered into a forward-starting interest rate swap with an effective date of January 8, 2026.

See Note 6 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on our interest rate swaps.

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As of June 30, 2025, we were in compliance in all material respects with the indentures governing the Unsecured Notes.

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

RECENT DEVELOPMENTS

In July 2025, we increased the total commitment under our Revolving Credit Facility from $5,393 million to $5,493 million. The other terms of the Revolving Credit Facility remained unchanged.

In July 2025, we and Ares Capital CP entered into an agreement to amend the Revolving Funding Facility. The amendment, among other things, (a) increased the commitments under the Revolving Funding Facility from approximately $2.2 billion to approximately $2.3 billion, (b) extended the end of the reinvestment period from October 8, 2027 to July 28, 2028, (c) extended the stated maturity date from October 8, 2029 to July 28, 2030 and (d) adjusted the interest rate charged on the Revolving Funding Facility from an applicable SOFR or a “base rate” plus an applicable spread of 2.00% per annum to an applicable SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 1.80% per annum. The other terms of the Revolving Funding Facility remained materially unchanged.

In July 2025, we and ACJB entered into an agreement to amend the SMBC Funding Facility. The amendment, among other things, (a) increased the commitments under the SMBC Funding Facility from $800 million to $1.1 billion, (b) extended the end of the reinvestment period from December 6, 2027 to July 25, 2028, (c) extended the stated maturity date from December 6, 2029 to July 25, 2030 and (d) adjusted the interest rate charged on the SMBC Funding Facility from an applicable spread of either (x) 2.00% over SOFR or (y) 1.00% over a “base rate” to an applicable spread of either (x) 1.80% over SOFR or (y) 0.80% over a “base rate” (as defined in the documents governing the SMBC Funding Facility). The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1.3 billion. The other terms of the SMBC Funding Facility remained materially unchanged.

In July 2025, we repaid in full the July 2025 Notes upon their maturity, which bore interest at a rate of 3.250% per annum.

From July 1, 2025 through July 24, 2025, we made new investment commitments of approximately $1.1 billion, of which approximately $614 million were funded. Of the approximately $1.1 billion in new investment commitments, 88% were in first lien senior secured loans, 5% were in subordinated certificates of the SDLP, 1% were in senior subordinated loans, 3% were in our subordinated loan to IHAM and 3% were in other equity. Of the approximately $1.1 billion in new investment commitments, 96% were floating rate, 1% were fixed rate and 3% were non-income producing. The weighted average yield of debt and other income producing securities funded during the period at amortized cost was 9.6% and the weighted average yield on total investments funded during the period at amortized cost was 9.2%. We may seek to sell all or a portion of these new investment commitments, although there can be no assurance that we will be able to do so.

From July 1, 2025 through July 24, 2025, we exited approximately $365 million of investment commitments. Of the approximately $365 million of exited investment commitments, 62% were first lien senior secured loans, 1% were subordinated certificates of the SDLP, 15% were senior subordinated loans, 21% were our subordinated loan to IHAM and 1% were preferred equity. Of the approximately $365 million of exited investment commitments, 79% were floating rate, 16% were fixed rate and 5% were on non-accrual status. The weighted average yield of debt and other income producing securities exited or repaid during the period at amortized cost was 10.6% and the weighted average yield on total investments exited or repaid during the period at amortized cost was 10.6%. Of the approximately $365 million of investment commitments exited from July 1, 2025 through July 24, 2025, we recognized total net realized losses of approximately $9 million.

In addition, as of July 24, 2025, we had an investment backlog of approximately $2.6 billion. Investment backlog includes transactions approved by our investment adviser’s investment committee and/or for which a formal mandate, letter of intent or a signed commitment have been issued, and therefore we believe are likely to close. The consummation of any of the investments in this backlog depends upon, among other things, one or more of the following: our acceptance of the terms and structure of such investment and the execution and delivery of satisfactory transaction documentation. In addition, we may sell
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all or a portion of these investments and certain of these investments may result in the repayment of existing investments. We cannot assure you that we will make any of these investments or that we will sell all or any portion of these investments.

CRITICAL ACCOUNTING ESTIMATES

The preparation of our consolidated financial statements requires us to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenues, and expenses. Changes in the economic environment, financial markets, and any other parameters used in determining such estimates could cause actual results to differ. Our critical accounting estimates, including those relating to the valuation of our investment portfolio, are described below. The critical accounting estimates should be read in conjunction with our risk factors as disclosed in “Item 1A. Risk Factors.” See Note 2 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on our critical accounting policies.

Investments

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

Pursuant to Rule 2a-5 under the Investment Company Act, our board of directors designated our investment adviser as our valuation designee (the “Valuation Designee”) to perform the fair value determinations for investments held by us without readily available market quotations, subject to the oversight of our board of directors. All investments are recorded at their fair value.

Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, the Valuation Designee looks at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available (i.e., substantially all of our investments) are valued at least quarterly at fair value as determined in good faith by the Valuation Designee, subject to the oversight of our board of directors, based on, among other things, the input of our independent third‑party valuation providers (“IVPs”) that have been engaged to support the valuation of such portfolio investments quarterly, beginning as of the third quarter after origination (with certain de minimis exceptions) and under a valuation policy and a consistently applied valuation process. The valuation process is conducted at the end of each fiscal quarter by the Valuation Designee, and beginning with the first quarter of 2025, substantially all investments in our investment portfolio at fair value are subject to review by an IVP each quarter, as discussed further below. However, we may use these IVPs to review the value of our investments more frequently, including in connection with the occurrence of significant events or changes in value affecting a particular investment. In addition, our independent registered public accounting firm obtains an understanding of, and performs select procedures relating to, our valuation process within the context of performing our integrated audit.
 
As part of the valuation process, the Valuation Designee may take into account the following types of factors, if relevant, in determining the fair value of our investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company’s securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent sale occurs, the Valuation Designee considers the pricing indicated by the external event to corroborate the valuation.

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

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

The Valuation Designee, subject to the oversight of our board of directors, undertakes a multi‑step valuation process each quarter, as described below:

Our quarterly valuation process begins with a preliminary valuation being prepared by the investment professionals responsible for the portfolio investment in conjunction with our portfolio management and valuation team.

Preliminary valuations are reviewed and discussed by the valuation committee of the Valuation Designee.

When a portfolio investment is reviewed by an IVP:

Relevant information related to the portfolio investment is made available by the Valuation Designee to the IVP, who does not independently verify such information.

The IVP reviews and analyzes the information provided by the Valuation Designee, along with relevant market and economic data, and independently determines a range of values for the portfolio investment.

The IVP provides its analysis to the Valuation Designee to support the IVP’s valuation methodology and calculations.

The valuation committee of the Valuation Designee determines the fair value of each investment in our portfolio without a readily available market quotation in good faith based on, among other things, the input of the IVPs, where applicable.

When a portfolio investment is reviewed by an IVP, a positive assurance opinion or independent valuation report is issued by the IVP that confirms the fair value determined by the Valuation Designee for the portfolio investment is within the range of values independently calculated by such IVP.

Fair Value of Financial Instruments

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

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

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

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

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

In addition to using the above inputs in investment valuations, the Valuation Designee continues to employ its net asset valuation policy and procedures that have been reviewed by our board of directors in connection with their designation of our investment adviser as the valuation designee and are consistent with the provisions of Rule 2a-5 under the Investment Company Act and ASC 820-10. Consistent with its valuation policy and procedures, the Valuation Designee evaluates the source of inputs, including any markets in which our investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. Because there is not a readily available market value for most of the investments in our portfolio, the fair value of the investments must typically be determined using unobservable inputs.

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

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

See Note 8 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on our valuation process.

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Item 3.    Quantitative and Qualitative Disclosures About Market Risk

We are subject to financial market risks, including changes in interest rates and the valuations of our investment portfolio. Uncertainty with respect to the imposition of tariffs on and trade disputes with certain countries, the fluctuations in global interest rates, the ongoing war between Russia and Ukraine, the conflicts in the Middle East and concerns over future increases in inflation or adverse investor sentiment generally, introduced significant volatility in the financial markets, and the effects of this volatility has materially impacted and could continue to materially impact our market risks, including those listed below. For more information concerning these risks and their potential impact on our business and our operating results, see “Risk Factors—General Risk Factors—Global economic, political and market conditions, including uncertainty about the financial stability of the United States, could have a significant adverse effect on our business, financial condition and results of operations”, “Risk Factors—Risks Relating to Our Investments—Economic recessions or downturns could impair our portfolio companies and harm our operating results” and “Risk Factors—Risks Relating to Our Business—Inflation has adversely affected and may continue to adversely affect the business, results of operations and financial condition of our portfolio companies” in our Annual Report on Form 10-K for the year ended December 31, 2024, filed with the SEC on February 5, 2025.

Investment Valuation Risk

Because there is not a readily available market value for most of the investments in our portfolio, substantially all of our portfolio investments are valued at fair value as determined in good faith by our investment adviser, as the valuation designee, subject to the oversight of our board of directors based on, among other things, the input of our independent third-party valuation providers (“IVPs”) that have been engaged to support the valuation of each portfolio investment without a readily available market quotation quarterly, beginning as of the third quarter after origination (with certain de minimis exceptions). Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of our investments may fluctuate from period to period. Additionally, the fair value of our investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that we may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If we were required to liquidate a portfolio investment in a forced or liquidation sale, we could realize significantly less than the value at which we have recorded it. In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned. See “Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations—Critical Accounting Estimates” as well as Notes 2 and 8 to our consolidated financial statements for the six months ended June 30, 2025 for more information relating to our investment valuation.

Interest Rate Risk
 
Interest rate sensitivity refers to the change in our earnings that may result from changes in the level of interest rates. Because we fund a portion of our investments with borrowings, our net investment income is affected by the difference between the rate at which we invest and the rate at which we borrow. As a result, there can be no assurance that a significant change in market interest rates will not have a material adverse effect on our net investment income. See “Risk Factors—Risks Relating to Our Business—We are exposed to risks associated with changes in interest rates, including the current interest rate environment” in our Annual Report on Form 10-K for the year ended December 31, 2024, filed with the SEC on February 5, 2025.
 
In a prolonged low interest rate environment, the difference between the total interest income earned on interest earning assets and the total interest expense incurred on interest bearing liabilities may be compressed, reducing our net income and potentially adversely affecting our operating results. Conversely, in a rising interest rate environment, such difference could potentially increase thereby increasing our net income as indicated per the table below.

As of June 30, 2025, 69% of the investments at fair value in our portfolio bore interest and dividends at variable rates (including our investment in the SDLP Certificates which accounted for 4% of our total investments at fair value), 13% bore interest at fixed rates, 10% were non-income producing, 1% were on non-accrual status and 7% was our equity investment in IHAM which generally pays a quarterly dividend. Additionally, excluding our investment in the SDLP Certificates, 99% of the remaining variable rate investments at fair value contained interest rate floors. The Credit Facilities, the April 2036 CLO Notes and the October 2036 CLO Secured Loans bear interest at variable rates with no interest rate floors. The Unsecured Notes bear interest at fixed rates, except that the January 2027 Notes, the March 2029 Notes, the July 2029 Notes and the September 2030 Notes have been swapped from a fixed rate to a floating rate through interest rate swaps. The March 2032 Notes have been swapped from a fixed rate to a floating rate through a forward starting interest rate swap, effective January 8, 2026. See Note 5
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to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on our debt obligations. See Note 6 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the interest rate swaps.
 
We regularly measure our exposure to interest rate risk. We assess interest rate risk and manage our interest rate exposure on an ongoing basis by comparing our interest rate sensitive assets to our interest rate sensitive liabilities. Based on that review, we determine whether or not any hedging transactions are necessary to mitigate exposure to changes in interest rates.

Based on our June 30, 2025 balance sheet, the following table shows the annualized impact on net income of base rate changes in interest rates (considering interest rate floors for variable rate instruments) assuming no changes in our investment and borrowing structure:
(in millions)
Basis Point Change
Interest and Dividend
Income
Interest
Expense(1)
Net
Income(2)
Up 300 basis points$552 $218 $334 
Up 200 basis points$368 $145 $223 
Up 100 basis points$184 $73 $111 
Down 100 basis points$(194)$(73)$(121)
Down 200 basis points$(387)$(145)$(242)
Down 300 basis points$(572)$(218)$(354)
________________________________________

(1)Includes the impact to interest expense related to the interest rate swaps.

(2)Excludes the impact of any income based fee. See Note 3 to our consolidated financial statements for the three and six months ended June 30, 2025 for more information on the income based fee.

Item 4.    Controls and Procedures

Evaluation of Disclosure Controls and Procedures

We maintain disclosure controls and procedures (as that term is defined in Rules 13a‑15(e) and 15d‑15(e) under the Exchange Act) that are designed to ensure that information required to be disclosed in our reports under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including our principal executive officer and principal financial officer, as appropriate, to allow timely decisions regarding required disclosures. Any controls and procedures, no matter how well designed and operated, can provide only reasonable assurance of achieving the desired control objectives. Our management, with the participation of our principal executive officer and principal financial officer, has evaluated the effectiveness of the design and operation of our disclosure controls and procedures as of June 30, 2025. Based upon that evaluation and subject to the foregoing, our principal executive officer and principal financial officer concluded that, as of June 30, 2025, the design and operation of our disclosure controls and procedures were effective to accomplish their objectives at the reasonable assurance level.

Changes in Internal Control over Financial Reporting

There have been no changes in our internal control over financial reporting (as defined in Rules 13a‑15(f) and 15d‑15(f) under the Exchange Act) during the quarter ended June 30, 2025 that have materially affected, or that are reasonably likely to materially affect, our internal control over financial reporting.

PART II — OTHER INFORMATION

Item 1.    Legal Proceedings
    
From time to time, we, our executive officers, directors and our investment adviser, its affiliates and/or any of their respective principals and employees are subject to legal proceedings, including those arising from our investments in our portfolio companies, and as a result, incur significant costs and expenses in connection with such legal proceedings.
235



We and our investment adviser are also subject to extensive regulation, which, from time to time, results in requests for information from us or our investment adviser or regulatory proceedings or investigations against us or our investment adviser, respectively. We incur significant costs and expenses in connection with any such information requests, proceedings and investigations.

Item 1A.     Risk Factors

In addition to the other information set forth in this report, you should carefully consider the risk factors described in Part I, “Item 1A. Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2024, which could materially affect our business, financial condition and/or operating results. The risks described in our Annual Report on Form 10-K for the fiscal year ended December 31, 2024, are not the only risks facing us. Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial also may materially and adversely affect our business, financial condition and/or operating results.

Item 2.     Unregistered Sales of Equity Securities and Use of Proceeds
 
We did not sell any equity securities during the period covered in this report that were not registered under the Securities Act.

Dividend Reinvestment Plan

During the quarter ended June 30, 2025, as part of our dividend reinvestment plan for our common stockholders, we did not purchase shares of our common stock in the open market in order to satisfy the reinvestment portion of our dividends.

Stock Repurchase Program

In February 2025, our board of directors authorized an amendment to our existing stock repurchase program to extend the expiration date of the program from February 15, 2025 to February 15, 2026. Under the program, we may repurchase up to $1.0 billion in the aggregate of our outstanding common stock in the open market at certain thresholds below our net asset value per share, in accordance with the guidelines specified in Rule 10b-18 of the Exchange Act. The timing, manner, price and amount of any share repurchases will be determined by us, in our sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program will be in effect through February 15, 2026, unless extended or until the approved dollar amount has been used to repurchase shares. The stock repurchase program does not require us to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, we cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. The program may be suspended, extended, modified or discontinued at any time.

During the quarter ended June 30, 2025, there were no repurchases of our common stock under our stock repurchase program. As of June 30, 2025, the approximate dollar value of shares that may yet be purchased under the program was $1.0 billion.

Item 3.     Defaults Upon Senior Securities
 
Not applicable.

Item 4.     Mine Safety Disclosures
 
Not applicable.

Item 5.    Other Information

Rule 10b5-1 Trading Plans

During the fiscal quarter ended June 30, 2025, none of our directors or executive officers adopted or terminated any contract, instruction or written plan for the purchase or sale of our securities intended to satisfy the affirmative defense conditions of Rule 10b5-1(c) or any “non-Rule 10b5-1 trading arrangement.”

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In July 2025, we and Ares Capital CP entered into an agreement to amend the Revolving Funding Facility. The amendment, among other things, (a) increased the commitments under the Revolving Funding Facility from approximately $2.2 billion to approximately $2.3 billion, (b) extended the end of the reinvestment period from October 8, 2027 to July 28, 2028, (c) extended the stated maturity date from October 8, 2029 to July 28, 2030 and (d) adjusted the interest rate charged on the Revolving Funding Facility from an applicable SOFR or a “base rate” plus an applicable spread of 2.00% per annum to an applicable SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 1.80% per annum. The other terms of the Revolving Funding Facility remained materially unchanged.

In July 2025, we and ACJB entered into an agreement to amend the SMBC Funding Facility. The amendment, among other things, (a) increased the commitments under the SMBC Funding Facility from $800 million to $1.1 billion, (b) extended the end of the reinvestment period from December 6, 2027 to July 25, 2028, (c) extended the stated maturity date from December 6, 2029 to July 25, 2030 and (d) adjusted the interest rate charged on the SMBC Funding Facility from an applicable spread of either (x) 2.00% over SOFR or (y) 1.00% over a “base rate” to an applicable spread of either (x) 1.80% over SOFR or (y) 0.80% over a “base rate” (as defined in the documents governing the SMBC Funding Facility). The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1.3 billion. The other terms of the SMBC Funding Facility remained materially unchanged.

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Item 6.     Exhibits.    
 EXHIBIT INDEX

Exhibit Number Description
 Articles of Amendment and Restatement, as amended (incorporated by reference to Exhibit 3.1 to the Company’s Form 10-Q (File No. 814-00663) for the quarter ended March 31, 2023, filed on April 25, 2023).
 Third Amended and Restated Bylaws, as amended (incorporated by reference to Exhibit 3.2 to the Company’s Form 10-K (File No. 814-00663) for the year ended December 31, 2018, filed on February 12, 2019).
Third Supplemental Indenture, dated as of June 3, 2025, relating to the 5.500% Notes due 2030, between the Company and U.S. Bank Trust Company, National Association, as trustee (incorporated by reference to Exhibit 4.2 to the Company’s Form 8-K (File No. 814-00663), filed on June 3, 2025).
Form of 5.500% Notes due 2030 (incorporated by reference to Exhibit 4.3 to the Company’s Form 8-K (File No. 814-00663), filed on June 3, 2025).
Sixteenth Amended and Restated Senior Secured Credit Agreement, dated as of April 15, 2025, among Ares Capital Corporation, the lenders party thereto, and JPMorgan Chase Bank, N.A., as administrative agent (incorporated by reference to Exhibit 10.1 to the Company’s Form 8-K (File No. 814-000663), filed on April 21, 2025).
Amendment No. 12, dated as of July 25, 2025, among Ares Capital JB Funding LLC, as borrower, Ares Capital Corporation, as servicer and transferor, Sumitomo Mitsui Banking Corporation, as administrative agent, lender and collateral agent, Citizens Bank, N.A., as lender, and Sumitomo Mitsui Trust Bank, Limited, New York Branch, as lender (amending the Loan and Servicing Agreement, dated as of January 20, 2012)*
Amendment No. 18 to Loan and Servicing Agreement, dated as of July 28, 2025, among Ares Capital CP Funding LLC, as the borrower, Ares Capital Corporation, as the servicer, Wells Fargo Bank, National Association, as the agent, the lenders party thereto, U.S. Bank Trust Company, National Association, as trustee and U.S. Bank National Association, as bank and collateral custodian*
 Certification by Chief Executive Officer pursuant to Exchange Act Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*
 Certification by Chief Financial Officer pursuant to Exchange Act Rule 13a-14(a), as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002*
 Certification by Chief Executive Officer and Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002**
101.INSInline XBRL Instance Document - the instance document does not appear in the Interactive Data File because XBRL tags are embedded within the Inline XBRL document.
101.SCHInline XBRL Taxonomy Extension Schema Document
101.CALInline XBRL Taxonomy Extension Calculation Linkbase Document
101.DEFInline XBRL Taxonomy Extension Definition Linkbase Document
101.LABInline XBRL Taxonomy Extension Label Linkbase Document
101.PREInline XBRL Taxonomy Extension Presentation Linkbase Document
104Cover Page Interactive Data File (embedded within the Inline XBRL document)
 ________________________________________

*    Filed herewith
**    This certification is not deemed filed by the SEC and is not to be incorporated by reference in any filing we make under the Securities Act or the Exchange Act, irrespective of any general incorporation language in any filings.
238



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

  
 ARES CAPITAL CORPORATION
  
  
Date: July 29, 2025By/s/ M. KORT SCHNABEL
  M. Kort Schnabel
Chief Executive Officer
   
Date: July 29, 2025By/s/ SCOTT C. LEM
  Scott C. Lem
Chief Financial Officer and Treasurer
Date: July 29, 2025By/s/ PAUL CHO
  Paul Cho
Chief Accounting Officer
239



Exhibit 10.2
EXECUTION VERSION

AMENDMENT NO. 12
(Ares Capital JB Funding LLC)

THIS AMENDMENT NO. 12, dated as of July 25, 2025 (this “Amendment”), is entered into by and among Ares Capital JB Funding LLC, as the borrower (together with its successors and assigns in such capacity, the “Borrower”), Ares Capital Corporation, as the servicer (together with its successors and assigns in such capacity, the “Servicer”) and as the transferor (together with its successors and assigns in such capacity, the “Transferor”), Sumitomo Mitsui Banking Corporation (“SMBC”), as the administrative agent (together with its successors and assigns in such capacity, the “Administrative Agent”), as a lender (together with its successors and assigns in such capacity, a “Lender”), Citizens Bank, N.A. (“Citizens Bank”), as a lender (together with its successors and assigns in such capacity, a “Lender”) and Sumitomo Mitsui Trust Bank, Limited, New York Branch (“SuMi Trust”), as a lender (together with its successors and assigns in such capacity, a “Lender” and, together with SMBC and Citizens Bank, the “Lenders”), SMBC, as the collateral agent (together with its successors and assigns in such capacity, the “Collateral Agent”). Capitalized terms used and not otherwise defined herein shall have the meanings given to such terms in the Loan and Servicing Agreement (as defined below).

R E C I T A L S

WHEREAS, the above-named parties have entered into the Loan and Servicing Agreement dated as of January 20, 2012 (such agreement as amended on September 14, 2012 by Omnibus Amendment No. 1, as amended on December 20, 2013 by Omnibus Amendment No. 2, as amended on June 30, 2015 by Omnibus Amendment No. 3, as amended by Omnibus Amendment No. 4 on August 24, 2017, as amended by Omnibus Amendment No. 5 on September 12, 2018, as amended by Omnibus Amendment No. 6 on September 10, 2019, as amended by Omnibus Amendment No. 7 on December 31, 2019, as amended by Amendment No. 8 on May 28, 2021, as amended by Amendment No. 9 on April 28, 2023, as amended by Amendment No. 10 on March 28, 2024, as amended by Amendment No. 11 on December 6, 2024, and as may be further amended, modified, supplemented or restated from time to time, the “Loan and Servicing Agreement”);

WHEREAS, pursuant to and in accordance with Section 11.01 of the Loan and Servicing Agreement, the parties hereto desire to amend the Loan and Servicing Agreement in certain respects as provided herein;

WHEREAS, all required consents and approvals of the parties hereto to the execution, delivery and performance of this Amendment have been obtained;

NOW, THEREFORE, based upon the above Recitals, the mutual premises and agreements contained herein, and other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the undersigned, intending to be legally bound, hereby agree as follows:

SECTION 1. AMENDMENTS.

(a) The Loan and Servicing Agreement is hereby amended to delete the stricken text (indicated textually in the same manner as the following example: stricken text) and to add the
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bold and double-underlined text (indicated textually in the same manner as the following example: bold and double-underlined text) as set forth on the pages of the Loan and Servicing Agreement attached as Exhibit A hereto.

SECTION 2. LOAN AND SERVICING AGREEMENT IN FULL FORCE AND EFFECT AS AMENDED.

Except as specifically amended hereby, all provisions of the Loan and Servicing Agreement are hereby ratified and shall remain in full force and effect. After this Amendment becomes effective, all references to the Loan and Servicing Agreement and corresponding references thereto or therein such as “hereof,” “herein,” or words of similar effect referring to the Loan and Servicing Agreement shall be deemed to mean the Loan and Servicing Agreement as amended hereby. This Amendment shall not be deemed to expressly or impliedly waive, amend or supplement any provision of the Loan and Servicing Agreement other than as expressly set forth herein, and shall not constitute a novation of the Loan and Servicing Agreement.

SECTION 3. REPRESENTATIONS.

Each of the Borrower, the Transferor and the Servicer, severally for itself only, represents and warrants as of the date of this Amendment as follows:

(i) it is duly incorporated or organized, validly existing and in good standing under the laws of its jurisdiction of incorporation or organization;

(ii) the execution, delivery and performance by it of this Amendment and the Loan and Servicing Agreement, as amended hereby, are within its powers, have been duly authorized, and do not contravene (A) its corporate charter/certificate of incorporation, by-laws, or other organizational documents, or (B) any Applicable Law;

(iii) no consent, license, permit, approval or authorization of, or registration, filing or declaration with any governmental authority, is required in connection with the execution, delivery, performance, validity or enforceability of this Amendment and the Loan and Servicing Agreement, as amended hereby, by or against it;

(iv) this Amendment has been duly executed and delivered by it;

(v) each of this Amendment and the Loan and Servicing Agreement, as amended hereby, constitutes its legal, valid and binding obligation, enforceable against it in accordance with its terms, except as enforceability may be limited by applicable bankruptcy, insolvency, reorganization, moratorium or similar laws affecting the enforcement of creditors’ rights generally or by general principles of equity; and

(vi) no Unmatured Event of Default, Event of Default or Servicer Termination Event has occurred and is continuing and the execution of this Amendment by the parties hereto will not result in the occurrence of an Event of Default, Unmatured Event of Default or Servicer Termination Event.







- 2 -
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SECTION 4. CONDITIONS TO EFFECTIVENESS.

The effectiveness of this Amendment is conditioned upon: (i) payment of the outstanding fees and disbursements of the Lenders; (ii) delivery of executed signature pages by all parties hereto to the Administrative Agent; (iii) delivery of opinions of counsel for the Borrower, the Servicer and the Transferor to the Administrative Agent, in form and substance reasonably satisfactory to the Administrative Agent, with respect to such matters as the Administrative Agent may reasonably request; and (iv) payment by Borrower of all legal fees and expenses of counsel to Administrative Agent relating to this Amendment and the related documents.

SECTION 5. [RESERVED]

SECTION 6. MISCELLANEOUS.

(a) This Amendment may be executed in any number of counterparts (including by facsimile), and by the different parties hereto on the same or separate counterparts, each of which shall be deemed to be an original instrument but all of which together shall constitute one and the same agreement. The words “execution,” “signed,” “signature,” “delivery,” and words of like import in or relating to this Amendment or any document to be signed in connection with this Amendment and the transactions contemplated hereby shall be deemed to include electronic signatures, deliveries or the keeping of records in electronic form, each of which shall be of the same legal effect, validity or enforceability as a manually executed signature, physical delivery thereof or the use of a paper-based recordkeeping system, as the case may be, to the extent and as provided for in any applicable law, including the federal Electronic Signatures in Global and National Commerce Act, the New York State Electronic Signatures and Records Act, or any other state laws based on the Uniform Electronic Transactions Act, and the parties hereto consent to conduct the transactions contemplated hereunder by electronic means.

(b) The descriptive headings of the various sections of this Amendment are inserted for convenience of reference only and shall not be deemed to affect the meaning or construction of any of the provisions hereof.

(c) This Amendment may not be amended or otherwise modified except as provided in the Loan and Servicing Agreement.

(d) The failure or unenforceability of any provision hereof shall not affect the other provisions of this Amendment or the Loan and Servicing Agreement.

(e) Whenever the context and construction so require, all words used in the singular number herein shall be deemed to have been used in the plural, and vice versa, and the masculine gender shall include the feminine and neuter and the neuter shall include the masculine and feminine.

(f) This Amendment and the Loan and Servicing Agreement contain the final and complete integration of all prior expressions by the parties hereto only with respect to the matters expressly set forth herein and shall constitute the entire agreement among the parties hereto with respect to the subject matter hereof, superseding all prior oral or written understandings. There are no unwritten oral agreements among the parties with respect to the matters set forth herein.



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(g) The provisions of Sections 11.08 and 11.09 of the Loan and Servicing Agreement are each incorporated by reference herein mutatis mutandis.

(h) The Administrative Agent and the Lenders hereby authorize, direct and consent to the execution of this Amendment by the Collateral Agent, the Collateral Custodian and the Bank.

(i) THIS AMENDMENT AND THE RIGHTS AND OBLIGATIONS OF THE PARTIES UNDER THIS AMENDMENT SHALL BE GOVERNED BY AND CONSTRUED AND INTERPRETED IN ACCORDANCE WITH THE CHOICE OF LAW PROVISIONS SET FORTH IN THE LOAN AND SERVICING AGREEMENT AND SHALL BE SUBJECT TO THE WAIVER OF JURY TRIAL AND NOTICE PROVISIONS SET FORTH IN THE LOAN AND SERVICING AGREEMENT.

[SIGNATURES BEGIN ON FOLLOWING PAGE]


































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IN WITNESS WHEREOF, the undersigned have caused this Amendment to be executed by their respective officers thereunto duly authorized, as of the date first above written.

THE BORROWER:
ARES CAPITAL JB FUNDING LLC,
 as the Borrower
By:
/s/ Scott Lem
Name:
Scott Lem
Title:
Chief Financial Officer and Treasurer


[SIGNATURES CONTINUED ON FOLLOWING PAGE]
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THE SERVICER:
ARES CAPITAL CORPORATION,
 as the Servicer
By:
/s/ Scott Lem
Name:
Scott Lem
Title:
Chief Financial Officer and Treasurer


[SIGNATURES CONTINUED ON FOLLOWING PAGE]
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THE TRANSFEROR:
ARES CAPITAL CORPORATION,
 as the Transferor
By:
/s/ Scott Lem
Name:
Scott Lem
Title:
Chief Financial Officer and Treasurer


[SIGNATURES CONTINUED ON FOLLOWING PAGE]
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THE ADMINISTRATIVE AGENT:
SUMITOMO MITSUI BANKING CORPORATION, as the Administrative Agent
By:
/s/ Jason Hare
Name:
Jason Hare
Title:
Managing Director

LENDER:
SUMITOMO MITSUI BANKING CORPORATION, as a Lender
By:
/s/ Jason Hare
Name:
Jason Hare
Title:
Managing Director

THE COLLATERAL AGENT:
SUMITOMO MITSUI BANKING CORPORATION, not in its individual capacity but solely as the Collateral Agent
By:
/s/ Jason Hare
Name:
Jason Hare
Title:
Managing Director

[SIGNATURES CONTINUED ON FOLLOWING PAGE]

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LENDER:
CITIZENS BANK, N.A., as a Lender
By:
/s/ Kevin Kelly
Name:
Kevin Kelly
Title:
Managing Director

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LENDER:
SUMITOMO MITSUI TRUST BANK, LIMITED, NEW YORK BRANCH, as a Lender
By:
/s/ Tomomi Hayashi
Name:
Tomomi Hayashi
Title:
Head of Department


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Exhibit A

CHANGED PAGES TO THE LOAN AND SERVICING AGREEMENT

(See attached)











































- 11 -
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EXECUTION VERSION
Conformed through Amendment No. 1112



Up to U.S. $1,000,000,0001,300,000,000

LOAN AND SERVICING AGREEMENT

Dated as of January 20, 2012

By and Among

ARES CAPITAL JB FUNDING LLC,
as the Borrower

and

ARES CAPITAL CORPORATION,
as the Servicer and as the Transferor

and

SUMITOMO MITSUI BANKING CORPORATION,
as the Administrative Agent and as the Collateral Agent

THE LENDERS FROM TIME TO TIME PARTY HERETO,


and

U.S. BANK NATIONAL ASSOCIATION,
as the Collateral Custodian and as the Bank










BUSINESS.33213832.133213832.3


TABLE OF CONTENTS
Page
ARTICLE I. DEFINITIONS1
SECTION 1.01 Certain Defined Terms1
SECTION 1.02 Other Terms50
SECTION 1.03 Computation of Time Periods50
SECTION 1.04 Interpretation50
SECTION 1.05 Rates51
ARTICLE II. THE FACILITY51
SECTION 2.01 Variable Funding Note and Advances51
SECTION 2.02 Procedure for Advances52
SECTION 2.03 Determination of Yield
55
SECTION 2.04 Remittance Procedures
55
SECTION 2.05 Instructions to the Bank
60
SECTION 2.06 Borrowing Base Deficiency Payments
61
SECTION 2.07 Substitution and Sale of Loan Assets; Affiliate Transactions
61
SECTION 2.08 Payments and Computations, Etc
68
SECTION 2.09 Fees70
SECTION 2.10 Increased Costs; Capital Adequacy
70
SECTION 2.11 Taxes
72
SECTION 2.12 Collateral Assignment of Agreements
74
SECTION 2.13 Grant of a Security Interest
74
SECTION 2.14 Evidence of Debt
75
SECTION 2.15 Survival of Representations and Warranties
75
SECTION 2.16 Release of Loan Assets
76
SECTION 2.17 Treatment of Amounts Received by the Borrower
76
SECTION 2.18 Prepayment; Termination
76
SECTION 2.19 Extension of Stated Maturity Date and Reinvestment Period
77
SECTION 2.20 Collections and Allocations
78
SECTION 2.21 Reinvestment of Principal Collections
80
SECTION 2.22 Sharing of Payments by Lenders
81
SECTION 2.23 Defaulting Lenders
81







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LIST OF SCHEDULES AND EXHIBITS
ANNEXES
ANNEX ACommitments

SCHEDULES

SCHEDULE IConditions Precedent Documents
SCHEDULE IIPrior Names, Tradenames, Fictitious Names and “Doing Business As” Names
SCHEDULE IIIEligibility Criteria
SCHEDULE IVAgreed-Upon Procedures For Independent Public Accountants
SCHEDULE VLoan Asset Schedule
SCHEDULE VIAdvance Funding Account – Wire Instructions
SCHEDULE VIIGICS Industry Classifications


EXHIBITS
EXHIBIT AForm of Approval Notice
EXHIBIT BForm of Borrowing Base Certificate
EXHIBIT CForm of Disbursement Request
EXHIBIT DForm of Joinder Supplement
EXHIBIT EForm of Notice of Borrowing
EXHIBIT FForm of Notice of Reduction (Reduction of Advances Outstanding)
EXHIBIT GForm of Notice of Reduction (Reduction of Maximum Facility Amount)
EXHIBIT HForm of Variable Funding Note
EXHIBIT IForm of Notice and Request for Consent
EXHIBIT JForm of Servicing Report
EXHIBIT KForm of Servicer’s Certificate (Servicing Report)
EXHIBIT LForm of Release of Required Loan Documents
EXHIBIT MForm of Assignment and Acceptance
EXHIBIT NForm of Power of Attorney for Servicer
EXHIBIT OForm of Power of Attorney for Borrower
EXHIBIT PForm of Servicer’s Certificate (Loan Asset Register)
EXHIBIT QForm of Conversion Notice


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This LOAN AND SERVICING AGREEMENT is made as of January 20, 2012, by and among:
(1)ARES CAPITAL JB FUNDING LLC, a Delaware limited liability company (together with its successors and assigns in such capacity, the “Borrower”);
(2)ARES CAPITAL CORPORATION, a Maryland corporation, as the Servicer (as defined herein) and as the Transferor (as defined herein);
(3)SUMITOMO MITSUI BANKING CORPORATION, a Japanese banking corporation, as the Administrative Agent (together with its successors and assigns in such capacity, the “Administrative Agent”), as the Collateral Agent (together with its successors and assigns in such capacity, the “Collateral Agent”);
(4)THE LENDERS FROM TIME TO TIME PARTY HERETO (individually or collectively, as the context may require, “Lender”); and
(5) U.S. BANK NATIONAL ASSOCIATION (“U.S. Bank”), as the Bank (as defined herein) and as the Collateral Custodian (together with its successors and assigns in such capacity, the “Collateral Custodian”).
PRELIMINARY STATEMENTS
WHEREAS, the Lender has agreed, on the terms and conditions set forth herein, to provide a secured revolving credit facility which shall provide for Advances from time to time in an aggregate principal amount not to exceed the Borrowing Base;
WHEREAS, the proceeds of the Advances will be used (a) to finance the Borrower’s purchase, on a “true sale” basis, of Eligible Loan Assets from the Transferor pursuant to the Purchase and Sale Agreement, with such Eligible Loan Assets to be approved by the Administrative Agent, (b) to fund the Unfunded Exposure Account and (c) to distribute such proceeds to the Borrower’s parent.
NOW THEREFORE, based upon the foregoing Preliminary Statements, the parties agree as follows:
ARTICLE I.
DEFINITIONS
SECTION 1.01 Certain Defined Terms.
(a)Certain capitalized terms used throughout this Agreement are defined above or in this Section 1.01.
(b)As used in this Agreement and the exhibits and schedules thereto (each of which is hereby incorporated herein and made a part hereof), the following terms shall have the

BUSINESS.33213832.133213832.3


applicable judgments, decrees, injunctions, writs, awards or orders of any court, arbitrator or other administrative, judicial, or quasi-judicial tribunal or agency of competent jurisdiction.

Applicable Percentage” means the following for each Eligible Loan Asset:

(a)which is a First Lien Loan Asset, 65%;

(b)which is a First Lien Last Out Loan Asset, 55%; and

(c)which is a Second Lien Loan Asset, 35%;

Applicable Spread” means as of any date of determination, (a) with respect to any rate based on the Benchmark or One Day Advance Benchmark, 2.001.80% per annum and (b) with respect to any rate based on the Base Rate, 1.000.80% per annum; provided that, at any time after the occurrence of an Event of Default, the Applicable Spread shall be 4.003.80% per annum.

Approval Notice” means, with respect to any Eligible Loan Asset, the written notice, in substantially the form attached hereto as Exhibit A, evidencing the approval by the Administrative Agent, in its sole discretion, of the conveyance of such Eligible Loan Asset by the Transferor to the Borrower pursuant to the terms of the Purchase and Sale Agreement and the Loan Assignment by which the Transferor effects such conveyance.

Approved Valuation Firm” shall mean (a) each of (i) Houlihan Lokey Howard & Zukin, (ii) Lincoln International LLC (f/k/a Lincoln Partners LLC), (iii) Duff & Phelps Corp. and (iv) Valuation Research Corporation, and (b) any other nationally recognized valuation firm approved by each of the Borrower and the Administrative Agent in their sole reasonable discretion.

Ares” means Ares Capital Corporation.

Ares Competitor” has the meaning set forth in each Lender Fee Letter.

Assigned Documents” has the meaning assigned to that term in Section 2.12.

Assigned Value” means, with respect to each Loan Asset, as of any date of determination and expressed as a percentage of the Outstanding Balance of such Loan Asset, the lesser of (i) par, (ii) the purchase price (excluding any original issue discount); provided that any Loan Asset acquired with an original issue discount of 3% or less of par shall be deemed to be acquired at par and (iii) the value assigned by the Administrative Agent in its sole discretion as of the Cut-Off Date of such Loan Asset; provided that:

(a)If a Value Adjustment Event of the type described in clauses (a) or (c) of the definition thereof with respect to such Loan Asset occurs, the Assigned Value of such Loan Asset will be modified to zero.

(b)If a Value Adjustment Event of the type described in clauses (b), (d), (e), (f) or (g) of the definition thereof with respect to such Loan Asset occurs, the “Assigned Value”

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delivered on the initial Advance Date) or acquired by the Borrower after the initial Advance Date pursuant to the delivery of the Loan Assignment and listed on Schedule I to such Loan Assignment.

Loan Asset Checklist” means an electronic or hard copy, as applicable, of a checklist delivered by or on behalf of the Borrower to the Collateral Custodian, for each Loan Asset, of all Required Loan Documents to be included within the respective Loan Asset File, which shall specify whether such document is an original or a copy.

Loan Asset File” means, with respect to each Loan Asset, a file containing (a) each of the documents and items as set forth on the Loan Asset Checklist with respect to such Loan Asset and (b) duly executed originals (to the extent required by the Servicing Standard) and copies of any other Records relating to such Loan Assets and Portfolio Assets pertaining thereto.

Loan Asset Register” has the meaning assigned to that term in Section 5.03(l).

Loan Asset Schedule” means the schedule of Loan Agreements evidencing Loan Assets delivered by the Borrower to the Collateral Custodian and the Administrative Agent. Each such schedule shall set forth, as to any Eligible Loan Asset to be transferred to the Borrower pursuant to the terms of the Purchase and Sale Agreement, the applicable information specified on Schedule V, which shall also be provided to the Collateral Custodian in electronic format acceptable to the Collateral Custodian.

Loan Assignment” has the meaning set forth in the Purchase and Sale Agreement.

Loan-to-Value Ratio” means with respect to a Loan Asset, the percentage equivalent of a fraction, (i) the numerator of which is equal to the commitment amount as provided in the applicable Loan Agreements of such Loan Asset plus the commitment amount of any other senior or pari passu Indebtedness of the related Obligor (including, in the case of Revolving Loan Asset and Delayed Draw Loan Asset, without duplication, the maximum availability thereof) and (ii) the denominator of which is equal to the enterprise value of the Obligor that issued such Loan Asset (as determined by the Servicer in accordance with the Servicing Standard unless the Administrative Agent in its reasonable discretion disagrees with such determination, in which case the Administrative Agent shall determine the enterprise value of such Obligor). In the event the Borrower disagrees with the Administrative Agent’s determination of the enterprise value of such Obligor, the Borrower may (at its expense) retain an Approved Valuation Firm to value such Obligor, and if the value determined by such firm is greater than the Administrative Agent’s determination of the enterprise value of such Obligor, such firm’s valuation shall become the enterprise value of such Obligor; provided that the enterprise value of such Obligor shall be the value assigned by the Administrative Agent until such firm has determined its value.

Make-Whole Premium” means an amount, payable solely to the Lenders becoming party to this Agreement after the TenthTwelfth Amendment Effective Date, equal to, to the extent the Make-Whole Premium is required to be paid pursuant to this Agreement, (i) on and after the TenthTwelfth Amendment Effective Date but prior to the first anniversary of the



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TenthTwelfth Amendment Effective Date, 0.75% of such Lender’s pro rata portion of the amount of the Maximum Facility Amount that is reduced, (ii) on and after the first anniversary of the TenthTwelfth Amendment Effective Date but prior to the second anniversary of the TenthTwelfth Amendment Effective Date, 0.50% of such Lender’s pro rata portion of the amount of the Maximum Facility Amount that is reduced and (iii) on and after the second anniversary of the TenthTwelfth Amendment Effective Date, 0%.

Management Agreement” means the Investment Advisory and Management Agreement, dated as of September 30, 2004 (amended as of June 1, 2006), by and between Ares Capital Corporation and Ares Capital Management LLC, as further amended, restated supplemented, modified, waived and/or replaced from time to time.

Margin Stock” means “margin stock” as such term is defined in Regulation T, U or X of the Federal Reserve Board.

Material Adverse Effect” means, with respect to any event or circumstance, a material adverse effect on (a) the business, condition (financial or otherwise), operations, performance or properties of the Transferor, the Servicer or the Borrower, (b) the validity, enforceability or collectability of this Agreement or any other Transaction Document or the validity, enforceability or collectability of the Loan Assets generally or any material portion of the Loan Assets, (c) the rights and remedies of the Collateral Agent, the Collateral Custodian, the Bank, the Administrative Agent, the Lender or the Secured Parties with respect to matters arising under this Agreement or any other Transaction Document, (d) the ability of each of the Borrower and the Servicer, to perform their respective obligations under this Agreement or any other Transaction Document, or (e) the status, existence, perfection, priority or enforceability of the Collateral Agent’s, the Administrative Agent’s or the other Secured Parties’ Lien on the Collateral Portfolio.

Material Modification” means any amendment or waiver of, or modification or supplement to, a Loan Agreement governing a Loan Asset executed or effected on or after the Cut-Off Date for such Loan Asset which:

(a) reduces or forgives any or all of the principal amount due under such Loan Asset;

(b) delays or extends the maturity date or any principal payment date for such Loan Asset (i) by more than six (6) months (or, along with all prior such amendments, waivers, modifications or supplements effected within a twelve (12) month period prior thereto, to the extent on or after the Cut-Off Date, causes the maturity date or principal payment date of such Loan Asset to be delayed or extended more than six (6) months in the aggregate) or (ii) beyond the Stated Maturity Date (provided that this clause (b)(ii) shall not apply to any amendment or waiver of, or modification or supplement to, a Loan Agreement governing a Loan Asset the maturity date of which was subsequent to the Stated Maturity Date as of the Cut-Off Date for such Loan Asset);

(c) waives one or more Interest payments, permits any Interest due in cash to be deferred or capitalized and added to the principal amount of such Loan Asset (other than any



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deferral or capitalization already allowed by the terms of the Loan Agreement of any PIK Loan Asset), or reduces the spread or coupon with respect to such Loan Asset by more than 2.00% (provided that, for the avoidance of doubt, this clause (c) shall apply to any amendment or waiver of, or modification or supplement to, a Loan Agreement governing a Loan Asset which results in the reduction in spread or coupon, along with all prior reductions effected within a twelve (12) month period prior thereto, to the extent on or after the Cut-Off Date for such Loan Asset, exceeding 2.00% in the aggregate);

(d) (i) in the case of a First Lien Loan Asset, contractually or structurally subordinates such Loan Asset, or the Lien of such Loan Asset, by operation of a priority of payments, turnover provisions, the transfer of assets in order to limit recourse to the related Obligor or the granting of Liens (other than “permitted liens” as defined in the applicable Loan Agreement for such Loan Asset or such comparable definition if “permitted liens” is not defined therein, so long as such definition is reasonable and customary) on any of the Underlying Collateral securing such Loan Asset or (ii) in the case of a First Lien Last Out Loan Asset or a Second Lien Loan Asset, contractually or structurally subordinates such Loan Asset to any obligation (other than any first lien loan which existed at the Cut-Off Date for such Loan Asset) by operation of a priority of payments, turnover provisions, the transfer of assets in order to limit recourse to the related Obligor or the granting of Liens (other than “permitted liens” as defined in the applicable Loan Agreement for such Loan Asset or such comparable definition if “permitted liens” is not defined therein, so long as such definition is reasonable and customary) on any of the Underlying Collateral securing such Loan Asset;

(e) substitutes, alters or releases a material portion of the Underlying Collateral securing such Loan Asset and such substitution, alteration or release, as determined in the sole reasonable discretion of the Administrative Agent, materially and adversely affects the value of such Loan Asset; or

(f) amends, waives, forbears, supplements or otherwise modifies (a) the meaning of “Net Senior Leverage Ratio,” “Net Total Leverage Ratio,” “Interest Coverage Ratio” or “Permitted Liens” or any respective comparable definitions in the Loan Agreement for such Loan Asset or (b) any term or provision of such Loan Agreement referenced in or utilized in the calculation of any financial covenant, including, the “Net Senior Leverage Ratio,” “Net Total Leverage Ratio,” “Interest Coverage Ratio” or “Permitted Liens” or any respective comparable definitions for such Loan Asset, in either case, in a manner that, in the sole discretion of the Administrative Agent, materially and adversely affects the value of such Loan Asset.

Maximum Facility Amount” means (i) initially $400,000,000 and (ii) on and after the SeventhTwelfth Amendment Effective Date, the lesser of (x) the Aggregate Commitments and (y) $1,000,000,0001,300,000,000, as each such amount may be reduced from time to time pursuant to Section 2.18(b); provided that at any time after the Reinvestment Period, the Maximum Facility Amount shall mean the aggregate Advances Outstanding at such time.

Moody’s” means Moody’s Investors Service, Inc. (or its successors in interest).

Multiemployer Plan” means a “multiemployer plan” as defined in Section 4001(a)(3) of ERISA to which, in the case of the Borrower, the Borrower or any ERISA Affiliate



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Recoveries” means, as of the time any Underlying Collateral with respect to any Loan Asset subject to a payment default, or other default, by the related Obligor is sold, discarded or abandoned (after a determination by the Servicer that such Underlying Collateral has little or no remaining value) or otherwise determined to be fully liquidated by the Servicer in accordance with the Servicing Standard, the proceeds from the sale of the Underlying Collateral, the proceeds of any related Insurance Policy, any other recoveries with respect to such Loan Asset, as applicable, the Underlying Collateral, and amounts representing late fees and penalties, net of any amounts received that are required under such Loan Asset, as applicable, to be refunded to the related Obligor.
Register” has the meaning assigned to that term in Section 2.14.

Reinvestment Period” means the date commencing on the Closing Date and ending on the earliest to occur of (a) December 6July 25, 20272028 (or such later date as is agreed to in writing by the Borrower, the Servicer, the Administrative Agent and the Lender pursuant to Section 2.19(b)), (b) the occurrence of an Event of Default (past any applicable notice or cure period provided in the definition thereof) and (c) the date of any voluntary termination by the Borrower pursuant to Section 2.18(b); provided that if any of the foregoing is not a Business Day, the Reinvestment Period shall end on the next succeeding Business Day.

Release Date” has the meaning assigned to that term in Section 2.07(e).

Relevant Governmental Body” means the Board of Governors of the Federal Reserve System or the Federal Reserve Bank of New York, or a committee officially endorsed or convened by the Board of Governors of the Federal Reserve System or the Federal Reserve Bank of New York, or any successor thereto.

Relevant Test Period” means, with respect to any Loan Asset, the relevant test period for the calculation of Net Senior Leverage Ratio, Net Total Leverage Ratio or Interest Coverage Ratio, as applicable, for such Loan Asset in the Required Loan Documents or, if no such period is provided for therein, for obligors delivering monthly financing statements, each period of the last 12 consecutive reported calendar months, and for obligors delivering quarterly financing statements, each period of the last four consecutive reported fiscal quarters of the principal obligor on such Loan Asset; provided that with respect to any Loan Asset for which the relevant test period is not provided for in the Required Loan Documents, if an obligor is a newly-formed entity as to which 12 consecutive calendar months have not yet elapsed, “Relevant Test Period” shall initially include the period from the date of formation of such obligor to the end of the twelfth calendar month or fourth fiscal quarter (as the case may be) from the date of formation, and shall subsequently include each period of the last 12 consecutive reported calendar months or four consecutive reported fiscal quarters (as the case may be) of such obligor.

Remittance Period” means, (a) as to the Initial Payment Date, the period beginning on January 20, 2012 and ending on, and including, the Determination Date immediately preceding such Payment Date and (b) as to any subsequent Payment Date, the period beginning on the first day after the most recently ended Remittance Period and ending on,



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that it will, incur debts or liabilities beyond such Person’s ability to pay as such debts and liabilities mature; and (e) such Person is not engaged in a business or a transaction, and does not propose to engage in a business or a transaction, for which such Person’s property assets would constitute unreasonably small capital.

State” means one of the fifty states of the United States or the District of Columbia.

Stated Maturity Date” means December 6July 25, 20292030 (or, if such day is not a Business Day, the next succeeding Business Day) or such later date as is agreed to in writing by the Borrower, the Servicer, the Administrative Agent and the Lender pursuant to Section 2.19(a).

Structured Finance Obligation” means any obligation secured directly by, referenced to, or representing ownership of, a pool of receivables or other financial assets of any obligor, including collateralized debt obligations and mortgage-backed securities, including (but not limited to) collateral debt obligations, collateral loan obligation, asset backed securities and commercial mortgage backed securities or any resecuritization thereof.

Subsidiary” means with respect to a Person, a corporation, partnership or other entity of which shares of stock or other ownership interests having ordinary voting power (other than stock or such other ownership interests having such power only by reason of the happening of a contingency) to elect a majority of the board of directors or other managers of such corporation, partnership or other entity are at the time owned, or the management of which is otherwise controlled, directly or indirectly through one or more intermediaries, or both, by such Person.

Substitute Eligible Loan Asset” means each Eligible Loan Asset transferred to the Borrower pursuant to the terms of the Purchase and Sale Agreement, as contemplated by Section 2.07(a) or Section 2.07(e)(ii).

Taxes” means any present or future taxes, levies, imposts, duties, charges, assessments or fees of any nature (including interest, penalties, and additions thereto) that are imposed by any Governmental Authority.

Tenth Amendment Effective Date” means March 28, 2024.

Term Loan Asset” means a Loan Asset that is a term loan that has been fully funded, does not contain any unfunded commitment on the part of the Borrower arising from an extension of credit by the Borrower to an Obligor and cannot be re-drawn upon (to the extent previously repaid by the Obligor).

Term SOFR” means:

(a) for any calculation with respect to a SOFR Advance, (I) the Term SOFR Reference Rate for a tenor of one month on the day (such day, the “Periodic Term SOFR Determination Day”) that is two (2) U.S. Government Securities Business Days prior to the first day of such Interest Period, as such rate is published by the Term SOFR Administrator, in each



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Transferor” means Ares, in its capacity as the transferor hereunder and as the seller under the Purchase and Sale Agreement, together with its successors and assigns in such capacity.

“Twelfth Amendment Effective Date” means July 25, 2025.

U.S. Bank” has the meaning assigned to that term in the preamble hereto.

U.S. Bank Fee Letter” means the U.S. Bank Fee Letter, dated as of the Closing Date, by and between the Borrower and U.S. Bank, as such letter may be amended, restated, supplemented, modified, waived and/or replaced from time to time.

U.S. Government Securities Business Day” means any day except for (a) a Saturday, (b) a Sunday or (c) a day on which the Securities Industry and Financial Markets Association recommends that the fixed income departments of its members be closed for the entire day for purposes of trading in United States government securities; provided that each Business Day shall also be a U.S. Government Securities Business Day when used in connection with any notice given or determination made in respect of Term SOFR.

UCC” means the Uniform Commercial Code as from time to time in effect in the relevant jurisdiction.

Unadjusted Benchmark Replacement” means the Benchmark Replacement excluding the Benchmark Replacement Adjustment.

Underlying Collateral” means, with respect to a Loan Asset, any property or other assets designated and pledged or mortgaged as collateral to secure repayment of such Loan Asset, as applicable, including, without limitation, mortgaged property and/or a pledge of the stock, membership or other ownership interests in the related Obligor and all proceeds from any sale or other disposition of such property or other assets.

Unfunded Exposure Account” means an account (account number 156948-702 at the Bank) in the name of the Borrower and under the control of the Collateral Agent for the benefit of the Secured Parties; provided that the funds deposited therein (including any interest and earnings thereon) from time to time shall constitute the property and assets of the Borrower and the Borrower shall be solely liable for any Taxes payable with respect to the Unfunded Exposure Account.

Unfunded Exposure Amount” means, as of any date of determination, an amount equal to the aggregate amount of all Exposure Amounts.

Unfunded Exposure Equity Amount” means, as of any date of determination, with respect to any Revolving Loan Asset or Delayed Draw Loan Asset, an amount equal to (a) the Exposure Amount for such Revolving Loan Asset or Delayed Draw Loan Asset multiplied by (b) the difference of (i) 100% minus (ii) the product of (x) the Applicable Percentage for such Revolving Loan Asset or Delayed Draw Loan Asset and (y) the Assigned Value of such Revolving Loan Asset or Delayed Draw Loan Asset.






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such date, and the Administrative Agent or its respective Affiliates hold at least 51% of the aggregate commitments of such replacement or other financing).

(d) The Borrower hereby acknowledges and agrees that the Make-Whole Premium constitutes additional consideration for the Lender to enter into this Agreement.

SECTION 2.19 Extension of Stated Maturity Date and Reinvestment Period.

(a) The Borrower may, at any time after the first anniversary of the TenthTwelfth Amendment Effective Date, make a request to the Administrative Agent to extend the date set forth in the definition of “Stated Maturity Date” for an additional period of one year. The Stated Maturity Date may be extended by one year by mutual agreement among the Administrative Agent, the Lenders, the Borrower and the Servicer, with a copy to the Collateral Custodian and the Bank (such extension, the “Initial Stated Maturity Extension”). Following such Initial Stated Maturity Extension, the Borrower may, at any time thereafter, make a request to the Administrative Agent to extend the date set forth in the definition of “Stated Maturity Date” (as revised by the Initial Stated Maturity Extension) for an additional period of one year (such extension, the “Second Stated Maturity Extension”). The Stated Maturity Date (as revised by the Initial Stated Maturity Extension) may be extended by one year upon the mutual agreement among the Administrative Agent, the Lenders, the Borrower and the Servicer (with a copy to the Collateral Custodian and the Bank). The effectiveness of either the Initial Stated Maturity Extension or the Second Stated Maturity Extension shall be conditioned upon the payment of a Stated Maturity Extension Fee (as defined in each Lender Fee Letter) to the Administrative Agent for the Administrative Agent’s own account, in immediately available funds. The Borrower confirms that any Lender or the Administrative Agent, each in its sole and absolute discretion, without regard to the value or performance of the Loan Assets or any other factor, may elect not to extend the Stated Maturity Date.

(b) The Borrower may make a request to the Administrative Agent to extend the date set forth in clause (a) of the definition of “Reinvestment Period” for an additional period of one year. Such date may be extended by one year by mutual agreement among the Administrative Agent, the Lenders, the Borrower and the Servicer (such extension, the “Initial Reinvestment Period Extension”). Following such Initial Reinvestment Period Extension, the Borrower may, at any time thereafter, make a request to the Administrative Agent to extend the date set forth in clause (a) of the definition of “Reinvestment Period” (as revised by the Initial Reinvestment Period Extension) for an additional period of one year. Such date may be extended by one year upon the mutual agreement among the Administrative Agent, the Lenders, the Borrower and the Servicer (such extension, the “Second Reinvestment Period Extension”). The effectiveness of either the Initial Reinvestment Period Extension or the Second Reinvestment Period Extension shall be conditioned upon the payment of a Reinvestment Period Extension Fee (as defined in each Lender Fee Letter) to the Administrative Agent for the Administrative Agent’s own account, in immediately available funds. The Borrower confirms that any Lender or the Administrative Agent, each in its sole and absolute discretion, without regard to the value or performance of the Loan Assets or any other factor, may elect not to extend the date set forth in clause (a) of the definition of “Reinvestment Period”.
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Default exists, or would result from such transfer (other than, with respect to any transfer of an Eligible Loan Asset necessary to cure a Borrowing Base Deficiency in accordance with Sections 2.06 or 2.07, an Unmatured Event of Default arising solely pursuant to such Borrowing Base Deficiency); and

(g) the representations and warranties contained in Sections 4.01, 4.02 and 4.03 are true and correct in all material respects, and there exists no breach of any covenant contained in Sections 5.01, 5.02, 5.03 and 5.04 before and after giving effect to the transfer of each Eligible Loan Asset to the Borrower pursuant to the terms of the Purchase and Sale Agreement to take place on such Cut-Off Date, on and as of such day as though made on and as of such date (other than any representation and warranty that is made as of a specific date).

ARTICLE IV.

REPRESENTATIONS AND WARRANTIES

SECTION 4.01 Representations and Warranties of the Borrower. The Borrower hereby represents and warrants, as of the TenthTwelfth Amendment Effective Date, as of each applicable Cut-Off Date, as of each applicable Advance Date, as of each Payment Date and as of each other date provided under this Agreement or the other Transaction Documents on which such representations and warranties are required to be (or deemed to be) made (unless a specific date is specified below):

(a) Organization, Good Standing and Due Qualification. The Borrower is a limited liability company duly organized, validly existing and in good standing under the laws of the jurisdiction of its organization (subject to Section 5.02(q)) and has the power and all licenses necessary to own its assets and to transact the business in which it is engaged and is duly qualified and in good standing under the laws of each jurisdiction where the transaction of such business or its ownership of the Loan Assets and the Collateral Portfolio requires such qualification. Without limiting the generality of the foregoing and for the avoidance of doubt, all consents or approvals required under the JPM Credit Documents in connection with the execution, delivery or performance by the Borrower of this Agreement and the other Transaction Documents, including, without limitation, for the transfer of the Collateral Portfolio to the Borrower and the pledge of a first priority perfected security interest in such Collateral Portfolio by the Borrower to the Collateral Agent have been obtained.

(b) Power and Authority; Due Authorization; Execution and Delivery. The Borrower has the necessary power, authority and legal right to make, deliver and perform this Agreement and each of the Transaction Documents to which it is a party and all of the transactions contemplated hereby and thereby, and has taken all necessary action to authorize the execution, delivery and performance of this Agreement and each of the Transaction Documents to which it is a party, and to grant to the Collateral Agent, for the benefit of the Secured Parties, a first priority perfected security interest in the Collateral Portfolio on the terms and conditions of this Agreement, subject only to Permitted Liens.

(c) Binding Obligation. This Agreement and each of the Transaction Documents to which the Borrower is a party constitutes the legal, valid and binding obligation of
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Laws with regard to any of the Underlying Collateral, nor does any such Person have knowledge or reason to believe that any such notice will be received or is being threatened.

(ii) Anti-Corruption Laws; Sanctions.

(i) Neither the Borrower nor any director or officer, employee, or to the knowledge of the Borrower, any agent, Affiliate or representative of the Borrower is, or is directly owned or controlled (or, to the knowledge of the Borrower, indirectly owned or controlled) by any individual or entity that is, (i) currently the subject or target of any Sanctions, (ii) a country, territory, organization, Person or entity named on OFAC’s List of Specially Designated nationals, HMT’s Consolidated List of Financial Sanctions Targets and the Investment Ban List, or any similar list enforced by any other relevant Sanctions authority; (iii) a Person that resides, is organized in, or has a place of business in a country or territory named on such lists, that is a Designated Jurisdiction, which is designated as a “Non-Cooperative Jurisdiction” by the Financial Action Task Force on Money Laundering, or whose subscription funds are transferred from or through such a jurisdiction; (iv) a “Foreign Shell Bank” within the meaning of the USA PATRIOT Act, i.e., a foreign bank that does not have a physical presence in any country and that is not affiliated with a bank that has a physical presence and an acceptable level of regulation and supervision; or (v) a Person or entity that resides in or is organized under the laws of a jurisdiction designated by the United States Secretary of the Treasury under Sections 311 or 312 of the USA PATRIOT Act as warranting special measures due to money laundering concerns.

(ii) The Borrower has conducted its business in material compliance with (x) the United States Foreign Corrupt Practices Act of 1977, the UK Bribery Act 2010, and other similar applicable anti-corruption legislation in other jurisdictions and (y) all laws of any applicable jurisdiction where the Borrower is located or doing business concerning or relating to anti-money laundering and anti-terrorism financing, including the USA PATRIOT Act, the Money Laundering Control Act of 1986 and other legislation, which legislative framework is commonly referred to as the “Bank Secrecy Act.”

(iii) As of the TenthTwelfth Amendment Effective Date, the information included in the Beneficial Ownership Certification, if applicable, is true and correct in all respects.

(jj) Confirmation from Transferor. The Borrower has received in writing from the Transferor confirmation that the Transferor will not cause the Borrower to file a voluntary bankruptcy petition under the Bankruptcy Code.

(kk) Accuracy of Representations and Warranties. Each representation or warranty by the Borrower contained herein, or in any certificate or other document furnished by the Borrower in writing pursuant hereto or in connection herewith, is as of its date true and correct in all material respects.
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(f) change any provision of this Section or the definition of “Required Lenders” or any other provision hereof specifying the number or percentage of Lenders required to amend, waive or otherwise modify any rights hereunder or make any determination or grant any consent hereunder without the written consent of each Lender;

(g) modify any provision of Section 2.04(a), (b), (c) or (d) that would have the effect of modifying the order of priority of payments without the written consent of each Lender, or modify any other provision of Section 2.04(a), (b), (c) or (d) without the written consent of SMBC (to the extent SMBC is a Lender) and each Lender that has at least the lesser of (i) $75,000,000 in Commitments and (ii) 10% of Aggregate Commitments, and in each case is directly and adversely affected by such modification;

(h) modify the definition of “Adjusted Borrowing Value,” “Applicable Percentage,” “Borrowing Base,” “Concentration Limits” or “Excess Concentration Amount,” or modify any defined term that comprises a component of any of the above definitions, in each case which would have the effect of materially increasing the Borrowing Base without the written consent of each Lender; provided that any modification to the definition of “Applicable Percentage” requires the consent of all Lenders;

(i) modify Schedule III hereto in a manner that would have the effect of materially increasing the Borrowing Base without the written consent of SMBC (to the extent SMBC is a Lender) and each Lender that has at least the lesser of (i) $75,000,000 in Commitments and (ii) 10% of Aggregate Commitments;

(j) except to the extent otherwise expressly permitted or contemplated by the provisions of this Agreement or the applicable Transaction Documents, modify any provisions of this Agreement in order to release all or substantially all of the Collateral Portfolio, without the written consent of SMBC (to the extent SMBC is a Lender) and each Lender that has at least the lesser of (i) $75,000,000 in Commitments and (ii) 10% of Aggregate Commitments;

(k) materially modify any obligations of the Borrower to furnish any report required by the provisions of Section 6.08 or to materially modify the contents of any such report, without the written consent of SMBC (to the extent SMBC is a Lender) and each Lender that has at least the lesser of (i) $75,000,000 in Commitments and (ii) 10% of Aggregate Commitments; or

(l) modify the definition of “Waterfall Coverage Ratio Test” without the written consent of SMBC (to the extent SMBC is a Lender) and each Lender that has at least the lesser of (i) $75,000,000 in Commitments and (ii) 10% of Aggregate Commitments;

and, provided, further, that (i) no amendment, waiver or consent shall amend, modify or waive any provision adversely affecting the rights, obligations or duties of the Collateral Custodian, the Collateral Agent or the Bank, in each case without the prior written consent of the Collateral Custodian, the Collateral Agent or the Bank, as applicable, (ii) each Fee Letter may be amended, or rights or privileges thereunder waived, in a writing executed only by the parties thereto and (iii) notwithstanding the foregoing, the Aggregate Commitments may be increased up to an amount equal to $1,000,000,0001,300,000,000 with only the consent of the Borrower, the
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Exhibit 10.3
EXECUTION VERSION



AMENDMENT NO. 18 TO
LOAN AND SERVICING AGREEMENT


This AMENDMENT NO. 18 TO LOAN AND SERVICING AGREEMENT (the “Amendment”), dated as of July 28, 2025 (the “Amendment Effective Date”), is entered into by and among ARES CAPITAL CP FUNDING LLC, a Delaware limited liability company, as the borrower (the “Borrower”), ARES CAPITAL CORPORATION, a Maryland corporation, as the servicer (the “Servicer”), WELLS FARGO BANK, NATIONAL ASSOCIATION, as the agent (the “Agent”), each of the Lenders party hereto (each, a “Lender” and together, the “Lenders”), U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as the trustee (in such capacity, the “Trustee”) and U.S. BANK NATIONAL ASSOCIATION, as the bank (in such capacity, the “Bank”) and as collateral custodian (in such capacity, the “Collateral Custodian”);

WHEREAS, the Borrower, the Agent, the Lenders, Wells Fargo Bank, National Association, as the Swingline Lender, the Servicer, Ares Capital Corporation, as the Transferor, the Trustee, the Bank, the Collateral Custodian and each of the other lenders, are party to the Loan and Servicing Agreement, dated as of January 22, 2010 (as amended, modified, waived, supplemented, restated or replaced from time to time, prior to the date hereof, the “Loan and Servicing Agreement”);

WHEREAS, the parties hereto desire to amend the Loan and Servicing Agreement to join The Bank of New York Mellon as Lender (the “New Lender”); and

WHEREAS, the parties hereto desire to amend the Loan and Servicing Agreement in accordance with the provisions thereof and subject to the terms and conditions set forth herein.

NOW THEREFORE, in consideration of the foregoing premises and the mutual agreements contained herein, and for other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the parties hereto, intending to be legally bound, hereby agree as follows:

ARTICLE I

Definitions

SECTION 1.1.     Defined Terms. Terms used but not defined herein have the respective meanings given to such terms in the Loan and Servicing Agreement.

ARTICLE II

Lender Joinder

SECTION 2.1.     Lender Joinder. This Amendment constitutes a Joinder Supplement and by signing this Amendment, the New Lender shall from and after the date hereof be deemed to be a party to the Loan and Servicing Agreement and the other Transaction Documents to which it
USActive 62123804.5



is a party, with a several, but not joint, Commitment in the amount set forth on Annex A to the Loan and Servicing Agreement, and shall have all the rights and obligations of a Lender under the Loan and Servicing Agreement and the other Transaction Documents to which it is a party. The New Lender: (i) confirms that it has received a copy of the Loan and Servicing Agreement and the other Transaction Documents to which it is a party, together with copies of any financial statements delivered pursuant to Section 6.08(d) of the Loan and Servicing Agreement and such other documents and information as it has deemed appropriate to make its own credit analysis and decision to enter into this Amendment; (ii) agrees that it will, independently and without reliance upon the Agent or any other Lender and based on such documents and information as it shall deem appropriate at the time, continue to make its own credit decisions in taking or not taking action under or in connection with any of the Transaction Documents; (iii) appoints and authorizes the Agent to take such action as agent on its behalf and to exercise such powers and discretion under the Transaction Documents, in each case as are delegated to the Agent by the terms thereof; and (iv) agrees that it will perform in accordance with their terms all of the obligations that by the terms of the Transaction Documents are required to be performed by it as a Lender.

On the date hereof, the New Lender shall make a payment to the Agent as set out in a “Flow of Funds” agreed between the Agent and the New Lender for the account of the other Lenders, in an amount calculated by the Agent, so that after giving effect to such payment and to the distribution thereof to the other Lenders in accordance with the Loan and Servicing Agreement, the Advances that are outstanding as of the date hereof (without taking into account any Advances made on such date) are held ratably by the Lenders in accordance with their respective Commitments. Such payment made by the New Lender pursuant to this Section 2.1 shall constitute an Advance made by the New Lender.

ARTICLE III

Amendments to Loan and Servicing Agreement and Schedules

SECTION 3.1.     As of the Amendment Effective Date, the Loan and Servicing Agreement is hereby amended to delete the stricken text (indicated textually in the same manner as the following example: stricken text) and to add the bold and double-underlined text (indicated textually in the same manner as the following example: bold and double-underlined text) as set forth on the pages attached as Appendix A hereto.

SECTION 3.2.     As of the Amendment Effective Date, the Schedules to the Loan and Servicing Agreement are hereby amended to delete the stricken text (indicated textually in the same manner as the following example: stricken text) and to add the bold and double-underlined text (indicated textually in the same manner as the following example: bold and double-underlined text) as set forth on the pages attached as Appendix B hereto.

ARTICLE IV

Representations and Warranties

SECTION 4.1.     Each of the Borrower and the Servicer hereby represents and warrants (as to itself) to the Agent that, as of the date first written above, (i) no Unmatured Event of Default, Event of Default or Servicer Termination Event has occurred and is continuing and (ii) the representations and warranties of the Borrower and the Servicer contained in the Loan and

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Servicing Agreement are true and correct in all material respects on and as of such day (other than any representation and warranty that is made as of a specific date).

ARTICLE V

Conditions Precedent

SECTION 5.1.     This Amendment shall become effective as of the date hereof upon:

(a)the execution and delivery of this Amendment by each party hereto;

(b)the Agent shall have received satisfactory evidence that the Borrower has obtained all required consents and approvals of all Persons to the execution, delivery and performance of this Amendment and the consummation of the transactions contemplated hereby;

(c)the Lenders shall have received the executed legal opinion or opinions of Latham & Watkins LLP, and any applicable local counsel to the Borrower, in form and substance acceptable to the Agent in its reasonable discretion;

(d)each of the Agent and the Lender have received all fees due and payable to such Person; and

(e)the Agent shall have received, with a copy for each Lender, certificates dated as of a recent date from the Secretary of State or other appropriate authority, evidencing the good standing of the Borrower.

ARTICLE VI

Miscellaneous

SECTION 6.1.     Governing Law. THIS AMENDMENT AND THE RIGHTS AND OBLIGATIONS OF THE PARTIES UNDER THIS AGREEMENT SHALL BE GOVERNED BY, AND CONSTRUED AND INTERPRETED IN ACCORDANCE WITH, THE LAW OF THE STATE OF NEW YORK.


SECTION 6.2.     Severability Clause.    In case any provision in this Amendment shall be invalid, illegal or unenforceable, the validity, legality, and enforceability of the remaining provisions shall not in any way be affected or impaired thereby.

SECTION 6.3.        Ratification. Except as expressly amended hereby, the Loan and Servicing Agreement is in all respects ratified and confirmed and all the terms, conditions and provisions thereof shall remain in full force and effect. This Amendment shall form a part of the Loan and Servicing Agreement for all purposes.

SECTION 6.4.        Counterparts. The parties hereto may sign one or more copies of this Amendment in counterparts, all of which together shall constitute one and the same agreement. Delivery of an executed signature page of this Amendment by facsimile or email transmission shall be effective as delivery of a manually executed counterpart hereof.


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SECTION 6.5.        Headings. The headings of the Articles and Sections in this Amendment are for convenience of reference only and shall not be deemed to alter or affect the meaning or interpretation of any provisions hereof.

SECTION 6.6.        Direction to Execute. The Lenders hereby authorize and direct the Trustee, the Bank and the Collateral Custodian to execute this Amendment and acknowledge and agree that the Trustee, the Bank and the Collateral Custodian shall be entitled to all of their rights, benefits, protections, immunities and indemnities set forth in the Loan and Servicing Agreement.

SECTION 6.7.        Execution. The words “execution,” “signed,” “signature,” “delivery,” and words of like import in or relating to this Amendment or any document to be signed in connection with this Amendment and the transactions contemplated hereby shall be deemed to include electronic signatures, deliveries or the keeping of records in electronic form, each of which shall be of the same legal effect, validity or enforceability as a manually executed signature, physical delivery thereof or the use of a paper-based recordkeeping system, as the case may be, to the extent and as provided for in any applicable law, including the federal Electronic Signatures in Global and National Commerce Act, the New York State Electronic Signatures and Records Act, or any other state laws based on the Uniform Electronic Transactions Act, and the parties hereto consent to conduct the transactions contemplated hereunder by electronic means.

[Signature Pages Follow]



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IN WITNESS WHEREOF, the parties hereto have caused this Amendment to be duly executed as of the date first written above.

ARES CAPITAL CP FUNDING LLC
By:
/s/ Scott Lem
Name:
Scott Lem
Title:
Authorized Signatory


[Signature Page to Amendment No. 18 to LSA]



ARES CAPITAL CORPORATION,
as the Servicer
By:
/s/ Scott Lem
Name:
Scott Lem
Title:
Authorized Signatory




[Signature Page to Amendment No. 18 to LSA]




WELLS FARGO BANK, NATIONAL ASSOCIATION, as the Agent
By:
/s/ Eghosa Aghayere
Name:
Eghosa Aghayere
Title:
Executive Director

[Signature Page to Amendment No. 18 to LSA]




WELLS FARGO BANK, NATIONAL ASSOCIATION,
as a Lender
By:
/s/ Eghosa Aghayere
Name:
Eghosa Aghayere
Title:
Executive Director
[Signature Page to Amendment No. 18 to LSA]




BANK OF AMERICA, N.A., as a Lender
By:
/s/ Bryson Brannon
Name:
Bryson Brannon
Title:
Director
[Signature Page to Amendment No. 18 to LSA]




CANADIAN IMPERIAL BANK OF COMMERCE, as a Lender
By:
/s/ Kathryn Lagroix
Name:
Kathryn Lagroix
Title:
Managing Director
[Signature Page to Amendment No. 18 to LSA]




SAMPENSION LIVSFORSIKRING A/S, as a Lender
By:
/s/ Johan Lasthein Andersen
Name:
Johan Lasthein Andersen
Title:
Portfolio Manager - Credit
By:
/s/ Lars Peter Lilleøre
Name:
Lars Peter Lilleøre
Title:
Head of Fixed Income
[Signature Page to Amendment No. 18 to LSA]




PENSIONSKASSEN
ARKITEKTER & DESIGNERE, as a Lender
By:
/s/ Johan Lasthein Andersen
Name:
Johan Lasthein Andersen
Title:
Portfolio Manager - Credit
By:
/s/ Lars Peter Lilleøre
Name:
Lars Peter Lilleøre
Title:
Head of Fixed Income
[Signature Page to Amendment No. 18 to LSA]




PENSIONSKASSEN FOR JORDBRUGSAKADEMIKERE OG DYRLÆGER, as a Lender
By:
/s/ Johan Lasthein Andersen
Name:
Johan Lasthein Andersen
Title:
Portfolio Manager - Credit
By:
/s/ Lars Peter Lilleøre
Name:
Lars Peter Lilleøre
Title:
Head of Fixed Income























[Signature Page to Amendment No. 18 to LSA]




PENSIONSKASSEN FOR TEKNIKUM OG DIPLOMINGENIØRER, as a Lender
By:
/s/ Johan Lasthein Andersen
Name:
Johan Lasthein Andersen
Title:
Portfolio Manager - Credit
By:
/s/ Lars Peter Lilleøre
Name:
Lars Peter Lilleøre
Title:
Head of Fixed Income
































[Signature Page to Amendment No. 18 to LSA]





THE BANK OF NEW YORK MELLON, as the New Lender
By:
/s/ Ilya Lipsman
Name:
Ilya Lipsman
Title:
Senior Director





































[Signature Page to Amendment No. 18 to LSA]





U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee
By:
/s/ Ralph J. Creasia, Jr.
Name:
Ralph J. Creasia, Jr.
Title:
Senior Vice President





































[Signature Page to Amendment No. 18 to LSA]





U.S. BANK NATIONAL ASSOCIATION, as Bank
By:
/s/ Ralph J. Creasia, Jr.
Name:
Ralph J. Creasia, Jr.
Title:
Senior Vice President





































[Signature Page to Amendment No. 18 to LSA]





U.S. BANK NATIONAL ASSOCIATION, as Collateral Custodian
By:
/s/ Kenneth Brandt
Name:
Kenneth Brandt
Title:
Vice President
[Signature Page to Amendment No. 18 to LSA]



APPENDIX A





EXECUTION VERSION
    Conformed through Amendment No. 1718



Up to U.S. $ 2,150,000,0002,250,000,000

LOAN AND SERVICING AGREEMENT

Dated as of January 22, 2010

Among

ARES CAPITAL CP FUNDING LLC,
as the Borrower

and

ARES CAPITAL CORPORATION,
as the Servicer and the Transferor

and

WELLS FARGO BANK, NATIONAL ASSOCIATION,
as the Agent and the Swingline Lender

and

EACH OF THE LENDERS FROM TIME TO TIME PARTY HERETO,
as the Lenders

and

U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION,
as the Trustee


and

U.S. BANK NATIONAL ASSOCIATION,
as the Bank and the Collateral Custodian

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TABLE OF CONTENTS
ARTICLE I. DEFINITIONS
Page
ARTICLE I. DEFINITIONS
SECTION 1.01 Certain Defined Terms
SECTION 1.02 Other Terms
56 57
SECTION 1.03 Computation of Time Periods
56 57
SECTION 1.04 Interpretation
56 57
ARTICLE II. THE FACILITY
57 58
SECTION 2.01 Advances
57 58
SECTION 2.02 Procedure for Advances59
SECTION 2.03 Determination of Yield
60 61
SECTION 2.04 Remittance Procedures
60 61
SECTION 2.05 Instructions to the Trustee and the Bank
65
SECTION 2.06 Borrowing Base Deficiency Payments
65 66
SECTION 2.07 Substitution and Sale of Loan Assets; Affiliate Transactions
66
SECTION 2.08 Payments and Computations, Etc
71 72
SECTION 2.09 Fees73
SECTION 2.10 Increased Costs; Capital Adequacy
73
SECTION 2.11 Taxes
75
SECTION 2.12 Collateral Assignment of Agreements
77 78
SECTION 2.13 Grant of a Security Interest
78
SECTION 2.14 Evidence of Debt
78 79
SECTION 2.15 Survival of Representations and Warranties
78 79
SECTION 2.16 Release of Loan Assets
78 79
SECTION 2.17 Treatment of Amounts Received by the Borrower
79 80
SECTION 2.18 Prepayment; Termination
79 80
SECTION 2.19 Extension of Stated Maturity Date and Reinvestment Period
80 81
SECTION 2.20 Collections and Allocations
80 81
SECTION 2.21 Reinvestment of Principal Collections
82
SECTION 2.22 Additional Lenders; Increase of Commitment
82 83
SECTION 2.23 Defaulting Lenders
83
SECTION 2.24 Mitigation Obligations; Replacement of Lenders
85
SECTION 2.25 Refunding of Swingline Advances
86

ARTICLE III. CONDITIONS PRECEDENT87
SECTION 3.01 Conditions Precedent to Effectiveness
87
SECTION 3.02 Conditions Precedent to All Advances
87 88
SECTION 3.03 Advances Do Not Constitute a Waiver
90
SECTION 3.04 Conditions to Pledges of Loan Assets
90
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ARTICLE IV. REPRESENTATIONS AND WARRANTIES
91 92
SECTION 4.01 Representations and Warranties of the Borrower
91 92
SECTION 4.02 Representations and Warranties of the Borrower Relating to the Agreement and the Collateral Portfolio
100
SECTION 4.03 Representations and Warranties of the Servicer
101
SECTION 4.04 Representations and Warranties of the Trustee
105
SECTION 4.05 Representations and Warranties of the each Lender
106
SECTION 4.06 Representations and Warranties of the Collateral Custodian
106
ARTICLE V. GENERAL COVENANTS107
SECTION 5.01 Affirmative Covenants of the Borrower
107
SECTION 5.02 Negative Covenants of the Borrower
114
SECTION 5.03 Affirmative Covenants of the Servicer
117 118
SECTION 5.04 Negative Covenants of the Servicer
122 123
SECTION 5.05 Affirmative Covenants of the Trustee
124
SECTION 5.06 Negative Covenants of the Trustee
124 125
SECTION 5.07 Affirmative Covenants of the Collateral Custodian
124 125
SECTION 5.08 Negative Covenants of the Collateral Custodian
125
SECTION 5.09 Covenants of the Borrower Relating to Hedging of Loan Assets
125
ARTICLE VI. ADMINISTRATION AND SERVICING OF CONTRACTS127
SECTION 6.01 Appointment and Designation of the Servicer
127
SECTION 6.02 Duties of the Servicer
129
SECTION 6.03 Authorization of the Servicer
131
SECTION 6.04 Collection of Payments; Accounts
132
SECTION 6.05 Realization Upon Loan Assets
133
SECTION 6.06 Servicing Compensation
134
SECTION 6.07 Payment of Certain Expenses by Servicer
134
SECTION 6.08 Reports to the Agent; Account Statements; Servicing Information
134 135
SECTION 6.09 Annual Statement as to Compliance
136 137
SECTION 6.10 Annual Independent Public Accountant’s Servicing Reports
137
SECTION 6.11 The Servicer Not to Resign
137 138
ARTICLE VII. EVENTS OF DEFAULT138
SECTION 7.01 Events of Default
138
SECTION 7.02 Additional Remedies of the Agent
141
ARTICLE VIII. INDEMNIFICATION145
SECTION 8.01 Indemnities by the Borrower
145
SECTION 8.02 Indemnities by Servicer
148
SECTION 8.03 Legal Proceedings
150
SECTION 8.04 After-Tax Basis
150 151
SECTION 8.05 Benefit of Indemnity
151
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ARTICLE IX. THE AGENT151
SECTION 9.01 The Agent
151

ARTICLE X. TRUSTEE157
SECTION 10.01 Designation of Trustee
157
SECTION 10.02 Duties of Trustee
158
SECTION 10.03 Merger or Consolidation
159 160
SECTION 10.04 Trustee Compensation
160
SECTION 10.05 Trustee Removal
160
SECTION 10.06 Limitation on Liability
160
SECTION 10.07 Trustee Resignation
162

ARTICLE XI. MISCELLANEOUS162
SECTION 11.01 Amendments and Waivers
162
SECTION 11.02 Notices, Etc
165
SECTION 11.03 No Waiver; Remedies
168
SECTION 11.04 Binding Effect; Assignability; Multiple Lenders
168
SECTION 11.05 Term of This Agreement
169
SECTION 11.06 GOVERNING LAW; JURY WAIVER
169
SECTION 11.07 Costs, Expenses and Taxes
169
SECTION 11.08 No Proceedings
170
SECTION 11.09 Recourse Against Certain Parties
171
SECTION 11.10 Execution in Counterparts; Severability; Integration
172
SECTION 11.11 Consent to Jurisdiction; Service of Process
172
SECTION 11.12 Characterization of Conveyances Pursuant to the Purchase and Sale Agreement
172
SECTION 11.13 Confidentiality
174
SECTION 11.14 Acknowledgement and Consent to Bail-In of EEA Financial Institutions
175
SECTION 11.15 Waiver of Set Off
177
SECTION 11.16 Headings and Exhibits
177
SECTION 11.17 Ratable Payments
177
SECTION 11.18 Breaches of Representations, Warranties and Covenants
177
SECTION 11.19 Assignments of Loan Assets
177
SECTION 11.20 Affirmation
178
SECTION 11.21 Covered Transactions
178



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This LOAN AND SERVICING AGREEMENT (as amended, restated, supplemented or modified from time to time, the “Loan and Servicing Agreement”) is made as of January 22, 2010, among:

(1)ARES CAPITAL CP FUNDING LLC, a Delaware limited liability company (together with its successors and assigns in such capacity, the “Borrower”);

(2)ARES CAPITAL CORPORATION, a Maryland corporation, as the Servicer (as defined herein) and the Transferor (as defined herein);

(3)WELLS FARGO BANK, NATIONAL ASSOCIATION, as agent (together with its successor and assigns in such capacity, the “Agent”) and as swingline lender (together with its successor and assigns in such capacity, the “Swingline Lender”);

(4)EACH OF THE LENDERS FROM TIME TO TIME PARTY HERETO, as a Lender;

(5)U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION (“U.S. Bank”), as the Trustee (together with its successors and assigns in such capacity, the “Trustee”); and

(6)U.S. BANK NATIONAL ASSOCIATION, as the Bank (as defined herein) and the Collateral Custodian (together with its successors and assigns in such capacity, the “Collateral Custodian”).

PRELIMINARY STATEMENT

WHEREAS, certain parties hereto were party to a Sale and Servicing Agreement, dated as of November 3, 2004, by and among the Servicer, as the servicer, the Transferor, as the originator, the Borrower, as the borrower, Ares CP Funding II LLC, as the guarantor, Variable Funding Capital Company LLC (“VFCC”), as a conduit purchaser, the Note Purchaser, as an institutional purchaser, Wells Fargo Securities, LLC (f/k/a Wachovia Capital Markets, LLC) (together with its successors and assigns, “WFS”), as the administrative agent and as the purchaser agent for VFCC, Ares Capital CP Funding II, as the guarantor (the “Guarantor”) the Trustee, as the trustee, and Lyon Financial Services, Inc. d/b/a U.S. Bank Portfolio Services (“Lyon”), as the backup servicer (as amended, restated, supplemented or modified prior to the date hereof, the “Original Agreement”);

WHEREAS, certain parties hereto are party to an Amended and Restated Sale and Servicing Agreement, dated as of January 22, 2010, by and among the Servicer, as the servicer, the Transferor as the originator, the Borrower, as the borrower, Wells Fargo Bank, National Association, in its individual capacity (together with its successors and assigns, “Wells Fargo”), as the note purchaser, WFS, as the administrative agent, and U.S. Bank, as the collateral custodian, trustee and bank (as amended, restated, supplemented or modified prior to the date hereof, (the “Restatement Agreement”)) that amended and restated the Original Agreement;
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anti-corruption laws, regulations or ordinances in any jurisdiction in which the Borrower, the Servicer, the Transferor or any of their respective Subsidiaries is located or doing business.

Anti-Money Laundering Laws” means Applicable Law in any jurisdiction in which the Borrower, the Servicer, the Transferor or any of their respective Subsidiaries are located or doing business that relates to money laundering or terrorism financing, any predicate crime to money laundering, or any financial record keeping and reporting requirements related thereto.

Applicable Law” means for any Person all existing and future laws, rules, regulations, to the extent applicable to such Person or its property or assets, all statutes, treaties, codes, ordinances, permits, certificates, orders, licenses of and interpretations by any Governmental Authority applicable to such Person (including, without limitation, predatory lending laws, the Dodd-Frank Wall Street Reform and Consumer Protection Act, usury laws, the Federal Truth-in-Lending Act, the Equal Credit Opportunity Act, the Fair Credit Billing Act, the Fair Credit Reporting Act, the Fair Debt Collection Practices Act, the Federal Trade Commission Act, the Magnuson-Moss Warranty Act, the Federal Reserve Board’s Regulations “B” and “Z”, the Servicemembers Civil Relief Act of 2003 and state adaptations of the National Consumer Act and of the Uniform Consumer Credit Code and all other consumer credit laws and equal credit opportunity and disclosure laws) and applicable judgments, decrees, injunctions, writs, awards or orders of any court, arbitrator or other administrative, judicial, or quasi-judicial tribunal or agency of competent jurisdiction.

Applicable Percentage” means (a) with respect to any First Lien Loan Asset, 70%, (b) with respect to any First Lien Last Out Loan Asset, 55% and, (c) with respect to any Recurring Revenue Loan Asset, 55% and (cd) with respect to any Second Lien Loan Asset, 35%.

“Applicable Prime Rate” means, with respect to any Loan Asset, the prime or base rate applicable to such Loan Asset pursuant to the Loan Agreements for such Loan Asset.

Applicable Spread” means, 2.00(i) prior to the Eighteenth Amendment Effective Date, 2.00% per annum and (ii) thereafter, 1.80% per annum; provided that, at any time during the existence of an Event of Default or after the occurrence of the Facility Maturity Date, the Applicable Spread shall be increased by 2.00% per annum.

Approval Notice” means, with respect to any Eligible Loan Asset, the written notice, in substantially the form attached hereto as Exhibit A, evidencing the approval by the Agent, in its sole discretion, of the conveyance of such Eligible Loan Asset by the Transferor to the Equityholder pursuant to the terms of the First Tier Purchase and Sale Agreement and by the Equityholder to the Borrower pursuant to the terms of the Second Tier Purchase and Sale Agreement and the Assignments by which the Transferor effects such conveyance.

Approved Lender” means any prospective Lender that acting, for its own account, in the aggregate owns and invests on a discretionary basis, not less than $25,000,000 in investments.

Ares” means Ares Capital Corporation.



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(a) If a Value Adjustment Event of the type described in clauses (i) through (vi) of the definition thereof with respect to such Loan Asset occurs, the“Assigned Value” may be amended at any time, thereafter by the Agent, in its sole discretion.

(b) The Agent shall promptly notify the Servicer of any change effected by the Agent of the Assigned Value of any Loan Asset.

(c) At the time of approval of each Loan Asset, the Agent in its sole discretion will designate any applicable Loan Asset as a “Designated Loan Asset” for purposes of determining the Assigned Value of such Loan Asset in reference to the Minimum Facility Attachment Ratios set forth in the definition of “Assigned Value.”

(d) If any event constituting a Value Adjustment Event has been remedied or is no longer in existence, at any time, the Borrower may request that the Agent reevaluate the Assigned Value of any Loan Asset, which the Agent may do in its sole discretion.

(e) On any Business Day, the Borrower may request in writing a revaluation of any Loan Asset (other than a Loan Asset subject to an ongoing Value Adjustment Event) with an Assigned Value of less than 100%, and upon such request the Agent may reevaluate and adjust, in its sole discretion, adjust the Assigned Value to the lesser of (i) the Agent’s discretionary Assigned Value (which for the avoidance of doubt, may not be less than the existing Assigned Value with respect to such Loan Asset) and (ii) 100%; provided that any such increase in the applicable Assigned Value may be conditioned on a reset of the Interest Coverage Ratio, Senior Net Leverage Ratio or, Net Leverage Ratio or the Recurring Revenue Loan Gross Leverage Ratio as of such date for the related Eligible Loan Asset.

Notwithstanding the foregoing; solely with respect to the occurrence of a Value Adjustment Event of the type described in clause (i)(y) of the definition thereof, immediately after giving effect to any such reevaluation, the Assigned Value shall not be lower than such value that would result in the Facility Attachment Ratio for such Loan Asset (based upon such Loan Asset’s Senior Net Leverage Ratio or Net Leverage Ratio, as applicable) being lower than the “Minimum Facility Attachment Ratio” specified therefor in accordance with the grid below; provided that, for the avoidance of doubt, the below grids shall not be applicable to Recurring Revenue Loan Assets:

First Lien Loan Assets
Senior Net Leverage Ratio
Minimum Facility Attachment Ratio
=<4.25x
2.90x
> 4.25 and =< 5.00x
2.80x
> 5.00 and =< 6.00x
2.70x
> 6.00 and =< 7.00x
2.60x
> 7.00 and =< 8.00x
2.40x
> 8.00x
0.00x




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Attached Equity” means, with respect to any Loan Asset, any stock, partnership or membership interest, beneficial interest or other equity security, warrant, option, or any right, including, without limitation, any registration right, with respect to the foregoing received by the Transferor in connection with the origination or acquisition of such Loan Asset.

Availability” means, at any time, an amount equal to the positive excess (if any) of the Borrowing Base over the Advances Outstanding. On and after the end of the Reinvestment Period or the Facility Maturity Date, the Availability shall be zero.

Available Collections” means, (a) all cash collections and other cash proceeds with respect to any Loan Asset, including, without limitation, all Principal Collections, all Interest Collections, all proceeds of any sale or disposition with respect to such Loan Asset, cash proceeds or other funds received by the Borrower or the Servicer with respect to any Underlying Collateral (including from any guarantors), all other amounts on deposit in the Collection Account from time to time, and all proceeds of Permitted Investments with respect to the Controlled Accounts and (b) all payments received pursuant to any Hedging Agreement or Hedge Transaction; provided that, for the avoidance of doubt, “Available Collections” shall not include amounts on deposit in the Unfunded Exposure Account which do not represent proceeds of Permitted Investments; provided, further, that all amounts paid into the Collection Account pursuant to Section 5.09(c)(iii) which are received on or prior to the Determination Date immediately preceding any Payment Date shall be included as “Available Collections” for such Payment Date.

Available Tenor” means, as of any date of determination and with respect to the then-current Benchmark (x) if such then-current Benchmark is a term rate, any tenor for such Benchmark or (y) otherwise, any payment period for interest calculated with reference to such Benchmark that is or may be used for determining the length of a Remittance Period pursuant to this Agreement as of such date and not including, for the avoidance of doubt, any tenor for such Benchmark that is then-removed from the definition of “Remittance Period” pursuant to Section 11.01.

Average Life” means, for any Loan Asset, as of any date of determination, the number determined by multiplying the amount of each Scheduled Payment of principal to be paid after such date of determination by the number of years (rounded to the nearest hundredth) from such date of determination until such Scheduled Payment of principal is due.

Bail-In Action” has the meaning assigned to that term in Section 11.14.
Bail-In Legislation” has the meaning assigned to that term in Section 11.14.

Bank” means U.S. Bank National Association, in its capacity as the “Bank” pursuant to each of the Collection Account Agreement and the Unfunded Exposure Account Agreement.

Bankruptcy Code” means Title 11, United States Code, 11 U.S.C. §§ 101 et seq., as amended from time to time.


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(ii) the Minimum Weighted Average Coupon Test.

Collection Account” means a trust account (account number 787456-200 at the Bank) in the name of the Borrower subject to the lien of the Trustee for the benefit of the Secured Parties; provided that the funds deposited therein (including any interest and earnings thereon) from time to time shall constitute the property and assets of the Borrower, and the Borrower shall be solely liable for any Taxes payable with respect to the Collection Account.

Collection Account Agreement” means that certain Amended and Restated Securities Account Control Agreement, dated the Closing Date and amended and restated as of the Restatement Date, among the Borrower, the Servicer, the Bank, the Agent and the Trustee, which agreement relates to the Collection Account, as such agreement may from time to time be amended, supplemented or otherwise modified in accordance with the terms thereof.

Collection Date” means the date on which the aggregate outstanding principal amount of the Advances have been repaid in full and all Yield and Fees and all other Obligations have been paid in full, and the Borrower shall have no further right to request any additional Advances.

Collections” means Principal Collections and Interest Collections.

Commitment” means, with respect to each Lender, (i) prior to the end of the Reinvestment Period or for purposes of Advances made pursuant to Section 2.02(f), the dollar amount set forth opposite such Lender’s name on Annex A hereto (as such amount may be revised from time to time pursuant to the terms of this Agreement) or the amount set forth as such Lender’s “Commitment” on Schedule I to the Joinder Supplement relating to such Lender, as applicable, and (ii) on or after the Reinvestment Period (other than for purposes of Advances made pursuant to Section 2.02(f)), such Lender’s Pro Rata Share of the aggregate Advances Outstanding.

Commitment Termination Premium” means, in the event that this Agreement is terminated or the Maximum Facility Amount is permanently reduced, in each case, pursuant to Section 2.18(b), (i) prior to the one year anniversary of the SeventeenthEighteenth Amendment Effective Date, an amount equal to 0.75%, or (ii) on or after the one year anniversary of the SeventeenthEighteenth Amendment Effective Date, but prior to the two year anniversary of the SeventeenthEighteenth Amendment Effective Date, an amount equal to 0.50%, in each case, of either (x) the Maximum Facility Amount, in the case of such termination, or (y) the amount of such reduction, in the case of such permanent reduction of the Maximum Facility Amount and, in each case, such amounts shall be payable pro rata to each Lender.

Concentration Limits” means, for the purposes of determining the Excess Concentration Amount, with respect to the Borrowing Base:

(i) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets to Obligors in the same GICS Industry Classification Group shall not exceed 15% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets; provided that for two individual industries the aggregate Adjusted Borrowing Value
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of all Eligible Loan Assets to Obligors in such industries may exceed 15% but shall not exceed 20%; provided, further, that for one additional individual industry the aggregate Adjusted Borrowing Value of all Eligible Loan Assets to Obligors in such industry may exceed 15% but shall not exceed 25%;

(ii) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets to the same Obligor shall not exceed $105,000,000; provided that for three individual Obligors the aggregate Adjusted Borrowing Value of all Eligible Loan Assets to such Obligors may exceed $105,000,000 but shall not exceed $130,000,000;

(iii) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets that are Second Lien Loan Assets shall not exceed 20% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets;

(iv) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets that are First Lien Last Out Loan Assets and Eligible Loan Assets that are Second Lien Loan Assets shall not exceed 40% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets;

(v) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets that are Fixed Rate Loan Assets shall not exceed 15% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets; provided that Asset Specific Hedged Loan Assets shall be considered Fixed Rate Loan Assets or Floating Rate Loan Assets, as applicable, as provided in the definition thereof;

(vi) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets that pay interest in cash less frequently than quarterly shall not exceed 15% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets;

(vii) the aggregate Outstanding Balances and Exposure Amounts of all Eligible Loan Assets that are Recurring Revenue Loan Assets shall not exceed 10% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets;

(viii) (vii)the aggregate Outstanding Balances and Exposure Amounts of all Eligible Loan Assets that are Revolving Loan Assets and the Exposure Amounts of Eligible Loan Assets that are Delayed Draw Loan Assets shall not exceed 10% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets;

(ix) (viii)the aggregate Adjusted Borrowing Value of all Eligible Loan Assets that are Partial PIK Loan Assets of the applicable Cut-Off Date shall not exceed 20% of the aggregate Adjusted Borrowing Value of all Eligible Loan Assets; and

(x) (ix)the aggregate Adjusted Borrowing Value of all Eligible Loan Assets that are Participation Interests shall not exceed (i) during the Acquisition Participation Elevation Period, 10.0% and (ii) thereafter, 0.0%.




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participants that it would be contrary to law or to the directive of any central bank or other Governmental Authority (whether or not having the force of law) to obtain United States dollars in the London interbank market to fund any Advance, (b) any Lender shall have notified the Agent of the inability, for any reason, of such Lender or any of its assignees or participants to determine the applicable Benchmark, (c) any Lender shall have notified the Agent of a determination by such Lender or any of its assignees or participants that the rate at which deposits of United States dollars are being offered to such Lender or any of its assignees or participants in the London interbank market does not accurately reflect the cost to such Lender or such assignee or such participant of making, funding or maintaining any Advance or (d) any Lender shall have notified the Agent of the inability of such Lender or any of its assignees or participants to obtain United States dollars in the London interbank market to make, fund or maintain any Advance.

Dollars” means, and the conventional “$” signifies, the lawful currency of the United States of America.

EBITDA” means, with respect to any period and any Loan Asset, the meaning of “EBITDA”, “Adjusted EBITDA” or any comparable definition in the Loan Agreement for such Loan Asset (together with all add-backs and exclusions as designated in such Loan Agreement), and in any case that “EBITDA”, “Adjusted EBITDA” or such comparable definition is not defined in such Loan Agreement, an amount, for the principal obligor on such Loan Asset and any of its parents or Subsidiaries that are obligated pursuant to the Loan Agreement for such Loan Asset (determined on a consolidated basis without duplication in accordance with GAAP) equal to earnings from continuing operations for such period plus (a) cash interest expense, (b) income taxes, (c) depreciation and amortization for such period (to the extent deducted in determining earnings from continuing operations for such period), (d) amortization of intangibles (including, but not limited to, goodwill, financing fees and other capitalized costs), to the extent not otherwise included in clause (c) above, other non-cash charges and organization costs, (e) extraordinary losses in accordance with GAAP, (f) one-time, non-recurring non-cash charges consistent with the compliance statements and financial reporting packages provided by the Obligors and (g) any other item the Borrower and the Agent mutually deem to be appropriate; provided that with respect to any Obligor for which four full fiscal quarters of financial data are not available, EBITDA shall be determined for such Obligor based on annualizing the financial data from the reporting periods actually available.

EEA Financial Institution” has the meaning assigned to that term in Section 11.14.

EEA Member Country” has the meaning assigned to that term in Section 11.14.

EEA Resolution Authority” has the meaning assigned to that term in Section 11.14.

“Eighteenth Amendment Effective Date” means July 28, 2025.

Eighth Amendment Effective Date” means January 3, 2017.

Eleventh Amendment Effective Date” means December 14, 2018.
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hereunder pursuant to a law in effect on the date on which (i) such Lender acquires such interest in this Agreement (other than pursuant to an assignment request by the Borrower under Section 2.24(b)) or (ii) such Lender changes its lending office, except in each case to the extent that, pursuant to Section 2.11, amounts with respect to such Taxes were payable either to such Lender’s assignor immediately before such Lender became a party hereto or to such Lender immediately before it changed its lending office, (c) Taxes attributable to such Lender’s failure to comply with Section 2.11(d) and (d) any Taxes imposed under FATCA.

Exposure Amount” means, as of any date of determination, with respect to any Delayed Draw Loan Asset or Revolving Loan Asset, (i) the maximum commitment of the Borrower with respect to such Revolving Loan Asset or Delayed Draw Loan Asset (excluding any original issue discount) under the terms of the applicable Loan Agreement to make advances (and, for the avoidance of doubt, the Borrower’s commitment in respect of a Loan Asset as to which the commitment to make additional advances has been terminated shall be zero) minus (ii) the Outstanding Balance of such Delayed Draw Loan Asset or Revolving Loan Asset on such date of determination.

Exposure Amount Shortfall” has the meaning assigned to that term in Section 2.02(f).

Facility Attachment Ratio” means (a) for any First Lien Loan Asset, as of any date of determination, an amount equal to, the product of (i) the First Out Attachment Ratio, (ii) the Applicable Percentage and (iii) the Assigned Value, as of such date; (b) for any First Lien Last Out Loan Asset, as of any date of determination, an amount equal to, the sum of (i) the First Out Attachment Ratio and (ii) the product of (A) the Last Out Attachment Ratio less the First Out Attachment Ratio, (B) the Applicable Percentage and (C) the Assigned Value, as of such date and, (c) for any Second Lien Loan Asset, as of any date of determination, an amount equal to, the sum of (i) the Senior Net Leverage Ratio and (ii) the product of (A) the Net Leverage Ratio less the Senior Net Leverage Ratio, (B) the Applicable Percentage and (C) the Assigned Value, as of such date; provided that the Facility Attachment Ratio and (d) for any Designated Loan Asset that is a First Lien Loan Asset, First Lien Last Out Loan Asset or Second Lien Loan Asset shall be determined as set forth above in clause, as of any date of determination, an amount equal to the product of (aA) the Net Leverage Ratio, (bB) orthe Applicable Percentage and (cC) respectively, as applicablethe Assigned Value.

Facility Maturity Date” means the earliest to occur of (i) the Stated Maturity Date, (ii) the date of the declaration, or automatic occurrence, of the Facility Maturity Date pursuant to Section 7.01, (iii) the Collection Date and (iv) the occurrence of the termination of this Agreement pursuant to Section 2.18(b) hereof.

FATCA” means Sections 1471 through 1474 of the Code, as of the date of this Agreement (or any amended or successor version that is substantively comparable and not materially more onerous to comply with), any current or future regulations or official interpretations thereof, any agreement entered into pursuant to Section 1471(b)(1) of the Code and any intergovernmental agreements (and any related laws, rules or practices) implementing or modifying the foregoing.


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(and cannot by its terms become) subordinate in right of payment to any obligation of the Obligor in any bankruptcy, reorganization, arrangement, insolvency, moratorium or liquidation proceedings (excluding any First Lien Last Out Loan Asset or first lien last out Indebtedness within the capital structure).

First Tier Loan Assignment” has the meaning set forth in the First Tier Purchase and Sale Agreement.

First Tier Purchase and Sale Agreement” means that certain Amended and Restated Purchase and Sale Agreement, dated as of the Closing Date and amended and restated as of the Restatement Date, between the Transferor, as the seller, and the Equityholder, as the purchaser, as amended, modified, waived, supplemented, restated or replaced from time to time.

Fixed Rate Excess” means as, as of any date of determination, a fraction (expressed as a percentage) the numerator of which is the product of (i) the greater of zero and the excess of the Weighted Average Coupon for such date of determination over the Minimum Weighted Average Coupon on such date of determination and (ii) the Adjusted Borrowing Value of all Fixed Rate Loan Assets (excluding any defaulted Loan Assets) held by the Borrower as of such date of determination, and the denominator of which is the Adjusted Borrowing Value of all Floating Rate Loan Assets (excluding any defaulted Loan Assets) held by the Borrower as of such date of determination.

Fixed Rate Loan Asset” means a Loan Asset other than a Floating Rate Loan Asset.

Floating Rate Loan Asset” means a Loan Asset under which the rate payable by the Obligor thereof is based on the Applicable Prime Rate or the applicable Benchmark, plus some specified interest percentage in addition thereto, and the Loan Asset provides that such rate will reset immediately upon any change in the related Applicable Prime Rate or the Benchmark.

Floor” means for purposes of this Agreement, 0%.

Floor Obligation” means, as of any date, a Floating Rate Loan Asset (a) for which the related Underlying Instruments Loan Agreement allow a floating rate option, (b) that provides that such floating rate is (in effect) calculated as the greater of (i) a specified “floor” rate per annum and (ii) the applicable interbank offered rate or other floating rate for the applicable interest period for such Loan Asset and (c) that, as of such date, bears interest based on such floating rate option, but only if as of such date such applicable interbank offered rate or other floating rate for the applicable interest period is less than the “floor” rate.

Foreign Lender” has the meaning assigned to that term in Section 2.11(d)(ii)(B).

Fronting Exposure” means, at any time there is a Defaulting Lender, with respect to the Swingline Lender, such Defaulting Lender’s Pro Rata Share of Swingline Advances other than Swingline Advances as to which such Defaulting Lender’s participation obligation has been reallocated to other Lenders, repaid by the Borrower or for which cash collateral or other credit support acceptable to the Swingline Lender shall have been provided in accordance with the terms hereof.
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“Hedge Notional Amount” means, for any Loan Asset, the aggregate notional amount in effect on any day under all Hedge Transactions entered into pursuant to Section 5.09 for that Loan Asset.

Hedge Transaction” means each Asset Specific Hedge, interest rate swap transaction, interest rate cap transaction, interest rate floor transaction or other derivative transaction approved in writing by the Agent, between the Borrower and a Hedge Counterparty that is entered into pursuant to Section 5.09 and is governed by a Hedging Agreement.

Hedge Notional Amount” means, for any Loan Asset, the aggregate notional amount in effect on any day under all Hedge Transactions entered into pursuant to Section 5.09 for that Loan Asset.

Hedging Agreement” means each agreement between the Borrower and a Hedge Counterparty that governs one or more Hedge Transactions entered into by the Borrower and such Hedge Counterparty pursuant to Section 5.09, which agreement shall consist of a “Master Agreement” in a form published by the International Swaps and Derivatives Association, Inc., together with a “Schedule” and each “Confirmation” thereunder confirming the specific terms of each such Hedge Transaction; provided that the “Schedule” and the form of each “Confirmation” to any Hedging Agreement shall be subject to the written approval of the Agent, in its reasonable discretion.

Indebtedness” means:

(i) with respect to any Obligor under any Loan Asset, for the purposes of the definition of the Interest Coverage Ratio, the Senior Net Leverage Ratio and the Net Leverage Ratio, the meaning of “Indebtedness” or any comparable definition in the Loan Agreement for each such Loan Asset, and in any case that “Indebtedness” or such comparable definition is not defined in such Loan Agreement, without duplication, (a) all obligations of such entity for borrowed money or with respect to deposits or advances of any kind, (b) all obligations of such entity evidenced by bonds, debentures, notes or similar instruments, (c) all obligations of such entity under conditional sale or other title retention agreements relating to property acquired by such entity, (d) all obligations of such entity in respect of the deferred purchase price of property or services (excluding current accounts payable incurred in the ordinary course of business), (e) all indebtedness of others secured by (or for which the holder of such indebtedness has an existing right, contingent or otherwise, to be secured by) any Lien on property owned or acquired by such entity, whether or not the indebtedness secured thereby has been assumed, (f) all guarantees by such entity of indebtedness of others, (g) all Capital Lease Obligations of such entity, (h) all obligations, contingent or otherwise, of such entity as an account party in respect of letters of credit and letters of guaranty and (i) all obligations, contingent or otherwise, of such entity in respect of bankers’ acceptances; and
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properties of the Transferor, the Servicer or the Borrower, (b) the validity, enforceability or collectability of this Agreement or any other Transaction Document or the validity, enforceability or collectability of the Loan Assets generally or any material portion of the Loan Assets, (c) the rights and remedies of the Trustee, the Agent, any Lender and the Secured Parties with respect to matters arising under this Agreement or any other Transaction Document, (d) the ability of each of the Borrower and the Servicer, to perform their respective obligations under this Agreement or any other Transaction Document, or (e) the status, existence, perfection, priority or enforceability of the Trustee’s, the Agent’s or the other Secured Parties’ lien on the Collateral Portfolio.

Material Modification” means any amendment or waiver of, or modification or supplement to, a Loan Agreement governing a Loan Asset executed or effected on or after the Cut-Off Date for such Loan Asset (or, solely in the case of clause (d)(ii)(y), a change to any loan senior to a Loan Asset) which:

(a) reduces or forgives any or all of the principal amount due under such Loan Asset;

(b) delays or extends the required or scheduled amortization in any way that increases the Average Life of such Loan Asset; provided that in connection with any Revenue Recognition Implementation or any Operating Lease Implementation, the Agent (with the consent of the Servicer (such consent not to be unreasonably withheld, delayed or conditioned)) may retroactively adjust the Net Leverage Ratio for any Loan Asset as determined on the applicable Cut-Off Date.

(c) waives one or more interest payments, permits any interest due in cash to be deferred or capitalized and added to the principal amount of such Loan Asset (other than any deferral or capitalization already allowed by the terms of the Loan Agreement of any Partial PIK Loan Asset), or reduces the spread or coupon with respect to such Loan Asset; provided that a “Material Modification” shall not be deemed to have occurred pursuant to this clause (c) if (i)(x) such spread or coupon is reduced a maximum of one time and by not more than 20% from the spread or coupon on the related Cut-Off Date and (y) the Interest Coverage Ratio of such Loan Asset is greater than 2.0:1.0 at the time of such reduction or (ii) the Servicer certifies (and the Agent provides its prior written consent in its reasonable discretion) that such reduction results from an increase in the credit quality of the related Loan Asset; provided further that in connection with any Revenue Recognition Implementation or any Operating Lease Implementation, the Agent (with the consent of the Servicer (such consent not to be unreasonably withheld, delayed or conditioned)) may retroactively adjust the Interest Coverage Ratio for any Loan Asset as determined on the applicable Cut-Off Date.

(d) (i) in the case of a First Lien Loan Asset, contractually or structurally subordinates such Loan Asset by operation of a priority of payments, turnover provisions, the transfer of assets in order to limit recourse to the related Obligor or the granting of Liens (other than “permitted liens” as defined in the applicable Loan Agreement for such Loan Asset or such comparable definition if “permitted liens” is not defined therein, so long as such definition is reasonable and customary) on any of the Underlying Collateral securing such Loan Asset or (ii) in the case of a First Lien Last Out Loan Asset or Second Lien Loan Asset, (x) contractually or structurally subordinates such Loan Asset to any obligation (other than any loan which existed at the Cut-Off Date for such Loan Asset
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which is senior to such Loan Asset) by operation of a priority of payments, turnover provisions, the transfer of assets in order to limit recourse to the related Obligor or the granting of Liens (other than “permitted liens” as defined in the applicable Loan Agreement for such Loan Asset or such comparable definition if “permitted liens” is not defined therein, so long as such definition is reasonable and customary) on any of the Underlying Collateral securing such Loan Asset or (y) increases the commitment amount of any loan senior to such Loan Asset and the Net Leverage Ratio of such Loan Asset increases by more than 0.75x as a result of such increase;

(e) substitutes, alters or releases the Underlying Collateral securing such Loan Asset and each such substitution, alteration or release, as determined in the sole reasonable discretion of the Agent, materially and adversely affects the value of such Loan Asset;

(f) provides additional funds to the Obligor of such Loan Asset with the intent of keeping that Loan Asset current; or

(g) amends, waives, forbears, supplements or otherwise modifies (i) the meaning of “Senior Net Leverage Ratio”, “Net Leverage Ratio”, “Interest Coverage Ratio”, “Recurring Revenue” or “Permitted Liens” or any respective comparable definitions in the Loan Agreement for such Loan Asset or (ii) any term or provision of such Loan Agreement referenced in or utilized in the calculation of the “Senior Net Leverage Ratio”, “Net Leverage Ratio”, “Interest Coverage Ratio”, “Recurring Revenue” or “Permitted Liens” or any respective comparable definitions for such Loan Asset, in either case in a manner that, in the sole reasonable judgment of the Agent, is materially adverse to the Secured Parties; provided that in connection with any Revenue Recognition Implementation or any Operating Lease Implementation, the Agent (with the consent of the Servicer (such consent not to be unreasonably withheld, delayed or conditioned)) may retroactively adjust the Interest Coverage Ratio, Senior Net Leverage Ratio or Net Leverage Ratio for any Loan Asset as determined on the applicable Cut-Off Date.

Maximum Facility Amount” means the aggregate Commitments of the Lenders then in effect, which amount may be up to $2,150,000,0002,250,000,000, as such amount may vary from time to time pursuant to Section 2.18(b) or Section 2.22; provided that, at all times after the Reinvestment Period, the Maximum Facility Amount shall mean the aggregate Advances Outstanding at such time.

Minimum Required Equity Amount” means $500,000,000525,000,000.

Minimum Weighted Average Coupon” means 5.00%.

Minimum Weighted Average Coupon Test” means a test that will be satisfied on any date of determination if the Weighted Average Coupon of all Loan Assets included in the Collateral Portfolio is equal to or greater than the Minimum Weighted Average Coupon.


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Day prior to the next Payment Date unless such Permitted Investments are issued by the Trustee in its capacity as a banking institution, in which event such Permitted Investments may mature on such Payment Date; and (2) none of the foregoing obligations or securities shall constitute Permitted Investments if (A) such obligation or security has an “f”, “r”, “p”, “pi”, “q” or “t” subscript assigned by S&P, (B) all, or substantially all, of the remaining amounts payable thereunder consist of interest and not principal payments, (C) payments with respect to such obligations or securities or proceeds of disposition are subject to withholding Taxes by any jurisdiction unless the payor is required to make “gross-up” payments that cover the full amount of any such withholding Taxes on an after-tax basis, (D) such obligation or security is secured by real property, (E) such obligation or security is purchased at a price greater than 100% of the principal or face amount thereof, (F) such obligation or security is subject of a tender offer, voluntary redemption, exchange offer, conversion or other similar action, (G) in the Servicer’s judgment, such obligation or security is subject to material non-credit related risks, (H) such obligation is a structured finance obligation or (I) such obligation or security is represented by a certificate of interest in a grantor trust. Any investment that is a Permitted Investment pursuant to the above provisions of this definition shall not be disqualified from being a Permitted Investment because it is issued by or made with the Bank or because the Bank or the Trustee or an Affiliate of the Bank or the Trustee provides services for such investment and receives compensation therefor).

Permitted Liens” means any of the following as to which no enforcement, collection, execution, levy or foreclosure proceeding shall have been commenced (a) Liens for state, municipal or other local Taxes if such Taxes shall not at the time be due and payable or if a Person shall currently be contesting the validity thereof in good faith by appropriate proceedings and with respect to which reserves in accordance with GAAP have been provided on the books of such Person, (b) Liens imposed by law, such as materialmen’s, warehousemen’s, mechanics’, carriers’, workmen’s and repairmen’s Liens and other similar Liens, arising by operation of law in the ordinary course of business for sums that are not overdue or are being contested in good faith and (c) Liens granted pursuant to or by the Transaction Documents.

Permitted Refinancing” means any refinancing transaction undertaken by the Transferor, the Borrower or an Affiliate of the Transferor that is secured, directly or indirectly, by any Loan Asset currently or formerly included in the Collateral Portfolio or any portion thereof or any interest therein released from the Lien of this Agreement.

Permitted Securitization” means any private or public term or conduit securitization transaction (a) undertaken by the Transferor, the Borrower or an Affiliate of the Transferor, that is secured, directly or indirectly, by any Loan Asset currently or formerly included in the Collateral Portfolio or any portion thereof or any interest therein released from the Lien of this Agreement, including, without limitation, any collateralized loan obligation or collateralized debt obligation offering or other asset securitization and (b) in the case of a term securitization in which the Transferor or an Affiliate thereof or underwriter or placement agent has agreed to purchase or place 100% of the equity and non-investment grade tranches of notes issued in such term securitization transaction. For the avoidance of doubt, notwithstanding any agreement by the Transferor or an Affiliate to purchase or place 100% of the equity in such term securitization transaction, any such party agreeing to so purchase or place may designate other
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Persons as purchasers of such equity provided such party or parties remain primarily liable therefor if such designees fail to purchase or place in connection with the closing date of such term securitization and/or, after the closing of such term securitization, may transfer equity it purchases at the closing thereof.

Person” means an individual, partnership, corporation (including a statutory or business trust), company, limited liability company, limited liability partnership, joint stock company, trust, estate, unincorporated association, sole proprietorship, joint venture, nonprofit corporation, group, sector, government (or any agency, instrumentality or political subdivision thereof), territory or other entity or organization.

PIK Loan Asset” means a Loan Asset which provides for a portion of the interest that accrues thereon to be added to the principal amount of such Loan Asset for some period of the time prior to such Loan Asset requiring the current cash payment of such previously capitalized interest, which cash payment shall be treated as an Interest Collection at the time it is received; provided that, as of the applicable Cut-Off Date, notwithstanding the foregoing, no Loan Asset shall constitute a PIK Loan Asset if the portion of the interest accruing thereon that is contractually required to be paid in cash accrues at a rate equal to or in excess of (a) the applicable London interbank offered rate or SOFR rate plus 2.25%, if such Loan Asset is a Floating Rate Loan Asset with an interest rate based on the Benchmark applicable to such Loan Asset pursuant to the Loan Agreement for such Loan Asset, (b) the Applicable Prime Rate, if such Loan Asset is a Floating Rate Loan Asset with an interest rate based on the Applicable Prime Rate, and (c) 6.0%, if such Loan Asset is a Fixed Rate Loan Asset (any such Loan Asset described in this proviso, a “Partial PIK Loan Asset”).

Pledge” means the pledge of any Eligible Loan Asset or other Portfolio Asset pursuant to Article II.

Pledge Agreement” means that certain Pledge Agreement, dated as of the Restatement Date, between the Equityholder, as pledgor, and the Trustee, as pledgee, as such Pledge Agreement may from time to time be amended, restated, supplemented or otherwise modified from time to time in accordance with the terms thereof.

Portfolio Assets” means all Loan Assets owned by the Borrower, together with all proceeds thereof and other assets or property related thereto, including all right, title and interest of the Borrower in and to:
(a) any amounts on deposit in any cash reserve, collection, custody or lockbox accounts securing the Loan Assets;

(b) all rights with respect to the Loan Assets to which the Transferor is entitled as lender under the applicable Loan Agreement;

(c) the Controlled Accounts, together with all cash and investments in each of the foregoing other than amounts earned on investments therein;

(d) any Underlying Collateral securing a Loan Asset and all Recoveries related thereto, all payments paid in respect thereof and all monies due, to become due
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Pro Rata Share” means, with respect to each Lender, the percentage obtained by dividing the Commitment of such Lender (as determined under clause (i) of the definition of “Commitment”), by the aggregate Commitments of all the Lenders (as determined under clause (i) of the definition of “Commitment”).

Proceeds” means, with respect to any Collateral Portfolio, all property that is receivable or received when such Collateral Portfolio is collected, sold, liquidated, foreclosed, exchanged, or otherwise disposed of, whether such disposition is voluntary or involuntary, and includes all rights to payment with respect to any insurance relating to such Collateral Portfolio.

Purchase and Sale Agreements” means the First Tier Purchase and Sale Agreement and the Second Tier Purchase and Sale Agreement.

Purchase Price” means, with respect to any Loan Asset, an amount (expressed as a percentage) equal to (i) the purchase price paid by the Borrower for such Loan Asset (exclusive of any accrued interest, original issue discount and closing fees) divided by (ii) the Outstanding Balance of such Loan Asset outstanding as of the date of such purchase (exclusive of any accrued interest, original issue discount and closing fees); provided that any Loan Asset acquired by the Borrower in connection with the primary syndication of such Loan Asset and with a “Purchase Price” equal to or greater than 97% (including, for the avoidance of doubt, in excess of 100%) shall be deemed to have a “Purchase Price” equal to 100%.

QFC” has the meaning assigned to the term “qualified financial contract” in, and shall be interpreted in accordance with, 12 U.S.C. 5390(c)(8)(D).

Records” means all documents relating to the Loan Assets, including books, records and other information executed in connection with the origination or acquisition of the Collateral Portfolio or maintained with respect to the Collateral Portfolio and the related Obligors that the Borrower, the Transferor or the Servicer have generated, in which the Borrower, the Transferor or the Equityholder have acquired an interest pursuant to the Purchase and Sale Agreements or in which the Borrower, the Transferor or the Equityholder have otherwise obtained an interest.

Recoveries” means, as of the time any Underlying Collateral with respect to any Loan Asset subject to clauses (ii) or (iv) of the definition of “Value Adjustment Event”, as applicable, is sold, discarded or abandoned (after a determination by the Servicer that such Underlying Collateral has little or no remaining value) or otherwise determined to be fully liquidated by the Servicer in accordance with the Servicing Standard, the proceeds from the sale of the Underlying Collateral, the proceeds of any related Insurance Policy, any other recoveries with respect to such Loan Asset, as applicable, the Underlying Collateral, and amounts representing late fees and penalties, net of any amounts received that are required under such Loan Asset, as applicable, to be refunded to the related Obligor.

“Recurring Revenue” means with respect to any Recurring Revenue Loan Asset, the meaning of “Recurring Revenue” or any comparable definition in the Loan Agreements for each Loan Asset relating to recurring maintenance or support revenues, subscription revenues, and recurring revenues attributable to software licensed or sold (excluding one-time license revenues) in the related Loan Agreement, or in the case of any Loan Asset with respect to which the Loan Agreement does not include a definition of “Recurring Revenue” or any comparable
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term, the amount of revenues of such Obligor in respect of perpetual licenses, subscription agreements, maintenance streams or other similar and perpetual cash flow streams, as calculated by the Servicer in good faith using information from and calculations consistent with the relevant compliance statements and financial reporting packages provided by the relevant Obligor as per the requirements of the Loan Agreements, provided that such revenues shall be determined for such Obligor on an annualized basis.

“Recurring Revenue Loan Asset” means any commercial loan that (i) the related Obligor of which is organized under the law of the United States and is denominated in Dollars, (ii) is secured by a pledge of collateral, which security interest is validly perfected and first priority under Applicable Law, (iii) is principally an enterprise software business that derives revenue primarily under contractual agreements and/or selling software as a service, (iv) is structured based on a multiple of the related Obligor’s Recurring Revenue, and (v) contains a Recurring Revenue Loan Covenant Flip Scheduled Date and such date is no later than the three year anniversary of the Cut-Off Date unless otherwise approved by the Agent in its sole discretion; provided that the Agent may change the designation of such Loan Asset in its sole discretion if the covenants for such Loan Asset are replaced with traditional cash flow leverage lending covenants (such as those based on total leverage, senior leverage, and interest coverage) (a “Recurring Revenue Reclassification Date”). For any Loan Asset subject to a Recurring Revenue Reclassification Date, any references to the Senior Net Leverage Ratio, Assigned Value and Interest Coverage Ratio as of the Cut-Off Date for such Loan Asset will be to those ratios determined by the Agent in its sole discretion as of the Recurring Revenue Reclassification Date.

“Recurring Revenue Loan Covenant Flip Scheduled Date” means with respect to any Recurring Revenue Loan Asset, as of the Cut-Off Date, the scheduled date upon which the covenants for such Eligible Loan Asset are to be replaced with traditional cash flow leverage lending covenants (such as those based on total leverage, senior leverage, and interest coverage) as specified in the original Loan Agreements for such Loan Asset.

“Recurring Revenue Loan Gross Leverage Ratio” means with respect to any Recurring Revenue Loan Asset, the ratio of (a) Indebtedness to (b) Recurring Revenue, as calculated by the Borrower and the Servicer in good faith using information from and calculations consistent with the relevant compliance statements and financial reporting packages provided by the relevant Obligor as per the requirements of the related Loan Agreement.

Register” has the meaning assigned to that term in Section 2.14.

Registered” means, for the purposes of the definition of “Permitted Investments”, in registered form for United States federal income tax purposes and issued after July 18, 1984; provided that a certificate of interest in a grantor trust shall not be treated as Registered unless each of the obligations or securities held by the trust was issued after that date.

Reinvestment Period” means, the period commencing on the Closing Date and ending on the earliest to occur of (i) the three year anniversary of the SeventeenthEighteenth Amendment Effective Date (or such later date as is agreed to in writing by the Borrower, the Servicer, the Agent and the Lenders pursuant to Section 2.19), (ii) the occurrence of an Event of Default (past any applicable notice or cure period provided in the definition thereof) and (iii) the date of any voluntary termination by the Borrower pursuant to Section 2.18(b); provided that if
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any of the foregoing is not a Business Day, the Reinvestment Period shall end on the next succeeding Business Day.

Related Parties” means, with respect to any Person, such Person’s Affiliates and the partners, agents, trustees, administrators, managers, advisors and representatives of such Person and of such Person’s Affiliates.

Release Date has the meaning assigned to that term in Section 2.07(e).

Relevant Governmental Body” means the Federal Reserve Board and/or the Federal Reserve Bank of New York, or a committee officially endorsed or convened by the Federal Reserve Board and/or the Federal Reserve Bank of New York or any successor thereto.

Relevant Test Period” means, with respect to any Loan Asset, the relevant test period for the calculation of Senior Net Leverage Ratio, Net Leverage Ratio or Interest Coverage Ratio, as applicable, for such Loan Asset in the Loan Agreements or, if no such period is provided for therein, for Obligors delivering monthly financingfinancial statements, each period of the last 12 consecutive reported calendar months, and for Obligors delivering quarterly financingfinancial statements, each period of the last four consecutive reported fiscal quarters of the principal Obligor on such Loan Asset; provided that with respect to any Loan Asset for which the relevant test period is not provided for in the Loan Agreement, if an Obligor is a newly-formed entity as to which 12 consecutive calendar months have not yet elapsed, “Relevant Test Period” shall initially include the period from the date of formation of such Obligor to the end of the twelfth calendar month or fourth fiscal quarter (as the case may be) from the date of formation, and shall subsequently include each period of the last 12 consecutive reported calendar months or four consecutive reported fiscal quarters (as the case may be) of such Obligor.

Remittance Period” means, (i) as to the Initial Payment Date, the period beginning on January 1, 2010 and ending on, and including, the Determination Date immediately preceding such Payment Date and (ii) as to any subsequent Payment Date, the period beginning on the first day after the most recently ended Remittance Period and ending on, and including, the Determination Date immediately preceding such Payment Date, or, with respect to the final Remittance Period, the Collection Date.

Replacement Servicer” has the meaning assigned to that term in Section 6.01(c).

Reportable Event” means any of the events set forth in Section 4043(c) of ERISA, other than an event for which the 30 day notice period has been waived.

Reporting Date” means the date that is two Business Days prior to each Payment
Date.

Required Lenders” means (i) so long as Wells Fargo (or an Affiliate of Wells Fargo) is the Agent hereunder, Wells Fargo (as a Lender hereunder) and its successors and
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Restatement Agreement” has the meaning assigned to that term in the preamble hereto.

Restatement Date” means January 22, 2010.

Restricted Junior Payment” means (i) any dividend or other distribution, direct or indirect, on account of any class of membership interests of the Borrower now or hereafter outstanding, except a dividend paid solely in interests of that class of membership interests or in any junior class of membership interests of the Borrower; (ii) any redemption, retirement, sinking fund or similar payment, purchase or other acquisition for value, direct or indirect, of any class of membership interests of the Borrower now or hereafter outstanding, (iii) any payment made to redeem, purchase, repurchase or retire, or to obtain the surrender of, any outstanding warrants, options or other rights to acquire membership interests of the Borrower now or hereafter outstanding, and (iv) any payment of management fees by the Borrower (except for reasonable management fees to the Transferor or its Affiliates in reimbursement of actual management services performed). For the avoidance of doubt, (x) payments and reimbursements due to the Servicer in accordance with this Agreement or any other Transaction Document do not constitute Restricted Junior Payments, and (y) distributions by the Borrower to holders of its membership interests of Loan Assets or of cash or other proceeds relating thereto which have been substituted by the Borrower in accordance with this Agreement shall not constitute Restricted Junior Payments.

Retained Interest” means, with respect to any Agented Note that is transferred to the Borrower, (i) all of the obligations, if any, of the agent(s) under the documentation evidencing such Agented Note and (ii) the applicable portion of the interests, rights and obligations under the documentation evidencing such Agented Note that relate to such portion(s) of the indebtedness that is owned by another lender.

Revenue Recognition Implementation” means the implementation by an Obligor of IFRS 15/ASC 606.

Review Criteria” has the meaning assigned to that term in Section 12.02(b)(i).

Revolving Loan Asset” means a Loan Asset that is a line of credit or contains an unfunded commitment arising from an extension of credit by the Transferor to an Obligor, pursuant to the terms of which amounts borrowed may be repaid and subsequently reborrowed.

SBIC Subsidiary” means any direct or indirect wholly-owned Subsidiary (including such Subsidiary’s general partner or managing entity to the extent that the only material asset of such general partner or managing entity is its equity interests in the SBIC Subsidiary) of the Borrower licensed as a small business investment company under the Small Business Investment Act of 1958, as amended (or that has applied for such a license and is actively pursuing the granting thereof by appropriate proceedings promptly instituted and diligently conducted), and which is designated by the Borrower (pursuant to a certificate of a financial officer delivered to the Agent) as an SBIC Subsidiary.

S&P” means S&P Global Ratings and any successor thereto.

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Sanction” or “Sanctions” means, individually and collectively, respectively, any and all economic or financial sanctions, sectoral sanctions, secondary sanctions, trade embargoes and anti-terrorism laws imposed, administered or enforced from time to time by: (a) the United States of America, including those administered by the U.S. Department of the Treasury’s Office of Foreign Assets Control (“OFAC”), the U.S. Department of the Treasury, the U.S. Department of State, the U.S. Department of Commerce, or through any existing or future statute or executive order; (b) the United Nations Security Council; (c) the European Union; (d) the United Kingdom; or (e) any other Governmental Authorities with jurisdiction over the Borrower, the Servicer, the Equityholder or any of their respective Subsidiaries.

Sanctioned Person” means any Person that is a target of Sanctions, including without limitation, a Person that is: (a) on any list of targets identified or designated pursuant to any Sanctions, including those listed on OFAC’s Specially Designated Nationals (SDN) and Blocked Persons List and OFAC’s Consolidated Non-SDN List; (b) a legal entity that is deemed by OFAC to be a Sanctions target based on the direct or indirect ownership or control of such legal entity by Sanctioned Person(s); or (c) a Sanctions target of or subject to any territorial or country-based Sanctions program.

“SBIC Subsidiary” means any direct or indirect wholly-owned Subsidiary (including such Subsidiary’s general partner or managing entity to the extent that the only material asset of such general partner or managing entity is its equity interests in the SBIC Subsidiary) of the Borrower licensed as a small business investment company under the Small Business Investment Act of 1958, as amended (or that has applied for such a license and is actively pursuing the granting thereof by appropriate proceedings promptly instituted and diligently conducted), and which is designated by the Borrower (pursuant to a certificate of a financial officer delivered to the Agent) as an SBIC Subsidiary.

Scheduled Payment” means each scheduled payment of principal and/or interest required to be made by an Obligor on the related Loan Asset, as adjusted pursuant to the terms of the related Loan Agreement.

Second Amendment Effective Date” means January 18, 2011.

Second Lien Loan Asset” means any Loan Asset that (i) is secured by a valid and perfected second priority security interest on all of the Obligor’s assets constituting Underlying Collateral for the Loan Asset (whether or not there is also a security interest of a higher or lower priority in additional collateral), subject to any expressly permitted liens under the applicable covenants in the Loan Agreement for such Loan Asset, including those set forth in “permitted liens” as defined in the applicable Loan Agreement for such Loan Asset or such comparable definition if “permitted liens” is not defined therein, so long as such definition is reasonable and customary, (ii) with respect to priority of payment obligations is pari passu with the indebtedness of the holder with the first priority security interest except after an event of default thereunder and (iii) pursuant to an intercreditor agreement between the Borrower and the holder of such first priority security interest, the amount of the indebtedness covered by such first priority security interest is limited (in terms of aggregate dollar amount or percent of outstanding principal or both).




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Second Tier Loan Assignment” has the meaning set forth in the Second Tier Purchase and Sale Agreement.

Second Tier Purchase and Sale Agreement” means that certain Second Tier Purchase and Sale Agreement, dated as of the Restatement Date, between the Equityholder, as the seller, and the Borrower, as the purchaser, as amended, modified, waived, supplemented, restated or replaced from time to time.

Secured Party” means each of the Agent, each Lender (together with its successors and assigns), the Trustee, the Collateral Custodian, the Bank and each Hedge Counterparty.

Securities Act” means the U.S. Securities Act of 1933, as amended, and the rules and regulations promulgated thereunder.

Seller Parties” has the meaning assigned to that term in the definition of “Acquisition Agreement”.

Senior Net Leverage Ratio” means, with respect to any Loan Asset for any Relevant Test Period, the meaning of “Senior Net Leverage Ratio” or any comparable definition relating to first lien senior secured (or such applicable lien or applicable level within the capital structure) Indebtedness in the Loan Agreement for each such Loan Asset, and in any case that “Senior Net Leverage Ratio” or such comparable definition is not defined in such Loan Agreement, the ratio of (a) first lien senior secured (or such applicable lien or applicable level within the capital structure) Indebtedness (including First Lien Last Out Loan Assets) minus Unrestricted Cash, as of the applicable test date, to (b) EBITDA, for the applicable test period, as calculated by the Servicer in good faith using information from and calculations consistent with the relevant compliance statements and financial reporting packages provided by the relevant Obligor as per the requirements of the related Loan Agreement.

Servicer” means at any time the Person then authorized, pursuant to Section 6.01 to service, administer, and collect on the Loan Assets and exercise rights and remedies in respect of the same.

Servicer Pension Plan” has the meaning assigned to that term in Section 4.03(p).

Servicer Termination Event” means the occurrence of any one or more of the following events:

(a) any failure by the Servicer to make any payment, transfer or deposit into the Collection Account (including, without limitation, with respect to bifurcation and remittance of Interest Collections and Principal Collections) or the Unfunded Exposure Account, as required by this Agreement or any Transaction Document which continues unremedied for a period of five Business Days;

(b) any failure on the part of the Servicer duly to (i) observe or perform in any material respect any other covenants or agreements of the Servicer set forth in this


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customary and usual servicing practices for loans like the Loan Assets and, to the extent consistent with the foregoing, (i) if the Servicer is the originator or an Affiliate thereof, the higher of: (A) in a manner which the Servicer believes to be consistent with the practices and procedures followed by institutional servicers of national standing relating to assets of the nature and character of the Loan Assets, and (B) the same care, skill, prudence and diligence with which the Servicer services and administers loans for its own account or for the account of others, and (ii) if the Servicer is not the originator or an Affiliate thereof, the same care, skill, prudence and diligence with which the Servicer services and administers loans for its own account or for the account of others.

Seventh Amendment Effective Date” means October 8, 2024.

Shareholders’ Equity” means, at any date, the amount determined on a consolidated basis, without duplication, in accordance with GAAP, of shareholders equity for the Servicer and its Subsidiaries at such date.

SOFR” means, with respect to any day, the secured overnight financing rate published for such day by the SOFR Administrator on the SOFR Administrator’s Website.

SOFR Administrator” means The Federal Reserve Bank of New York (or any successor administrator).

SOFR Administrator’s Website means the website of the SOFR Administrator, currently at http://www.newyorkfed.org, or any successor source for the secured overnight financing rate identified as such by the SOFR Administrator from time to time.

SOFR Determination Day” has the meaning specified in the definition of “Daily Simple SOFR.”

SOFR Rate Day” has the meaning specified in the definition of “Daily Simple SOFR.”

Spread Differential” means, for any date of determination, (a) the weighted average interest rate of the Loan Assets included in the Collateral Portfolio on such date minus (b) the Yield Rate for such date.

Spread Excess” means, as of any date of determination, a fraction (expressed as a percentage) the numerator of which is the product of (i) the greater of zero and the excess of the Weighted Average Spread for such date of determination over the Minimum Weighted Average Spread on such date of determination and (ii) the Adjusted Borrowing Value of all Floating Rate Loan Assets (excluding any defaulted Loan Assets) held by the Borrower as of such date of determination, and the denominator of which is the Adjusted Borrowing Value of all Fixed Rate Loan Assets (excluding any defaulted Loan Assets) held by the Borrower as of such date of determination.


State” means one of the fifty states of the United States or the District of Columbia.

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Stated Maturity Date” means, the five year anniversary following the SeventeenthEighteenth Amendment Effective Date or such later date as is agreed to in writing by the Borrower, the Servicer, the Agent and the Lenders pursuant to Section 2.19.

Subsidiary” means with respect to a person, a corporation, partnership or other entity of which shares of stock or other ownership interests having ordinary voting power (other than stock or such other ownership interests having such power only by reason of the happening of a contingency) to elect a majority of the board of directors or other managers of such corporation, partnership or other entity are at the time owned, or the management of which is otherwise controlled, directly or indirectly through one or more intermediaries, or both, by such person.

Substitute Eligible Loan Asset” means each Eligible Loan Asset Pledged by the Borrower to the Trustee, on behalf of the Secured Parties, pursuant to Section 2.07(a) or Section 2.07(e)(ii).

Supermajority” means a combination of Lenders representing an aggregate of more than 66-2/3% of the aggregate Commitments of the Lenders then in effect; provided that, if there are two or more unaffiliated Lenders party to this Agreement as of the applicable date of determination, then at least two such Lenders shall be required to constitute a Supermajority; provided further that the Commitment of, and the portion of any outstanding Advances, as applicable, held or deemed held by, any Defaulting Lender shall be excluded for purposes of making a determination of a Supermajority.

Swingline Advance” means any swingline loan made by the Swingline Lender to the Borrower pursuant to Section 2.01, and all such swingline loans collectively as the context requires.

Swingline Commitment” means the commitment of the Swingline Lender to fund Swingline Advances, subject to the terms and conditions herein, in an amount not greater than $200,000,000 (without regard to any future reimbursement of Swingline Advances by the Lenders), as such amount may be reduced, increased or assigned from time to time pursuant to the provisions of this Agreement. The Swingline Commitment is a sub-limit of the Commitment of the Swingline Lender, in its capacity as a Lender hereunder, and is not in addition thereto.

Swingline Lender” means Wells Fargo in its capacity as swingline lender hereunder or any successor thereto.

Swingline Refund Date” has the meaning assigned to that term in Section 2.25(a).

TARGET2” means the Trans-European Automated Real-time Gross Settlement Express Transfer payment system which utilizes a single shared platform and which was launched on November 19, 2007.

TARGET Day” means any day on which TARGET2 is open for the settlement of payments in EUR.
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Taxes” means any present or future taxes, levies, imposts, duties, charges, assessments or fees of any nature (including interest, penalties, and additions thereto) that are imposed by any Governmental Authority.

Term Loan Asset” means a Loan Asset that is a term loan that has been fully funded and does not contain any unfunded commitment on the part of the Transferor arising from an extension of credit by the Transferor to an Obligor.

Third Party Acquired Loan Asset” means any Loan Asset purchased by the Transferor from third parties not Affiliated with the Transferor and then sold from the Transferor to the Equityholder pursuant to the First Tier Purchase and Sale Agreement and from the Equityholder to the Borrower pursuant to the Second Tier Purchase and Sale Agreement.

Thirteenth Amendment Effective Date” means January 31, 2020.

Transaction Documents” means this Agreement, any Hedging Agreement, any Joinder Supplement, the Purchase and Sale Agreements, the Participation Agreement, the Collection Account Agreement, the Unfunded Exposure Account Agreement, the Trustee and Collateral Custodian Fee Letter, any Lender Fee Letter, the Pledge Agreement and each document, instrument or agreement related to any of the foregoing.

Transferee Letter” has the meaning assigned to that term in Section 2.22.

Transferor” means Ares, in its capacity as the transferor hereunder and as the seller under the First Tier Purchase and Sale Agreement, together with its successors and assigns in such capacity.

Trustee” has the meaning assigned to that term in the preamble hereto.

Trustee Expenses” means the trustee expenses set forth in the Trustee and Collateral Custodian Fee Letter and any other accrued and unpaid fees, expenses (including reasonable attorneys’ fees, costs and expenses) and indemnity amounts payable by the Borrower or the Servicer to the Trustee under the Transaction Documents.

Trustee and Collateral Custodian Fee Letter” means the Trustee and Collateral Custodian Fee Letter, dated as of the Restatement Date and amended and restated on the Fifth Amendment Effective Date, between the Trustee, the Collateral Custodian, the Borrower, the Servicer and the Agent, as such letter may be amended, modified, supplemented, restated or replaced from time to time.

“Trustee Expenses” means the trustee expenses set forth in the Trustee and Collateral Custodian Fee Letter and any other accrued and unpaid fees, expenses (including reasonable attorneys’ fees, costs and expenses) and indemnity amounts payable by the Borrower
or the Servicer to the Trustee under the Transaction Documents.
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Loan Asset or Delayed Draw Loan Asset and (ii) the Assigned Value for such Revolving Loan Asset or Delayed Draw Loan Asset.

Unfunded Exposure Equity Shortfall” means, as of any date of determination, an amount equal to the excess, if any, of (i) the aggregate of all Unfunded Exposure Equity Amounts over (ii) the amount on deposit in the Unfunded Exposure Account.

United States” means the United States of America.

Unmatured Event of Default” means any event that, if it continues uncured, will, with lapse of time, notice or lapse of time and notice, constitute an Event of Default.

Unrestricted Cash” the meaning of “Unrestricted Cash” or any comparable definition in the Loan Agreements for each Loan Asset, and in any case that “Unrestricted Cash” or such comparable definition is not defined in such Loan Agreement, all cash available for use for general corporate purposes and not held in any reserve account or legally or contractually restricted for any particular purposes or subject to any lien (other than blanket liens permitted under or granted in accordance with such Loan Agreement).

U.S. Government Securities Business Day” means any day except for (a) a Saturday, (b) a Sunday or (c) a day on which the Securities Industry and Financial Markets Association recommends that the fixed income departments of its members be closed for the entire day for purposes of trading in United States government securities.

U.S. Special Resolution Regime” means each of (i) the Federal Deposit Insurance Act and the regulations promulgated thereunder and (ii) Title II of the Dodd-Frank Wall Street Reform and Consumer Protection Act and the regulations promulgated thereunder.

Value Adjustment Event” means, with respect to any Loan Asset, the occurrence of any one or more of the following events after the related Cut-Off Date:

(i)(x) the Interest Coverage Ratio for any Relevant Test Period with respect to such Loan Asset is (A) less than 85% of the Interest Coverage Ratio with respect to such Loan Asset as calculated on the applicable Cut-Off Date or the Recurring Revenue Reclassification Date (if applicable), and (B) less than 1.50:1.00, or (y) the Senior Net Leverage Ratio (or, with respect to any Second Lien Loan Asset or Designated Loan Asset, the Net Leverage Ratio) for any Relevant Test Period of the related Obligor with respect to such Loan Asset is (A) more than 0.75x higher than such ratio as calculated on the applicable Cut-Off Date or the Recurring Revenue Reclassification Date (if applicable), and (B) greater than 3.50:1.00; provided that in connection with any Revenue Recognition Implementation or any Operating Lease Implementation, the Agent (with the consent of the Servicer (such consent not to be unreasonably withheld, delayed or conditioned)) may retroactively adjust the Interest Coverage Ratio, the Senior Net Leverage Ratio, or the Net Leverage Ratio for any Loan Asset as determined on the applicable Cut-Off Date or the Recurring Revenue Reclassification Date (if applicable);

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(ii) an Obligor payment default under any Loan Asset (after giving effect to any applicable grace or cure periods, but in any case not to exceed five Business Days, in accordance with the Loan Agreement);

(iii) (x) the failure to deliver a “loan level” financial reporting package no later than 45 days after the end of each month (to the extent required by the underlying loan documents), 60 days after the end of each quarter or 130 days after the end of each fiscal year, or such greater number of days as allowed in the Loan Agreement, including any grace and/or cure periods set forth in the Loan Agreement, but which shall in no case exceed 150 days after the end of each fiscal year (unless waived or otherwise agreed to by the Agent in its sole discretion) or (y) any other Obligor default under any Loan Asset (after giving effect to any applicable grace or cure periods in accordance with the Loan Agreement) that could reasonably be expected to have a material and adverse effect on the creditworthiness of such Obligor or on the collectability of any amount required to be paid under the related Loan Agreement for such Loan Asset;

(iv)a Bankruptcy Event with respect to the related Obligor;

(v)the occurrence of a Material Modification (in accordance with clauses (b)-(c) or clauses (e)-(g) of the definition thereof) with respect to such Loan Asset;

(vi)the occurrence of a Material Modification (in accordance with clauses (a) or (d) of the definition thereof) with respect to such Loan Asset;

(vii)solely with respect to Recurring Revenue Loan Assets, the Recurring Revenue Loan Gross Leverage Ratio with respect to such Eligible Loan Asset increases by greater than 10.0% from the applicable Cut-Off Date;

(viii)solely with respect to Recurring Revenue Loan Assets, either the covenants for such Eligible Loan Asset fail to be replaced with traditional cash flow leverage lending covenants by the Recurring Revenue Loan Covenant Flip Scheduled Date or the Recurring Revenue Loan Covenant Flip Scheduled Date is extended;

(ix)solely with respect to Recurring Revenue Loan Assets, such Eligible Loan Asset fails to maintain a liquidity amount (x) of at least 1.2x greater than the applicable “liquidity covenant” (or such comparable definition) in the applicable Loan Agreements or (y) if such “liquidity covenant” is not available in the applicable Loan Agreement, determined by the Agent on the applicable Approval Notice for such Recurring Revenue Loan Asset.

Warranty Event” means, as to any Loan Asset, the discovery that as of the related Cut-Off Date for such Loan Asset there existed a breach of any representation or warranty relating to such Loan Asset, whether pursuant to this Agreement (as amended and restated) or pursuant to the Restatement Agreement or to the Original Agreement, as applicable (other than any representation or warranty that the Loan Asset satisfies the criteria of the definition of Eligible Loan Asset) and the failure of Borrower to cure such breach, or cause the same to be cured, within 30 days after the earlier to occur of the Borrower’s receipt of notice thereof from the Agent or the Borrower becoming aware thereof.
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Warranty Loan Asset” means any Loan Asset that fails to satisfy any criteria of the definition of Eligible Loan Asset as of the Cut-Off Date for such Loan Asset (or any Loan Asset that failed to satisfy any criteria of the definition of “Eligible Loan” as defined in the Restatement Agreement or the Original Agreement, as applicable, as of the Cut-Off Date for such Loan Asset) or a Loan Asset with respect to which a Warranty Event has occurred; provided that any Loan Asset approved by the Agent in accordance with Section 11 of Schedule III on the applicable Cut-Off Date shall not be a Warranty Loan Asset due to the failure of such Loan Asset to satisfy the requirements of Section 11 of Schedule III on any date thereafter.

Weighted Average Applicable Percentage” means, on any date of determination, the number (expressed as a percentage) equal to a fraction (i) the numerator of which is the sum of the products of (a) the Applicable Percentage of each Eligible Loan Asset included in the Collateral Portfolio on such date multiplied by (b) the Adjusted Borrowing Value of the applicable Eligible Loan Asset on such date, and (ii) the denominator of which is the aggregate Adjusted Borrowing Value of all Eligible Loan Assets forming a part of the Collateral Portfolio on such date.

Weighted Average Coupon” means, as of any date of determination, the number (expressed as a percentage) equal to (i) the Aggregate Funded Coupon divided by (ii) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets included in the Collateral Portfolio that are Fixed Rate Loan Assets; provided that, if the foregoing amount is less than the Minimum Weighted Average Coupon, the amount of the Spread Excess, if any, as of such date of determination, shall be added to such amount.

Weighted Average Spread” means, as of any date of determination, the number (expressed as a percentage) equal to (i) the Aggregate Funded Spread divided by (ii) the aggregate Adjusted Borrowing Value of all Eligible Loan Assets included in the Collateral Portfolio that are Floating Rate Loan Assets; provided that, if the foregoing amount is less than the Minimum Weighted Average Spread, the amount of the Fixed Rate Excess, if any, as of such date of determination, added to such amount.

Wells Fargo” has the meaning assigned to that term in the preamble hereto.

Wells Fargo Fee Letter” means the Lender Fee Letter, dated the Closing Date and amended and restated on the Eleventh Amendment Effective Date, among the Borrower, Ares, the Agent and Wells Fargo (as further amended, modified, supplemented or restated from time to time).

“WFS” has the meaning assigned to that term in the Preliminary Statement.

Write-Down and Conversion Powers” has the meaning assigned to that term in Section 11.14.





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WFS” has the meaning assigned to that term in the Preliminary Statement.

Yield” means with respect to any Remittance Period, the sum for each day in such Remittance Period determined in accordance with the following formula:

YR x L
D

where:YR=the Yield Rate applicable on such day;
L=the Advances Outstanding on such day; and
D=360 or, to the extent the Yield Rate is the
Base Rate, 365 or 366 days, as applicable;

provided that (i) no provision of this Agreement shall require the payment or permit the collection of Yield in excess of the maximum permitted by Applicable Law and (ii) Yield shall not be considered paid by any distribution if at any time such distribution is later required to be rescinded by any Lender to the Borrower or any other Person for any reason including, without limitation, such distribution becoming void or otherwise avoidable under any statutory provision or common law or equitable action, including, without limitation, any provision of the Bankruptcy Code.

Yield Rate” means, as of any date of determination, an interest rate per annum equal to the applicable Benchmark for such date (not less than zero) plus the Applicable Spread; provided that if a Lender shall have notified the Agent that a Disruption Event has occurred with respect to such Benchmark, the applicable Yield Rate shall be equal to the Base Rate plus the Applicable Spread until such Lender shall have notified the Agent that such Disruption Event has ceased, at which time the applicable Yield Rate shall again be equal to such Benchmark for such date plus the Applicable Spread.

Section 1.02 Other Terms. All accounting terms used but not specifically defined herein shall be construed in accordance with GAAP. All terms used in Article 9 of the UCC in the State of New York, and used but not specifically defined herein, are used herein as defined in such Article 9.

Section 1.03 Computation of Time Periods. Unless otherwise stated in this Agreement, in the computation of a period of time from a specified date to a later specified date, the word “from” means “from and including” and the words “to” and “until” each mean “to but excluding.”

Section 1.04 Interpretation.

In each Transaction Document, unless a contrary intention appears:

(a) the singular number includes the plural number and vice versa;
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(vi)pro rata to the Agent (for the account of each Lender), the Agent (for its own account) or the Trustee (on behalf of itself and the Collateral Custodian and the Bank), as applicable, all accrued and unpaid fees, expenses (including reasonable attorneys’ fees, costs and expenses) and indemnity amounts payable by the Borrower to any Lender, the Agent, the Trustee, the Bank or the Collateral Custodian under the Transaction Documents;

(vii)(a) prior to the end of the Reinvestment Period, if any Borrowing Base Deficiency is a result of a shortfall in the Unfunded Exposure Amount, at the discretion and direction of the Servicer, to fund the Unfunded Exposure Account (in an amount upequal to the aggregate of all Unfunded Exposure Equity AmountsShortfall), and (b) after the end of the Reinvestment Period but prior to the Facility Maturity Date, to fund the Unfunded Exposure Account (in an amount upequal to the aggregate of allUnfunded Exposure AmountsAmount);

(viii)to the Agent to be distributed pro rata to each Lender, an amount necessary to satisfy any outstanding Borrowing Base Deficiency not paid in Section 2.04(a)(vii), pro rata in accordance with the amount of Advances Outstanding;

(ix)to the Agent to be distributed pro rata to each Lender, to pay the Advances Outstanding, including any Commitment Termination Premium, in connection with any complete refinancing or termination of this Agreement in accordance with Section 2.18(b);

(x)pro rata in accordance with the amounts due under this clause, to each Hedge Counterparty, any Hedge Breakage Costs owing to that Hedge Counterparty under its respective Hedging Agreement;

(xi)to pay any other amounts due (other than with respect to the repayment of Advances) under this Agreement and the other Transaction Documents (including any indemnity amounts due from the Borrower hereunder and thereunder);

(xii)to the Servicer, in respect of all reasonable expenses (except allocated overhead) incurred during the immediately ended Remittance Period in connection with the performance of its duties hereunder or paid on behalf of the Borrower, plus any outstanding deferred reimbursement amount plus interest thereon as further set forth in Section 6.07; and

(xiii)(A) during an Unmatured Event of Default, to remain in the Collection Account or (B) otherwise, at the Borrower’s election and with prior written notice to the Trustee (which notice may be set forth in the applicable Servicing Report), to the Borrower, any remaining amounts.

(b) Principal Payments Absent an Event of Default. On each Payment Date, so long as no Event of Default has occurred and, in any case, prior to the Facility Maturity Date, the Servicer shall (as directed pursuant to the first paragraph of this Section 2.04) transfer Principal Collections held by the Bank in the Collection Account, in accordance with the Servicing Report, to the following Persons in the following amounts, calculated as of the Determination Date immediately preceding any Payment Date, and priority:

(i) to pay amounts due under Section 2.04(a)(i) through (vi), to the extent not paid thereunder;

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(ii) (a) prior to the end of the Reinvestment Period, at the discretion and direction of the Servicer, to fund the Unfunded Exposure Account (in an amount upequal to the aggregate of all Unfunded Exposure Equity AmountsShortfall) and (b) after the end of the Reinvestment Period but prior to the Facility Maturity Date, to fund the Unfunded Exposure Account (in an amount upequal to the aggregate of allUnfunded Exposure Equity AmountsAmount);

(iii) (a) prior to the end of the Reinvestment Period, to the Agent to be distributed pro rata to each Lender, an amount necessary to satisfy any outstanding Borrowing Base Deficiency, pro rata in accordance with the amount of Advances Outstanding and (b) after the end of the Reinvestment Period but prior to the Facility Maturity Date, to the Agent to be distributed pro rata to each Lender, an amount necessary to pay the Advances Outstanding, including any Commitment Termination Premium, until paid in full, pro rata in accordance with the amount of Advances Outstanding;

(iv) pro rata in accordance with the amounts due under this clause, to each Hedge Counterparty, any Hedge Breakage Costs owing to that Hedge Counterparty under its respective Hedging Agreement;

(v) to pay any other amounts due under this Agreement and the other Transaction Documents (including any indemnity amounts due from the Borrower hereunder and thereunder);

(vi) to the Servicer, in respect of all reasonable expenses (except allocated overhead) incurred during the immediately ended Remittance Period in connection with the performance of its duties hereunder or paid on behalf of the Borrower, plus any outstanding deferred reimbursement amount plus interest thereon as further set forth in Section 6.07; and

(vii) (A) during an Unmatured Event of Default, to remain in the Collection Account or (B) otherwise, at the Borrower’s election and with prior written notice to the Trustee (which notice may be set forth in the applicable Servicing Report), to the Borrower, any remaining amounts.

(c) Payment Date Transfers Upon the Occurrence of an Event of Default. On each Payment Date, if an Event of Default has occurred, or in any case on and after the Facility Maturity Date, the Servicer shall (as directed pursuant to the first paragraph of this Section 2.04) transfer collected funds held by the Bank in the Collection Account, in accordance with the Servicing Report, to the following Persons in the following amounts, calculated as of the Determination Date immediately preceding any Payment Date, and priority:





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limited to, expenses incurred in connection with the release of the Lien of the Trustee on behalf of the Secured Parties and any other party having an interest in the Loan Asset in connection with such sale, substitution or repurchase);

(ix) the Borrower shall pay any Hedge Breakage Costs arising as a result of such sale, substitution or repurchase and owed to the relevant Hedge Counterparty for any termination of one or more Hedge Transactions, in whole or in part, if applicable, as required by the terms of any Hedging Agreement; and

(x) other than in the case of Section 2.07(e) and solely in the event that Ares or an Affiliate is no longer the Servicer and the Facility Maturity Date has not yet occurred (or, in the case of the declaration of the Facility Maturity Date that arises solely pursuant to Section 7.01(d) due solely to the occurrence of an event described in clauses (g) or (h) of the definition of “Servicer Termination Event” or clause (o) of the definition of “Servicer Termination Event” (to the extent arising solely due to the occurrence of an event described in clauses (g) or (h) of the definition thereof)), until on or after the earlier of (x) the date that is twelve months after the occurrence of such Facility Maturity Date or (y) the occurrence of a Facility Maturity Date for any other reason other than an event described in clauses (g) or (h) of the definition of “Servicer Termination Event” or clause (o) of the definition of “Servicer Termination Event” (to the extent arising solely due to the occurrence of an event described in clauses (g) or (h) of the definition thereof), the Borrower shall have consented to such sale or substitution.

(g) Affiliate Transactions. Notwithstanding anything to the contrary set forth herein or in any other Transaction Document, neither the Equityholder nor the Transferor (nor any Affiliate thereof) shall reacquire from the Borrower and the Borrower shall not transfer to the Equityholder, the Transferor or to Affiliates of the Transferor or the Equityholder, and none of the Transferor, the Equityholder nor any Affiliates thereof will have a right or ability to purchase, the Loan Assets other than (i) as not prohibited by Section 2.07(h) and (ii) in sales on an arms’ length basis and for fair market value or at a price specified herein; provided that (x) the proceeds of such sale shall be deposited into the Principal Collection Account to be disbursed in accordance with Section 2.04, (y) no event has occurred, or would result from such sale, which constitutes an Event of Default and no event has occurred and is continuing, or would result from such sale, which constitutes an Unmatured Event of Default or a Borrowing Base Deficiency; and (z) the Agent shall provide prior written consent to such sale. For the avoidance of doubt, nothing in this clause (g) shall prohibit the Borrower or the Equityholder, respectively, from transferring or distributing its Loan Assets to the holders of its equity or Affiliates, as applicable, in accordance with Section 2.07(a), 2.07(c), 2.07(d) or 2.07(e) herein and subject to the limitations, if applicable, of Section 2.07(h).

(h) Limitations on Sales, Substitutions and Repurchases.

(i) The Outstanding Balance of all Loan Assets subject to clauses (ii), (iv) or (vi) of the definition of “Value Adjustment Event” which were included in all Lien Release Dividends or substituted by the Borrower pursuant to Section 2.07(a), in each case during the 12-month period immediately preceding the proposed Lien Release Dividend Date or date of substitution, as applicable, does not exceed 10% of the highest
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perfected security interest in such account, as evidenced by an Opinion of Counsel reasonably acceptable to the Agent).

(q) Taxable Mortgage Pool Matters. The sum of the Outstanding Balances of all Loan Assets owned by the Borrower and that are principally secured by an interest in real property (within the meaning of Treasury Regulation Section 301.7701(i)-1(d)(3)) shall not at any time exceed 35% of the aggregate Outstanding Balance of all Loan Assets.[Reserved].

(r) Change of Jurisdiction, Location, Names or Location of Loan Asset Files. The Borrower shall not change the jurisdiction of its formation, make any change to its corporate name or use any tradenames, fictitious names, assumed names, “doing business as” names or other names (other than those listed on Schedule II hereto, as such schedule may be revised from time to time to reflect name changes and name usage permitted under the terms of this Section 5.02(r) after compliance with all terms and conditions of this Section 5.02(r) related thereto) unless, prior to the effective date of any such change in the jurisdiction of its formation, name change or use, the Borrower receives prior written consent from the Agent of such change and delivers to the Agent such financing statements as the Agent may request to reflect such name change or use, together with such Opinions of Counsel and other documents and instruments as the Agent may request in connection therewith. The Borrower will not change the location of its chief executive office unless prior to the effective date of any such change of location, the Borrower notifies the Agent of such change of location in writing. The Borrower will not move, or consent to the Collateral Custodian or the Servicer moving, the Loan Asset Files from the location thereof on the Restatement Date, unless 30 days (or such shorter notice period as consented to by the Agent) prior to the effective date of any such move, the Borrower notifies the Agent of such move in writing. The Agent will provide each Lender with a copy of any such financing statements, other documents and instruments, and notices promptly upon receipt thereof.

(s) Allocation of Charges. There will not be any agreement or understanding between the Servicer and the Borrower (other than as expressly set forth herein or as consented to by the Agent), providing for the allocation or sharing of obligations to make payments or otherwise in respect of any Taxes, fees, assessments or other governmental charges; provided that it is understood and acknowledged that the Borrower will be consolidated with the Servicer for tax purposes.

(t) Deposits to Special Accounts. The Borrower will not deposit or otherwise credit, or cause to be so deposited or credited, to the Collection Account cash or cash proceeds other than Available Collections in respect of the Collateral Portfolio.

Section 5.03 Affirmative Covenants of the Servicer.

From the Closing Date until the Collection Date:

(a) Compliance with Law. The Servicer will comply in all material respects with all Applicable Law, including those with respect to servicing the Collateral Portfolio or any part thereof pursuant to the terms hereof.
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Acquisition Participation Interests) may be instructed to make payments shall be subject to an account control agreement which provides the Trustee with a first priority perfected security interest in such account, as evidenced by an Opinion of Counsel reasonably acceptable to the Agent).

(d) Extension or Amendment of Loan Assets. The Servicer will not, except as otherwise permitted in Section 6.04(a), extend, amend or otherwise modify the terms of any Loan Asset (including the Underlying Collateral).

(e) Taxable Mortgage Pool Matters. The Servicer will manage the portfolio and advise the Borrower with respect to purchases from the Equityholder so as to not at any time allow the sum of the Outstanding Balances of all Loan Assets owned by the Borrower and that are principally secured by an interest in real property (within the meaning of Treasury Regulation Section 301.7701(i)-1(d)(3)) to exceed 35% of the aggregate Outstanding Balance of all Loan Assets[Reserved].

(f) Allocation of Charges. There will not be any agreement or understanding between the Servicer and the Borrower (other than as expressly set forth herein or as consented to by the Agent), providing for the allocation or sharing of obligations to make payments or otherwise in respect of any Taxes, fees, assessments or other governmental charges; provided that it is understood and acknowledged that the Borrower will be consolidated with the Servicer for tax purposes.

(g) Compliance with Sanctions. None of the Servicer, any Person directly or (to the knowledge of the Servicer) indirectly Controlling the Servicer nor any Person directly or (to the knowledge of the Servicer) indirectly Controlled by the Servicer will, directly or indirectly, use the proceeds of any Advance hereunder, or lend, contribute, or otherwise make available such proceeds to any subsidiary, joint venture partner, or other Person (i) to fund, finance or facilitate any activities or business of or with a Sanctioned Person, or (ii) in any manner that would be prohibited by Sanctions or would otherwise cause any Lender to be in breach of any Sanctions. Each Person shall comply with all applicable Sanctions in all material respects, and shall maintain policies and procedures reasonably designed to ensure compliance with Sanctions. Each Person will notify each Lender and the Agent in writing not more than one (1) Business Day after becoming aware of any breach of this section.

Section 5.05 Affirmative Covenants of the Trustee.

From the Closing Date until the Collection Date:

(a) Compliance with Law. The Trustee will comply in all material respects with all Applicable Law.

(b) Preservation of Existence. The Trustee will preserve and maintain its existence, rights, franchises and privileges in the jurisdiction of its formation and qualify and remain qualified in good standing in each jurisdiction where failure to preserve and maintain such existence, rights, franchises, privileges and qualification could reasonably be expected to have a Material Adverse Effect.
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Section 5.06 Negative Covenants of the Trustee.

From the Closing Date until the Collection Date, the Trustee will not make any changes to the Trustee Fees without the prior written approval of the Agent and the Borrower.

Section 5.07 Affirmative Covenants of the Collateral Custodian.

From the Closing Date until the Collection Date:

(a) Compliance with Law. The Collateral Custodian will comply in all material respects with all Applicable Law.

(b) Preservation of Existence. The Collateral Custodian will preserve and maintain its existence, rights, franchises and privileges in the jurisdiction of its formation and qualify and remain qualified in good standing in each jurisdiction where failure to preserve and maintain such existence, rights, franchises, privileges and qualification could reasonably be expected to have a Material Adverse Effect.

(c) Location of Required Loan Documents. Subject to Article XII of this Agreement, the Required Loan Documents shall remain at all times in the possession of the Collateral Custodian at the address set forth under its name in Section 11.02 unless notice of a different address is given in accordance with the terms hereof or unless the Agent agrees to allow
certain Required Loan Documents to be released to the Servicer on a temporary basis in accordance with the terms hereof, except as such Required Loan Documents may be released pursuant to the terms of this Agreement.

Section 5.08 Negative Covenants of the Collateral Custodian.

From the Closing Date until the Collection Date:

(a) Required Loan Documents. The Collateral Custodian will not dispose of any documents constituting the Required Loan Documents in any manner that is inconsistent with the performance of its obligations as the Collateral Custodian pursuant to this Agreement and will not dispose of any Collateral Portfolio except as contemplated by this Agreement.

(b) No Changes in Collateral Custodian Fees. The Collateral Custodian will not make any changes to the Collateral Custodian Fees without the prior written approval of the Agent and the Borrower.

Section 5.09 Covenants of the Borrower Relating to Hedging of Loan Assets.

(a) At any time prior to an Event of Default, the Borrower may enter into HedgeHedging Agreements for certain Fixed Rate Loan Assets with a Hedge Counterparty with the prior consent of the Agent (such consent not to be unreasonably withheld or delayed). After an Event of Default or at any time after the Spread Differential has fallen below 1.50%, the Agent may, at its sole discretion, direct the Borrower to enter into Hedge Transactions for certain Fixed Rate Loan Assets.

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(e) Controlled Accounts. Each of the parties hereto hereby agrees that (i) each Controlled Account is intended to be a “securities account” or “deposit account” within the meaning of the UCC and (ii) except as otherwise expressly provided herein and in the Collection Account Agreement or Unfunded Exposure Account Agreement, as applicable, prior to the delivery of a notice of exclusive control, the Borrower, the Servicer and the Trustee (acting at the direction of the Agent) shall be entitled to exercise the rights that comprise each Financial Asset held in each Controlled Account which is a securities account and have the right to direct the disposition of funds in any Controlled Account which is a deposit account; provided that after the delivery of a notice of exclusive control, such rights shall be exclusively held by the Trustee (acting at the direction of the Agent). Each of the parties hereto hereby agrees to cause the securities intermediary that holds any money or other property for the Borrower in a Controlled Account that is a securities account to agree with the parties hereto that (A) the cash and other property (subject to Section 6.04(f) below with respect to any property other than investment property, as defined in Section 9-102(a)(49) of the UCC) is to be treated as a Financial Asset under Article 8 of the UCC and (B) regardless of any provision in any other agreement, for purposes of the UCC, with respect to the Controlled Accounts, New York shall be deemed to be the Bank’s jurisdiction (within the meaning of Section 9-304 of the UCC) and the securities intermediary’s jurisdiction (within the meaning of Section 8-110 of the UCC). All securities or other property underlying any Financial Assets credited to the Controlled Accounts in the form of securities or instruments shall be registered in the name of the Bank or if in the name of the Borrower or the Trustee, Indorsed to the Bank, Indorsed in blank, or credited to another securities account maintained in the name of the Bank, and in no case will any Financial Asset credited to the Controlled Accounts be registered in the name of the Borrower, payable to the order of the Borrower or specially Indorsed to the Borrower, except to the extent the foregoing have been specially Indorsed to the Bank or Indorsed in blank.

(f) Loan Agreements. Notwithstanding any term hereof (or any term of the UCC that might otherwise be construed to be applicable to a “securities intermediary” as defined in the UCC) to the contrary, none of the Trustee, the Collateral Custodian nor any securities intermediary shall be under any duty or obligation in connection with the acquisition by the Borrower, or the grant by the Borrower to the Trustee, of any Loan Asset in the nature of a loan or a participation in a loan to examine or evaluate the sufficiency of the documents or instruments delivered to it by or on behalf of the Borrower under the related Loan Agreements, or otherwise to examine the Loan Agreements, in order to determine or compel compliance with any applicable requirements of or restrictions on transfer (including without limitation any necessary consents). The Collateral Custodian shall hold any Instrument delivered to it evidencing any Loan Asset granted to the Trustee hereunder as custodial agent for the Trustee in accordance with the terms of this Agreement.

(g) Adjustments. If (i) the Servicer makes a deposit into the Collection Account in respect of aan Interest Collection or Principal Collection of a Loan Asset and such Interest Collection or Principal Collection was received by the Servicer in the form of a check that is not honored for any reason or (ii) the Servicer makes a mistake with respect to the amount of any Interest Collection or Principal Collection and deposits an amount that is less than or more than the actual amount of such Interest Collection or Principal Collection, the Servicer shall appropriately adjust the amount subsequently deposited into the Collection Account to

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registration statement or contract or other document approved in advance by the Borrower, the Servicer, the Equityholder or the Transferor or (e) to any Affiliate, independent or internal auditor, agent, employee or attorney of the Trustee or the Collateral Custodian having a need to know the same, provided that the disclosing party advises such recipient of the confidential nature of the information being disclosed; or (iii) any other disclosure authorized by the Borrower, Servicer, the Equityholder or the Transferor.

Section 11.14 Acknowledgement and Consent to Bail-In of EEA Financial Institutions.

(a) Notwithstanding anything to the contrary in any Transaction Document or in any other agreement, arrangement or understanding among the respective parties thereto, each party hereto acknowledges that any liability of any EEA Financial Institution arising under any LoanTransaction Document, to the extent such liability is unsecured, may be subject to the write-down and conversion powers of an EEA Resolution Authority and agrees and consents to, and acknowledges and agrees to be bound by:

(i) the application of any Write-Down and Conversion Powers by an EEA Resolution Authority to any such liabilities arising hereunder which may be payable to it by any party hereto that is an EEA Financial Institution; and

(ii) the effects of any Bail-In Action on any such liability, including, if applicable:

(A) a reduction in full or in part or cancellation of any such liability;

(B) a conversion of all, or a portion of, such liability into shares or other instruments of ownership in such EEA Financial Institution, its parent undertaking, or a bridge institution that may be issued to it or otherwise conferred on it, and that such shares or other instruments of ownership will be accepted by it in lieu of any rights with respect to any such liability under this Agreement or any other Transaction Document; or

(C) the variation of the terms of such liability in connection with the exercise of the write-down and conversion powers of any EEA Resolution Authority.

(b) As used in this Section 11.14 the following terms have the following meanings ascribed thereto: (i) “Bail-In Action” means the exercise of any Write-Down and Conversion Powers by the applicable EEA Resolution Authority in respect of any liability of an EEA Financial Institution; (ii) “Bail-In Legislation” means, with respect to any EEA Member Country implementing Article 55 of Directive 2014/59/EU of the European Parliament and of the Council of the European Union, the implementing law for such EEA Member Country from time to time which is described in the EU Bail-In Legislation Schedule; (iii) “EEA Financial Institution” means (x) any credit institution or investment firm established in any EEA Member Country which is subject to the supervision of an EEA Resolution Authority; (y) any entity established in an EEA Member Country which is a parent of an institution described in clause (x) of this definition, or (z) any financial institution established in an EEA Member Country which

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Exhibit 31.1
 
Certification of Chief Executive Officer
of Periodic Report Pursuant to Exchange Act Rule 13a-14(a) and Rule 15d-14(a) as Adopted Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002
 
I, M. Kort Schnabel, certify that:
 
1.                                      I have reviewed this Quarterly Report on Form 10-Q of Ares Capital Corporation;
 
2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
4.                                      The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
(a)                                 Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
(b)                                 Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
(c)                                  Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
(d)                                 Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
5.                                      The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):
 
(a)                                 All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
 
(b)                                 Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
 
Date: July 29, 2025 
  
/s/ M. KORT SCHNABEL 
M. Kort Schnabel
Chief Executive Officer (principal executive officer)
 


Exhibit 31.2
 
Certification of Chief Financial Officer
of Periodic Report Pursuant to Exchange Act Rule 13a-14(a) and Rule 15d-14(a) as Adopted Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002
 
I, Scott C. Lem, certify that:
 
1.                                      I have reviewed this Quarterly Report on Form 10-Q of Ares Capital Corporation;
 
2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
4.                                      The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
(a)                                 Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
(b)                                 Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
(c)                                  Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
(d)                                 Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
5.                                      The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):
 
(a)                                 All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
 
(b)                                 Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: July 29, 2025 
  
/s/ SCOTT C. LEM 
Scott C. Lem
Chief Financial Officer and Treasurer (principal financial officer)
 


Exhibit 32.1
 
Certification of Chief Executive Officer and Chief Financial Officer
Pursuant to
18 U.S.C. Section 1350 as Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002
 
In connection with the Quarterly Report on Form 10-Q of Ares Capital Corporation (the “Company”) for the quarter ended June 30, 2025 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), M. Kort Schnabel, as Chief Executive Officer of the Company, and Scott C. Lem, as Chief Financial Officer and Treasurer of the Company, each hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of his knowledge:
 
1.    The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
2.    The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
Date: July 29, 2025 
  
/s/ M. KORT SCHNABEL 
M. Kort Schnabel
Chief Executive Officer (principal executive officer)
 
  
Date: July 29, 2025 
  
/s/ SCOTT C. LEM 
Scott C. Lem
Chief Financial Officer and Treasurer (principal financial officer)
 
 
A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to Ares Capital Corporation and will be retained by Ares Capital Corporation and furnished to the Securities and Exchange Commission or its staff upon request.


v3.25.2
Cover Page - shares
6 Months Ended
Jun. 30, 2025
Jul. 25, 2025
Cover [Abstract]    
Document Type 10-Q  
Document Quarterly Report true  
Document Period End Date Jun. 30, 2025  
Document Transition Report false  
Securities Act File Number 814-00663  
Entity Registrant Name ARES CAPITAL CORPORATION  
Entity Incorporation, State or Country Code MD  
Entity Tax Identification Number 33-1089684  
Entity Address, Address Line One 245 Park Avenue  
Entity Address, Address Line Two 44th Floor  
Entity Address, City or Town New York  
Entity Address, State or Province NY  
Entity Address, Postal Zip Code 10167  
City Area Code 212  
Local Phone Number 750-7300  
Title of 12(b) Security Common stock, par value $0.001 per share  
Trading Symbol ARCC  
Security Exchange Name NASDAQ  
Entity Current Reporting Status Yes  
Entity Interactive Data Current Yes  
Entity Filer Category Large Accelerated Filer  
Entity Small Business false  
Entity Emerging Growth Company false  
Entity Shell Company false  
Entity Common Stock, Shares Outstanding   705,367,424
Amendment Flag false  
Document Fiscal Year Focus 2025  
Document Fiscal Period Focus Q2  
Current Fiscal Year End Date --12-31  
Entity Central Index Key 0001287750  

v3.25.2
CONSOLIDATED BALANCE SHEET - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Investments at fair value    
Fair Value $ 27,886.4 [1] $ 26,719.9 [2]
Cash and cash equivalents 447.0 635.0
Restricted cash 217.0 225.0
Interest receivable 273.0 292.0
Receivable for open trades 33.0 224.0
Other assets 215.0 158.0
Total assets 29,071.0 28,254.0
LIABILITIES    
Debt 14,109.0 13,727.0
Base management fee payable 104.0 100.0
Income based fee payable 86.0 91.0
Capital gains incentive fee payable 84.0 105.0
Interest and facility fees payable 193.0 170.0
Payable to participants 74.0 163.0
Interest rate swap collateral payable 143.0 62.0
Payable for open trades 6.0 236.0
Accounts payable and other liabilities 158.0 121.0
Deferred tax liabilities 80.0 92.0
Secured borrowings 0.0 32.0
Total liabilities 15,037.0 14,899.0
Commitments and contingencies (Note 7)
STOCKHOLDERS’ EQUITY    
Common stock, par value $0.001 per share, 1,000 common shares authorized; 706 and 672 common shares issued and outstanding, respectively 1.0 1.0
Capital in excess of par value 13,244.0 12,502.0
Accumulated undistributed earnings 789.0 852.0
Total stockholders’ equity 14,034.0 13,355.0
Total liabilities and stockholders’ equity $ 29,071.0 $ 28,254.0
NET ASSETS PER SHARE (in dollars per share) $ 19.90 $ 19.89
Non-controlled/non-affiliate company investments    
Investments at fair value    
Fair Value $ 23,272.0 $ 22,145.0
Non-controlled affiliate company investments    
Investments at fair value    
Fair Value 615.4 707.2
Controlled affiliate company investments    
Investments at fair value    
Fair Value $ 3,998.5 $ 3,867.6
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
CONSOLIDATED BALANCE SHEET (Parenthetical) - USD ($)
shares in Millions, $ in Millions
Jun. 30, 2025
Dec. 31, 2024
Statement of Financial Position [Abstract]    
Amortized cost of investments $ 27,580.7 [1] $ 26,374.0 [2]
Common stock, par value (in dollars per share) $ 0.001 $ 0.001
Common stock, shares authorized (in shares) 1,000 1,000
Common stock, shares issued (in shares) 706 672
Common stock, shares outstanding (in shares) 706 672
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
CONSOLIDATED STATEMENT OF OPERATIONS - USD ($)
shares in Millions, $ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
INVESTMENT INCOME:        
PIK interest income     $ 106.0 $ 99.0
PIK dividend income     143.0 121.0
Total investment income $ 745.0 $ 755.0 1,477.0 1,456.0
EXPENSES:        
Interest and credit facility fees 188.0 174.0 374.0 333.0
Base management fee 104.0 91.0 206.0 178.0
Income based fee 86.0 93.0 171.0 181.0
Capital gains incentive fee 4.0 (13.0) (21.0) 12.0
Administrative and other fees 4.0 3.0 8.0 6.0
Other general and administrative 9.0 8.0 17.0 15.0
Total expenses 395.0 356.0 755.0 725.0
NET INVESTMENT INCOME BEFORE INCOME TAXES 350.0 399.0 722.0 731.0
Income tax expense, including excise taxes 8.0 13.0 15.0 19.0
NET INVESTMENT INCOME 342.0 386.0 707.0 712.0
REALIZED AND UNREALIZED GAINS (LOSSES) ON INVESTMENTS, FOREIGN CURRENCY AND OTHER TRANSACTIONS:        
Foreign currency and other transactions (39.0) 14.0 (8.0) 0.0
Income tax expense on net realized gains (44.0) (28.0) (44.0) (29.0)
Net realized gains (losses) 34.0 (16.0) (27.0) (35.0)
Foreign currency and other transactions (10.0) (10.0) (54.0) 20.0
Net change in deferred tax liabilities 35.0 16.0 59.0 21.0
Net unrealized gains (losses) (15.0) (48.0) (78.0) 108.0
Net realized and unrealized gains (losses) on investments, foreign currency and other transactions 19.0 (64.0) (105.0) 73.0
REALIZED LOSS ON EXTINGUISHMENT OF DEBT 0.0 0.0 0.0 (14.0)
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS $ 361.0 $ 322.0 $ 602.0 $ 771.0
NET INCOME PER COMMON SHARE        
BASIC NET INCOME PER COMMON SHARE (in usd per share) $ 0.52 $ 0.52 $ 0.88 $ 1.28
DILUTED NET INCOME PER COMMON SHARE (in usd per share) $ 0.52 $ 0.52 $ 0.88 $ 1.28
WEIGHTED AVERAGE SHARES OF COMMON STOCK OUTSTANDING        
WEIGHTED AVERAGE SHARES OF COMMON STOCK OUTSTANDING - Basic (in shares) 695 616 686 603
WEIGHTED AVERAGE SHARES OF COMMON STOCK OUTSTANDING - Diluted (in shares) 695 616 686 603
Non-controlled/non-affiliate company investments        
INVESTMENT INCOME:        
Interest income (excluding payment-in-kind (“PIK”) interest income) $ 433.0 $ 434.0 $ 864.0 $ 847.0
PIK interest income 47.0 43.0 87.0 85.0
Capital structuring service fees 33.0 56.0 76.0 82.0
Dividend income (excluding PIK dividend income) 8.0 9.0 11.0 33.0
PIK dividend income 75.0 64.0 141.0 119.0
Other income 18.0 12.0 34.0 24.0
Total investment income 614.0 618.0 1,213.0 1,190.0
REALIZED AND UNREALIZED GAINS (LOSSES) ON INVESTMENTS, FOREIGN CURRENCY AND OTHER TRANSACTIONS:        
Net realized gains (losses): 228.0 (23.0) 128.0 (28.0)
Net unrealized gains (losses): (114.0) (32.0) (127.0) 60.0
Non-controlled affiliate company investments        
INVESTMENT INCOME:        
Interest income (excluding payment-in-kind (“PIK”) interest income) 4.0 4.0 9.0 8.0
PIK interest income 4.0 5.0 9.0 6.0
Capital structuring service fees 0.0 2.0 0.4 2.0
Dividend income (excluding PIK dividend income) 0.0 0.0 0.0 1.0
Other income 0.0 1.0 0.3 1.0
Total investment income 8.0 12.0 18.0 18.0
REALIZED AND UNREALIZED GAINS (LOSSES) ON INVESTMENTS, FOREIGN CURRENCY AND OTHER TRANSACTIONS:        
Net realized gains (losses): 0.0 (6.0) 7.9 (6.0)
Net unrealized gains (losses): (22.0) 16.0 (50.1) 13.0
Controlled affiliate company investments        
INVESTMENT INCOME:        
Interest income (excluding payment-in-kind (“PIK”) interest income) 40.0 50.0 80.0 98.0
PIK interest income 5.0 3.0 10.0 8.0
Capital structuring service fees 1.0 0.0 3.6 2.0
Dividend income (excluding PIK dividend income) 74.0 69.0 147.0 135.0
PIK dividend income 1.0 1.0 2.0 2.0
Other income 2.0 2.0 2.6 3.0
Total investment income 123.0 125.0 246.0 248.0
REALIZED AND UNREALIZED GAINS (LOSSES) ON INVESTMENTS, FOREIGN CURRENCY AND OTHER TRANSACTIONS:        
Net realized gains (losses): (111.0) 27.0 (111.1) 28.0
Net unrealized gains (losses): $ 96.0 $ (38.0) $ 93.6 $ (6.0)

Not available

Not available

v3.25.2
CONSOLIDATED STATEMENT OF STOCKHOLDERS’ EQUITY - USD ($)
$ in Millions
Total
Common Stock
Capital in Excess of Par Value
Accumulated Undistributed (Overdistributed) Earnings
Beginning balance (in shares) at Dec. 31, 2023   582,000,000    
Beginning balance at Dec. 31, 2023 $ 11,201 $ 1 $ 10,738 $ 462
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Issuances of common stock (net of offering and underwriting costs) (in shares)   5,000,000    
Issuances of common stock (net of offering and underwriting costs) 85   85  
Shares issued in connection with dividend reinvestment plan (in shares)   1,000,000    
Shares issued in connection with dividend reinvestment plan 21   21  
Net investment income 326     326
Net realized gains (losses) on investments, foreign currency, extinguishment of debt and other transactions (33)     (33)
Net unrealized (losses) gains on investments, foreign currency and other transactions 156     156
Conversion of 2024 Convertible Notes (in shares)   20,000,000    
Conversion of 2024 Convertible Notes 407   407  
Dividends declared and payable (291)     (291)
Ending balance (in shares) at Mar. 31, 2024   608,000,000    
Ending balance at Mar. 31, 2024 11,872 $ 1 11,251 620
Beginning balance (in shares) at Dec. 31, 2023   582,000,000    
Beginning balance at Dec. 31, 2023 $ 11,201 $ 1 10,738 462
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Shares issued in connection with dividend reinvestment plan (in shares) 2,000,000.0      
Net investment income $ 712      
Ending balance (in shares) at Jun. 30, 2024   630,000,000    
Ending balance at Jun. 30, 2024 12,364 $ 1 11,721 642
Beginning balance (in shares) at Mar. 31, 2024   608,000,000    
Beginning balance at Mar. 31, 2024 11,872 $ 1 11,251 620
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Issuances of common stock (net of offering and underwriting costs) (in shares)   21,000,000    
Issuances of common stock (net of offering and underwriting costs) 449   449  
Shares issued in connection with dividend reinvestment plan (in shares)   1,000,000    
Shares issued in connection with dividend reinvestment plan 21   21  
Net investment income 386     386
Net realized gains (losses) on investments, foreign currency, extinguishment of debt and other transactions (16)     (16)
Net unrealized (losses) gains on investments, foreign currency and other transactions (48)     (48)
Dividends declared and payable (300)     (300)
Ending balance (in shares) at Jun. 30, 2024   630,000,000    
Ending balance at Jun. 30, 2024 12,364 $ 1 11,721 642
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Issuances of common stock (net of offering and underwriting costs) (in shares)   15,000,000    
Issuances of common stock (net of offering and underwriting costs) 302   302  
Shares issued in connection with dividend reinvestment plan (in shares)   1,000,000    
Shares issued in connection with dividend reinvestment plan 21   21  
Net investment income 361     361
Net realized gains (losses) on investments, foreign currency, extinguishment of debt and other transactions (24)     (24)
Net unrealized (losses) gains on investments, foreign currency and other transactions 57     57
Dividends declared and payable (308)     (308)
Ending balance (in shares) at Sep. 30, 2024   646,000,000    
Ending balance at Sep. 30, 2024 12,773 $ 1 12,044 728
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Issuances of common stock (net of offering and underwriting costs) (in shares)   25,000,000    
Issuances of common stock (net of offering and underwriting costs) 528   528  
Shares issued in connection with dividend reinvestment plan (in shares)   1,000,000    
Shares issued in connection with dividend reinvestment plan 17   17  
Net investment income 363     363
Net realized gains (losses) on investments, foreign currency, extinguishment of debt and other transactions (29)     (29)
Net unrealized (losses) gains on investments, foreign currency and other transactions 23     23
Dividends declared and payable (320)     (320)
Tax reclassification of stockholders’ equity in accordance with GAAP $ 0   (87) 87
Ending balance (in shares) at Dec. 31, 2024 672,000,000 672,000,000    
Ending balance at Dec. 31, 2024 $ 13,355 $ 1 12,502 852
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Issuances of common stock (net of offering and underwriting costs) (in shares)   17,000,000    
Issuances of common stock (net of offering and underwriting costs) 384   384  
Shares issued in connection with dividend reinvestment plan (in shares)   1,000,000    
Shares issued in connection with dividend reinvestment plan 20   20  
Net investment income 365     365
Net realized gains (losses) on investments, foreign currency, extinguishment of debt and other transactions (61)     (61)
Net unrealized (losses) gains on investments, foreign currency and other transactions (63)     (63)
Dividends declared and payable (328)     (328)
Ending balance (in shares) at Mar. 31, 2025   690,000,000    
Ending balance at Mar. 31, 2025 $ 13,672 $ 1 12,906 765
Beginning balance (in shares) at Dec. 31, 2024 672,000,000 672,000,000    
Beginning balance at Dec. 31, 2024 $ 13,355 $ 1 12,502 852
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Shares issued in connection with dividend reinvestment plan (in shares) 1,800,000      
Net investment income $ 707      
Ending balance (in shares) at Jun. 30, 2025 706,000,000 706,000,000    
Ending balance at Jun. 30, 2025 $ 14,034 $ 1 13,244 789
Beginning balance (in shares) at Mar. 31, 2025   690,000,000    
Beginning balance at Mar. 31, 2025 13,672 $ 1 12,906 765
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Issuances of common stock (net of offering and underwriting costs) (in shares)   15,000,000    
Issuances of common stock (net of offering and underwriting costs) 318   318  
Shares issued in connection with dividend reinvestment plan (in shares)   1,000,000    
Shares issued in connection with dividend reinvestment plan 20   20  
Net investment income 342     342
Net realized gains (losses) on investments, foreign currency, extinguishment of debt and other transactions 34     34
Net unrealized (losses) gains on investments, foreign currency and other transactions (15)     (15)
Dividends declared and payable $ (337)     (337)
Ending balance (in shares) at Jun. 30, 2025 706,000,000 706,000,000    
Ending balance at Jun. 30, 2025 $ 14,034 $ 1 $ 13,244 $ 789

v3.25.2
CONSOLIDATED STATEMENT OF STOCKHOLDERS’ EQUITY (Parenthetical) - $ / shares
3 Months Ended
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Sep. 30, 2024
Jun. 30, 2024
Mar. 31, 2024
Statement of Stockholders' Equity [Abstract]            
Cash dividends declared (in usd per share) $ 0.48 $ 0.48 $ 0.48 $ 0.48 $ 0.48 $ 0.48

v3.25.2
CONSOLIDATED STATEMENT OF CASH FLOWS - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
OPERATING ACTIVITIES:    
Net increase in stockholders' equity resulting from operations $ 602 $ 771
Adjustments to reconcile net increase in stockholders’ equity resulting from operations:    
Net realized losses on investments, foreign currency and other transactions 27 35
Net unrealized (gains) losses on investments, foreign currency and other transactions 78 (108)
Realized loss on extinguishment of debt 0 14
Net (gain) loss on interest rate swaps accounted for as hedge instruments and the related hedged items (2) 0
Net accretion of discount on investments (8) (9)
PIK interest (106) (99)
Collections of PIK interest 41 26
PIK dividends (143) (121)
Collections of PIK dividends 52 0
Amortization of debt issuance costs 18 16
Net amortization of premium on notes payable (2) (3)
Proceeds from sales and repayments of investments and other transactions 4,709 4,347
Purchases of investments (5,755) (6,221)
Changes in operating assets and liabilities:    
Interest receivable 11 (38)
Other assets (27) (2)
Base management fee payable 4 7
Income based fee payable (5) 3
Capital gains incentive fee (21) 12
Interest and facility fees payable 23 21
Payable to participants (89) 8
Interest rate swap collateral payable 81 44
Accounts payable and other liabilities (5) (42)
Net cash used in operating activities (517) (1,339)
FINANCING ACTIVITIES:    
Borrowings on debt 4,603 7,790
Repayments and repurchases of debt (4,297) (6,275)
Debt issuance costs (30) (33)
Repayment of 2024 Convertible Notes 0 (10)
Net proceeds from issuance of common stock 702 534
Dividends paid (625) (549)
Secured borrowings, net (32) (1)
Net cash provided by financing activities 321 1,456
CHANGE IN CASH, CASH EQUIVALENTS AND RESTRICTED CASH (196) 117
CASH, CASH EQUIVALENTS AND RESTRICTED CASH, BEGINNING OF PERIOD 860 564
CASH, CASH EQUIVALENTS AND RESTRICTED CASH, END OF PERIOD 664 681
Supplemental Information:    
Interest paid during the period 339 288
Taxes, including excise taxes, paid during the period 38 32
Dividends declared and payable during the period $ 665 $ 591

v3.25.2
ORGANIZATION
6 Months Ended
Jun. 30, 2025
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
ORGANIZATION
1. ORGANIZATION

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

v3.25.2
SIGNIFICANT ACCOUNTING POLICIES
6 Months Ended
Jun. 30, 2025
Accounting Policies [Abstract]  
SIGNIFICANT ACCOUNTING POLICIES
2. SIGNIFICANT ACCOUNTING POLICIES

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

Interim financial statements are prepared in accordance with GAAP for interim financial information and pursuant to the requirements for reporting on Form 10-Q and Articles 6 or 10 of Regulation S-X. In the opinion of management, all adjustments, consisting solely of normal recurring accruals considered necessary for the fair presentation of financial statements for the interim period presented, have been included. The interim period’s results of operations will not necessarily be indicative of results that ultimately may be achieved for the fiscal year ending December 31, 2025.

The Company reclassified certain prior period amounts in the accompanying consolidated balance sheet and consolidated statement of operations to conform to its current period presentation. The Company separately disclosed “interest rate swap collateral payable” and “deferred tax liabilities” from “accounts payable and other liabilities” in the accompanying consolidated balance sheet. In addition, the Company separately disclosed “income tax expense on net realized gains” from “income tax expense, including excise taxes” and “net change in deferred tax liabilities” from “net unrealized gains (losses) from investments” in the accompanying consolidated statement of operations. These reclassifications had no impact on prior periods’ net income or stockholders’ equity.
 
Cash, Cash Equivalents and Restricted Cash
 
Cash and cash equivalents include funds from time to time deposited with financial institutions and short-term, liquid investments in a money market account. Cash and cash equivalents are carried at cost which approximates fair value. As of June 30, 2025 and December 31, 2024, there was $22 and $18, respectively, of cash denominated in foreign currencies included within “cash and cash equivalents” or “restricted cash” in the accompanying consolidated balance sheet.
Restricted cash primarily relates to cash held as collateral for interest rate swaps and cash received by the Company on behalf of participating lenders as a result of the Company’s role as administrative agent for certain loans. The cash received is generally distributed to participating lenders shortly after the receipt of such cash.

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

 As of
June 30, 2025December 31, 2024
Cash and cash equivalents$447 $635 
Restricted cash217 225 
Total cash, cash equivalents and restricted cash$664 $860 
 
Concentration of Credit Risk
 
The Company places its cash and cash equivalents with financial institutions and, at times, cash held in depository or money market accounts may exceed the Federal Deposit Insurance Corporation insured limits.
 
Investments
 
Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. Unrealized gains or losses primarily reflect the change in investment values, including the reversal of previously recorded unrealized gains or losses when gains or losses are realized.

Pursuant to Rule 2a-5 under the Investment Company Act, the Company’s board of directors designated the Company’s investment adviser as the Company’s valuation designee (the “Valuation Designee”) to perform the fair value determinations for investments held by the Company without readily available market quotations, subject to the oversight of the Company’s board of directors. All investments are recorded at their fair value.
 
Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, the Valuation Designee looks at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available (i.e., substantially all of the Company’s investments) are valued at least quarterly at fair value as determined in good faith by the Valuation Designee, subject to the oversight of the Company’s board of directors, based on, among other things, the input of the Company’s independent third-party valuation providers (“IVPs”) that have been engaged to support the valuation of such portfolio investments quarterly, beginning as of the third quarter after origination (with certain de minimis exceptions) and under a valuation policy and a consistently applied valuation process. The valuation process is conducted at the end of each fiscal quarter by the Valuation Designee, and beginning with the first quarter of 2025, substantially all investments in the Company’s investment portfolio at fair value are subject to review by an IVP each quarter as discussed further below. However, the Company may use these IVPs to review the value of its investments more frequently, including in connection with the occurrence of significant events or changes in value affecting a particular investment. In addition, the Company’s independent registered public accounting firm obtains an understanding of, and performs select procedures relating to, the Company’s valuation process within the context of performing the Company’s integrated audit.

As part of the valuation process, the Valuation Designee may take into account the following types of factors, if relevant, in determining the fair value of the Company’s investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company’s securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent sale occurs, the Valuation Designee considers the pricing indicated by the external event to corroborate the valuation.
 
Because there is not a readily available market value for most of the investments in the Company’s portfolio, substantially all of the Company’s portfolio investments are valued at fair value as determined in good faith by the Valuation Designee, as described herein. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Company’s investments may fluctuate from period to period. Additionally, the fair value of the Company’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Company may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Company was required to liquidate a portfolio investment in a forced or liquidation sale, the Company could realize significantly less than the value at which the Company has recorded it.
 
In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.

The Valuation Designee, subject to the oversight of the Company’s board of directors, undertakes a multi-step valuation process each quarter, as described below:

The Company’s quarterly valuation process begins with a preliminary valuation being prepared by the investment professionals responsible for the portfolio investment in conjunction with the Company’s portfolio management and valuation team.

Preliminary valuations are reviewed and discussed by the valuation committee of the Valuation Designee.

When a portfolio investment is reviewed by an IVP:

Relevant information related to the portfolio investment is made available by the Valuation Designee to the IVP, who does not independently verify such information.

The IVP reviews and analyzes the information provided by the Valuation Designee, along with relevant market and economic data, and independently determines a range of values for the portfolio investment.

The IVP provides its analysis to the Valuation Designee to support the IVP’s valuation methodology and calculations.

The valuation committee of the Valuation Designee determines the fair value of each investment in the Company’s portfolio without a readily available market quotation in good faith based on, among other things, the input of the IVPs, where applicable.

When a portfolio investment is reviewed by an IVP, a positive assurance opinion or independent valuation report is issued by the IVP that confirms the fair value determined by the Valuation Designee for the portfolio investment is within the range of values independently calculated by such IVP.
 
See Note 8 for more information on the Company’s valuation process.

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

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

Dividend Income Recognition 

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

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

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

Derivative Instruments
 
The Company follows the guidance in ASC Topic 815, Derivatives and Hedging, when accounting for derivative instruments. The Company designated certain interest rate swaps as hedging instruments in a qualifying fair value hedge
accounting relationship, and as a result, the change in fair value of the hedging instruments and hedged items are recorded in interest expense and recognized as components of “interest and credit facility fees” in the Company’s consolidated statement of operations. The change in fair value of the interest rate swaps is offset by a change in the carrying value of the corresponding fixed rate debt. For all other derivatives, the Company does not utilize hedge accounting and values such derivatives at fair value with the unrealized gains or losses recorded in “net unrealized gains (losses) from foreign currency and other transactions” in the Company’s consolidated statement of operations.
 
Equity Offering Expenses
 
The Company’s offering costs are charged against the proceeds from equity offerings when proceeds are received.
 
Debt Issuance Costs
 
Debt issuance costs are amortized over the life of the related debt instrument using the straight line method or the effective yield method, depending on the type of debt instrument.

Secured Borrowings

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

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

Segment Reporting

In accordance with ASC Topic 280 - Segment Reporting (“ASC 280”), the Company has determined that it has a single operating and reporting segment. As a result, the Company’s segment accounting policies are the same as described herein and the Company does not have any intra-segment sales and transfers of assets.
 
Use of Estimates in the Preparation of Consolidated Financial Statements
 
The preparation of consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of actual and contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of income or loss and expenses during the reporting period. Actual results could differ from those estimates. Significant estimates include the valuation of investments.

Recent Accounting Pronouncements

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

In December 2023, the FASB issued ASU 2023-09, Income Taxes (Topic 740): Improvements to Income Tax Disclosures (“ASU 2023-09”), which is intended to enhance 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 this guidance, however, the Company does not expect a material impact on its consolidated financial statements.

In November 2024, the FASB issued ASU 2024-03, Income Statement—Reporting Comprehensive Income—Expense Disaggregation Disclosures (“ASU 2024-03”), which requires disaggregated disclosure of certain costs and expenses, including purchases of inventory, employee compensation, depreciation, amortization and depletion, within relevant income statement captions. ASU 2024-03 is effective for fiscal years beginning after December 15, 2026, and interim periods beginning with the first quarter ended March 31, 2028. Early adoption and retrospective application is permitted. The Company is currently assessing the impact of this guidance, however, the Company does not expect a material impact on its consolidated financial statements.

v3.25.2
AGREEMENTS
6 Months Ended
Jun. 30, 2025
Investment Company [Abstract]  
AGREEMENTS
3. AGREEMENTS

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

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

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

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

The capital gains incentive fee is determined and payable in arrears as of the end of each calendar year (or, upon termination of the investment advisory and management agreement, as of the termination date) and is calculated at the end of each applicable year by subtracting (a) the sum of the Company’s cumulative aggregate realized capital losses and aggregate unrealized capital depreciation from (b) the Company’s cumulative aggregate realized capital gains, in each case calculated from October 8, 2004 (the date the Company completed its initial public offering). Realized capital gains and losses include gains and losses on investments and foreign currencies, gains and losses on extinguishment of debt and from other assets, as well as any income tax and other expenses related to cumulative aggregate realized gains and losses. If such amount is positive
at the end of such year, then the capital gains incentive fee for such year is equal to 20% of such amount, less the aggregate amount of capital gains incentive fee paid in all prior years. If such amount is negative, then there is no capital gains incentive fee for such year.
 
The cumulative aggregate realized capital gains are calculated as the sum of the differences, if positive, between (a) the net sales price of each investment in the Company’s portfolio when sold and (b) the accreted or amortized cost basis of such investment.
 
The cumulative aggregate realized capital losses are calculated as the sum of the amounts by which (a) the net sales price of each investment in the Company’s portfolio when sold is less than (b) the accreted or amortized cost basis of such investment.
 
The aggregate unrealized capital depreciation is calculated as the sum of the differences, if negative, between (a) the valuation of each investment in the Company’s portfolio as of the applicable capital gains incentive fee calculation date and (b) the accreted or amortized cost basis of such investment.
 
Notwithstanding the foregoing, if the Company is required by GAAP to record an investment at its fair value as of the time of acquisition instead of at the actual amount paid for such investment by the Company (including, for example, as a result of the application of the asset acquisition method of accounting), then solely for the purposes of calculating the capital gains incentive fee, the “accreted or amortized cost basis” of an investment shall be an amount (the “Contractual Cost Basis”) equal to (1) (x) the actual amount paid by the Company for such investment plus (y) any amounts recorded in the Company’s financial statements as required by GAAP that are attributable to the accretion of such investment plus (z) any other adjustments made to the cost basis included in the Company’s financial statements, including PIK interest or additional amounts funded (net of repayments) minus (2) any amounts recorded in the Company’s financial statements as required by GAAP that are attributable to the amortization of such investment, whether such calculated Contractual Cost Basis is higher or lower than the fair value of such investment (as determined in accordance with GAAP) at the time of acquisition.
  
The base management fee, income based fee and capital gains incentive fee for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Base management fee$104 $91 $206 $178 
Income based fee$86 $93 $171 $181 
Capital gains incentive fee(1)$$(13)$(21)$12 
________________________________________

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

There was no capital gains incentive fee payable to the Company’s investment adviser as calculated under the investment advisory and management agreement for the three and six months ended June 30, 2025 and 2024. In addition, in accordance with GAAP, the Company had cumulatively accrued a capital gains incentive fee of $84 as of June 30, 2025. GAAP requires that the capital gains incentive fee accrual consider the cumulative aggregate unrealized capital appreciation in the calculation, as a capital gains incentive fee would be payable if such unrealized capital appreciation were realized, even though such unrealized capital appreciation is not permitted to be considered in calculating the fee actually payable under the investment advisory and management agreement. This GAAP accrual is calculated using the aggregate cumulative realized capital gains and losses and aggregate cumulative unrealized capital depreciation included in the calculation of the capital gains incentive fee plus the aggregate cumulative unrealized capital appreciation, net of any expense associated with cumulative unrealized capital depreciation or appreciation. If such amount is positive at the end of a period, then GAAP requires the Company to record a capital gains incentive fee equal to 20% of such cumulative amount, less the aggregate amount of actual capital gains incentive fee paid or capital gains incentive fee accrued under GAAP in all prior periods. As of June 30, 2025, the Company has paid capital gains incentive fee since inception totaling $133. The resulting accrual for any capital gains incentive fee under GAAP in a given period may result in an additional expense if such cumulative amount is greater than in the prior period or a reversal of previously recorded expense if such cumulative amount is less than in the prior period. If such cumulative amount is negative, then there is no accrual. There can be no assurance that such unrealized capital appreciation will be realized in the future.
Cash payment of any income based fee and capital gains incentive fee otherwise earned by the Company’s investment adviser is deferred if during the most recent four full calendar quarter period ending on or prior to the date such payment is to be made the sum of (a) the aggregate distributions to the Company’s stockholders and (b) the change in net assets (defined as total assets less indebtedness and before taking into account any income based fee and capital gains incentive fee payable during the period) is less than 7.0% of the Company’s net assets (defined as total assets less indebtedness) at the beginning of such period. These calculations will be adjusted for any share issuances or repurchases. Any income based fee and capital gains incentive fee deferred for payment are carried over for payment in subsequent calculation periods to the extent such fees are payable under the terms of the investment advisory and management agreement.
 
The services of all investment professionals and staff of the Company’s investment adviser, when and to the extent engaged in providing investment advisory and management services to the Company, and the compensation and routine overhead expenses of such personnel allocable to such services, are provided and paid for by the Company’s investment adviser. Under the investment advisory and management agreement, the Company bears all other costs and expenses of its operations and transactions, including, but not limited to, those relating to: organization; calculation of the Company’s net asset value (including, but not limited to, the cost and expenses of any IVP); expenses incurred by the Company’s investment adviser payable to third parties, including agents, consultants or other advisers, in monitoring the Company’s financial and legal affairs and in monitoring the Company’s investments (including the cost of consultants hired to develop information technology systems designed to monitor the Company’s investments) and performing due diligence on the Company’s prospective portfolio companies; interest payable on indebtedness, if any, incurred to finance the Company’s investments (including, but not limited to, payments to third party vendors for financial information services); offerings of the Company’s common stock and other securities (including, but not limited to, costs of rating agencies); investment advisory and management fees; administration fees payable under the administration agreement; fees payable to third parties, including agents, consultants or other advisers, relating to, or associated with, evaluating and making investments in portfolio companies, regardless of whether such transactions are ultimately consummated (including, but not limited to, payments to third party vendors for financial information services); transfer agent and custodial fees; registration fees; listing fees; taxes; independent directors’ fees and expenses; costs of preparing and filing reports or other documents required by governmental bodies (including the Securities and Exchange Commission (the “SEC”)); the costs of any reports, proxy statements or other notices to stockholders, including printing costs; to the extent the Company is covered by any joint insurance policies, the Company’s allocable portion of the insurance premiums for such policies; direct costs and expenses of administration, including auditor and legal costs; and all other expenses incurred by the Company or its administrator in connection with administering the Company’s business as described in more detail under “Administration Agreement” below.

Administration Agreement
 
The Company is party to an administration agreement (the “administration agreement”) with its administrator, Ares Operations. Pursuant to the administration agreement, Ares Operations furnishes the Company with office equipment and clerical, bookkeeping and record keeping services at the Company’s office facilities. Under the administration agreement, Ares Operations also performs, or oversees the performance of, the Company’s required administrative services, which include, among other things, providing assistance in accounting, legal, compliance, operations, technology and investor relations, being responsible for the financial and other records that the Company is required to maintain and preparing all reports and other materials required to be filed with the SEC or any other regulatory authority, including reports to stockholders. In addition, Ares Operations assists the Company in determining and publishing its net asset value, assists the Company in providing managerial assistance to its portfolio companies, oversees the preparation and filing of the Company’s tax returns and the printing and dissemination of reports to its stockholders, and generally oversees the payment of its expenses and the performance of administrative and professional services rendered to the Company by others. Payments under the administration agreement are equal to an amount based upon the Company’s allocable portion of Ares Operations’ overhead and other expenses (including travel expenses) incurred by Ares Operations in performing its obligations under the administration agreement, including the Company’s allocable portion of the compensation, rent and other expenses of certain of the Company’s officers (including the Company’s chief compliance officer, chief financial officer, chief accounting officer, general counsel, secretary, treasurer and assistant treasurer) and their respective staffs. The administration agreement may be terminated by either party without penalty upon 60 days’ written notice to the other party.
 
For the three and six months ended June 30, 2025, the Company incurred $4 and $8, respectively, and $3 and $6, respectively, for the comparable periods in 2024, in administrative and other fees, including certain costs that are reimbursable to the Company’s investment adviser under the investment advisory and management agreement or the Company’s administrator under the administration agreement. As of June 30, 2025 and December 31, 2024, $5 and $5, respectively, of the administrative and other fees were unpaid and included in “accounts payable and other liabilities” in the accompanying consolidated balance sheet.

v3.25.2
INVESTMENTS
6 Months Ended
Jun. 30, 2025
Investments, Debt and Equity Securities [Abstract]  
INVESTMENTS
4. INVESTMENTS

As of June 30, 2025 and December 31, 2024, investments consisted of the following:

 As of
June 30, 2025December 31, 2024
Amortized Cost(1)Fair ValueAmortized Cost(1)Fair Value
First lien senior secured loans(2)$16,827 $16,547 $15,519 $15,179 
Second lien senior secured loans1,609 1,523 1,935 1,847 
Subordinated certificates of the SDLP(3)1,063 1,052 1,263 1,192 
Senior subordinated loans1,456 1,388 1,384 1,351 
Preferred equity2,753 2,642 2,667 2,649 
Ivy Hill Asset Management, L.P.(4)1,856 2,081 1,701 1,915 
Other equity2,017 2,653 1,905 2,587 
Total$27,581 $27,886 $26,374 $26,720 
________________________________________

(1)The amortized cost represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest or dividends.
    
(2)First lien senior secured loans include certain loans that the Company classifies as “unitranche” loans. The total amortized cost and fair value of the loans that the Company classified as “unitranche” loans were $10,650 and $10,489 respectively, as of June 30, 2025, and $8,772 and $8,624, respectively, as of December 31, 2024.

(3)The proceeds from these certificates were applied to co-investments with Varagon Capital Partners (“Varagon”) and its clients to fund first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively.

(4)Includes the Company’s subordinated loan and equity investments in IHAM (as defined below), as applicable.
  
The Company uses GICS for classifying the industry groupings of its portfolio companies. The industrial and geographic compositions of the Company’s portfolio at fair value as of June 30, 2025 and December 31, 2024 were as follows:

 As of
June 30, 2025December 31, 2024
Industry
Software and Services23.5 %24.5 %
Health Care Equipment and Services12.9 12.0 
Financial Services(1)10.2 9.9 
Commercial and Professional Services9.9 9.4 
Insurance6.4 5.9 
Consumer Distribution and Retail4.7 5.7 
Consumer Services4.6 5.1 
Sports, Media and Entertainment4.5 4.6 
Investment Funds and Vehicles(2)3.8 4.6 
Independent Power and Renewable Electricity Producers3.8 3.7 
Capital Goods3.2 2.7 
Pharmaceuticals, Biotechnology and Life Sciences2.5 2.6 
Materials2.2 1.2 
Consumer Durables and Apparel2.2 2.3 
Food and Beverage1.8 1.8 
Other3.8 4.0 
Total100.0 %100.0 %
________________________________________

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

(2)Includes the Company’s investment in the SDLP (as defined below), which had made first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively. The portfolio companies in the SDLP are in industries similar to the companies in the Company’s portfolio.

 As of
June 30, 2025December 31, 2024
Geographic Region
West(1)22.3 %25.2 %
Midwest21.8 20.9 
Southeast18.2 19.3 
Mid-Atlantic16.6 16.1 
Northeast(2)14.7 12.2 
International6.4 6.3 
Total100.0 %100.0 %
________________________________________

(1)Includes the Company’s investment in the SDLP, which represented 3.8% and 4.5% of the total investment portfolio at fair value as of June 30, 2025 and December 31, 2024, respectively.

(2)Includes the Company’s investment in IHAM, which represented 7.4% and 7.1% of the total investment portfolio at fair value as of June 30, 2025 and December 31, 2024, respectively.

As of June 30, 2025 and December 31, 2024, loans on non-accrual status represented 2.0% of the total investments at amortized cost (or 1.2% at fair value) and 1.7% at amortized cost (or 1.0% at fair value), respectively.
Ivy Hill Asset Management, L.P.

Ivy Hill Asset Management, L.P. (“IHAM”), a wholly owned portfolio company of the Company, is an asset manager and an SEC-registered investment adviser. As of June 30, 2025, IHAM had assets under management of approximately $13.1 billion. As of June 30, 2025, IHAM managed 21 vehicles (the “IHAM Vehicles”). IHAM earns fee income from managing the IHAM Vehicles and has also invested in certain of these vehicles as part of its business strategy. The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 and $2,237, respectively. For the three and six months ended June 30, 2025, IHAM had management and incentive fee income of $12 and $24, respectively, and investment-related income of $52 and $110, respectively, which included net realized gains or losses on investments and other transactions. For the three and six months ended June 30, 2024, IHAM had management and incentive fee income of $14 and $28, respectively, and investment-related income of $92 and $191, respectively, which included net realized gains or losses on investments and other transactions.

 The amortized cost and fair value of the Company’s investment in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
As of
June 30, 2025December 31, 2024
Amortized CostFair ValueAmortized CostFair Value
Subordinated loan(1)
$155 $155 $— $— 
Equity
1,701 1,926 1,701 1,915 
Total investment in IHAM$1,856 $2,081 $1,701 $1,915 
_______________________________________________________________________________

(1)The Company has provided a commitment to fund up to $500 to IHAM, of which the availability is solely at the Company’s discretion.

The interest income and dividend income that the Company earned from IHAM for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Interest income
$$— $$
Dividend income
$73 $69 $146 $135 

From time to time, IHAM or certain IHAM Vehicles may purchase investments from, or sell investments to, the Company. For any such sales or purchases by the IHAM Vehicles to or from the Company, the IHAM Vehicle must obtain approval from third parties unaffiliated with the Company or IHAM, as applicable. During the six months ended June 30, 2025 and 2024, IHAM or certain of the IHAM Vehicles purchased $1,371 and $35, respectively, of loans from the Company. For the six months ended June 30, 2025 and 2024, the Company recognized $0 of net realized gains and $1 of net realized losses, respectively, from these sales. During the six months ended June 30, 2025, IHAM or certain IHAM Vehicles did not sell any investments to the Company. During the six months ended June 30, 2024, IHAM or certain IHAM vehicles sold $32 of investments to the Company.

The yields at amortized cost and fair value of the Company’s investments in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
 As of
June 30, 2025December 31, 2024
 Amortized CostFair ValueAmortized CostFair Value
Equity(1)
17.2 %15.2 %16.7 %14.8 %
_______________________________________________________________________________

(1)Represents the yield on the Company’s equity investment in IHAM, which is computed as (a) the annualized amount of the regular dividend received by the Company related to the Company’s equity investment in IHAM during the most recent quarter end, divided by (b) the amortized cost or fair value of the Company’s equity investment in IHAM, as applicable.
IHAM is party to an administration agreement, referred to herein as the “IHAM administration agreement,” with Ares Operations. Pursuant to the IHAM administration agreement, Ares Operations provides IHAM with, among other things, office facilities, equipment, clerical, bookkeeping and record keeping services, services relating to the marketing and sale of interests in vehicles managed by IHAM, services of, and oversight of, custodians, depositories, accountants, attorneys, underwriters and such other persons in any other capacity deemed to be necessary. Under the IHAM administration agreement, IHAM reimburses Ares Operations for all of the actual costs associated with such services, including Ares Operations’ allocable portion of the compensation, rent and other expenses of its officers, employees and respective staff in performing its obligations under the IHAM administration agreement.

Selected Financial Information

Pursuant to Rule 4-08(g) of Regulation S-X, selected financial information of IHAM, in conformity with GAAP, as of June 30, 2025 and December 31, 2024 and for the three and six months ended June 30, 2025 and 2024 are presented below.

In conformity with GAAP, IHAM is required to consolidate entities in which IHAM has a direct or indirect controlling financial interest based on either a variable interest model or voting interest model, which include certain of the IHAM Vehicles (the “Consolidated IHAM Vehicles”). As such, for GAAP purposes only, IHAM consolidates (a) entities in which it holds a majority voting interest or has majority ownership and control over the operational, financial and investing decisions of that entity and (b) entities that it concludes are variable interest entities in which IHAM has more than insignificant economic interest and power to direct the activities that most significantly impact the entities, and for which IHAM is deemed to be the primary beneficiary.

When IHAM consolidates an IHAM Vehicle for GAAP purposes only, IHAM reflects the assets, liabilities, revenues and expenses of the Consolidated IHAM Vehicles on a gross basis, including the economic interests held by third-party investors in the Consolidated IHAM Vehicles as debt obligations, subordinated notes or non-controlling interests, in the consolidated IHAM financials below. All of the revenues earned by IHAM as the investment manager of the Consolidated IHAM Vehicles are eliminated in GAAP consolidation. However, because the eliminated amounts are earned from and funded by third-party investors, the GAAP consolidation of an IHAM Vehicle does not impact the net income or loss attributable to IHAM. As a result, the Company believes an assessment of IHAM's business and the impact to the Company’s investment in IHAM is best viewed on a stand-alone basis as reflected in the first column in the tables below.
As of June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,619 $9,733 $(2,511)$9,841 
Cash and cash equivalents562 — 569 
Other assets68 79 (61)86 
Total assets$2,694 $10,374 $(2,572)$10,496 
Liabilities
Debt$708 $7,427 $— $8,135 
Subordinated note from ARCC155 — — 155 
Subordinated notes(3)— 1,119 (791)328 
Other liabilities19 176 (13)182 
Total liabilities882 8,722 (804)8,800 
Equity
Contributed capital1,701 — — 1,701 
Accumulated earnings146 — — 146 
Net unrealized losses on investments and foreign currency transactions(4) (35)— — (35)
Non-controlling interests in Consolidated IHAM Vehicles(5)
— 1,652 (1,768)(116)
Total equity1,812 1,652 (1,768)1,696 
Total liabilities and equity$2,694 $10,374 $(2,572)$10,496 

As of December 31, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,160 $8,098 $(2,086)$8,172 
Cash and cash equivalents967 — 976 
Other assets60 122 (54)128 
Total assets$2,229 $9,187 $(2,140)$9,276 
Liabilities
Debt$406 $6,550 $— $6,956 
Subordinated notes(3)— 1,025 (714)311 
Other liabilities16 266 (13)269 
Total liabilities422 7,841 (727)7,536 
Equity
Contributed capital1,700 — — 1,700 
Accumulated earnings186 — — 186 
Net unrealized losses on investments and foreign currency transactions(4)(79)— — (79)
Non-controlling interests in Consolidated IHAM Vehicles(5)
— 1,346 (1,413)(67)
Total equity1,807 1,346 (1,413)1,740 
Total liabilities and equity$2,229 $9,187 $(2,140)$9,276 
________________________________________
(1)Consolidated for GAAP purposes only.

(2)The determination of such fair value is determined in accordance with IHAM’s valuation process (separate and apart from the Company’s valuation process described elsewhere herein). The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 and $2,237, respectively. The amortized cost of the total investments of IHAM on a consolidated basis as of June 30, 2025 and December 31, 2024 was $10,027 and $8,343, respectively.

(3)Subordinated notes generally represent the most junior capital in certain of the Consolidated IHAM Vehicles and effectively represent equity in such vehicles.

(4)As of June 30, 2025 and December 31, 2024, net unrealized losses of $49 and $70, respectively, have been eliminated upon consolidation and the elimination is included in “non-controlling interests in Consolidated IHAM Vehicles” in the selected balance sheet information.

(5)Non-controlling interests in Consolidated IHAM Vehicles includes net unrealized depreciation in the Consolidated IHAM Vehicles of $185 and $171 as of June 30, 2025 and December 31, 2024, respectively.

For the Three Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$77 $232 $(76)$233 
Management fees and other income12 (12)
Total revenues89 234 (88)235 
Expenses
Interest expense14 120 — 134 
Distributions to subordinated notes— 32 (23)
Management fees and other expenses14 (12)
Total expenses18 166 (35)149 
Net operating income71 68 (53)86 
Net realized losses on investments and foreign currency (22)(1)21 (2)
Net realized gain on extinguishment of debt— 23 (23)— 
Net unrealized gains (losses) on investments, foreign currency and other transactions19 (32)(12)(25)
Total net realized and unrealized losses on investments, foreign currency and other transactions (3)(10)(14)(27)
Net income68 58 (67)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 58 (67)(9)
Net income attributable to Ivy Hill Asset Management, L.P.$68 $— $— $68 
For the Six Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$144 $449 $(141)$452 
Management fees and other income24 (23)
Total revenues168 453 (164)457 
Expenses
Interest expense23 238 — 261 
Distributions to subordinated notes— 64 (46)18 
Management fees and other expenses28 (23)13 
Total expenses31 330 (69)292 
Net operating income137 123 (95)165 
Net realized losses on investments and foreign currency (31)(56)21 (66)
Net realized gains (losses) on extinguishment of debt— 22 (23)(1)
Net unrealized gains (losses) on investments, foreign currency and other transactions44 (19)(21)
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions13 (53)(23)(63)
Net income150 70 (118)102 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 70 (118)(48)
Net income attributable to Ivy Hill Asset Management, L.P.$150 $— $— $150 

For the Three Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$92 $259 $(90)$261 
Management fees and other income14 (13)
Total revenues106 262 (103)265 
Expenses
Interest expense10 143 — 153 
Distributions to subordinated notes— 52 (40)12 
Management fees and other expenses15 (13)
Total expenses13 210 (53)170 
Net operating income93 52 (50)95 
Net realized gains (losses) on investments and foreign currency— (16)— (16)
Net unrealized losses on investments, foreign currency and other transactions (16)(14)10 (20)
Total net realized and unrealized losses on investments, foreign currency and other transactions (16)(30)10 (36)
Net income77 22 (40)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 22 (40)(18)
Net income attributable to Ivy Hill Asset Management, L.P.$77 $— $— $77 
For the Six Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$186 $533 $(182)$537 
Management fees and other income28 (26)
Total revenues214 539 (208)545 
Expenses
Interest expense20 293 — 313 
Distributions to subordinated notes— 105 (77)28 
Management fees and other expenses33 (26)14 
Total expenses27 431 (103)355 
Net operating income187 108 (105)190 
Net realized gains (losses) on investments and foreign currency(74)(9)(78)
Net realized loss on extinguishment of debt— (1)— (1)
Net unrealized gains (losses) on investments, foreign currency and other transactions(33)47 30 44 
Total net realized and unrealized losses on investments, foreign currency and other transactions (28)(28)21 (35)
Net income159 80 (84)155 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 80 (84)(4)
Net income attributable to Ivy Hill Asset Management, L.P.$159 $— $— $159 
____________________________________

(1)Consolidated for GAAP purposes only.

Senior Direct Lending Program

The Company has established a joint venture with Varagon to make certain first lien senior secured loans, including certain stretch senior and unitranche loans, primarily to U.S. middle-market companies. The joint venture is called the Senior Direct Lending Program, LLC (the “Senior Direct Lending Program” or the “SDLP”). In July 2016, the Company and Varagon and its clients completed the initial funding of the SDLP. The SDLP may generally commit and hold individual loans of up to $450. The Company may directly co-invest with the SDLP to accommodate larger transactions. The SDLP is capitalized as transactions are completed and all portfolio decisions and generally all other decisions in respect of the SDLP must be approved by an investment committee of the SDLP consisting of representatives of the Company and Varagon (with approval from a representative of each required).

The Company provides capital to the SDLP in the form of subordinated certificates (the “SDLP Certificates”), and Varagon and its clients provide capital to the SDLP in the form of senior notes, intermediate funding notes and the SDLP Certificates. As of June 30, 2025 and December 31, 2024, the Company and a client of Varagon owned 87.5% and 12.5%, respectively, of the outstanding SDLP Certificates.

As of June 30, 2025 and December 31, 2024, the Company and Varagon and its clients had agreed to make capital available to the SDLP of $6,150 and $6,150, respectively, in the aggregate, of which $1,444 and $1,444, respectively, is to be made available from the Company. The Company will continue to provide capital to the SDLP in the form of the SDLP Certificates, and Varagon and its clients will provide capital to the SDLP in the form of senior notes, intermediate funding notes and the SDLP Certificates. This capital will only be committed to the SDLP upon approval of transactions by the investment committee of the SDLP as discussed above. Below is a summary of the funded capital and unfunded capital commitments of the SDLP.
 As of
June 30, 2025December 31, 2024
Total capital funded to the SDLP(1)$4,572 $5,054 
Total capital funded to the SDLP by the Company(1)$1,231 $1,310 
Total unfunded capital commitments to the SDLP(2)$339 $489 
Total unfunded capital commitments to the SDLP by the Company(2)$86 $119 
___________________________________________________________________________
(1)At principal amount.

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

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

The amortized cost and fair value of the SDLP Certificates held by the Company and the Company’s yield on its investment in the SDLP Certificates at amortized cost and fair value as of June 30, 2025 and December 31, 2024 were as follows:

As of
June 30, 2025December 31, 2024
Amortized CostFair ValueAmortized CostFair Value
Investment in the SDLP Certificates$1,063 $1,052 $1,263 $1,192 
Yield on the investment in the SDLP Certificates12.0 %12.1 %12.4 %13.2 %

The interest income from the Company’s investment in the SDLP Certificates and capital structuring service fees and other income earned for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Interest income
$38 $45 $76 $88 
Capital structuring service fees and other income
$$$$

As of June 30, 2025 and December 31, 2024, the SDLP’s portfolio was comprised entirely of first lien senior secured loans to U.S. middle-market companies and were in industries similar to the companies in the Company’s portfolio. As of June 30, 2025, one of the loans in the SDLP portfolio was on non-accrual status. As of December 31, 2024, two of the loans in the SDLP portfolio were on non-accrual status. Below is a summary of the SDLP’s portfolio.

As of
June 30, 2025December 31, 2024
Total first lien senior secured loans(1)(2)$4,415 $4,759 
Largest loan to a single borrower(1)$420 $400 
Total of five largest loans to borrowers(1)$1,711 $1,692 
Number of borrowers in the SDLP19 20 
Commitments to fund delayed draw loans(3)$339 $489 
___________________________________________________________________________

(1)At principal amount.
(2)First lien senior secured loans include certain loans that the SDLP classifies as “unitranche” loans. As of June 30, 2025 and December 31, 2024, the total principal amount of loans in the SDLP portfolio that the SDLP classified as “unitranche” loans was $3,452 and $3,937, respectively.
(3)As discussed above, these commitments have been approved by the investment committee of the SDLP.

v3.25.2
DEBT
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
DEBT
5. DEBT

In accordance with the Investment Company Act, the Company is allowed to borrow amounts such that its asset coverage, calculated pursuant to the Investment Company Act, is at least 150% after such borrowing. The Company’s asset coverage requirement applicable to senior securities was reduced from 200% to 150% effective June 21, 2019. As of June 30, 2025, the aggregate principal amount outstanding of the senior securities issued by the Company was $14,114 and the Company’s asset coverage was 199%.

The Company’s outstanding debt as of June 30, 2025 and December 31, 2024 was as follows:

 As of 
June 30, 2025December 31, 2024
Total Aggregate Principal Amount Committed/ Outstanding (1)Principal Amount OutstandingCarrying ValueTotal Aggregate Principal Amount Committed/ Outstanding (1)Principal Amount OutstandingCarrying Value
Revolving Credit Facility$5,393 (2)$1,144 $1,144 $4,513 (2)$1,113 $1,113 
Revolving Funding Facility2,150 750 750 2,150 1,065 1,065 
SMBC Funding Facility800 (3)400 400 800 (3)502 502 
BNP Funding Facility1,265 450 450 1,265 889 889 
April 2036 CLO Notes(4)476 476 473 (5)476 476 473 (5)
October 2036 CLO Secured Loans(4)544 544 541 (5)544 544 541 (5)
March 2025 Notes— — — (5)600 600 600 (5)
July 2025 Notes1,250 1,250 1,250 (5)1,250 1,250 1,252 (5)
January 2026 Notes1,150 1,150 1,149 (5)1,150 1,150 1,148 (5)
July 2026 Notes1,000 1,000 997 (5)1,000 1,000 996 (5)
January 2027 Notes900 900 901 (5)(6)900 900 891 (5)(6)
June 2027 Notes500 500 497 (5)500 500 497 (5)
June 2028 Notes1,250 1,250 1,248 (5)1,250 1,250 1,248 (5)
March 2029 Notes1,000 1,000 999 (5)(6)1,000 1,000 985 (5)(6)
July 2029 Notes850 850 862 (5)(6)850 850 835 (5)(6)
September 2030 Notes750 750 742 (5)(6)— — — 
November 2031 Notes700 700 693 (5)700 700 692 (5)
March 2032 Notes1,000 1,000 1,013 (5)(6)— — — 
Total$20,978 $14,114 $14,109 $18,948 $13,789 $13,727 
________________________________________

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

(2)Provides for an “accordion” feature that allows the Company, under certain circumstances, to increase the size of the Revolving Credit Facility to a maximum of approximately $7,925 and $6,732 as of June 30, 2025 and December 31, 2024, respectively.
(3)Provides for an “accordion” feature that allows ACJB (as defined below), under certain circumstances, to increase the size of the SMBC Funding Facility to a maximum of $1,000.

(4)Excludes the April 2036 CLO Subordinated Notes and the October 2036 CLO Subordinated Notes (each as defined below), which were retained by the Company and, as such, eliminated in consolidation.

(5)Represents the aggregate principal amount outstanding, less unamortized debt issuance costs and the net unaccreted/amortized discount or premium recorded upon issuance. In March 2025, the Company repaid in full the March 2025 Notes (as defined below) upon their maturity. See Note 15 for a subsequent event relating to the July 2025 Notes (as defined below).

(6)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes (each as defined below) as of June 30, 2025 includes adjustments as a result of effective hedge accounting relationships. The carrying value of the January 2027 Notes, the March 2029 Notes and the July 2029 Notes as of December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Note 6 for more information on the interest rate swaps related to these unsecured notes issuances.

 The weighted average stated interest rate and weighted average maturity, both on aggregate principal amount outstanding, of all the Company’s outstanding debt as of June 30, 2025 were 4.9% and 3.8 years, respectively, and as of December 31, 2024 were 4.9% and 3.8 years, respectively. The weighted average stated interest rate of all the Company’s outstanding debt as of June 30, 2025 and December 31, 2024 includes the impact of interest rate swaps. See Note 6 for more information on the interest rate swaps.
 
Revolving Credit Facility
 
The Company is party to a senior secured revolving credit facility (as amended and restated, the “Revolving Credit Facility”) that allows the Company to borrow up to $5,393 at any one time outstanding. The Revolving Credit Facility consists of an approximately $4,249 revolving tranche and an approximately $1,144 term loan tranche. As of June 30, 2025, the end of the revolving periods and the stated maturity dates of the various revolving and term loan tranches of the Revolving Credit Facility were as follows:

Total Aggregate Principal Amount Committed/ OutstandingEnd of Revolving PeriodMaturity Date
Revolving tranche$3,958 April 15, 2029April 15, 2030
246March 31, 2026March 31, 2027
45April 12, 2028April 12, 2029
4,249 
Term loan tranche1,035 April 15, 2030
45April 12, 2029
40April 19, 2028
24March 31, 2027
1,144 
$5,393 

The Revolving Credit Facility also provides for an “accordion” feature that allows the Company, under certain circumstances, to increase the overall size of the Revolving Credit Facility to a maximum of approximately $7,925. The Revolving Credit Facility generally requires payments of interest at the end of each SOFR interest period, but no less frequently than quarterly, on SOFR based loans, and monthly payments of interest on other loans. Subsequent to the end of the respective revolving periods and prior to the respective stated maturity dates, the Company is required to repay the relevant outstanding principal amounts under both the term loan tranche and revolving tranche on a monthly basis in an amount equal to 1/12th of the outstanding principal amount at the end of the respective revolving periods. See Note 15 for a subsequent event relating to the Revolving Credit Facility.

Under the Revolving Credit Facility, the Company is required to comply with various covenants, reporting requirements and other customary requirements for similar revolving credit facilities, including, without limitation, covenants related to: (a) limitations on the incurrence of additional indebtedness and liens, (b) limitations on certain investments, (c) limitations on certain restricted payments, (d) maintaining a certain minimum stockholders’ equity, (e) maintaining a ratio of
total assets (less total liabilities not representing indebtedness) to total indebtedness of the Company and its consolidated subsidiaries (subject to certain exceptions) of not less than 1.5:1.0, (f) limitations on pledging certain unencumbered assets, and (g) limitations on the creation or existence of agreements that prohibit liens on certain properties of the Company and certain of its subsidiaries. These covenants are subject to important limitations and exceptions that are described in the documents governing the Revolving Credit Facility. Amounts available to borrow under the Revolving Credit Facility (and the incurrence of certain other permitted debt) are also subject to compliance with a borrowing base that applies different advance rates to different types of assets (based on their value as determined pursuant to the Revolving Credit Facility) that are pledged as collateral. As of June 30, 2025, the Company was in compliance in all material respects with the terms of the Revolving Credit Facility.
 
As of June 30, 2025 and December 31, 2024, there was $1,144 and $1,113 outstanding, respectively, under the Revolving Credit Facility. The Revolving Credit Facility also provides for a sub-limit for the issuance of letters of credit for up to an aggregate amount of $400. As of June 30, 2025 and December 31, 2024, the Company had $53 and $52, respectively, in letters of credit issued through the Revolving Credit Facility. The amount available for borrowing under the Revolving Credit Facility is reduced by any letters of credit and swingline loans issued. As of June 30, 2025, there was $4,196, available for borrowing (net of letters of credit and swingline loans issued) under the Revolving Credit Facility, subject to borrowing base restrictions.
 
Since April 15, 2025, subject to certain exceptions, the interest rate charged on the Revolving Credit Facility is based on SOFR plus a credit spread adjustment of 0.10% (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in certain approved foreign currencies plus a spread adjustment, if applicable) plus an applicable spread of either 1.525%, 1.650% or 1.775% or an “alternate base rate” (as defined in the documents governing the Revolving Credit Facility) plus an applicable spread of either 0.525%, 0.650% or 0.775%, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving credit exposure and term loans outstanding under the Revolving Credit Facility and (b) 85% of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. Prior to April 15, 2025, the interest rate charged on the Revolving Credit Facility was based on SOFR plus a credit spread adjustment of 0.10% (or an alternate rate of interest for certain loans, commitments and/or other extensions of credit denominated in certain approved foreign currencies plus a spread adjustment, if applicable) plus an applicable spread of either 1.750% or 1.875% or an “alternate base rate” plus an applicable spread of either 0.750% or 0.875%, in each case, determined monthly based on the total amount of the borrowing base relative to the sum of (i) the greater of (a) the aggregate amount of revolving exposure and term loans outstanding under the Revolving Credit Facility and (b) 85% of the total commitments of the Revolving Credit Facility (or, if higher, the total revolving credit exposure) plus (ii) other debt, if any, secured by the same collateral as the Revolving Credit Facility. The Revolving Credit Facility allows for borrowings to be made using one, three or six month SOFR. As of June 30, 2025, the one, three and six month SOFR was 4.32%, 4.29% and 4.15%, respectively. As of June 30, 2025, the applicable spread in effect was 1.65%. In addition to the stated interest expense on the Revolving Credit Facility, subject to certain exceptions, the Company is required to pay a commitment fee of 0.325% per annum on any unused portion of the Revolving Credit Facility. The Company is also required to pay a letter of credit fee of either 1.775%, 1.900% or 2.025% per annum on letters of credit issued, determined monthly based on the total amount of the borrowing base relative to the total commitments of the Revolving Credit Facility and other debt, if any, secured by the same collateral as the Revolving Credit Facility.

The Revolving Credit Facility is secured by certain assets in the Company’s portfolio and excludes investments held by Ares Capital CP (as defined below) under the Revolving Funding Facility, those held by ACJB under the SMBC Funding Facility, those held by AFB (as defined below) under the BNP Funding Facility and those held by ADL CLO 1 (as defined below) and ADL CLO 4 (as defined below) and certain other investments.

For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Credit Facility were as follows:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$18 $23 $35 $45 
Credit facility fees
Amortization of debt issuance costs
Total interest and credit facility fees expense$24 $29 $46 $57 
Cash paid for interest expense$22 $23 $43 $61 
Average stated interest rate6.01 %7.34 %6.10 %7.31 %
Average outstanding balance$1,183 $1,242 $1,151 $1,220 
 
Letter of Credit Facility

The Company and Deutsche Bank AG New York Branch (the “DB Issuer”) are party to an uncommitted continuing agreement (the “Letter of Credit Facility”), which allows the DB Issuer to issue letters of credit or demand guarantees, at the request of the Company, on behalf of certain portfolio companies. The Company is required to make payments to the DB Issuer if the portfolio companies were to default on their related payment obligations. The Letter of Credit Facility is secured on a pari passu basis with the Revolving Credit Facility and pursuant to substantially the same collateral as the Revolving Credit Facility. As of June 30, 2025 and December 31, 2024, the DB Issuer had $211 and $140, respectively, in letters of credit issued under the Letter of Credit Facility.

Revolving Funding Facility
 
The Company and the Company’s consolidated subsidiary, Ares Capital CP Funding LLC (“Ares Capital CP”), are party to a revolving funding facility (as amended, the “Revolving Funding Facility”), that allows Ares Capital CP to borrow up to $2,150 at any one time outstanding. The Revolving Funding Facility is secured by all of the assets held by, and the membership interest in, Ares Capital CP. The end of the reinvestment period and the stated maturity date for the Revolving Funding Facility are October 8, 2027 and October 8, 2029, respectively. See Note 15 for a subsequent event relating to the Revolving Funding Facility.

Amounts available to borrow under the Revolving Funding Facility are subject to a borrowing base that applies different advance rates to different types of assets held by Ares Capital CP. Ares Capital CP is also subject to limitations with respect to the loans securing the Revolving Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and Ares Capital CP are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the Revolving Funding Facility. As of June 30, 2025, the Company and Ares Capital CP were in compliance in all material respects with the terms of the Revolving Funding Facility.
 
As of June 30, 2025 and December 31, 2024, there was $750 and $1,065 outstanding, respectively, under the Revolving Funding Facility. Since October 8, 2024, the interest rate charged on the Revolving Funding Facility is based on SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 2.00% per annum. Prior to October 8, 2024, the interest rate charged on the Revolving Funding Facility was based on SOFR plus a credit spread adjustment of 0.10% or a “base rate” plus an applicable spread of 1.90% per annum. Ares Capital CP is also required to pay a commitment fee of between 0.50% and 1.25% per annum depending on the size of the unused portion of the Revolving Funding Facility. See Note 15 for a subsequent event relating to the Revolving Funding Facility.
  
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Funding Facility were as follows:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$14 $14 $30 $24 
Credit facility fees
Amortization of debt issuance costs
Total interest and credit facility fees expense$18 $17 $37 $30 
Cash paid for interest expense$18 $13 $35 $26 
Average stated interest rate6.31 %7.40 %6.32 %7.39 %
Average outstanding balance$921 $747 $954 $645 

SMBC Funding Facility
 
The Company and the Company’s consolidated subsidiary, Ares Capital JB Funding LLC (“ACJB”), are party to a revolving funding facility (as amended, the “SMBC Funding Facility”), with ACJB, as the borrower, and Sumitomo Mitsui Banking Corporation, as the administrative agent and collateral agent, that allows ACJB to borrow up to $800 at any one time outstanding. The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1,000. The SMBC Funding Facility is secured by all of the assets held by ACJB. The end of the reinvestment period and the stated maturity date for the SMBC Funding Facility are December 6, 2027 and December 6, 2029, respectively. The reinvestment period and the stated maturity date are both subject to two one-year extensions by mutual agreement. See Note 15 for a subsequent event relating to the SMBC Funding Facility.
 
Amounts available to borrow under the SMBC Funding Facility are subject to a borrowing base that applies an advance rate to assets held by ACJB. ACJB is also subject to limitations with respect to the loans securing the SMBC Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and ACJB are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the SMBC Funding Facility. As of June 30, 2025, the Company and ACJB were in compliance in all material respects with the terms of the SMBC Funding Facility.
 
As of June 30, 2025 and December 31, 2024, there was $400 and $502 outstanding, respectively, under the SMBC Funding Facility. Since December 6, 2024, the interest rate charged on the SMBC Funding Facility is based on an applicable spread of either (i) 2.00% over SOFR or (ii) 1.00% over a “base rate” (as defined in the documents governing the SMBC Funding Facility), in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. From March 28, 2024 to December 5, 2024, the interest rate charged on the SMBC Funding Facility was based on an applicable spread of either (i) 2.50% over SOFR or (ii) 1.50% over a “base rate”, in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. Prior to March 28, 2024, the interest rate charged on the SMBC Funding Facility was based on an applicable spread of either (i) 1.75% or 2.00% over one month SOFR plus a credit spread adjustment of 0.10% or (ii) 0.75% or 1.00% over a “base rate”, in each case, determined monthly based on the amount of the average borrowings outstanding under the SMBC Funding Facility. ACJB is required to pay a commitment fee of between 0.50% and 1.00% per annum depending on the size of the unused portion of the SMBC Funding Facility. See Note 15 for a subsequent event relating to the SMBC Funding Facility.
 
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the SMBC Funding Facility were as follows:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$$$14 $12 
Credit facility fees
Amortization of debt issuance costs— — 
Total interest and credit facility fees expense$$$16 $15 
Cash paid for interest expense$$$15 $12 
Average stated interest rate6.32 %7.95 %6.32 %7.66 %
Average outstanding balance$449 $346 $432 $316 
    
BNP Funding Facility
 
The Company and the Company’s consolidated subsidiary, ARCC FB Funding LLC (“AFB”), are party to a revolving funding facility (as amended, the “BNP Funding Facility”) with AFB, as the borrower, and BNP Paribas, as the administrative agent and lender, that allows AFB to borrow up to $1,265 at any one time outstanding. The BNP Funding Facility is secured by all of the assets held by AFB. The end of the reinvestment period and the stated maturity date for the BNP Funding Facility are March 20, 2028 and March 20, 2030, respectively.
 
Amounts available to borrow under the BNP Funding Facility are subject to a borrowing base that applies an advance rate to assets held by AFB. AFB is also subject to limitations with respect to the loans securing the BNP Funding Facility, including restrictions on sector concentrations, loan size, payment frequency and status, collateral interests and loans with fixed rates, as well as restrictions on portfolio company leverage, all of which may also affect the borrowing base and therefore amounts available to borrow. The Company and AFB are also required to comply with various covenants, reporting requirements and other customary requirements for similar facilities. These covenants are subject to important limitations and exceptions that are described in the documents governing the BNP Funding Facility. As of June 30, 2025, the Company and AFB were in compliance in all material respects with the terms of the BNP Funding Facility.
 
As of June 30, 2025 and December 31, 2024, there was $450 and $889, respectively, outstanding under the BNP Funding Facility. Since March 20, 2025, the interest rate charged on the BNP Funding Facility is based on an applicable SOFR or a “base rate” (as defined in the documents governing the BNP Funding Facility) plus a margin of (i) 1.90% during the reinvestment period and (ii) 2.40% following the reinvestment period. From April 20, 2023 to March 19, 2025, the range of interest rate charged on the BNP Funding Facility was based on an applicable SOFR or a “base rate” plus a margin of between 2.10% and 2.80% during the reinvestment period.

For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the BNP Funding Facility were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$11 $10 $22 $23 
Credit facility fees— — 
Amortization of debt issuance costs— — — 
Total interest and credit facility fees expense$12 $10 $24 $23 
Cash paid for interest expense$13 $11 $25 $23 
Average stated interest rate6.20 %7.93 %6.31 %8.03 %
Average outstanding balance$664 $537 $687 $555 

Debt Securitizations

ADL CLO 1 Debt Securitization

In May 2024, the Company, through its wholly owned, consolidated subsidiary, Ares Direct Lending CLO 1 LLC (“ADL CLO 1”), completed a $702 term debt securitization (the “ADL CLO 1 Debt Securitization”). The ADL CLO 1 Debt Securitization is also known as a collateralized loan obligation and is an on-balance sheet financing incurred by the Company,
which is consolidated by the Company for financial reporting purposes and subject to its overall asset coverage requirement. The notes offered in the ADL CLO 1 Debt Securitization that mature on April 25, 2036 (collectively, the “April 2036 CLO Notes”) were issued by ADL CLO 1 pursuant to the indenture governing the April 2036 CLO Notes (the “April 2036 CLO Indenture”) and include (i) $406 of Class A Senior Notes (the “April 2036 Class A CLO Notes”); (ii) $70 of Class B Senior Notes (the “April 2036 Class B CLO Notes” and, together with the April 2036 Class A CLO Notes, the “April 2036 CLO Secured Notes”); and (iii) approximately $226 of subordinated notes (the “April 2036 CLO Subordinated Notes”). The Company retained all of the April 2036 CLO Subordinated Notes, as such, the April 2036 CLO Subordinated Notes are eliminated in consolidation. The following table presents information on the April 2036 CLO Notes as of June 30, 2025:

ClassTypePrincipal OutstandingMaturity DateInterest Rate
April 2036 Class A CLO NotesSenior Secured Floating Rate$406 April 25, 2036
SOFR+1.80%
April 2036 Class B CLO NotesSenior Secured Floating Rate70 April 25, 2036
SOFR+2.20%
Total April 2036 CLO Secured Notes476 
April 2036 CLO Subordinated NotesSubordinated226 April 25, 2036None
Total April 2036 CLO Notes$702 

The April 2036 CLO Secured Notes are the secured obligations of ADL CLO 1 and are backed by a diversified portfolio of first lien senior secured loans contributed by the Company to ADL CLO 1 pursuant to the terms of a contribution agreement. The April 2036 CLO Indenture contains certain conditions pursuant to which additional loans can be acquired by ADL CLO 1, in accordance with rating agency criteria or as otherwise agreed with certain institutional investors who purchased the April 2036 CLO Secured Notes. Through April 25, 2028, all principal collections received on the underlying collateral may be used by ADL CLO 1 to purchase new collateral under the direction of the Company’s investment adviser in its capacity as asset manager to ADL CLO 1 under an asset management agreement and in accordance with the Company’s investment strategy, including additional collateral that may be purchased from the Company, pursuant to the terms of a master purchase and sale agreement between the Company as seller and ADL CLO 1 as buyer.

The April 2036 CLO Indenture includes customary covenants and events of default. The Company’s investment adviser serves as asset manager to ADL CLO 1 under an asset management agreement and is entitled to receive certain management fees for providing these services under the agreement. The Company’s investment adviser has agreed to waive any management fees from ADL CLO 1.

ADL CLO 4 Debt Securitization

In November 2024, the Company, through its wholly owned, consolidated subsidiary, Ares Direct Lending CLO 4 LLC (“ADL CLO 4”), completed a $544 term debt securitization (the “ADL CLO 4 Debt Securitization”). The ADL CLO 4 Debt Securitization is also known as a collateralized loan obligation and is an on-balance sheet financing incurred by the Company, which is consolidated by the Company for financial reporting purposes and subject to its overall asset coverage requirement. The loans incurred by ADL CLO 4 in the ADL CLO 4 Debt Securitization that mature on October 24, 2036 (collectively, the “October 2036 CLO Secured Loans”) were issued by ADL CLO 4 pursuant to the indenture governing the October 2036 CLO Secured Loans (the “October 2036 CLO Indenture”) and include (i) $464 of Class A Senior Loans (the “October 2036 Class A CLO Loans”), and (ii) $80 of Class B Senior Loans (the “October 2036 Class B CLO Loans”). In addition, in connection with the ADL CLO 4 Debt Securitization, ADL CLO 4 issued approximately $260 of subordinated notes (the “October 2036 CLO Subordinated Notes”). The Company retained all of the October 2036 CLO Subordinated Notes, as such, the October 2036 CLO Subordinated Notes are eliminated in consolidation. The October 2036 CLO Secured Loans may be converted by the lender into notes issued by ADL CLO 4 and bearing the same economic terms, subject to certain conditions under the documents governing the October 2036 CLO Secured Loans and the indenture governing such notes (the “October 2036 CLO Indenture”). The following table presents information on the October 2036 CLO Secured Loans as of June 30, 2025:

ClassTypePrincipal OutstandingMaturity DateInterest Rate
October 2036 Class A CLO Loans
Senior Secured Floating Rate$464 October 24, 2036
SOFR+1.54%
October 2036 Class B CLO Loans
Senior Secured Floating Rate80 October 24, 2036
SOFR+1.83%
Total October 2036 CLO Secured Loans$544 
The October 2036 CLO Secured Loans are the secured obligations of ADL CLO 4 and are backed by a diversified portfolio of first lien senior secured loans contributed by the Company to ADL CLO 4 pursuant to the terms of a contribution agreement. The documents governing the October 2036 CLO Secured Loans contain certain conditions pursuant to which additional loans can be acquired by ADL CLO 4, in accordance with rating agency criteria or as otherwise agreed with lenders who extended the October 2036 CLO Secured Loans. Through October 24, 2028, all principal collections received on the underlying collateral may be used by ADL CLO 4 to purchase new collateral under the direction of the Company’s investment adviser in its capacity as asset manager to ADL CLO 4 under an asset management agreement and in accordance with the Company’s investment strategy, including additional collateral that may be purchased from the Company, pursuant to the terms of a master purchase and sale agreement between the Company as seller and ADL CLO 4 as buyer.

The October 2036 CLO Indenture includes customary covenants and events of default. The Company’s investment adviser serves as asset manager to ADL CLO 4 under an asset management agreement and is entitled to receive certain management fees for providing these services under the agreement. The Company’s investment adviser has agreed to waive any management fees from ADL CLO 4.

The interest rate charged on the April 2036 CLO Secured Notes and the October 2036 CLO Secured Loans is based on SOFR plus a blended weighted average spread of 1.71%. For the three and six months ended June 30, 2025, the components of interest expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the April 2036 CLO Secured Notes and the October 2036 CLO Secured Loans were as follows.

 For the Three Months Ended June 30, 2025For the Six Months Ended June 30, 2025
Stated interest expense$15 $31 
Amortization of debt issuance costs
Total interest expense$16 $32 
Cash paid for interest expense$21 $29 
Average stated interest rate5.90 %6.04 %
Average outstanding balance$1,020 $1,020 

2024 Convertible Unsecured Notes

In March 2024, the Company repaid in full the $403 in aggregate principal amount of unsecured convertible notes, which bore interest at a rate of 4.625% per year (the “2024 Convertible Notes”) upon their maturity, resulting in a realized loss on extinguishment of debt of $14. In accordance with the indenture governing the 2024 Convertible Notes, the Company settled the repayment of the 2024 Convertible Notes with a combination of cash and shares of its common stock. Approximately $393 of aggregate principal amount was settled with approximately 20 shares of the Company’s common stock and the remaining $10 of aggregate principal amount was settled with available cash.

For the three and six months ended June 30, 2024, the components of interest expense and cash paid for interest expense for the 2024 Convertible Notes were as follows.
 For the Three Months Ended June 30, 2024For the Six Months Ended June 30, 2024
Stated interest expense$— $
Total interest expense$— $
Cash paid for interest expense$— $

Unsecured Notes
 
The Company has issued certain unsecured notes (the Company refers to each series of unsecured notes using the defined term set forth under the “Unsecured Notes” column of the table below and collectively refers to all such series as the “Unsecured Notes”), that pay interest semi-annually and all principal amounts are due upon maturity. Each of the Unsecured Notes may be redeemed in whole or in part at any time at the Company’s option at a redemption price equal to par plus a “make whole” premium, if applicable, as determined pursuant to the indentures governing each of the Unsecured Notes, plus any accrued and unpaid interest. Certain key terms related to the features for the Unsecured Notes as of June 30, 2025 are listed below.

Unsecured Notes
Aggregate Principal Amount IssuedEffective Stated Interest RateOriginal Issuance DateMaturity Date
July 2025 Notes$1,250 3.250%January 15, 2020July 15, 2025
January 2026 Notes$1,150 3.875%July 15, 2020January 15, 2026
July 2026 Notes$1,000 2.150%January 13, 2021July 15, 2026
January 2027 Notes(1)$900 6.893%August 3, 2023January 15, 2027
June 2027 Notes $500 2.875%January 13, 2022June 15, 2027
June 2028 Notes$1,250 2.875%June 10, 2021June 15, 2028
March 2029 Notes(1)$1,000 6.347%January 23, 2024March 1, 2029
July 2029 Notes(1)$850 5.955%May 13, 2024July 15, 2029
September 2030 Notes(1)$750 6.093%June 3, 2025September 1, 2030
November 2031 Notes$700 3.200%November 4, 2021November 15, 2031
March 2032 Notes$1,000 5.800%January 8, 2025March 8, 2032
________________________________________

(1)The effective stated interest rates for the January 2027 Notes, the March 2029 Notes, the July 2029 Notes and the September 2030 Notes include the impact of interest rate swaps.

In March 2025, the Company repaid in full the $600 in aggregate principal amount outstanding of unsecured notes (the “March 2025 Notes”) upon their maturity. The March 2025 Notes bore interest at a rate of 4.250% per annum.

See Note 15 for a subsequent event relating to the July 2025 Notes.

In connection with certain of the unsecured notes issued by the Company, the Company has entered into interest rate swaps to more closely align the interest rates of such liabilities with the Company’s investment portfolio, which consists primarily of floating rate loans. Under the interest rate swaps, the Company receives a fixed interest rate and pays a floating interest rate of one-month SOFR plus an applicable spread, as disclosed below. The Company designated these interest rate swaps and the associated unsecured notes as qualifying fair value hedge accounting relationships. Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.

DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.

See Note 6 for more information on the interest rate swaps.
For the three and six months ended June 30, 2025 and 2024, the components of interest expense and cash paid for interest expense for the Unsecured Notes, as well as any other unsecured notes outstanding during the periods presented were as follows.
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense(1)$108 $103 $215 $196 
Amortization of debt issuance costs
Net amortization of original issue premium/discount(1)(1)(2)(3)
Net gain on interest rate swaps accounted for as hedge instruments and the related hedged items(1)— (2)— 
Total interest expense$110 $106 $219 $201 
Cash paid for interest expense(1)$81 $59 $192 $157 
________________________________________

(1)Includes the impact of the interest rate swaps.
 
The Unsecured Notes contain certain covenants, including covenants requiring the Company to comply with Section 18(a)(1)(A) as modified by Section 61(a) of the Investment Company Act, or any successor provisions, and to provide financial information to the holders of such notes under certain circumstances. These covenants are subject to important limitations and exceptions set forth in the indentures governing such notes. As of June 30, 2025, the Company was in compliance in all material respects with the terms of the respective indentures governing each of the Unsecured Notes.
 
The Unsecured Notes are the Company’s senior unsecured obligations and rank senior in right of payment to any future indebtedness that is expressly subordinated in right of payment to the Unsecured Notes; equal in right of payment to the Company’s existing and future unsecured indebtedness that is not expressly subordinated; effectively junior in right of payment to any of its secured indebtedness (including existing unsecured indebtedness that the Company later secures) to the extent of the value of the assets securing such indebtedness; and structurally junior to all existing and future indebtedness (including trade payables) incurred by the Company’s subsidiaries, financing vehicles or similar facilities.

v3.25.2
DERIVATIVE INSTRUMENTS
6 Months Ended
Jun. 30, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
DERIVATIVE INSTRUMENTS
6. DERIVATIVE INSTRUMENTS

The Company enters into derivative instruments from time to time to help mitigate its foreign currency and interest rate risk exposures.

Foreign Currency Forward Contracts

Certain information related to the Company’s foreign currency forward derivative instruments as of June 30, 2025 and December 31, 2024 is presented below.
 As of June 30, 2025
Derivative InstrumentNotional
Amount
Gross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet
Location of Net Amounts
Foreign currency forward contract¥8,131$58 $(59) Accounts payable and other liabilities
Foreign currency forward contract CAD 366265 (270) Accounts payable and other liabilities
Foreign currency forward contract£143173 (177) Accounts payable and other liabilities
Foreign currency forward contract£142183 (190) Accounts payable and other liabilities
Foreign currency forward contract CAD 13195 (97) Accounts payable and other liabilities
Foreign currency forward contract122141 (146) Accounts payable and other liabilities
Foreign currency forward contract8799 (102) Accounts payable and other liabilities
Foreign currency forward contract NOK 64(6)Accounts payable and other liabilities
Foreign currency forward contract NZD 6438 (39) Accounts payable and other liabilities
Foreign currency forward contract AUD 2215 (15)Accounts payable and other liabilities
Total$1,073 $(1,101)

 As of December 31, 2024
Derivative InstrumentNotional
Amount
Gross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet
Location of Net Amounts
Foreign currency forward contractCAD240$184 $(179)Other assets
Foreign currency forward contractCAD188133 (131)Other assets
Foreign currency forward contract182195 (189)Other assets
Foreign currency forward contract£133168 (166)Other assets
Foreign currency forward contract103109 (105)Other assets
Foreign currency forward contractNOK9796 (96)Other assets
Foreign currency forward contract£7495 (93)Other assets
Foreign currency forward contractNZD6841 (38)Other assets
Foreign currency forward contractNOK63(6)Other assets
Foreign currency forward contractAUD2114 (14)Other assets
Total$1,041 $(1,017)

As of June 30, 2025 and December 31, 2024, the counterparties to each of the Company’s foreign currency forward contracts were Canadian Imperial Bank of Commerce or Royal Bank of Canada.

Net realized and unrealized gains and losses on derivative instruments not designated as a qualifying hedge accounting relationship recognized by the Company for the three and six months ended June 30, 2025 and 2024 is in the following location in the consolidated statements of operations:

For the Three Months Ended June 30,For the Six Months Ended June 30,
Derivative InstrumentStatement Location2025202420252024
Foreign currency forward contractNet realized gains (losses) from foreign currency and other transactions$(40)$14 $(9)$(1)
Foreign currency forward contractNet unrealized gains (losses) from foreign currency and other transactions$(10)$(10)$(54)$20 
Interest Rate Swaps

In connection with certain of the unsecured notes issued by the Company, the Company has entered into interest rate swaps to more closely align the interest rates of such liabilities with the Company’s investment portfolio, which consists primarily of floating rate loans. Under the interest rate swaps, the Company receives a fixed interest rate and pays a floating interest rate of one-month SOFR plus an applicable spread, as disclosed below. The Company designated these interest rate swaps and the associated unsecured notes as qualifying fair value hedge accounting relationships. As of June 30, 2025 and December 31, 2024, the counterparty to all of the Company’s interest rate swaps was Wells Fargo Bank, N.A. Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.

DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.

See Note 5 for more information on the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes.

As a result of the Company’s designation of the interest rate swaps as hedging instruments in qualifying fair value hedge accounting relationships, the Company is required to fair value the hedging instruments and the related hedged items, with the changes in the fair value of each being recorded in interest expense. The net gain related to the fair value hedges was approximately $1 and $2 for the three and six months ended June 30, 2025, respectively, and approximately $0 for each of the comparable periods in 2024, which is included in “interest and credit facility fees” in the Company’s consolidated statement of operations. The balance sheet impact of fair valuing the interest rate swaps as of June 30, 2025 and December 31, 2024 is presented below:

 As of June 30, 2025
Derivative InstrumentNotional AmountMaturity DateGross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet Location of Amounts
Interest rate swap(1)$900 January 15, 2027$10 $— Other assets
Interest rate swap(2)$1,000 March 1, 202913 — Other assets
Interest rate swap(3)$850July 15, 202927 — Other assets
Interest rate swap(4)$750 September 1, 2030— Other assets
Interest rate swap(5)$1,000 March 8, 203232 — Other assets
Total$90 $— 
________________________________________

(1)The asset related to the fair value of the interest rate swaps was offset by a $10 increase to the carrying value of the January 2027 Notes.

(2)The asset related to the fair value of the interest rate swap was offset by a $13 increase to the carrying value of the March 2029 Notes.

(3)The asset related to the fair value of the interest rate swap was offset by a $27 increase to the carrying value of the July 2029 Notes.
(4)The asset related to the fair value of the interest rate swap was offset by a $8 increase to the carrying value of the September 2030 Notes.

(5)The asset related to the fair value of the interest rate swap was offset by a $32 increase to the carrying value of the March 2032 Notes.

 As of December 31, 2024
Derivative InstrumentNotional AmountMaturity DateGross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet Location of Amounts
Interest rate swap(1)$900 January 15, 2027$$— Other assets
Interest rate swap(2)$1,000 March 1, 2029— (9)Accounts payable and other liabilities
Interest rate swap(3)$850July 15, 2029— Other assets
Total$11 $(9)
________________________________________

(1)The asset related to the fair value of the interest rate swaps was offset by a $4 increase to the carrying value of the January 2027 Notes.

(2)The liability related to the fair value of the interest rate swap was offset by a $9 decrease to the carrying value of the March 2029 Notes.

(3)The asset related to the fair value of the interest rate swap was offset by a $7 increase to the carrying value of the July 2029 Notes.

v3.25.2
COMMITMENTS AND CONTINGENCIES
6 Months Ended
Jun. 30, 2025
Commitments and Contingencies Disclosure [Abstract]  
COMMITMENTS AND CONTINGENCIES
7. COMMITMENTS AND CONTINGENCIES

Investment Commitments

The Company has various commitments to fund investments in its portfolio as described below. As of June 30, 2025 and December 31, 2024, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to fund which are at (or substantially at) the Company’s discretion:

 As of
 June 30, 2025December 31, 2024
Total revolving loan commitments $2,469 $2,254 
Less: funded commitments(539)(529)
Less: unavailable revolving loan commitments due to borrowing base or other covenant restrictions(12)(1)
Total net unfunded revolving loan commitments1,918 1,724 
Total unfunded delayed draw loan commitments2,320 2,193 
Less: unavailable delayed draw loan commitments due to borrowing base or other covenant restrictions(15)(22)
Total net unfunded delayed draw loan commitments2,305 2,171 
Total net unfunded revolving and delayed draw loan commitments$4,223 $3,895 
    
The Company’s commitment to fund delayed draw loans is generally triggered upon the satisfaction of certain pre-negotiated terms and conditions. Generally, the most significant and uncertain term requires the borrower to satisfy a specific use of proceeds covenant. The use of proceeds covenant typically requires the borrower to use the additional loans for the specific purpose of a permitted acquisition or permitted investment, for example. In addition to the use of proceeds covenant, the borrower is generally required to satisfy additional negotiated covenants (including specified leverage levels).
Also included within the total revolving loan commitments as of June 30, 2025 were commitments to issue up to $507 in letters of credit through a financial intermediary on behalf of certain portfolio companies. As of June 30, 2025, the Company had $94 in letters of credit issued and outstanding under these commitments on behalf of the portfolio companies. For all these letters of credit issued and outstanding, the Company would be required to make payments to third parties if the portfolio companies were to default on their related payment obligations. Of these letters of credit, $53 expire in 2025 and $41 expire in 2026.
 
The Company also has commitments to co-invest in the SDLP for the Company’s portion of the SDLP’s commitments to fund delayed draw loans to certain portfolio companies of the SDLP. See Note 4 for more information.
 
As of June 30, 2025 and December 31, 2024, the Company was party to agreements to fund equity investment commitments as follows:
 As of
 June 30, 2025December 31, 2024
Total equity commitments$154 $191 
Less: funded equity commitments(39)(88)
Total unfunded equity commitments115 103 
Less: equity commitments substantially at discretion of the Company(43)(43)
Total net unfunded equity commitments$72 $60 
 
In the ordinary course of business, the Company may sell certain of its investments to third party purchasers. In particular, in connection with the sale of certain controlled portfolio company equity investments (as well as certain other sales) the Company has, and may continue to do so in the future, agreed to indemnify such purchasers for future liabilities arising from the investments and the related sale transaction. Such indemnification provisions have given rise to liabilities in the past and may do so in the future.

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

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS
6 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
FAIR VALUE OF FINANCIAL INSTRUMENTS 8. FAIR VALUE OF FINANCIAL INSTRUMENTS
The Company follows ASC 825-10, Recognition and Measurement of Financial Assets and Financial Liabilities (“ASC 825-10”), which provides companies the option to report selected financial assets and liabilities at fair value. ASC 825-10 also establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and a better understanding of the effect of the company’s choice to use fair value on its earnings. ASC 825-10 also requires entities to display the fair value of the selected assets and liabilities on the face of the balance sheet. The Company has not elected the ASC 825-10 option to report selected financial assets and liabilities at fair value. With the exception of the line items entitled “other assets” and “debt,” which are reported at amortized cost, the carrying value of all other assets and liabilities approximate fair value.
 
The Company also follows ASC 820-10, Fair Value Measurements and Disclosures (“ASC 820-10”), which expands the application of fair value accounting. ASC 820-10 defines fair value, establishes a framework for measuring fair value in accordance with GAAP and expands disclosure of fair value measurements. ASC 820-10 determines fair value to be the price that would be received for an investment in a current sale, which assumes an orderly transaction between market participants on the measurement date. ASC 820-10 requires the Company to assume that the portfolio investment is sold in its principal market to market participants or, in the absence of a principal market, the most advantageous market, which may be a hypothetical market. Market participants are defined as buyers and sellers in the principal or most advantageous market that are independent, knowledgeable, and willing and able to transact. In accordance with ASC 820-10, the Company has considered its principal market as the market in which the Company exits its portfolio investments with the greatest volume and level of activity. ASC 820-10 specifies a hierarchy of valuation techniques based on whether the inputs to those valuation techniques are observable or unobservable. In accordance with ASC 820-10, these inputs are summarized in the three broad levels listed below:

Level 1—Valuations based on quoted prices in active markets for identical assets or liabilities that the Company has the ability to access.
Level 2—Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

Level 3—Valuations based on inputs that are unobservable and significant to the overall fair value measurement.
 
In addition to using the above inputs in investment valuations, the Valuation Designee continues to employ its net asset valuation policy and procedures that have been reviewed by the Company’s board of directors in connection with their designation of the Company’s investment adviser as the valuation designee and are consistent with the provisions of Rule 2a-5 under the Investment Company Act and ASC 820-10 (see Note 2 for more information). Consistent with its valuation policy and procedures, the Valuation Designee evaluates the source of inputs, including any markets in which the Company’s investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. Because there is not a readily available market value for most of the investments in the Company’s portfolio, the fair value of the investments must typically be determined using unobservable inputs.
 
The Company’s portfolio investments (other than as described below in the following paragraph) are typically valued using two different valuation techniques. The first valuation technique is an analysis of the enterprise value (“EV”) of the portfolio company. EV means the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time. The primary method for determining EV uses a multiple analysis whereby appropriate multiples are applied to the portfolio company’s EBITDA (generally defined as net income before net interest expense, income tax expense, depreciation and amortization). EBITDA multiples are typically determined based upon review of market comparable transactions and publicly traded comparable companies, if any. The Valuation Designee may also employ other valuation multiples to determine EV, such as revenues or, in the case of certain portfolio companies in the power generation industry, kilowatt capacity. The second method for determining EV uses a discounted cash flow analysis whereby future expected cash flows of the portfolio company are discounted to determine a present value using estimated discount rates (typically a weighted average cost of capital based on costs of debt and equity consistent with current market conditions). The EV analysis is performed to determine the value of equity investments, the value of debt investments in portfolio companies where the Company has control or could gain control through an option or warrant security, and to determine if there is credit impairment for debt investments. If debt investments are credit impaired, an EV analysis may be used to value such debt investments; however, in addition to the methods outlined above, other methods such as a liquidation or wind-down analysis may be utilized to estimate EV. The second valuation technique is a yield analysis, which is typically performed for non-credit impaired debt investments in portfolio companies where the Company does not own a controlling equity position. To determine fair value using a yield analysis, a current price is imputed for the investment based upon an assessment of the expected market yield for a similarly structured investment with a similar level of risk. In the yield analysis, the Valuation Designee considers the current contractual interest rate, the maturity and other terms of the investment relative to risk of the company and the specific investment. A key determinant of risk, among other things, is the leverage through the investment relative to the EV of the portfolio company. As debt investments held by the Company are substantially illiquid with no active transaction market, the Valuation Designee depends on primary market data, including newly funded transactions, as well as secondary market data with respect to high yield debt instruments and syndicated loans, as inputs in determining the appropriate market yield, as applicable.
 
For other portfolio investments such as investments in the SDLP Certificates and IHAM, discounted cash flow analysis is the primary technique utilized to determine fair value. Expected future cash flows associated with the investment are discounted to determine a present value using a discount rate that reflects estimated market return requirements.
The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, unfunded revolving and delayed draw loan commitments and derivatives as of June 30, 2025:

 Fair Value Measurements Using
TotalLevel 1Level 2Level 3
Cash and cash equivalents$447 $447 $— $— 
Restricted cash$217 $217 $— $— 
Investments not measured at net asset value$27,870 $20 $724 $27,126 
Investments measured at net asset value(1)16 
 Total investments$27,886 
Unfunded revolving and delayed draw loan commitments(2)$(25)$— $— $(25)
Derivatives:
Foreign currency forward contracts$(28)$— $(28)$— 
Interest rate swaps$90 $— $90 $— 
________________________________________

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

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

The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, unfunded revolving and delayed draw loan commitments and derivatives as of December 31, 2024:

 Fair Value Measurements Using
TotalLevel 1Level 2Level 3
Cash and cash equivalents$635 $635 $— $— 
Restricted cash$225 $225 $— $— 
Investments not measured at net asset value$26,711 $33 $587 $26,091 
Investments measured at net asset value(1)
 Total investments$26,720 
Unfunded revolving and delayed draw loan commitments(2)$(29)$— $— $(29)
Derivatives:
Foreign currency forward contracts$24 $— $24 $— 
Interest rate swaps$$— $$— 
________________________________________

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

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

The following tables summarize the significant unobservable inputs the Valuation Designee used to value the majority of the Company’s investments categorized within Level 3 as of June 30, 2025 and December 31, 2024. The tables are not intended to be all-inclusive, but instead to capture the significant unobservable inputs relevant to the Valuation Designee’s determination of fair values.
 As of June 30, 2025
Unobservable Input
Asset CategoryFair ValuePrimary Valuation TechniquesInputEstimated Range
Weighted Average(1)
First lien senior secured loans$16,137 Yield analysisMarket yield
5.4% - 20.8%
10.1 %
Second lien senior secured loans1,229 Yield analysisMarket yield
11.0% - 18.7%
14.0 %
Subordinated certificates of the SDLP1,052 Discounted cash flow analysisDiscount rate
9.4% - 12.7%
11.8 %
Senior subordinated loans1,379 Yield analysisMarket yield
6.9% - 22.6%
14.0 %
Preferred equity2,643 Yield analysisMarket yield
7.0% - 19.6%
13.2 %
EV market multiple analysisEBITDA multiple
3.0x - 27.4x
16.0x
Ivy Hill Asset Management, L.P.(2)2,081 Discounted cash flow analysisDiscount rate
9.3% - 19.0%
10.1 %
Other equity2,605 EV market multiple analysisEBITDA multiple
5.0x - 35.0x
16.2x
Total investments$27,126 
________________________________________

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

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

 As of December 31, 2024
Unobservable Input
Asset CategoryFair ValuePrimary Valuation TechniquesInputEstimated Range
Weighted Average(1)
First lien senior secured loans$14,722 Yield analysisMarket yield
3.8% - 22.9%
10.4 %
Second lien senior secured loans1,724 Yield analysisMarket yield
9.6% - 23.2%
14.2 %
Subordinated certificates of the SDLP1,192 Discounted cash flow analysisDiscount rate
10.0% - 13.0%
12.0 %
Senior subordinated loans1,343 Yield analysisMarket yield
8.4% - 21.9%
12.8 %
Preferred equity2,649 Yield analysisMarket yield
7.0% - 19.0%
13.3 %
EV market multiple analysisEBITDA multiple
2.6x - 25.1x
15.4x
Ivy Hill Asset Management, L.P.(2)1,915 Discounted cash flow analysisDiscount rate
9.9% - 19.0%
11.4 %
Other equity2,546 EV market multiple analysisEBITDA multiple
5.6x - 49.7x
18.1x
Total investments$26,091 
________________________________________

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

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

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

The following tables present changes in investments that use Level 3 inputs as of and for the three and six months ended June 30, 2025:

 As of and For the Three Months Ended June 30, 2025
Balance as of March 31, 2025$26,385 
Net realized gains110 
Net unrealized losses(83)
Purchases2,730 
Sales(665)
Repayments(1,452)
PIK interest and dividends150 
Net accretion of discount on investments
Net transfers in and/or out of Level 3(52)
Balance as of June 30, 2025$27,126 

 As of and For the Six Months Ended June 30, 2025
Balance as of December 31, 2024$26,091 
Net realized gains
Net unrealized losses(57)
Purchases5,409 
Sales(1,464)
Repayments(2,908)
PIK interest and dividends255 
Net accretion of discount on investments
Net transfers in and/or out of Level 3(212)
Balance as of June 30, 2025$27,126 

Investments were transferred into and out of Level 3 during the three and six months ended June 30, 2025. Transfers into and out of Level 3 were generally as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.

As of June 30, 2025, the net unrealized appreciation on the investments that use Level 3 inputs was $316.

For the three and six months ended June 30, 2025, the total amount of gains (losses) for the period included in earnings attributable to the change in unrealized gains (losses) relating to the Company’s Level 3 assets still held as of June 30, 2025, and reported within the net unrealized gains (losses) on investments, foreign currency and other transactions in the Company’s consolidated statement of operations was $76 and $(18), respectively.

The following tables present changes in investments that use Level 3 inputs as of and for the three and six months ended June 30, 2024:
 As of and For the Three Months Ended June 30, 2024
Balance as of March 31, 2024$22,353 
Net realized losses(15)
Net unrealized losses(51)
Purchases3,245 
Sales(60)
Repayments(1,301)
PIK interest and dividends128 
Net accretion of discount on investments
Net transfers in and/or out of Level 3— 
Balance as of June 30, 2024$24,302 

 As of and For the Six Months Ended June 30, 2024
Balance as of December 31, 2023$22,084 
Net realized losses(13)
Net unrealized gains59 
Purchases6,116 
Sales(1,111)
Repayments(3,055)
PIK interest and dividends218 
Net accretion of discount on investments
Net transfers in and/or out of Level 3— 
Balance as of June 30, 2024$24,302 

Investments were transferred into and out of Level 3 during the three and six months ended June 30, 2024. Transfers into and out of Level 3 were generally as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.

As of June 30, 2024, the net unrealized appreciation on the investments that use Level 3 inputs was $294.

For the three and six months ended June 30, 2024, the total amount of gains (losses) for the period included in earnings attributable to the change in unrealized gains (losses) relating to the Company’s Level 3 assets still held as of June 30, 2024, and reported within the net unrealized gains (losses) on investments, foreign currency and other transactions in the Company’s consolidated statement of operations was $(68) and $75, respectively.

The following are the carrying and fair values of the Company’s debt obligations as of June 30, 2025 and December 31, 2024. Fair value is estimated by discounting remaining payments using applicable current market rates, which take into account changes in the Company’s marketplace credit ratings, or market quotes, if available.
 As of
 June 30, 2025December 31, 2024
Carrying Value(1)Fair Value(6)Carrying Value(1)Fair Value(6)
Revolving Credit Facility$1,144 $1,144 $1,113 $1,113 
Revolving Funding Facility750 750 1,065 1,065 
SMBC Funding Facility400 400 502 502 
BNP Funding Facility450 450 889 889 
April 2036 CLO Notes (principal amount outstanding of $476)(2)
473 (3)473 473 (3)476 
October 2036 CLO Secured Loans (principal amount outstanding of $544)(2)
541 (3)541 541 (3)544 
March 2025 Notes (principal amount outstanding of $0 and $600, respectively)
— — 600 (3)599 
July 2025 Notes (principal amount outstanding of $1,250)
1,250 (3)1,249 1,252 (3)1,238 
January 2026 Notes (principal amount outstanding of $1,150)
1,149 (3)1,145 1,148 (3)1,137 
July 2026 Notes (principal amount outstanding of $1,000)
997 (3)975 996 (3)957 
January 2027 Notes (principal amount outstanding of $900)
901 (3)(4)929 891 (3)(4)933 
June 2027 Notes (principal amount outstanding of $500)
497 (3)484 497 (3)475 
June 2028 Notes (principal amount outstanding of $1,250)
1,248 (3)1,179 1,248 (3)1,151 
March 2029 Notes (principal amount outstanding of $1,000)
999 (3)(4)1,020 985 (3)(4)1,010 
July 2029 Notes (principal amount outstanding of $850)
862 (3)(4)870 835 (3)(4)861 
September 2030 Notes (principal amount outstanding of $750 and $0, respectively)
742 (3)(4)748 — — 
November 2031 Notes (principal amount outstanding of $700)
693 (3)610 692 (3)602 
March 2032 Notes (principal amount outstanding of $1,000 and $0, respectively)
1,013 (3)(4)997 — — 
Total$14,109 (5)$13,964 $13,727 (5)$13,552 
________________________________________

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

(2)Excludes the April 2036 CLO Subordinated Notes and October 2036 CLO Subordinated Notes, which were retained by the Company and, as such, eliminated in consolidation. See Note 5 for more information on the Debt Securitizations.

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

(4)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes as of June 30, 2025 includes adjustments as a result of effective hedge accounting relationships. The carrying value of the January 2027 Notes, the March 2029 Notes and the July 2029 Notes as of December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Notes 5 and 6 for more information.

(5)Total principal amount of outstanding debt totaled $14,114 and $13,789 as of June 30, 2025 and December 31, 2024, respectively.
(6)The fair value of these debt obligations would be categorized as Level 2 under ASC 820-10.

v3.25.2
STOCKHOLDERS’ EQUITY
6 Months Ended
Jun. 30, 2025
Equity [Abstract]  
STOCKHOLDERS’ EQUITY
9. STOCKHOLDERS’ EQUITY

The Company may from time to time issue and sell shares of its common stock through public or “at the market” offerings. During the six months ended June 30, 2025, the Company issued and sold the following shares of common stock:


Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings32.0$709.4 $7.5 $701.9 $22.14 
Total32.0$709.4 $7.5 $701.9 
________________________________________

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

During the six months ended June 30, 2024, the Company issued and sold the following shares of common stock:


Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings25.9$538.7 $5.9 $532.8 $20.83 
Total25.9$538.7 $5.9 $532.8 
________________________________________

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

“At the Market” Offerings

The Company is party to equity distribution agreements with several banks (the “Equity Distribution Agreements”). The Equity Distribution Agreements provide that the Company may from time to time issue and sell, by means of “at the market” offerings, up to $1,500 of its common stock. Subject to the terms and conditions of the Equity Distribution Agreements, sales of common stock, if any, may be made in transactions that are deemed to be “at the market” offerings as defined in Rule 415(a)(4) under the Securities Act of 1933, as amended. Under the Equity Distribution Agreements, common stock with an aggregate offering amount of $791 remained available for issuance as of June 30, 2025.

Conversion of the 2024 Convertible Notes

In March 2024, in connection with the repayment of the 2024 Convertible Notes, the Company issued approximately 20 shares of its common stock at a conversion price of $20.12 per share for a total value of $407. See Note 5 for more information relating to the repayment of the 2024 Convertible Notes.

Dividend Reinvestment Plan

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

Stock Repurchase Program

The Company is authorized under its stock repurchase program to purchase up to $1,000 in the aggregate of its outstanding common stock in the open market at certain thresholds below its net asset value per share, in accordance with the guidelines specified in Rule 10b-18 under the Securities Exchange Act of 1934, as amended. The timing, manner, price and amount of any share repurchases will be determined by the Company, in its sole discretion, based upon an evaluation of economic and market conditions, stock price, applicable legal and regulatory requirements and other factors. The stock repurchase program does not require the Company to repurchase any specific number of shares of common stock or any shares of common stock at all. Consequently, the Company cannot assure stockholders that any specific number of shares of common stock, if any, will be repurchased under the stock repurchase program. As of June 30, 2025, the expiration date of the stock
repurchase program was February 15, 2026. The program may be suspended, extended, modified or discontinued at any time. As of June 30, 2025, there was $1,000 available for repurchases under the stock repurchase program.
During the six months ended June 30, 2025 and 2024, the Company did not repurchase any shares of the Company’s common stock under the stock repurchase program.

v3.25.2
EARNINGS PER SHARE
6 Months Ended
Jun. 30, 2025
Earnings Per Share [Abstract]  
EARNINGS PER SHARE
10. EARNINGS PER SHARE

The following information sets forth the computations of basic and diluted net increase in stockholders’ equity resulting from operations per share for the three and six months ended June 30, 2025 and 2024:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Net increase in stockholders’ equity resulting from operations$361 $322 $602 $771 
Weighted average shares of common stock outstanding—basic and diluted695 616 686 603 
Basic and diluted net increase in stockholders’ equity resulting from operations per share$0.52 $0.52 $0.88 $1.28 

v3.25.2
DIVIDENDS AND DISTRIBUTIONS
6 Months Ended
Jun. 30, 2025
Equity [Abstract]  
DIVIDENDS AND DISTRIBUTIONS
11. DIVIDENDS AND DISTRIBUTIONS

The following table summarizes the Company’s dividends declared and payable during the six months ended June 30, 2025 and 2024:

Date declaredRecord datePayment datePer share
amount
Total amount
April 29, 2025June 13, 2025June 30, 2025$0.48 $337 
February 5, 2025March 14, 2025March 31, 20250.48 328 
Total dividends declared and payable for the six months ended June 30, 2025
$0.96 $665 
May 1, 2024June 14, 2024June 28, 2024$0.48 $300 
February 7, 2024March 15, 2024March 29, 20240.48 291 
Total dividends declared and payable for the six months ended June 30, 2024
$0.96 $591 

The Company has a dividend reinvestment plan, whereby the Company may buy shares of its common stock in the open market or issue new shares in order to satisfy dividend reinvestment requests. When the Company issues new shares in connection with the dividend reinvestment plan, the issue price is equal to the closing price of its common stock on the dividend payment date. Dividend reinvestment plan activity for the six months ended June 30, 2025 and 2024, was as follows:

For the Six Months Ended June 30,
20252024
Shares issued1.8 2.0 
Average issue price per share$22.06 $20.83 

v3.25.2
RELATED PARTY TRANSACTIONS
6 Months Ended
Jun. 30, 2025
Related Party Transactions [Abstract]  
RELATED PARTY TRANSACTIONS
12. RELATED PARTY TRANSACTIONS

In accordance with the investment advisory and management agreement, the Company bears all costs and expenses of the operation of the Company and reimburses its investment adviser or its affiliates for certain of such costs and expenses paid for by the investment adviser or its affiliates on behalf of the Company. For the three and six months ended June 30, 2025, the Company’s investment adviser or its affiliates incurred and the Company reimbursed such expenses totaling $1 and $3,
respectively. For the three and six months ended June 30, 2024, the Company’s investment adviser or its affiliates incurred and the Company reimbursed such expenses totaling $6 and $7, respectively.

The Company has entered into agreements with Ares Management LLC and IHAM, pursuant to which Ares Management LLC and IHAM are entitled to use the Company’s proprietary portfolio management software. For the three and six months ended June 30, 2025, amounts payable to the Company under these agreements totaled $0 and $0, respectively. For the three and six months ended June 30, 2024, amounts payable to the Company under these agreements totaled $0 and $0, respectively.

Ares Management Capital Markets LLC (“AMCM”), an affiliate of Ares Management, served as a co-manager and an underwriter in connection with the Company’s offering of the September 2030 Notes and the March 2032 Notes issued during the six months ended June 30, 2025. Under the purchase agreement the Company entered into in connection with such issuances, AMCM received an aggregate of $0.5 of underwriting and advisory fees for the six months ended June 30, 2025. The underwriting and advisory fees AMCM received were on terms equivalent to those of other underwriters.

See Notes 3, 4 and 5 for descriptions of other related party transactions.

v3.25.2
FINANCIAL HIGHLIGHTS
6 Months Ended
Jun. 30, 2025
Investment Company [Abstract]  
FINANCIAL HIGHLIGHTS
13. FINANCIAL HIGHLIGHTS

The following is a schedule of financial highlights as of and for the six months ended June 30, 2025 and 2024:

 As of and For the Six Months Ended June 30,
Per Share Data:20252024
Net asset value at beginning of period(1)$19.89 $19.24 
Issuances of common stock0.09 0.04 
Conversion of 2024 Convertible Notes — 0.01 
Net investment income for period(2)1.03 1.17 
Net realized and unrealized gains (losses) for period(2)(0.15)0.11 
Net increase in stockholders' equity resulting from operations0.97 1.33 
Total distributions to stockholders(0.96)(0.96)
Net asset value at end of period(1)$19.90 $19.61 
Per share market value at end of period$21.96 $20.84 
Total return based on market value(3)4.87 %9.02 %
Total return based on net asset value(4)4.95 %6.98 %
Shares outstanding at end of period706 630 
Ratio/Supplemental Data: 
Net assets at end of period$14,034 $12,364 
Ratio of operating expenses to average net assets(5)(6)11.12 %12.31 %
Ratio of net investment income to average net assets(5)(7)10.42 %12.13 %
Portfolio turnover rate(5)34 %37 %
_________________________________________________________________________________

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

(2)Weighted average basic per share data.

(3)For the six months ended June 30, 2025, the total return based on market value equaled the increase of the ending market value at June 30, 2025 of $21.96 per share from the ending market value at December 31, 2024 of $21.89 per share plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2025, divided by the market value at December 31, 2024. For the six months ended June 30, 2024, the total return based on market value equaled the increase of the ending market value at June 30, 2024 of $20.84 per share from the ending market value at December 31, 2023 of $20.03 per share plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2024, divided by the market value at December 31, 2023. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.
(4)For the six months ended June 30, 2025, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2025, divided by the beginning net asset value for the period. For the six months ended June 30, 2024, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2024, divided by the beginning net asset value for the period. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.

(5)The ratios reflect an annualized amount.

(6)For the six months ended June 30, 2025 and 2024, the ratio of operating expenses to average net assets consisted of the following:
 For the Six Months Ended June 30,
20252024
Base management fee3.05 %3.03 %
Income based fee and capital gains incentive fee2.21 3.27 
Interest and credit facility fees5.51 5.66 
Other operating expenses0.35 0.35 
Total operating expenses11.12 %12.31 %

(7)The ratio of net investment income to average net assets excludes income taxes related to realized gains and losses.

v3.25.2
SEGMENT REPORTING
6 Months Ended
Jun. 30, 2025
Segment Reporting [Abstract]  
SEGMENT REPORTING
14. SEGMENT REPORTING

The Company operates through a single operating and reporting segment with an investment objective to generate both current income and capital appreciation through debt and equity investments. The chief operating decision maker (“CODM”) is comprised of the Company’s chief executive officer, president, chief financial officer and chief operating officer and the CODM assesses the performance and makes operating decisions of the Company on a consolidated basis primarily based on the Company’s net increase in stockholders’ equity resulting from operations (“net income”). In addition to numerous other factors and metrics, the CODM utilizes net income as a key metric in determining the amount of dividends to be distributed to the Company’s stockholders. As the Company’s operations comprise of a single reporting segment, the segment assets are reflected on the accompanying consolidated balance sheet as “total assets” and the significant segment expenses are listed on the accompanying consolidated statement of operations.

v3.25.2
SUBSEQUENT EVENTS
6 Months Ended
Jun. 30, 2025
Subsequent Events [Abstract]  
SUBSEQUENT EVENTS
15. SUBSEQUENT EVENTS

The Company’s management has evaluated subsequent events through the date of issuance of the consolidated financial statements included herein. There have been no subsequent events that occurred during such period that would require disclosure in this Form 10-Q or would be required to be recognized in the consolidated financial statements as of and for the six months ended June 30, 2025, except as discussed below.

In July 2025, the Company increased the total commitment under its Revolving Credit Facility from $5,393 to $5,493. The other terms of the Revolving Credit Facility remained unchanged.

In July 2025, the Company and Ares Capital CP entered into an agreement to amend the Revolving Funding Facility. The amendment, among other things, (a) increased the commitments under the Revolving Funding Facility from $2,150 to $2,250, (b) extended the end of the reinvestment period from October 8, 2027 to July 28, 2028, (c) extended the stated maturity date from October 8, 2029 to July 28, 2030 and (d) adjusted the interest rate charged on the Revolving Funding Facility from an applicable SOFR or a “base rate” plus an applicable spread of 2.00% per annum to an applicable SOFR or a “base rate” (as defined in the documents governing the Revolving Funding Facility) plus an applicable spread of 1.80% per annum. The other terms of the Revolving Funding Facility remained materially unchanged.
In July 2025, the Company and ACJB entered into an agreement to amend the SMBC Funding Facility. The amendment, among other things, (a) increased the commitments under the SMBC Funding Facility from $800 to $1,100, (b) extended the end of the reinvestment period from December 6, 2027 to July 25, 2028, (c) extended the stated maturity date from December 6, 2029 to July 25, 2030 and (d) adjusted the interest rate charged on the SMBC Funding Facility from an applicable spread of either (x) 2.00% over SOFR or (y) 1.00% over a “base rate” to an applicable spread of either (x) 1.80% over SOFR or (y) 0.80% over a “base rate” (as defined in the documents governing the SMBC Funding Facility). The SMBC Funding Facility also provides for an “accordion” feature that allows ACJB, under certain circumstances, to increase the overall size of the SMBC Funding Facility to $1,300. The other terms of the SMBC Funding Facility remained materially unchanged.

In July 2025, the Company repaid in full the July 2025 Notes upon their maturity, which bore interest at a rate of 3.250% per annum.

v3.25.2
Pay vs Performance Disclosure - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Pay vs Performance Disclosure        
Net increase in stockholders’ equity resulting from operations $ 361 $ 322 $ 602 $ 771

v3.25.2
Insider Trading Arrangements
3 Months Ended
Jun. 30, 2025
Trading Arrangements, by Individual  
Rule 10b5-1 Arrangement Adopted false
Non-Rule 10b5-1 Arrangement Adopted false
Rule 10b5-1 Arrangement Terminated false
Non-Rule 10b5-1 Arrangement Terminated false

v3.25.2
SIGNIFICANT ACCOUNTING POLICIES (Policies)
6 Months Ended
Jun. 30, 2025
Accounting Policies [Abstract]  
Basis of Presentation
Basis of Presentation
 
The accompanying consolidated financial statements have been prepared on the accrual basis of accounting in conformity with U.S. generally accepted accounting principles (“GAAP”), and include the accounts of the Company and its consolidated subsidiaries. The Company is an investment company following accounting and reporting guidance in Accounting Standards Codification (“ASC”) 946, Financial ServicesInvestment Companies. The consolidated financial statements reflect all adjustments and reclassifications that, in the opinion of management, are necessary for the fair presentation of the results of operations and financial condition as of and for the periods presented. All significant intercompany balances and transactions have been eliminated.

Interim financial statements are prepared in accordance with GAAP for interim financial information and pursuant to the requirements for reporting on Form 10-Q and Articles 6 or 10 of Regulation S-X. In the opinion of management, all adjustments, consisting solely of normal recurring accruals considered necessary for the fair presentation of financial statements for the interim period presented, have been included. The interim period’s results of operations will not necessarily be indicative of results that ultimately may be achieved for the fiscal year ending December 31, 2025.

The Company reclassified certain prior period amounts in the accompanying consolidated balance sheet and consolidated statement of operations to conform to its current period presentation. The Company separately disclosed “interest rate swap collateral payable” and “deferred tax liabilities” from “accounts payable and other liabilities” in the accompanying consolidated balance sheet. In addition, the Company separately disclosed “income tax expense on net realized gains” from “income tax expense, including excise taxes” and “net change in deferred tax liabilities” from “net unrealized gains (losses) from investments” in the accompanying consolidated statement of operations. These reclassifications had no impact on prior periods’ net income or stockholders’ equity.
Consolidation
Basis of Presentation
 
The accompanying consolidated financial statements have been prepared on the accrual basis of accounting in conformity with U.S. generally accepted accounting principles (“GAAP”), and include the accounts of the Company and its consolidated subsidiaries. The Company is an investment company following accounting and reporting guidance in Accounting Standards Codification (“ASC”) 946, Financial ServicesInvestment Companies. The consolidated financial statements reflect all adjustments and reclassifications that, in the opinion of management, are necessary for the fair presentation of the results of operations and financial condition as of and for the periods presented. All significant intercompany balances and transactions have been eliminated.

Interim financial statements are prepared in accordance with GAAP for interim financial information and pursuant to the requirements for reporting on Form 10-Q and Articles 6 or 10 of Regulation S-X. In the opinion of management, all adjustments, consisting solely of normal recurring accruals considered necessary for the fair presentation of financial statements for the interim period presented, have been included. The interim period’s results of operations will not necessarily be indicative of results that ultimately may be achieved for the fiscal year ending December 31, 2025.

The Company reclassified certain prior period amounts in the accompanying consolidated balance sheet and consolidated statement of operations to conform to its current period presentation. The Company separately disclosed “interest rate swap collateral payable” and “deferred tax liabilities” from “accounts payable and other liabilities” in the accompanying consolidated balance sheet. In addition, the Company separately disclosed “income tax expense on net realized gains” from “income tax expense, including excise taxes” and “net change in deferred tax liabilities” from “net unrealized gains (losses) from investments” in the accompanying consolidated statement of operations. These reclassifications had no impact on prior periods’ net income or stockholders’ equity.
Cash, Cash Equivalents
Cash, Cash Equivalents and Restricted Cash
 
Cash and cash equivalents include funds from time to time deposited with financial institutions and short-term, liquid investments in a money market account. Cash and cash equivalents are carried at cost which approximates fair value.
Restricted Cash
Restricted cash primarily relates to cash held as collateral for interest rate swaps and cash received by the Company on behalf of participating lenders as a result of the Company’s role as administrative agent for certain loans. The cash received is generally distributed to participating lenders shortly after the receipt of such cash.
Concentration of Credit Risk
Concentration of Credit Risk
 
The Company places its cash and cash equivalents with financial institutions and, at times, cash held in depository or money market accounts may exceed the Federal Deposit Insurance Corporation insured limits.
Investments
Investments
 
Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. Unrealized gains or losses primarily reflect the change in investment values, including the reversal of previously recorded unrealized gains or losses when gains or losses are realized.

Pursuant to Rule 2a-5 under the Investment Company Act, the Company’s board of directors designated the Company’s investment adviser as the Company’s valuation designee (the “Valuation Designee”) to perform the fair value determinations for investments held by the Company without readily available market quotations, subject to the oversight of the Company’s board of directors. All investments are recorded at their fair value.
 
Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, the Valuation Designee looks at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available (i.e., substantially all of the Company’s investments) are valued at least quarterly at fair value as determined in good faith by the Valuation Designee, subject to the oversight of the Company’s board of directors, based on, among other things, the input of the Company’s independent third-party valuation providers (“IVPs”) that have been engaged to support the valuation of such portfolio investments quarterly, beginning as of the third quarter after origination (with certain de minimis exceptions) and under a valuation policy and a consistently applied valuation process. The valuation process is conducted at the end of each fiscal quarter by the Valuation Designee, and beginning with the first quarter of 2025, substantially all investments in the Company’s investment portfolio at fair value are subject to review by an IVP each quarter as discussed further below. However, the Company may use these IVPs to review the value of its investments more frequently, including in connection with the occurrence of significant events or changes in value affecting a particular investment. In addition, the Company’s independent registered public accounting firm obtains an understanding of, and performs select procedures relating to, the Company’s valuation process within the context of performing the Company’s integrated audit.

As part of the valuation process, the Valuation Designee may take into account the following types of factors, if relevant, in determining the fair value of the Company’s investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company’s ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company’s securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent sale occurs, the Valuation Designee considers the pricing indicated by the external event to corroborate the valuation.
 
Because there is not a readily available market value for most of the investments in the Company’s portfolio, substantially all of the Company’s portfolio investments are valued at fair value as determined in good faith by the Valuation Designee, as described herein. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Company’s investments may fluctuate from period to period. Additionally, the fair value of the Company’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Company may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Company was required to liquidate a portfolio investment in a forced or liquidation sale, the Company could realize significantly less than the value at which the Company has recorded it.
 
In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.

The Valuation Designee, subject to the oversight of the Company’s board of directors, undertakes a multi-step valuation process each quarter, as described below:

The Company’s quarterly valuation process begins with a preliminary valuation being prepared by the investment professionals responsible for the portfolio investment in conjunction with the Company’s portfolio management and valuation team.

Preliminary valuations are reviewed and discussed by the valuation committee of the Valuation Designee.

When a portfolio investment is reviewed by an IVP:

Relevant information related to the portfolio investment is made available by the Valuation Designee to the IVP, who does not independently verify such information.

The IVP reviews and analyzes the information provided by the Valuation Designee, along with relevant market and economic data, and independently determines a range of values for the portfolio investment.

The IVP provides its analysis to the Valuation Designee to support the IVP’s valuation methodology and calculations.

The valuation committee of the Valuation Designee determines the fair value of each investment in the Company’s portfolio without a readily available market quotation in good faith based on, among other things, the input of the IVPs, where applicable.

When a portfolio investment is reviewed by an IVP, a positive assurance opinion or independent valuation report is issued by the IVP that confirms the fair value determined by the Valuation Designee for the portfolio investment is within the range of values independently calculated by such IVP.
Interest Income Recognition
Interest Income Recognition
 
Interest income is recorded on an accrual basis and includes the accretion of discounts, amortization of premiums and payment-in-kind (“PIK”) interest. Discounts from and premiums to par value on investments purchased are accreted/amortized into interest income over the life of the respective security using the effective yield method. To the extent loans contain PIK provisions, PIK interest, computed at the contractual rate specified in each applicable agreement, is accrued and recorded as interest income and added to the principal balance of the loan. PIK interest income added to the principal balance is generally collected upon repayment of the outstanding principal. To maintain the Company’s tax status as a RIC, this non-cash source of income must be paid out to stockholders in the form of dividends for the year the income was earned, even though the Company has not yet collected the cash. The amortized cost of investments represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest.

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

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

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

(2)Purchases and sales of investment securities, income and expenses—at the exchange rates prevailing on the respective dates of such transactions, income or expenses.
 
Results of operations based on changes in foreign exchange rates are separately disclosed in the statement of operations, if any. Foreign security and currency translations may involve certain considerations and risks not typically associated with investing in U.S. companies and U.S. government securities. These risks include, but are not limited to, currency fluctuations and revaluations and future adverse political, social and economic developments, which could cause investments in foreign markets to be less liquid and prices more volatile than those of comparable U.S. companies or U.S. government securities.
Derivative Instruments
Derivative Instruments
 
The Company follows the guidance in ASC Topic 815, Derivatives and Hedging, when accounting for derivative instruments. The Company designated certain interest rate swaps as hedging instruments in a qualifying fair value hedge
accounting relationship, and as a result, the change in fair value of the hedging instruments and hedged items are recorded in interest expense and recognized as components of “interest and credit facility fees” in the Company’s consolidated statement of operations. The change in fair value of the interest rate swaps is offset by a change in the carrying value of the corresponding fixed rate debt. For all other derivatives, the Company does not utilize hedge accounting and values such derivatives at fair value with the unrealized gains or losses recorded in “net unrealized gains (losses) from foreign currency and other transactions” in the Company’s consolidated statement of operations.
Equity Offering Expenses
Equity Offering Expenses
 
The Company’s offering costs are charged against the proceeds from equity offerings when proceeds are received.
Debt Issuance Costs
Debt Issuance Costs
 
Debt issuance costs are amortized over the life of the related debt instrument using the straight line method or the effective yield method, depending on the type of debt instrument.
Secured Borrowings
Secured Borrowings

The Company follows the guidance in ASC Topic 860, Transfers and Servicing (“ASC Topic 860”), when accounting for participations and other partial loan sales. Certain loan sales do not qualify for sale accounting under ASC Topic 860 because these sales do not meet the definition of a “participating interest,” as defined in the guidance, in order for sale treatment to be allowed. Participations or other partial loan sales which do not meet the definition of a participating interest or which are not eligible for sale accounting remain as an investment on the consolidated balance sheet as required under GAAP and the proceeds are recorded as a secured borrowing. Secured borrowings are carried at fair value.
Income Taxes
Income Taxes
 
The Company has elected to be treated as a RIC under the Code and operates in a manner so as to qualify for the tax treatment applicable to RICs. To qualify for tax treatment as a RIC, the Company must, among other requirements, meet certain source-of-income and asset diversification requirements and timely distribute to its stockholders at least 90% of its investment company taxable income, as defined by the Code, for each year. The Company has made and intends to continue to make the requisite distributions to its stockholders, which will generally relieve the Company from U.S. federal corporate-level income taxes.
 
Depending on the level of taxable income earned in a tax year, the Company may choose to carry forward taxable income in excess of current year dividend distributions from such current year taxable income into the next tax year and pay a 4% excise tax on such income, as required. To the extent that the Company determines that its estimated current year taxable income will be in excess of estimated dividend distributions for the current year from such income, the Company accrues excise tax, if any, on estimated excess taxable income as such taxable income is earned.
 
The Company may hold certain portfolio company investments through consolidated taxable subsidiaries. Such subsidiaries may be subject to U.S. federal and state corporate-level income taxes. These consolidated subsidiaries recognize deferred tax assets and liabilities for the estimated future tax effects attributable to temporary differences between the tax basis of certain assets and liabilities and the reported amounts included in the accompanying consolidated balance sheet using the applicable statutory tax rates in effect for the year in which any such temporary differences are expected to reverse.
Dividends to Common Stockholders
Dividends to Common Stockholders
 
Dividends and distributions to common stockholders are recorded on the ex-dividend date. The amount to be paid out as a dividend is determined by the Company’s board of directors each quarter and is generally based upon the earnings estimated by management and considers the level of undistributed taxable income carried forward from the prior year for distribution in the current year. Net realized capital gains, if any, are generally distributed, although the Company may decide to retain such capital gains for investment.
 
The Company has adopted a dividend reinvestment plan that provides for reinvestment of any distributions the Company declares in cash on behalf of its stockholders, unless a stockholder elects to receive cash. As a result, if the
Company’s board of directors authorizes, and the Company declares, a cash dividend, then the Company’s stockholders who have not “opted out” of the Company’s dividend reinvestment plan will have their cash dividends automatically reinvested in additional shares of the Company’s common stock, rather than receiving the cash dividend. The Company may use newly issued shares to implement the dividend reinvestment plan or, if the Company is otherwise permitted under applicable law to purchase such shares, the Company may purchase shares in the open market in connection with the Company’s obligations under the dividend reinvestment plan.
Segment Reporting
Segment Reporting
In accordance with ASC Topic 280 - Segment Reporting (“ASC 280”), the Company has determined that it has a single operating and reporting segment. As a result, the Company’s segment accounting policies are the same as described herein and the Company does not have any intra-segment sales and transfers of assets.
Use of Estimates in the Preparation of Consolidated Financial Statements
Use of Estimates in the Preparation of Consolidated Financial Statements
 
The preparation of consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of actual and contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of income or loss and expenses during the reporting period. Actual results could differ from those estimates. Significant estimates include the valuation of investments.
Recent Accounting Pronouncements
Recent Accounting Pronouncements

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

In December 2023, the FASB issued ASU 2023-09, Income Taxes (Topic 740): Improvements to Income Tax Disclosures (“ASU 2023-09”), which is intended to enhance 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 this guidance, however, the Company does not expect a material impact on its consolidated financial statements.

In November 2024, the FASB issued ASU 2024-03, Income Statement—Reporting Comprehensive Income—Expense Disaggregation Disclosures (“ASU 2024-03”), which requires disaggregated disclosure of certain costs and expenses, including purchases of inventory, employee compensation, depreciation, amortization and depletion, within relevant income statement captions. ASU 2024-03 is effective for fiscal years beginning after December 15, 2026, and interim periods beginning with the first quarter ended March 31, 2028. Early adoption and retrospective application is permitted. The Company is currently assessing the impact of this guidance, however, the Company does not expect a material impact on its consolidated financial statements.
Fair Value of Financial Instruments
The Company follows ASC 825-10, Recognition and Measurement of Financial Assets and Financial Liabilities (“ASC 825-10”), which provides companies the option to report selected financial assets and liabilities at fair value. ASC 825-10 also establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and a better understanding of the effect of the company’s choice to use fair value on its earnings. ASC 825-10 also requires entities to display the fair value of the selected assets and liabilities on the face of the balance sheet. The Company has not elected the ASC 825-10 option to report selected financial assets and liabilities at fair value. With the exception of the line items entitled “other assets” and “debt,” which are reported at amortized cost, the carrying value of all other assets and liabilities approximate fair value.
 
The Company also follows ASC 820-10, Fair Value Measurements and Disclosures (“ASC 820-10”), which expands the application of fair value accounting. ASC 820-10 defines fair value, establishes a framework for measuring fair value in accordance with GAAP and expands disclosure of fair value measurements. ASC 820-10 determines fair value to be the price that would be received for an investment in a current sale, which assumes an orderly transaction between market participants on the measurement date. ASC 820-10 requires the Company to assume that the portfolio investment is sold in its principal market to market participants or, in the absence of a principal market, the most advantageous market, which may be a hypothetical market. Market participants are defined as buyers and sellers in the principal or most advantageous market that are independent, knowledgeable, and willing and able to transact. In accordance with ASC 820-10, the Company has considered its principal market as the market in which the Company exits its portfolio investments with the greatest volume and level of activity. ASC 820-10 specifies a hierarchy of valuation techniques based on whether the inputs to those valuation techniques are observable or unobservable. In accordance with ASC 820-10, these inputs are summarized in the three broad levels listed below:

Level 1—Valuations based on quoted prices in active markets for identical assets or liabilities that the Company has the ability to access.
Level 2—Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

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

v3.25.2
SIGNIFICANT ACCOUNTING POLICIES (Tables)
6 Months Ended
Jun. 30, 2025
Accounting Policies [Abstract]  
Schedule of Reconciliation of Cash, Cash Equivalents and Restricted Cash
The following table provides a reconciliation of cash, cash equivalents and restricted cash in the consolidated balance sheet to the total amount shown at the end of the applicable period in the consolidated statement of cash flows:

 As of
June 30, 2025December 31, 2024
Cash and cash equivalents$447 $635 
Restricted cash217 225 
Total cash, cash equivalents and restricted cash$664 $860 
Schedule of Reconciliation of Cash, Cash Equivalents and Restricted Cash
The following table provides a reconciliation of cash, cash equivalents and restricted cash in the consolidated balance sheet to the total amount shown at the end of the applicable period in the consolidated statement of cash flows:

 As of
June 30, 2025December 31, 2024
Cash and cash equivalents$447 $635 
Restricted cash217 225 
Total cash, cash equivalents and restricted cash$664 $860 

v3.25.2
AGREEMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Investment Company [Abstract]  
Schedule of Base Management Fees, Income Based Fees, and Capital Gains Incentive Fees
The base management fee, income based fee and capital gains incentive fee for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Base management fee$104 $91 $206 $178 
Income based fee$86 $93 $171 $181 
Capital gains incentive fee(1)$$(13)$(21)$12 
________________________________________

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

v3.25.2
INVESTMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Investments, Debt and Equity Securities [Abstract]  
Schedule of Investments
As of June 30, 2025 and December 31, 2024, investments consisted of the following:

 As of
June 30, 2025December 31, 2024
Amortized Cost(1)Fair ValueAmortized Cost(1)Fair Value
First lien senior secured loans(2)$16,827 $16,547 $15,519 $15,179 
Second lien senior secured loans1,609 1,523 1,935 1,847 
Subordinated certificates of the SDLP(3)1,063 1,052 1,263 1,192 
Senior subordinated loans1,456 1,388 1,384 1,351 
Preferred equity2,753 2,642 2,667 2,649 
Ivy Hill Asset Management, L.P.(4)1,856 2,081 1,701 1,915 
Other equity2,017 2,653 1,905 2,587 
Total$27,581 $27,886 $26,374 $26,720 
________________________________________

(1)The amortized cost represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest or dividends.
    
(2)First lien senior secured loans include certain loans that the Company classifies as “unitranche” loans. The total amortized cost and fair value of the loans that the Company classified as “unitranche” loans were $10,650 and $10,489 respectively, as of June 30, 2025, and $8,772 and $8,624, respectively, as of December 31, 2024.

(3)The proceeds from these certificates were applied to co-investments with Varagon Capital Partners (“Varagon”) and its clients to fund first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively.

(4)Includes the Company’s subordinated loan and equity investments in IHAM (as defined below), as applicable.
  
The Company uses GICS for classifying the industry groupings of its portfolio companies. The industrial and geographic compositions of the Company’s portfolio at fair value as of June 30, 2025 and December 31, 2024 were as follows:

 As of
June 30, 2025December 31, 2024
Industry
Software and Services23.5 %24.5 %
Health Care Equipment and Services12.9 12.0 
Financial Services(1)10.2 9.9 
Commercial and Professional Services9.9 9.4 
Insurance6.4 5.9 
Consumer Distribution and Retail4.7 5.7 
Consumer Services4.6 5.1 
Sports, Media and Entertainment4.5 4.6 
Investment Funds and Vehicles(2)3.8 4.6 
Independent Power and Renewable Electricity Producers3.8 3.7 
Capital Goods3.2 2.7 
Pharmaceuticals, Biotechnology and Life Sciences2.5 2.6 
Materials2.2 1.2 
Consumer Durables and Apparel2.2 2.3 
Food and Beverage1.8 1.8 
Other3.8 4.0 
Total100.0 %100.0 %
________________________________________

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

(2)Includes the Company’s investment in the SDLP (as defined below), which had made first lien senior secured loans to 19 and 20 different borrowers as of June 30, 2025 and December 31, 2024, respectively. The portfolio companies in the SDLP are in industries similar to the companies in the Company’s portfolio.

 As of
June 30, 2025December 31, 2024
Geographic Region
West(1)22.3 %25.2 %
Midwest21.8 20.9 
Southeast18.2 19.3 
Mid-Atlantic16.6 16.1 
Northeast(2)14.7 12.2 
International6.4 6.3 
Total100.0 %100.0 %
________________________________________

(1)Includes the Company’s investment in the SDLP, which represented 3.8% and 4.5% of the total investment portfolio at fair value as of June 30, 2025 and December 31, 2024, respectively.

(2)Includes the Company’s investment in IHAM, which represented 7.4% and 7.1% of the total investment portfolio at fair value as of June 30, 2025 and December 31, 2024, respectively.
The amortized cost and fair value of the Company’s investment in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
As of
June 30, 2025December 31, 2024
Amortized CostFair ValueAmortized CostFair Value
Subordinated loan(1)
$155 $155 $— $— 
Equity
1,701 1,926 1,701 1,915 
Total investment in IHAM$1,856 $2,081 $1,701 $1,915 
_______________________________________________________________________________

(1)The Company has provided a commitment to fund up to $500 to IHAM, of which the availability is solely at the Company’s discretion.
Below is a summary of the SDLP’s portfolio.
As of
June 30, 2025December 31, 2024
Total first lien senior secured loans(1)(2)$4,415 $4,759 
Largest loan to a single borrower(1)$420 $400 
Total of five largest loans to borrowers(1)$1,711 $1,692 
Number of borrowers in the SDLP19 20 
Commitments to fund delayed draw loans(3)$339 $489 
___________________________________________________________________________

(1)At principal amount.
(2)First lien senior secured loans include certain loans that the SDLP classifies as “unitranche” loans. As of June 30, 2025 and December 31, 2024, the total principal amount of loans in the SDLP portfolio that the SDLP classified as “unitranche” loans was $3,452 and $3,937, respectively.
(3)As discussed above, these commitments have been approved by the investment committee of the SDLP.
Schedule of Dividend and Interest Income
The interest income and dividend income that the Company earned from IHAM for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Interest income
$$— $$
Dividend income
$73 $69 $146 $135 
The interest income from the Company’s investment in the SDLP Certificates and capital structuring service fees and other income earned for the three and six months ended June 30, 2025 and 2024 were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
2025202420252024
Interest income
$38 $45 $76 $88 
Capital structuring service fees and other income
$$$$
Schedule of Funded Capital and Unfunded Capital Commitments of the SDLP
The yields at amortized cost and fair value of the Company’s investments in IHAM as of June 30, 2025 and December 31, 2024 were as follows:
 As of
June 30, 2025December 31, 2024
 Amortized CostFair ValueAmortized CostFair Value
Equity(1)
17.2 %15.2 %16.7 %14.8 %
_______________________________________________________________________________

(1)Represents the yield on the Company’s equity investment in IHAM, which is computed as (a) the annualized amount of the regular dividend received by the Company related to the Company’s equity investment in IHAM during the most recent quarter end, divided by (b) the amortized cost or fair value of the Company’s equity investment in IHAM, as applicable.
Below is a summary of the funded capital and unfunded capital commitments of the SDLP.
 As of
June 30, 2025December 31, 2024
Total capital funded to the SDLP(1)$4,572 $5,054 
Total capital funded to the SDLP by the Company(1)$1,231 $1,310 
Total unfunded capital commitments to the SDLP(2)$339 $489 
Total unfunded capital commitments to the SDLP by the Company(2)$86 $119 
___________________________________________________________________________
(1)At principal amount.

(2)These commitments to fund delayed draw loans have been approved by the investment committee of the SDLP and will be funded if and when conditions to funding such delayed draw loans are met.
The amortized cost and fair value of the SDLP Certificates held by the Company and the Company’s yield on its investment in the SDLP Certificates at amortized cost and fair value as of June 30, 2025 and December 31, 2024 were as follows:

As of
June 30, 2025December 31, 2024
Amortized CostFair ValueAmortized CostFair Value
Investment in the SDLP Certificates$1,063 $1,052 $1,263 $1,192 
Yield on the investment in the SDLP Certificates12.0 %12.1 %12.4 %13.2 %
Schedule of Selected Financial Information the Company believes an assessment of IHAM's business and the impact to the Company’s investment in IHAM is best viewed on a stand-alone basis as reflected in the first column in the tables below.
As of June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,619 $9,733 $(2,511)$9,841 
Cash and cash equivalents562 — 569 
Other assets68 79 (61)86 
Total assets$2,694 $10,374 $(2,572)$10,496 
Liabilities
Debt$708 $7,427 $— $8,135 
Subordinated note from ARCC155 — — 155 
Subordinated notes(3)— 1,119 (791)328 
Other liabilities19 176 (13)182 
Total liabilities882 8,722 (804)8,800 
Equity
Contributed capital1,701 — — 1,701 
Accumulated earnings146 — — 146 
Net unrealized losses on investments and foreign currency transactions(4) (35)— — (35)
Non-controlling interests in Consolidated IHAM Vehicles(5)
— 1,652 (1,768)(116)
Total equity1,812 1,652 (1,768)1,696 
Total liabilities and equity$2,694 $10,374 $(2,572)$10,496 

As of December 31, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Balance Sheet Information:
Assets
Investments at fair value(2)$2,160 $8,098 $(2,086)$8,172 
Cash and cash equivalents967 — 976 
Other assets60 122 (54)128 
Total assets$2,229 $9,187 $(2,140)$9,276 
Liabilities
Debt$406 $6,550 $— $6,956 
Subordinated notes(3)— 1,025 (714)311 
Other liabilities16 266 (13)269 
Total liabilities422 7,841 (727)7,536 
Equity
Contributed capital1,700 — — 1,700 
Accumulated earnings186 — — 186 
Net unrealized losses on investments and foreign currency transactions(4)(79)— — (79)
Non-controlling interests in Consolidated IHAM Vehicles(5)
— 1,346 (1,413)(67)
Total equity1,807 1,346 (1,413)1,740 
Total liabilities and equity$2,229 $9,187 $(2,140)$9,276 
________________________________________
(1)Consolidated for GAAP purposes only.

(2)The determination of such fair value is determined in accordance with IHAM’s valuation process (separate and apart from the Company’s valuation process described elsewhere herein). The amortized cost of IHAM’s total investments as of June 30, 2025 and December 31, 2024 was $2,652 and $2,237, respectively. The amortized cost of the total investments of IHAM on a consolidated basis as of June 30, 2025 and December 31, 2024 was $10,027 and $8,343, respectively.

(3)Subordinated notes generally represent the most junior capital in certain of the Consolidated IHAM Vehicles and effectively represent equity in such vehicles.

(4)As of June 30, 2025 and December 31, 2024, net unrealized losses of $49 and $70, respectively, have been eliminated upon consolidation and the elimination is included in “non-controlling interests in Consolidated IHAM Vehicles” in the selected balance sheet information.

(5)Non-controlling interests in Consolidated IHAM Vehicles includes net unrealized depreciation in the Consolidated IHAM Vehicles of $185 and $171 as of June 30, 2025 and December 31, 2024, respectively.

For the Three Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$77 $232 $(76)$233 
Management fees and other income12 (12)
Total revenues89 234 (88)235 
Expenses
Interest expense14 120 — 134 
Distributions to subordinated notes— 32 (23)
Management fees and other expenses14 (12)
Total expenses18 166 (35)149 
Net operating income71 68 (53)86 
Net realized losses on investments and foreign currency (22)(1)21 (2)
Net realized gain on extinguishment of debt— 23 (23)— 
Net unrealized gains (losses) on investments, foreign currency and other transactions19 (32)(12)(25)
Total net realized and unrealized losses on investments, foreign currency and other transactions (3)(10)(14)(27)
Net income68 58 (67)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 58 (67)(9)
Net income attributable to Ivy Hill Asset Management, L.P.$68 $— $— $68 
For the Six Months Ended June 30, 2025
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$144 $449 $(141)$452 
Management fees and other income24 (23)
Total revenues168 453 (164)457 
Expenses
Interest expense23 238 — 261 
Distributions to subordinated notes— 64 (46)18 
Management fees and other expenses28 (23)13 
Total expenses31 330 (69)292 
Net operating income137 123 (95)165 
Net realized losses on investments and foreign currency (31)(56)21 (66)
Net realized gains (losses) on extinguishment of debt— 22 (23)(1)
Net unrealized gains (losses) on investments, foreign currency and other transactions44 (19)(21)
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions13 (53)(23)(63)
Net income150 70 (118)102 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 70 (118)(48)
Net income attributable to Ivy Hill Asset Management, L.P.$150 $— $— $150 

For the Three Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$92 $259 $(90)$261 
Management fees and other income14 (13)
Total revenues106 262 (103)265 
Expenses
Interest expense10 143 — 153 
Distributions to subordinated notes— 52 (40)12 
Management fees and other expenses15 (13)
Total expenses13 210 (53)170 
Net operating income93 52 (50)95 
Net realized gains (losses) on investments and foreign currency— (16)— (16)
Net unrealized losses on investments, foreign currency and other transactions (16)(14)10 (20)
Total net realized and unrealized losses on investments, foreign currency and other transactions (16)(30)10 (36)
Net income77 22 (40)59 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 22 (40)(18)
Net income attributable to Ivy Hill Asset Management, L.P.$77 $— $— $77 
For the Six Months Ended June 30, 2024
IHAMConsolidated IHAM Vehicles(1)EliminationsConsolidated
Selected Statement of Operations Information:
Revenues
Investment income$186 $533 $(182)$537 
Management fees and other income28 (26)
Total revenues214 539 (208)545 
Expenses
Interest expense20 293 — 313 
Distributions to subordinated notes— 105 (77)28 
Management fees and other expenses33 (26)14 
Total expenses27 431 (103)355 
Net operating income187 108 (105)190 
Net realized gains (losses) on investments and foreign currency(74)(9)(78)
Net realized loss on extinguishment of debt— (1)— (1)
Net unrealized gains (losses) on investments, foreign currency and other transactions(33)47 30 44 
Total net realized and unrealized losses on investments, foreign currency and other transactions (28)(28)21 (35)
Net income159 80 (84)155 
Less: Net income (loss) attributable to non-controlling interests in Consolidated IHAM Vehicles— 80 (84)(4)
Net income attributable to Ivy Hill Asset Management, L.P.$159 $— $— $159 
____________________________________

(1)Consolidated for GAAP purposes only.

v3.25.2
DEBT (Tables)
6 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
The Company’s outstanding debt as of June 30, 2025 and December 31, 2024 was as follows:

 As of 
June 30, 2025December 31, 2024
Total Aggregate Principal Amount Committed/ Outstanding (1)Principal Amount OutstandingCarrying ValueTotal Aggregate Principal Amount Committed/ Outstanding (1)Principal Amount OutstandingCarrying Value
Revolving Credit Facility$5,393 (2)$1,144 $1,144 $4,513 (2)$1,113 $1,113 
Revolving Funding Facility2,150 750 750 2,150 1,065 1,065 
SMBC Funding Facility800 (3)400 400 800 (3)502 502 
BNP Funding Facility1,265 450 450 1,265 889 889 
April 2036 CLO Notes(4)476 476 473 (5)476 476 473 (5)
October 2036 CLO Secured Loans(4)544 544 541 (5)544 544 541 (5)
March 2025 Notes— — — (5)600 600 600 (5)
July 2025 Notes1,250 1,250 1,250 (5)1,250 1,250 1,252 (5)
January 2026 Notes1,150 1,150 1,149 (5)1,150 1,150 1,148 (5)
July 2026 Notes1,000 1,000 997 (5)1,000 1,000 996 (5)
January 2027 Notes900 900 901 (5)(6)900 900 891 (5)(6)
June 2027 Notes500 500 497 (5)500 500 497 (5)
June 2028 Notes1,250 1,250 1,248 (5)1,250 1,250 1,248 (5)
March 2029 Notes1,000 1,000 999 (5)(6)1,000 1,000 985 (5)(6)
July 2029 Notes850 850 862 (5)(6)850 850 835 (5)(6)
September 2030 Notes750 750 742 (5)(6)— — — 
November 2031 Notes700 700 693 (5)700 700 692 (5)
March 2032 Notes1,000 1,000 1,013 (5)(6)— — — 
Total$20,978 $14,114 $14,109 $18,948 $13,789 $13,727 
________________________________________

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

(2)Provides for an “accordion” feature that allows the Company, under certain circumstances, to increase the size of the Revolving Credit Facility to a maximum of approximately $7,925 and $6,732 as of June 30, 2025 and December 31, 2024, respectively.
(3)Provides for an “accordion” feature that allows ACJB (as defined below), under certain circumstances, to increase the size of the SMBC Funding Facility to a maximum of $1,000.

(4)Excludes the April 2036 CLO Subordinated Notes and the October 2036 CLO Subordinated Notes (each as defined below), which were retained by the Company and, as such, eliminated in consolidation.

(5)Represents the aggregate principal amount outstanding, less unamortized debt issuance costs and the net unaccreted/amortized discount or premium recorded upon issuance. In March 2025, the Company repaid in full the March 2025 Notes (as defined below) upon their maturity. See Note 15 for a subsequent event relating to the July 2025 Notes (as defined below).

(6)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes (each as defined below) as of June 30, 2025 includes adjustments as a result of effective hedge accounting relationships. The carrying value of the January 2027 Notes, the March 2029 Notes and the July 2029 Notes as of December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Note 6 for more information on the interest rate swaps related to these unsecured notes issuances.
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Credit Facility were as follows:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$18 $23 $35 $45 
Credit facility fees
Amortization of debt issuance costs
Total interest and credit facility fees expense$24 $29 $46 $57 
Cash paid for interest expense$22 $23 $43 $61 
Average stated interest rate6.01 %7.34 %6.10 %7.31 %
Average outstanding balance$1,183 $1,242 $1,151 $1,220 
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the Revolving Funding Facility were as follows:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$14 $14 $30 $24 
Credit facility fees
Amortization of debt issuance costs
Total interest and credit facility fees expense$18 $17 $37 $30 
Cash paid for interest expense$18 $13 $35 $26 
Average stated interest rate6.31 %7.40 %6.32 %7.39 %
Average outstanding balance$921 $747 $954 $645 
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the SMBC Funding Facility were as follows:
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$$$14 $12 
Credit facility fees
Amortization of debt issuance costs— — 
Total interest and credit facility fees expense$$$16 $15 
Cash paid for interest expense$$$15 $12 
Average stated interest rate6.32 %7.95 %6.32 %7.66 %
Average outstanding balance$449 $346 $432 $316 
For the three and six months ended June 30, 2025 and 2024, the components of interest and credit facility fees expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the BNP Funding Facility were as follows:

For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense$11 $10 $22 $23 
Credit facility fees— — 
Amortization of debt issuance costs— — — 
Total interest and credit facility fees expense$12 $10 $24 $23 
Cash paid for interest expense$13 $11 $25 $23 
Average stated interest rate6.20 %7.93 %6.31 %8.03 %
Average outstanding balance$664 $537 $687 $555 
The following table presents information on the April 2036 CLO Notes as of June 30, 2025:
ClassTypePrincipal OutstandingMaturity DateInterest Rate
April 2036 Class A CLO NotesSenior Secured Floating Rate$406 April 25, 2036
SOFR+1.80%
April 2036 Class B CLO NotesSenior Secured Floating Rate70 April 25, 2036
SOFR+2.20%
Total April 2036 CLO Secured Notes476 
April 2036 CLO Subordinated NotesSubordinated226 April 25, 2036None
Total April 2036 CLO Notes$702 
The following table presents information on the October 2036 CLO Secured Loans as of June 30, 2025:
ClassTypePrincipal OutstandingMaturity DateInterest Rate
October 2036 Class A CLO Loans
Senior Secured Floating Rate$464 October 24, 2036
SOFR+1.54%
October 2036 Class B CLO Loans
Senior Secured Floating Rate80 October 24, 2036
SOFR+1.83%
Total October 2036 CLO Secured Loans$544 
For the three and six months ended June 30, 2025, the components of interest expense, cash paid for interest expense, average stated interest rates (i.e., rate in effect plus the spread) and average outstanding balances for the April 2036 CLO Secured Notes and the October 2036 CLO Secured Loans were as follows.
 For the Three Months Ended June 30, 2025For the Six Months Ended June 30, 2025
Stated interest expense$15 $31 
Amortization of debt issuance costs
Total interest expense$16 $32 
Cash paid for interest expense$21 $29 
Average stated interest rate5.90 %6.04 %
Average outstanding balance$1,020 $1,020 
, the components of interest expense and cash paid for interest expense for the 2024 Convertible Notes were as follows.
 For the Three Months Ended June 30, 2024For the Six Months Ended June 30, 2024
Stated interest expense$— $
Total interest expense$— $
Cash paid for interest expense$— $
Certain key terms related to the features for the Unsecured Notes as of June 30, 2025 are listed below.

Unsecured Notes
Aggregate Principal Amount IssuedEffective Stated Interest RateOriginal Issuance DateMaturity Date
July 2025 Notes$1,250 3.250%January 15, 2020July 15, 2025
January 2026 Notes$1,150 3.875%July 15, 2020January 15, 2026
July 2026 Notes$1,000 2.150%January 13, 2021July 15, 2026
January 2027 Notes(1)$900 6.893%August 3, 2023January 15, 2027
June 2027 Notes $500 2.875%January 13, 2022June 15, 2027
June 2028 Notes$1,250 2.875%June 10, 2021June 15, 2028
March 2029 Notes(1)$1,000 6.347%January 23, 2024March 1, 2029
July 2029 Notes(1)$850 5.955%May 13, 2024July 15, 2029
September 2030 Notes(1)$750 6.093%June 3, 2025September 1, 2030
November 2031 Notes$700 3.200%November 4, 2021November 15, 2031
March 2032 Notes$1,000 5.800%January 8, 2025March 8, 2032
________________________________________

(1)The effective stated interest rates for the January 2027 Notes, the March 2029 Notes, the July 2029 Notes and the September 2030 Notes include the impact of interest rate swaps.
For the three and six months ended June 30, 2025 and 2024, the components of interest expense and cash paid for interest expense for the Unsecured Notes, as well as any other unsecured notes outstanding during the periods presented were as follows.
 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Stated interest expense(1)$108 $103 $215 $196 
Amortization of debt issuance costs
Net amortization of original issue premium/discount(1)(1)(2)(3)
Net gain on interest rate swaps accounted for as hedge instruments and the related hedged items(1)— (2)— 
Total interest expense$110 $106 $219 $201 
Cash paid for interest expense(1)$81 $59 $192 $157 
________________________________________

(1)Includes the impact of the interest rate swaps.
Schedule of Revolving and Term Loan As of June 30, 2025, the end of the revolving periods and the stated maturity dates of the various revolving and term loan tranches of the Revolving Credit Facility were as follows:
Total Aggregate Principal Amount Committed/ OutstandingEnd of Revolving PeriodMaturity Date
Revolving tranche$3,958 April 15, 2029April 15, 2030
246March 31, 2026March 31, 2027
45April 12, 2028April 12, 2029
4,249 
Term loan tranche1,035 April 15, 2030
45April 12, 2029
40April 19, 2028
24March 31, 2027
1,144 
$5,393 
Schedule of Interest Rate Swap Instruments Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.
DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.
As of June 30, 2025 and December 31, 2024, the counterparty to all of the Company’s interest rate swaps was Wells Fargo Bank, N.A. Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.
DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.

v3.25.2
DERIVATIVE INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments
Certain information related to the Company’s foreign currency forward derivative instruments as of June 30, 2025 and December 31, 2024 is presented below.
 As of June 30, 2025
Derivative InstrumentNotional
Amount
Gross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet
Location of Net Amounts
Foreign currency forward contract¥8,131$58 $(59) Accounts payable and other liabilities
Foreign currency forward contract CAD 366265 (270) Accounts payable and other liabilities
Foreign currency forward contract£143173 (177) Accounts payable and other liabilities
Foreign currency forward contract£142183 (190) Accounts payable and other liabilities
Foreign currency forward contract CAD 13195 (97) Accounts payable and other liabilities
Foreign currency forward contract122141 (146) Accounts payable and other liabilities
Foreign currency forward contract8799 (102) Accounts payable and other liabilities
Foreign currency forward contract NOK 64(6)Accounts payable and other liabilities
Foreign currency forward contract NZD 6438 (39) Accounts payable and other liabilities
Foreign currency forward contract AUD 2215 (15)Accounts payable and other liabilities
Total$1,073 $(1,101)

 As of December 31, 2024
Derivative InstrumentNotional
Amount
Gross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet
Location of Net Amounts
Foreign currency forward contractCAD240$184 $(179)Other assets
Foreign currency forward contractCAD188133 (131)Other assets
Foreign currency forward contract182195 (189)Other assets
Foreign currency forward contract£133168 (166)Other assets
Foreign currency forward contract103109 (105)Other assets
Foreign currency forward contractNOK9796 (96)Other assets
Foreign currency forward contract£7495 (93)Other assets
Foreign currency forward contractNZD6841 (38)Other assets
Foreign currency forward contractNOK63(6)Other assets
Foreign currency forward contractAUD2114 (14)Other assets
Total$1,041 $(1,017)
Schedule of Net Realized and Unrealized Gains (Losses) on Derivative Instruments
Net realized and unrealized gains and losses on derivative instruments not designated as a qualifying hedge accounting relationship recognized by the Company for the three and six months ended June 30, 2025 and 2024 is in the following location in the consolidated statements of operations:

For the Three Months Ended June 30,For the Six Months Ended June 30,
Derivative InstrumentStatement Location2025202420252024
Foreign currency forward contractNet realized gains (losses) from foreign currency and other transactions$(40)$14 $(9)$(1)
Foreign currency forward contractNet unrealized gains (losses) from foreign currency and other transactions$(10)$(10)$(54)$20 
Schedule of Interest Rate Swap Instruments Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.
DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.
As of June 30, 2025 and December 31, 2024, the counterparty to all of the Company’s interest rate swaps was Wells Fargo Bank, N.A. Certain information related to the Company’s interest rate swaps as of June 30, 2025 is presented below.
DescriptionHedged ItemCompany ReceivesCompany PaysMaturity DateNotional Amount
Interest rate swap January 2027 Notes7.000 %
SOFR +2.5810%
January 15, 2027$900 
Interest rate swapMarch 2029 Notes5.875 %
SOFR +2.0230%
March 1, 2029$1,000 
Interest rate swapJuly 2029 Notes5.950 %
SOFR +1.6430%
July 15, 2029$850 
Interest rate swapSeptember 2030 Notes5.500 %
SOFR +1.7705%
September 1, 2030$750 
Interest rate swap(1)March 2032 Notes5.800 %
SOFR +1.6995%
March 8, 2032$1,000 
________________________________________

(1)In connection with the issuance of the March 2032 Notes, the Company entered into a forward-starting interest rate swap with an effective date of January 8, 2026.
Schedule of Interest Rate Swap Derivative Instruments The balance sheet impact of fair valuing the interest rate swaps as of June 30, 2025 and December 31, 2024 is presented below:
 As of June 30, 2025
Derivative InstrumentNotional AmountMaturity DateGross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet Location of Amounts
Interest rate swap(1)$900 January 15, 2027$10 $— Other assets
Interest rate swap(2)$1,000 March 1, 202913 — Other assets
Interest rate swap(3)$850July 15, 202927 — Other assets
Interest rate swap(4)$750 September 1, 2030— Other assets
Interest rate swap(5)$1,000 March 8, 203232 — Other assets
Total$90 $— 
________________________________________

(1)The asset related to the fair value of the interest rate swaps was offset by a $10 increase to the carrying value of the January 2027 Notes.

(2)The asset related to the fair value of the interest rate swap was offset by a $13 increase to the carrying value of the March 2029 Notes.

(3)The asset related to the fair value of the interest rate swap was offset by a $27 increase to the carrying value of the July 2029 Notes.
(4)The asset related to the fair value of the interest rate swap was offset by a $8 increase to the carrying value of the September 2030 Notes.

(5)The asset related to the fair value of the interest rate swap was offset by a $32 increase to the carrying value of the March 2032 Notes.

 As of December 31, 2024
Derivative InstrumentNotional AmountMaturity DateGross Amount of Recognized AssetsGross Amount of Recognized LiabilitiesBalance Sheet Location of Amounts
Interest rate swap(1)$900 January 15, 2027$$— Other assets
Interest rate swap(2)$1,000 March 1, 2029— (9)Accounts payable and other liabilities
Interest rate swap(3)$850July 15, 2029— Other assets
Total$11 $(9)
________________________________________

(1)The asset related to the fair value of the interest rate swaps was offset by a $4 increase to the carrying value of the January 2027 Notes.

(2)The liability related to the fair value of the interest rate swap was offset by a $9 decrease to the carrying value of the March 2029 Notes.

(3)The asset related to the fair value of the interest rate swap was offset by a $7 increase to the carrying value of the July 2029 Notes.

v3.25.2
COMMITMENTS AND CONTINGENCIES (Tables)
6 Months Ended
Jun. 30, 2025
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Loan and Private Equity Commitments As of June 30, 2025 and December 31, 2024, the Company had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans, including commitments to fund which are at (or substantially at) the Company’s discretion:
 As of
 June 30, 2025December 31, 2024
Total revolving loan commitments $2,469 $2,254 
Less: funded commitments(539)(529)
Less: unavailable revolving loan commitments due to borrowing base or other covenant restrictions(12)(1)
Total net unfunded revolving loan commitments1,918 1,724 
Total unfunded delayed draw loan commitments2,320 2,193 
Less: unavailable delayed draw loan commitments due to borrowing base or other covenant restrictions(15)(22)
Total net unfunded delayed draw loan commitments2,305 2,171 
Total net unfunded revolving and delayed draw loan commitments$4,223 $3,895 
As of June 30, 2025 and December 31, 2024, the Company was party to agreements to fund equity investment commitments as follows:
 As of
 June 30, 2025December 31, 2024
Total equity commitments$154 $191 
Less: funded equity commitments(39)(88)
Total unfunded equity commitments115 103 
Less: equity commitments substantially at discretion of the Company(43)(43)
Total net unfunded equity commitments$72 $60 

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value Measurements of Cash and Cash Equivalents, Restricted Cash, Investments, Derivatives, and Unfunded Revolving and Delayed Draw Loan Commitments
The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, unfunded revolving and delayed draw loan commitments and derivatives as of June 30, 2025:

 Fair Value Measurements Using
TotalLevel 1Level 2Level 3
Cash and cash equivalents$447 $447 $— $— 
Restricted cash$217 $217 $— $— 
Investments not measured at net asset value$27,870 $20 $724 $27,126 
Investments measured at net asset value(1)16 
 Total investments$27,886 
Unfunded revolving and delayed draw loan commitments(2)$(25)$— $— $(25)
Derivatives:
Foreign currency forward contracts$(28)$— $(28)$— 
Interest rate swaps$90 $— $90 $— 
________________________________________

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

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

The following table presents fair value measurements of cash and cash equivalents, restricted cash, investments, unfunded revolving and delayed draw loan commitments and derivatives as of December 31, 2024:

 Fair Value Measurements Using
TotalLevel 1Level 2Level 3
Cash and cash equivalents$635 $635 $— $— 
Restricted cash$225 $225 $— $— 
Investments not measured at net asset value$26,711 $33 $587 $26,091 
Investments measured at net asset value(1)
 Total investments$26,720 
Unfunded revolving and delayed draw loan commitments(2)$(29)$— $— $(29)
Derivatives:
Foreign currency forward contracts$24 $— $24 $— 
Interest rate swaps$$— $$— 
________________________________________

(1)Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the consolidated balance sheet.
(2)The fair value of unfunded revolving and delayed draw loan commitments is included in “accounts payable and other liabilities” in the accompanying consolidated balance sheet.
Schedule of Significant Unobservable Inputs
The following tables summarize the significant unobservable inputs the Valuation Designee used to value the majority of the Company’s investments categorized within Level 3 as of June 30, 2025 and December 31, 2024. The tables are not intended to be all-inclusive, but instead to capture the significant unobservable inputs relevant to the Valuation Designee’s determination of fair values.
 As of June 30, 2025
Unobservable Input
Asset CategoryFair ValuePrimary Valuation TechniquesInputEstimated Range
Weighted Average(1)
First lien senior secured loans$16,137 Yield analysisMarket yield
5.4% - 20.8%
10.1 %
Second lien senior secured loans1,229 Yield analysisMarket yield
11.0% - 18.7%
14.0 %
Subordinated certificates of the SDLP1,052 Discounted cash flow analysisDiscount rate
9.4% - 12.7%
11.8 %
Senior subordinated loans1,379 Yield analysisMarket yield
6.9% - 22.6%
14.0 %
Preferred equity2,643 Yield analysisMarket yield
7.0% - 19.6%
13.2 %
EV market multiple analysisEBITDA multiple
3.0x - 27.4x
16.0x
Ivy Hill Asset Management, L.P.(2)2,081 Discounted cash flow analysisDiscount rate
9.3% - 19.0%
10.1 %
Other equity2,605 EV market multiple analysisEBITDA multiple
5.0x - 35.0x
16.2x
Total investments$27,126 
________________________________________

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

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

 As of December 31, 2024
Unobservable Input
Asset CategoryFair ValuePrimary Valuation TechniquesInputEstimated Range
Weighted Average(1)
First lien senior secured loans$14,722 Yield analysisMarket yield
3.8% - 22.9%
10.4 %
Second lien senior secured loans1,724 Yield analysisMarket yield
9.6% - 23.2%
14.2 %
Subordinated certificates of the SDLP1,192 Discounted cash flow analysisDiscount rate
10.0% - 13.0%
12.0 %
Senior subordinated loans1,343 Yield analysisMarket yield
8.4% - 21.9%
12.8 %
Preferred equity2,649 Yield analysisMarket yield
7.0% - 19.0%
13.3 %
EV market multiple analysisEBITDA multiple
2.6x - 25.1x
15.4x
Ivy Hill Asset Management, L.P.(2)1,915 Discounted cash flow analysisDiscount rate
9.9% - 19.0%
11.4 %
Other equity2,546 EV market multiple analysisEBITDA multiple
5.6x - 49.7x
18.1x
Total investments$26,091 
________________________________________

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

(2)Includes the Company’s subordinated loan and equity investments in IHAM, as applicable.
Schedule of Changes in Investments that use Level 3 Inputs
The following tables present changes in investments that use Level 3 inputs as of and for the three and six months ended June 30, 2025:

 As of and For the Three Months Ended June 30, 2025
Balance as of March 31, 2025$26,385 
Net realized gains110 
Net unrealized losses(83)
Purchases2,730 
Sales(665)
Repayments(1,452)
PIK interest and dividends150 
Net accretion of discount on investments
Net transfers in and/or out of Level 3(52)
Balance as of June 30, 2025$27,126 

 As of and For the Six Months Ended June 30, 2025
Balance as of December 31, 2024$26,091 
Net realized gains
Net unrealized losses(57)
Purchases5,409 
Sales(1,464)
Repayments(2,908)
PIK interest and dividends255 
Net accretion of discount on investments
Net transfers in and/or out of Level 3(212)
Balance as of June 30, 2025$27,126 
The following tables present changes in investments that use Level 3 inputs as of and for the three and six months ended June 30, 2024:
 As of and For the Three Months Ended June 30, 2024
Balance as of March 31, 2024$22,353 
Net realized losses(15)
Net unrealized losses(51)
Purchases3,245 
Sales(60)
Repayments(1,301)
PIK interest and dividends128 
Net accretion of discount on investments
Net transfers in and/or out of Level 3— 
Balance as of June 30, 2024$24,302 

 As of and For the Six Months Ended June 30, 2024
Balance as of December 31, 2023$22,084 
Net realized losses(13)
Net unrealized gains59 
Purchases6,116 
Sales(1,111)
Repayments(3,055)
PIK interest and dividends218 
Net accretion of discount on investments
Net transfers in and/or out of Level 3— 
Balance as of June 30, 2024$24,302 
Schedule of Carrying and Fair Values of Debt Obligations
The following are the carrying and fair values of the Company’s debt obligations as of June 30, 2025 and December 31, 2024. Fair value is estimated by discounting remaining payments using applicable current market rates, which take into account changes in the Company’s marketplace credit ratings, or market quotes, if available.
 As of
 June 30, 2025December 31, 2024
Carrying Value(1)Fair Value(6)Carrying Value(1)Fair Value(6)
Revolving Credit Facility$1,144 $1,144 $1,113 $1,113 
Revolving Funding Facility750 750 1,065 1,065 
SMBC Funding Facility400 400 502 502 
BNP Funding Facility450 450 889 889 
April 2036 CLO Notes (principal amount outstanding of $476)(2)
473 (3)473 473 (3)476 
October 2036 CLO Secured Loans (principal amount outstanding of $544)(2)
541 (3)541 541 (3)544 
March 2025 Notes (principal amount outstanding of $0 and $600, respectively)
— — 600 (3)599 
July 2025 Notes (principal amount outstanding of $1,250)
1,250 (3)1,249 1,252 (3)1,238 
January 2026 Notes (principal amount outstanding of $1,150)
1,149 (3)1,145 1,148 (3)1,137 
July 2026 Notes (principal amount outstanding of $1,000)
997 (3)975 996 (3)957 
January 2027 Notes (principal amount outstanding of $900)
901 (3)(4)929 891 (3)(4)933 
June 2027 Notes (principal amount outstanding of $500)
497 (3)484 497 (3)475 
June 2028 Notes (principal amount outstanding of $1,250)
1,248 (3)1,179 1,248 (3)1,151 
March 2029 Notes (principal amount outstanding of $1,000)
999 (3)(4)1,020 985 (3)(4)1,010 
July 2029 Notes (principal amount outstanding of $850)
862 (3)(4)870 835 (3)(4)861 
September 2030 Notes (principal amount outstanding of $750 and $0, respectively)
742 (3)(4)748 — — 
November 2031 Notes (principal amount outstanding of $700)
693 (3)610 692 (3)602 
March 2032 Notes (principal amount outstanding of $1,000 and $0, respectively)
1,013 (3)(4)997 — — 
Total$14,109 (5)$13,964 $13,727 (5)$13,552 
________________________________________

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

(2)Excludes the April 2036 CLO Subordinated Notes and October 2036 CLO Subordinated Notes, which were retained by the Company and, as such, eliminated in consolidation. See Note 5 for more information on the Debt Securitizations.

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

(4)The carrying value of the January 2027 Notes, the March 2029 Notes, the July 2029 Notes, the September 2030 Notes and the March 2032 Notes as of June 30, 2025 includes adjustments as a result of effective hedge accounting relationships. The carrying value of the January 2027 Notes, the March 2029 Notes and the July 2029 Notes as of December 31, 2024 includes adjustments as a result of effective hedge accounting relationships. See Notes 5 and 6 for more information.

(5)Total principal amount of outstanding debt totaled $14,114 and $13,789 as of June 30, 2025 and December 31, 2024, respectively.
(6)The fair value of these debt obligations would be categorized as Level 2 under ASC 820-10.

v3.25.2
STOCKHOLDERS’ EQUITY (Tables)
6 Months Ended
Jun. 30, 2025
Equity [Abstract]  
Schedule of Common Shares Issued and Sold
The Company may from time to time issue and sell shares of its common stock through public or “at the market” offerings. During the six months ended June 30, 2025, the Company issued and sold the following shares of common stock:


Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings32.0$709.4 $7.5 $701.9 $22.14 
Total32.0$709.4 $7.5 $701.9 
________________________________________

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

During the six months ended June 30, 2024, the Company issued and sold the following shares of common stock:


Issuances of Common Stock
Number of Shares IssuedGross ProceedsUnderwriting Fees/Offering ExpensesNet ProceedsAverage Offering Price Per Share(1)
“At the market” offerings25.9$538.7 $5.9 $532.8 $20.83 
Total25.9$538.7 $5.9 $532.8 
________________________________________

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

v3.25.2
EARNINGS PER SHARE (Tables)
6 Months Ended
Jun. 30, 2025
Earnings Per Share [Abstract]  
Schedule of Computations of Basic and Diluted Net Increase in Stockholders' Equity
The following information sets forth the computations of basic and diluted net increase in stockholders’ equity resulting from operations per share for the three and six months ended June 30, 2025 and 2024:

 For the Three Months Ended June 30,For the Six Months Ended June 30,
 2025202420252024
Net increase in stockholders’ equity resulting from operations$361 $322 $602 $771 
Weighted average shares of common stock outstanding—basic and diluted695 616 686 603 
Basic and diluted net increase in stockholders’ equity resulting from operations per share$0.52 $0.52 $0.88 $1.28 

v3.25.2
DIVIDENDS AND DISTRIBUTIONS (Tables)
6 Months Ended
Jun. 30, 2025
Equity [Abstract]  
Schedule of Dividends Declared and Payable
The following table summarizes the Company’s dividends declared and payable during the six months ended June 30, 2025 and 2024:

Date declaredRecord datePayment datePer share
amount
Total amount
April 29, 2025June 13, 2025June 30, 2025$0.48 $337 
February 5, 2025March 14, 2025March 31, 20250.48 328 
Total dividends declared and payable for the six months ended June 30, 2025
$0.96 $665 
May 1, 2024June 14, 2024June 28, 2024$0.48 $300 
February 7, 2024March 15, 2024March 29, 20240.48 291 
Total dividends declared and payable for the six months ended June 30, 2024
$0.96 $591 
Schedule of Dividend Reinvestment Plan Activity Dividend reinvestment plan activity for the six months ended June 30, 2025 and 2024, was as follows:
For the Six Months Ended June 30,
20252024
Shares issued1.8 2.0 
Average issue price per share$22.06 $20.83 

v3.25.2
FINANCIAL HIGHLIGHTS (Tables)
6 Months Ended
Jun. 30, 2025
Investment Company [Abstract]  
Schedule of Financial Highlights
The following is a schedule of financial highlights as of and for the six months ended June 30, 2025 and 2024:

 As of and For the Six Months Ended June 30,
Per Share Data:20252024
Net asset value at beginning of period(1)$19.89 $19.24 
Issuances of common stock0.09 0.04 
Conversion of 2024 Convertible Notes — 0.01 
Net investment income for period(2)1.03 1.17 
Net realized and unrealized gains (losses) for period(2)(0.15)0.11 
Net increase in stockholders' equity resulting from operations0.97 1.33 
Total distributions to stockholders(0.96)(0.96)
Net asset value at end of period(1)$19.90 $19.61 
Per share market value at end of period$21.96 $20.84 
Total return based on market value(3)4.87 %9.02 %
Total return based on net asset value(4)4.95 %6.98 %
Shares outstanding at end of period706 630 
Ratio/Supplemental Data: 
Net assets at end of period$14,034 $12,364 
Ratio of operating expenses to average net assets(5)(6)11.12 %12.31 %
Ratio of net investment income to average net assets(5)(7)10.42 %12.13 %
Portfolio turnover rate(5)34 %37 %
_________________________________________________________________________________

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

(2)Weighted average basic per share data.

(3)For the six months ended June 30, 2025, the total return based on market value equaled the increase of the ending market value at June 30, 2025 of $21.96 per share from the ending market value at December 31, 2024 of $21.89 per share plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2025, divided by the market value at December 31, 2024. For the six months ended June 30, 2024, the total return based on market value equaled the increase of the ending market value at June 30, 2024 of $20.84 per share from the ending market value at December 31, 2023 of $20.03 per share plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2024, divided by the market value at December 31, 2023. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.
(4)For the six months ended June 30, 2025, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2025, divided by the beginning net asset value for the period. For the six months ended June 30, 2024, the total return based on net asset value equaled the change in net asset value during the period plus the declared and payable dividends of $0.96 per share for the six months ended June 30, 2024, divided by the beginning net asset value for the period. The Company’s performance changes over time and currently may be different than that shown. Past performance is no guarantee of future results.

(5)The ratios reflect an annualized amount.

(6)For the six months ended June 30, 2025 and 2024, the ratio of operating expenses to average net assets consisted of the following:
 For the Six Months Ended June 30,
20252024
Base management fee3.05 %3.03 %
Income based fee and capital gains incentive fee2.21 3.27 
Interest and credit facility fees5.51 5.66 
Other operating expenses0.35 0.35 
Total operating expenses11.12 %12.31 %

(7)The ratio of net investment income to average net assets excludes income taxes related to realized gains and losses.

v3.25.2
SIGNIFICANT ACCOUNTING POLICIES - Narrative (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Accounting Policies [Abstract]    
Cash denominated in foreign currencies $ 22 $ 18

v3.25.2
SIGNIFICANT ACCOUNTING POLICIES - Reconciliation of Cash, Cash Equivalents and Restricted Cash (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Jun. 30, 2024
Dec. 31, 2023
Accounting Policies [Abstract]        
Cash and cash equivalents $ 447 $ 635    
Restricted cash 217 225    
Total cash, cash equivalents and restricted cash $ 664 $ 860 $ 681 $ 564

v3.25.2
AGREEMENTS - Narrative (Details)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 21, 2019
Jun. 20, 2019
Jun. 30, 2025
USD ($)
calendar_quarter
Jun. 30, 2024
USD ($)
Jun. 30, 2025
USD ($)
calendar_quarter
Jun. 30, 2024
USD ($)
Dec. 31, 2024
USD ($)
Investment Company, Financial Highlights [Line Items]              
Asset coverage requirement applicable to senior securities 150.00% 200.00% 199.00%   199.00%    
Number of quarters considered in base management fee calculation | calendar_quarter     2   2    
Related party transaction amounts payable     $ 0 $ 0 $ 0 $ 0  
Administrative and other fees     4 $ 3 8 $ 6  
Accounts payable and other liabilities     158   $ 158   $ 121
Investment Advisory and Management Agreement | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Termination notice period         60 days    
Asset coverage requirement applicable to senior securities 150.00% 200.00%          
Payments of capital gains incentive fees         $ 133    
Investment Advisory and Management Agreement | Controlled Affiliate | Minimum              
Investment Company, Financial Highlights [Line Items]              
Base management fee rate   1.50%          
Debt to equity leverage ratio 100.00%            
Investment Advisory and Management Agreement | Controlled Affiliate | Maximum              
Investment Company, Financial Highlights [Line Items]              
Base management fee rate 1.00%            
Debt to equity leverage ratio 100.00%            
Incentive Rate, Quarterly Hurdle Rate | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Incentive fee         1.75%    
Incentive Rate, Pre-Incentive Fee Net Investment Income Below Catch-Up Threshold | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Incentive fee         100.00%    
Incentive Rate, Quarterly Catch-Up Threshold | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Incentive fee         2.1875%    
Incentive Rate, Pre-Incentive Fee Net Investment Income Exceeds Catch-Up Threshold | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Incentive fee         20.00%    
Incentive Rate, Realized Capital Gains | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Incentive fee         20.00%    
Incentive Rate, Net Assets For Deferral Of Cash Payments | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Incentive fee 7.00%            
Administration Agreement | Controlled Affiliate              
Investment Company, Financial Highlights [Line Items]              
Termination notice period 60 days            
Accounts payable and other liabilities     $ 5   $ 5   $ 5

v3.25.2
AGREEMENTS - Base Management Fee, Income Based Fee, and Capital Gains Incentive Fee (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Investment Company [Abstract]        
Base management fee $ 104 $ 91 $ 206 $ 178
Income based fee 86 93 171 181
Capital gains incentive fee $ 4 $ (13) $ (21) $ 12

v3.25.2
INVESTMENTS - Investments (Details)
$ in Millions
6 Months Ended 12 Months Ended
Jun. 30, 2025
USD ($)
borrower
Dec. 31, 2024
USD ($)
borrower
Schedule of Investments [Line Items]    
Amortized Cost $ 27,580.7 [1] $ 26,374.0 [2]
Fair Value $ 27,886.4 [1] $ 26,719.9 [2]
Loans on non-accrual status, as a percent of total investments at amortized cost 2.00% 1.70%
Loans on non-accrual status, as a percent of total investments at fair value 1.20% 1.00%
Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 100.00% 100.00%
Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 100.00% 100.00%
Senior Direct Lending Program    
Schedule of Investments [Line Items]    
Number of borrowers | borrower 19 20
Ivy Hill Asset Management, L.P.    
Schedule of Investments [Line Items]    
Amortized Cost $ 2,652.0 $ 2,237.0
Fair Value $ 9,841.0 $ 8,172.0
Number of borrowers | borrower 21  
West | Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 22.30% 25.20%
West | Senior Direct Lending Program | Investments, At Fair Value | Customer Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 3.80% 4.50%
West | Ivy Hill Asset Management, L.P. | Investments, At Fair Value | Customer Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 7.40% 7.10%
Midwest | Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 21.80% 20.90%
Southeast | Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 18.20% 19.30%
Mid-Atlantic | Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 16.60% 16.10%
Northeast | Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 14.70% 12.20%
International | Investments, At Fair Value | Geographic Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 6.40% 6.30%
Software and Services    
Schedule of Investments [Line Items]    
Amortized Cost $ 6,557.1 $ 6,561.9
Fair Value $ 6,552.3 $ 6,544.6
Software and Services | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 23.50% 24.50%
Health Care Equipment and Services    
Schedule of Investments [Line Items]    
Amortized Cost $ 3,746.7 $ 3,333.6
Fair Value $ 3,604.7 $ 3,211.9
Health Care Equipment and Services | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 12.90% 12.00%
Financial Services    
Schedule of Investments [Line Items]    
Amortized Cost $ 2,575.2 $ 2,400.2
Fair Value $ 2,848.1 $ 2,644.8
Financial Services | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 10.20% 9.90%
Commercial and Professional Services    
Schedule of Investments [Line Items]    
Amortized Cost $ 2,792.9 $ 2,486.8
Fair Value $ 2,764.9 $ 2,510.0
Commercial and Professional Services | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 9.90% 9.40%
Insurance    
Schedule of Investments [Line Items]    
Amortized Cost $ 1,754.0 $ 1,510.1
Fair Value $ 1,788.5 $ 1,573.5
Insurance | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 6.40% 5.90%
Consumer Distribution and Retail | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 4.70% 5.70%
Consumer Services    
Schedule of Investments [Line Items]    
Amortized Cost $ 1,237.6 $ 1,284.0
Fair Value $ 1,283.3 $ 1,357.6
Consumer Services | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 4.60% 5.10%
Sports, Media and Entertainment    
Schedule of Investments [Line Items]    
Amortized Cost $ 1,246.6 $ 1,214.2
Fair Value $ 1,249.6 $ 1,218.3
Sports, Media and Entertainment | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 4.50% 4.60%
Investment Funds and Vehicles    
Schedule of Investments [Line Items]    
Amortized Cost $ 1,079.4 $ 1,288.2
Fair Value $ 1,075.9 $ 1,238.4
Investment Funds and Vehicles | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 3.80% 4.60%
Independent Power and Renewable Electricity Producers    
Schedule of Investments [Line Items]    
Amortized Cost $ 799.8  
Fair Value $ 1,068.4  
Independent Power and Renewable Electricity Producers | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 3.80% 3.70%
Capital Goods    
Schedule of Investments [Line Items]    
Amortized Cost $ 869.3 $ 710.9
Fair Value $ 880.8 $ 736.5
Capital Goods | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 3.20% 2.70%
Pharmaceuticals, Biotechnology and Life Sciences    
Schedule of Investments [Line Items]    
Amortized Cost $ 694.7 $ 705.8
Fair Value $ 689.9 $ 695.4
Pharmaceuticals, Biotechnology and Life Sciences | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 2.50% 2.60%
Materials    
Schedule of Investments [Line Items]    
Amortized Cost $ 629.4 $ 401.9
Fair Value $ 624.3 $ 317.1
Materials | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 2.20% 1.20%
Consumer Durables and Apparel    
Schedule of Investments [Line Items]    
Amortized Cost $ 639.2 $ 644.7
Fair Value $ 602.1 $ 606.4
Consumer Durables and Apparel | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 2.20% 2.30%
Food and Beverage    
Schedule of Investments [Line Items]    
Amortized Cost $ 523.4 $ 479.4
Fair Value $ 498.2 $ 479.6
Food and Beverage | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 1.80% 1.80%
Other | Investments, At Fair Value | Industry Concentration Risk    
Schedule of Investments [Line Items]    
Composition, percent of fair value 3.80% 4.00%
First lien senior secured loans    
Schedule of Investments [Line Items]    
Amortized Cost $ 16,827.0 $ 15,519.0
Fair Value 16,547.0 15,179.0
Second lien senior secured loans    
Schedule of Investments [Line Items]    
Amortized Cost 1,609.0 1,935.0
Fair Value 1,523.0 1,847.0
Subordinated certificates of the SDLP    
Schedule of Investments [Line Items]    
Amortized Cost 1,063.0 1,263.0
Fair Value 1,052.0 1,192.0
Senior subordinated loans    
Schedule of Investments [Line Items]    
Amortized Cost 1,456.0 1,384.0
Fair Value 1,388.0 1,351.0
Preferred equity    
Schedule of Investments [Line Items]    
Amortized Cost 2,753.0 2,667.0
Fair Value 2,642.0 2,649.0
Ivy Hill Asset Management, L.P.    
Schedule of Investments [Line Items]    
Amortized Cost 1,856.0 1,701.0
Fair Value 2,081.0 1,915.0
Other equity    
Schedule of Investments [Line Items]    
Amortized Cost 2,017.0 1,905.0
Fair Value 2,653.0 2,587.0
Unitranche loans    
Schedule of Investments [Line Items]    
Amortized Cost 10,650.0 8,772.0
Fair Value $ 10,489.0 $ 8,624.0
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
INVESTMENTS - Ivy Hill Asset Management, L.P. (Details)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
USD ($)
borrower
Jun. 30, 2024
USD ($)
Jun. 30, 2025
USD ($)
borrower
Jun. 30, 2024
USD ($)
Dec. 31, 2024
USD ($)
Schedule of Investments [Line Items]          
Amortized cost of investments $ 27,580.7 [1]   $ 27,580.7 [1]   $ 26,374.0 [2]
Purchases of investments     5,755.0 $ 6,221.0  
Ivy Hill Asset Management, L.P.          
Schedule of Investments [Line Items]          
Purchases of investments     1,371.0 35.0  
Ivy Hill Asset Management, L.P.          
Schedule of Investments [Line Items]          
Assets under management $ 13,100.0   $ 13,100.0    
Number of borrowers | borrower 21   21    
Amortized cost of investments $ 2,652.0   $ 2,652.0   2,237.0
Other income 2.0 $ 4.0 5.0 8.0  
Purchases of investments     0.0 32.0  
Realized gain (loss) on sale of investments     0.0 (1.0)  
Ivy Hill Asset Management, L.P. | Operating Segments | Ivy Hill Asset Management, L.P.          
Schedule of Investments [Line Items]          
Amortized cost of investments 10,027.0   10,027.0   $ 8,343.0
Other income 12.0 14.0 24.0 28.0  
Other investment-related income $ 52.0 $ 92.0 $ 110.0 $ 191.0  
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
INVESTMENTS - Amortized Cost and Fair Value of the Investment in IHAM (Details) - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Schedule of Investments [Line Items]    
Amortized Cost $ 27,580.7 [1] $ 26,374.0 [2]
Fair Value 27,886.4 [1] 26,719.9 [2]
Ivy Hill Asset Management, L.P.    
Schedule of Investments [Line Items]    
Amortized Cost 1,856.0 1,701.0
Fair Value 2,081.0 1,915.0
Debt investment    
Schedule of Investments [Line Items]    
Amortized Cost 155.0 0.0
Fair Value 155.0 0.0
Commitment to fund 500.0  
Equity    
Schedule of Investments [Line Items]    
Amortized Cost 1,701.0 1,701.0
Fair Value $ 1,926.0 $ 1,915.0
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
INVESTMENTS - Dividend and Interest Income, IHAM (Details) - Ivy Hill Asset Management, L.P. - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Schedule of Investments [Line Items]        
Interest income $ 1 $ 0 $ 1 $ 1
Dividend income $ 73 $ 69 $ 146 $ 135

v3.25.2
INVESTMENTS - Yields at Amortized Cost and Fair Value (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Schedule of Investments [Line Items]    
Amortized Cost $ 27,580.7 [1] $ 26,374.0 [2]
Fair Value $ 27,886.4 [1] $ 26,719.9 [2]
Equity    
Schedule of Investments [Line Items]    
Yield on investment, at cost 17.20% 16.70%
Yield on investment, at fair value 15.20% 14.80%
Amortized Cost $ 1,701.0 $ 1,701.0
Fair Value $ 1,926.0 $ 1,915.0
Subordinated certificates of the SDLP    
Schedule of Investments [Line Items]    
Yield on investment, at cost 12.00% 12.40%
Yield on investment, at fair value 12.10% 13.20%
Amortized Cost $ 1,063.0 $ 1,263.0
Fair Value $ 1,052.0 $ 1,192.0
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
INVESTMENTS - IHAM Selected Balance Sheet Information (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Assets    
Investments at fair value $ 27,886.4 [1] $ 26,719.9 [2]
Cash and cash equivalents 447.0 635.0
Other assets 215.0 158.0
Total assets 29,071.0 28,254.0
Liabilities    
Total liabilities 15,037.0 14,899.0
Equity    
Accumulated earnings 789.0 852.0
Total liabilities and stockholders’ equity 29,071.0 28,254.0
Amortized Cost 27,580.7 [1] 26,374.0 [2]
Unrealized losses 1,800.0 1,700.0
Unrealized depreciation 300.0 200.0
Ivy Hill Asset Management, L.P.    
Assets    
Investments at fair value 9,841.0 8,172.0
Cash and cash equivalents 569.0 976.0
Other assets 86.0 128.0
Total assets 10,496.0 9,276.0
Liabilities    
Debt 8,135.0 6,956.0
Subordinated note from ARCC 155.0  
Subordinated notes 328.0 311.0
Other liabilities 182.0 269.0
Total liabilities 8,800.0 7,536.0
Equity    
Contributed capital 1,701.0 1,700.0
Accumulated earnings 146.0 186.0
Net unrealized losses on investments and foreign currency transactions (35.0) (79.0)
Non-controlling interests in Consolidated IHAM Vehicles (116.0) (67.0)
Total equity 1,696.0 1,740.0
Total liabilities and stockholders’ equity 10,496.0 9,276.0
Amortized Cost 2,652.0 2,237.0
Ivy Hill Asset Management, L.P. | Eliminations    
Assets    
Investments at fair value (2,511.0) (2,086.0)
Cash and cash equivalents 0.0 0.0
Other assets (61.0) (54.0)
Total assets (2,572.0) (2,140.0)
Liabilities    
Debt 0.0 0.0
Subordinated note from ARCC 0.0  
Subordinated notes (791.0) (714.0)
Other liabilities (13.0) (13.0)
Total liabilities (804.0) (727.0)
Equity    
Contributed capital 0.0 0.0
Accumulated earnings 0.0 0.0
Net unrealized losses on investments and foreign currency transactions 0.0 0.0
Non-controlling interests in Consolidated IHAM Vehicles (1,768.0) (1,413.0)
Total equity (1,768.0) (1,413.0)
Total liabilities and stockholders’ equity (2,572.0) (2,140.0)
Ivy Hill Asset Management, L.P. | Ivy Hill Asset Management, L.P. | Operating Segments    
Assets    
Investments at fair value 2,619.0 2,160.0
Cash and cash equivalents 7.0 9.0
Other assets 68.0 60.0
Total assets 2,694.0 2,229.0
Liabilities    
Debt 708.0 406.0
Subordinated note from ARCC 155.0  
Subordinated notes 0.0 0.0
Other liabilities 19.0 16.0
Total liabilities 882.0 422.0
Equity    
Contributed capital 1,701.0 1,700.0
Accumulated earnings 146.0 186.0
Net unrealized losses on investments and foreign currency transactions (35.0) (79.0)
Non-controlling interests in Consolidated IHAM Vehicles 0.0 0.0
Total equity 1,812.0 1,807.0
Total liabilities and stockholders’ equity 2,694.0 2,229.0
Amortized Cost 10,027.0 8,343.0
Ivy Hill Asset Management, L.P. | Consolidated IHAM Vehicles | Operating Segments    
Assets    
Investments at fair value 9,733.0 8,098.0
Cash and cash equivalents 562.0 967.0
Other assets 79.0 122.0
Total assets 10,374.0 9,187.0
Liabilities    
Debt 7,427.0 6,550.0
Subordinated note from ARCC 0.0  
Subordinated notes 1,119.0 1,025.0
Other liabilities 176.0 266.0
Total liabilities 8,722.0 7,841.0
Equity    
Contributed capital 0.0 0.0
Accumulated earnings 0.0 0.0
Net unrealized losses on investments and foreign currency transactions 0.0 0.0
Non-controlling interests in Consolidated IHAM Vehicles 1,652.0 1,346.0
Total equity 1,652.0 1,346.0
Total liabilities and stockholders’ equity 10,374.0 9,187.0
Unrealized depreciation 185.0 171.0
Ivy Hill Asset Management, L.P. | Consolidated IHAM Vehicles | Eliminations    
Equity    
Unrealized losses $ 49.0 $ 70.0
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
INVESTMENTS - IHAM Selected Statement of Operations Information (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Revenues        
Total investment income $ 745 $ 755 $ 1,477 $ 1,456
Expenses        
Interest expense 188 174 374 333
Net realized gains (losses) on investments and foreign currency 34 (16) (27) (35)
Net realized gains (losses) on extinguishment of debt 0 0 0 (14)
Net unrealized gains (losses) on investments, foreign currency and other transactions (15) (48) (78) 108
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions 19 (64) (105) 73
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS 361 322 602 771
Ivy Hill Asset Management, L.P.        
Revenues        
Investment income 233 261 452 537
Management fees and other income 2 4 5 8
Total investment income 235 265 457 545
Expenses        
Interest expense 134 153 261 313
Distributions to subordinated notes 9 12 18 28
Management fees and other expenses 6 5 13 14
Total expenses 149 170 292 355
Net operating income 86 95 165 190
Net realized gains (losses) on investments and foreign currency (2) (16) (66) (78)
Net realized gains (losses) on extinguishment of debt 0   (1) (1)
Net unrealized gains (losses) on investments, foreign currency and other transactions (25) (20) 4 44
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions (27) (36) (63) (35)
Net income 59 59 102 155
Less: Net income loss (gain) attributable to non-controlling interests in Consolidated IHAM Vehicles (9) (18) (48) (4)
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS 68 77 150 159
Ivy Hill Asset Management, L.P. | Eliminations        
Revenues        
Investment income (76) (90) (141) (182)
Management fees and other income (12) (13) (23) (26)
Total investment income (88) (103) (164) (208)
Expenses        
Interest expense 0 0 0 0
Distributions to subordinated notes (23) (40) (46) (77)
Management fees and other expenses (12) (13) (23) (26)
Total expenses (35) (53) (69) (103)
Net operating income (53) (50) (95) (105)
Net realized gains (losses) on investments and foreign currency 21 0 21 (9)
Net realized gains (losses) on extinguishment of debt (23)   (23) 0
Net unrealized gains (losses) on investments, foreign currency and other transactions (12) 10 (21) 30
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions (14) 10 (23) 21
Net income (67) (40) (118) (84)
Less: Net income loss (gain) attributable to non-controlling interests in Consolidated IHAM Vehicles (67) (40) (118) (84)
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS 0 0 0 0
Ivy Hill Asset Management, L.P. | Ivy Hill Asset Management, L.P. | Operating Segments        
Revenues        
Investment income 77 92 144 186
Management fees and other income 12 14 24 28
Total investment income 89 106 168 214
Expenses        
Interest expense 14 10 23 20
Distributions to subordinated notes 0 0 0 0
Management fees and other expenses 4 3 8 7
Total expenses 18 13 31 27
Net operating income 71 93 137 187
Net realized gains (losses) on investments and foreign currency (22) 0 (31) 5
Net realized gains (losses) on extinguishment of debt 0   0 0
Net unrealized gains (losses) on investments, foreign currency and other transactions 19 (16) 44 (33)
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions (3) (16) 13 (28)
Net income 68 77 150 159
Less: Net income loss (gain) attributable to non-controlling interests in Consolidated IHAM Vehicles 0 0 0 0
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS 68 77 150 159
Ivy Hill Asset Management, L.P. | Consolidated IHAM Vehicles | Operating Segments        
Revenues        
Investment income 232 259 449 533
Management fees and other income 2 3 4 6
Total investment income 234 262 453 539
Expenses        
Interest expense 120 143 238 293
Distributions to subordinated notes 32 52 64 105
Management fees and other expenses 14 15 28 33
Total expenses 166 210 330 431
Net operating income 68 52 123 108
Net realized gains (losses) on investments and foreign currency (1) (16) (56) (74)
Net realized gains (losses) on extinguishment of debt 23   22 (1)
Net unrealized gains (losses) on investments, foreign currency and other transactions (32) (14) (19) 47
Total net realized and unrealized gains (losses) on investments, foreign currency and other transactions (10) (30) (53) (28)
Net income 58 22 70 80
Less: Net income loss (gain) attributable to non-controlling interests in Consolidated IHAM Vehicles 58 22 70 80
NET INCREASE IN STOCKHOLDERS’ EQUITY RESULTING FROM OPERATIONS $ 0 $ 0 $ 0 $ 0

v3.25.2
INVESTMENTS - Senior Direct Lending Program (Details)
$ in Millions
Jun. 30, 2025
USD ($)
loan
Dec. 31, 2024
USD ($)
loan
Rate
Schedule of Investments [Line Items]    
Spread | Rate  
Senior Direct Lending Program    
Schedule of Investments [Line Items]    
Amount available for commitment $ 450  
Capital available to the SDLP $ 6,150 $ 6,150
Spread 8.00%  
Number of loans on non-accrual status | loan 1 2
Senior Direct Lending Program | Ares Capital Corporation    
Schedule of Investments [Line Items]    
Ownership percentage of outstanding SDLP Certificates 87.50% 87.50%
Capital available to the SDLP $ 1,444 $ 1,444
Senior Direct Lending Program | Client of Varagon    
Schedule of Investments [Line Items]    
Ownership percentage of outstanding SDLP Certificates 12.50% 12.50%

v3.25.2
INVESTMENTS - Funded Capital and Unfunded Capital Commitments (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Schedule of Investments [Line Items]    
Total net adjusted unfunded loan commitments $ 25 $ 29
Senior Direct Lending Program    
Schedule of Investments [Line Items]    
Total capital funded 4,572 5,054
Total net adjusted unfunded loan commitments 339 489
Senior Direct Lending Program | Ares Capital Corporation    
Schedule of Investments [Line Items]    
Total capital funded 1,231 1,310
Total net adjusted unfunded loan commitments $ 86 $ 119

v3.25.2
INVESTMENTS - Interest Income and Capital Structuring Service and Other Fees Earned (Details) - Senior Direct Lending Program - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Schedule of Investments [Line Items]        
Interest income $ 38 $ 45 $ 76 $ 88
Capital structuring service fees and other income $ 2 $ 2 $ 5 $ 5

v3.25.2
INVESTMENTS - SDLP Portfolio (Details)
$ in Millions
Jun. 30, 2025
USD ($)
borrower
Dec. 31, 2024
USD ($)
borrower
Schedule of Investments [Line Items]    
Total unfunded capital commitments $ 25.0 $ 29.0
Senior Direct Lending Program    
Schedule of Investments [Line Items]    
Number of borrowers in the SDLP | borrower 19 20
Total unfunded capital commitments $ 339.0 $ 489.0
Senior Direct Lending Program | First lien senior secured loans    
Schedule of Investments [Line Items]    
Principal 4,415.0 4,759.0
Senior Direct Lending Program | Unitranche loans    
Schedule of Investments [Line Items]    
Principal 3,452.0 3,937.0
Investment, Identifier [Axis]: Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   2.7
Investment, Identifier [Axis]: 15484880 Canada Inc. and 15484910 Canada Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 13.2  
Investment, Identifier [Axis]: 15484880 Canada Inc. and 15484910 Canada Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 28.4  
Investment, Identifier [Axis]: 15484880 Canada Inc. and 15484910 Canada Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.3  
Investment, Identifier [Axis]: 15484880 Canada Inc. and 15484910 Canada Inc., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 13.8  
Investment, Identifier [Axis]: 22 HoldCo Limited, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 66.4 [4],[5],[6] 56.9 [1],[2],[3]
Investment, Identifier [Axis]: 3 Step Sports LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.1 10.4
Investment, Identifier [Axis]: 3 Step Sports LLC and 3 Step Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 12.5  
Investment, Identifier [Axis]: 3 Step Sports LLC and 3 Step Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.3  
Investment, Identifier [Axis]: 3 Step Sports LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   12.5
Investment, Identifier [Axis]: 760203 N.B. LTD.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2 7.4
Investment, Identifier [Axis]: 760203 N.B. LTD., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   35.2
Investment, Identifier [Axis]: 760203 N.B. LTD., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 37.1  
Investment, Identifier [Axis]: 760203 N.B. LTD., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6],[7] 3.0  
Investment, Identifier [Axis]: 760203 N.B. LTD., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6],[7] 1.3  
Investment, Identifier [Axis]: 760203 N.B. LTD., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6],[7] 2.1  
Investment, Identifier [Axis]: ACP Avenu Midco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.2  
Investment, Identifier [Axis]: ACP Avenu Midco LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 13.2  
Investment, Identifier [Axis]: ADF Capital, Inc., ADF Restaurant Group, LLC, and ARG Restaurant Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[8]   12.6
Investment, Identifier [Axis]: ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.5 12.3
Investment, Identifier [Axis]: ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 15.6 [4],[5] 15.5 [1],[2]
Investment, Identifier [Axis]: ADG, LLC, GEDC Equity, LLC and RC IV GEDC Investor LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 48.4 [5] 43.4 [1]
Investment, Identifier [Axis]: ADMA Biologics Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5],[6] 3.4 [1],[2],[3]
Investment, Identifier [Axis]: AI Aqua Merger Sub, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[9]   1.0
Investment, Identifier [Axis]: AI Aqua Merger Sub, Inc.., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 1.0  
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   8.0
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.9
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   6.2
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   1.1
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   62.8
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   14.2
Investment, Identifier [Axis]: AI Fire Buyer, Inc. and AI Fire Parent LLC, Second lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   13.7
Investment, Identifier [Axis]: AI Titan Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 18.5 18.5
Investment, Identifier [Axis]: AI Titan Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 61.5 [4],[5] 61.5 [1],[2]
Investment, Identifier [Axis]: AMCP Clean Acquisition Company, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.0 4.0
Investment, Identifier [Axis]: AMCP Clean Acquisition Company, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 10.3 [4],[5] 10.3 [1],[2]
Investment, Identifier [Axis]: AMCP Clean Acquisition Company, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.4 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: AP Adhesives Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 16.5  
Investment, Identifier [Axis]: AP Adhesives Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 33.0  
Investment, Identifier [Axis]: AP Adhesives Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.2  
Investment, Identifier [Axis]: APG Intermediate Holdings Corporation and APG Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.1
Investment, Identifier [Axis]: APG Intermediate Holdings Corporation and APG Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   13.1
Investment, Identifier [Axis]: API Commercial Inc., API Military Inc., and API Space Intermediate, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[8]   6.6
Investment, Identifier [Axis]: API Military Inc. and Allclear Group LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.4  
Investment, Identifier [Axis]: API Military Inc. and Allclear Group LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5],[12] 1.6  
Investment, Identifier [Axis]: API Military Inc. and Allclear Group LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [5] 0.5  
Investment, Identifier [Axis]: API Military Inc. and Allclear Group LLC, First lien senior secured loan2    
Schedule of Investments [Line Items]    
Principal [5] 2.8  
Investment, Identifier [Axis]: AQ Sage Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.4 0.3
Investment, Identifier [Axis]: AQ Sage Buyer, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 3.5 [4],[5],[6] 3.6 [1],[2],[3]
Investment, Identifier [Axis]: AQ Sage Buyer, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5],[6] 0.4 [1],[2],[3]
Investment, Identifier [Axis]: AQ Sunshine, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 29.0 36.4
Investment, Identifier [Axis]: AQ Sunshine, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 108.8 [4],[5] 102.7 [1],[2]
Investment, Identifier [Axis]: AQ Sunshine, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.9 [4],[5],[7] 1.1 [1],[2],[11]
Investment, Identifier [Axis]: ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.7 5.0
Investment, Identifier [Axis]: ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 3.3 [4],[5] 3.3 [1],[2]
Investment, Identifier [Axis]: ASP-r-pac Acquisition CO LLC and ASP-r-pac Holdings LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 3.5 [4],[5] 1.2 [1],[2]
Investment, Identifier [Axis]: ATI Restoration, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 32.5 33.9
Investment, Identifier [Axis]: ATI Restoration, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 32.1 [4],[5] 32.3 [1],[2]
Investment, Identifier [Axis]: ATI Restoration, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 47.7 [4],[5] 47.9 [1],[2]
Investment, Identifier [Axis]: ATI Restoration, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 11.8 [4],[5] 10.4 [1],[2]
Investment, Identifier [Axis]: ATI Restoration, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 8.7 [4],[5],[7] 8.7 [1],[2],[11]
Investment, Identifier [Axis]: Absolute Dental Group LLC and Absolute Dental Equity, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.3 1.1
Investment, Identifier [Axis]: Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 43.4 [4],[5] 41.3 [1],[2]
Investment, Identifier [Axis]: Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 3.0 [4],[5] 14.5 [1],[2]
Investment, Identifier [Axis]: Absolute Dental Group LLC and Absolute Dental Equity, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 17.0  
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.4 14.1
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 37.4 [4],[5] 37.6 [1],[2]
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 10.2 [4],[5] 10.2 [1],[2]
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5] 0.3 [1],[2]
Investment, Identifier [Axis]: Accession Risk Management Group, Inc. and RSC Insurance Brokerage, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 6.8 [4],[5] 2.2 [1],[2]
Investment, Identifier [Axis]: Accommodations Plus Technologies LLC and Accommodations Plus Technologies Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.0 4.1
Investment, Identifier [Axis]: Accommodations Plus Technologies LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 78.0  
Investment, Identifier [Axis]: Acrisure, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.2 [5],[10] 0.2 [1],[9]
Investment, Identifier [Axis]: Actfy Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 18.6 24.8
Investment, Identifier [Axis]: Actfy Buyer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 62.9 [4],[5] 57.0 [1],[2]
Investment, Identifier [Axis]: Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 3.6
Investment, Identifier [Axis]: Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP ., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 42.3  
Investment, Identifier [Axis]: Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP ., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 6.9  
Investment, Identifier [Axis]: Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   42.5
Investment, Identifier [Axis]: Activate Holdings (US) Corp. and CrossPoint Capital AS SPV, LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   6.9
Investment, Identifier [Axis]: Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.1  
Investment, Identifier [Axis]: Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 12.7  
Investment, Identifier [Axis]: Adonis Acquisition Holdings LLC and Adonis Acquisition Holdings Parent LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: Adonis Bidco Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 84.6  
Investment, Identifier [Axis]: Adonis Bidco Inc.., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 11.1  
Investment, Identifier [Axis]: Adonis Bidco Inc.., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 231.9  
Investment, Identifier [Axis]: Aduro Advisors, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.3 7.4
Investment, Identifier [Axis]: Aduro Advisors, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.2 [4],[5] 8.3 [1],[2]
Investment, Identifier [Axis]: Advarra Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.4 0.4
Investment, Identifier [Axis]: Advarra Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5] 4.0 [1],[2]
Investment, Identifier [Axis]: Aerin Medical Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.5 6.5
Investment, Identifier [Axis]: Aerin Medical Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 13.3 [4],[5] 13.1 [1],[2]
Investment, Identifier [Axis]: Aero Operating LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 36.2  
Investment, Identifier [Axis]: Aero Operating LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.1 [4],[5] 36.2 [1],[2]
Investment, Identifier [Axis]: Aero Operating LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.1
Investment, Identifier [Axis]: Aimbridge Acquisition Co., Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[8]   22.5
Investment, Identifier [Axis]: Airx Climate Solutions, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.9 9.9
Investment, Identifier [Axis]: Airx Climate Solutions, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.8 [4],[5] 9.7 [1],[2]
Investment, Identifier [Axis]: Airx Climate Solutions, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 9.6  
Investment, Identifier [Axis]: Airx Climate Solutions, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   9.8
Investment, Identifier [Axis]: Alcami Corporation and ACM Note Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.9 1.8
Investment, Identifier [Axis]: Alcami Corporation and ACM Note Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.9 [4],[5] 10.0 [1],[2]
Investment, Identifier [Axis]: Alcami Corporation and ACM Note Holdings, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 23.2 [5] 23.2 [1]
Investment, Identifier [Axis]: Alcami Corporation and ACM Note Holdings, LLC., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: Aldinger Company Inc    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.2 5.1
Investment, Identifier [Axis]: Aldinger Company Inc, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   32.0
Investment, Identifier [Axis]: Aldinger Company Inc, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 35.8  
Investment, Identifier [Axis]: Aldinger Company Inc, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.5  
Investment, Identifier [Axis]: Aldinger Company Inc, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.3  
Investment, Identifier [Axis]: Alera Group, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.6
Investment, Identifier [Axis]: Alera Group, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   46.0
Investment, Identifier [Axis]: Alera Group, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   11.3
Investment, Identifier [Axis]: Align Precision Group, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1  
Investment, Identifier [Axis]: Align Precision Group, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5],[12] 27.1  
Investment, Identifier [Axis]: Align Precision Group, LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: American Residential Services L.L.C. and Aragorn Parent Holdings LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   7.3
Investment, Identifier [Axis]: American Residential Services L.L.C. and Aragorn Parent Holdings LP ,First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1]   1.6
Investment, Identifier [Axis]: American Residential Services L.L.C. and Aragorn Parent Holdings LP ,First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1]   1.1
Investment, Identifier [Axis]: American Residential Services L.L.C. and Aragorn Parent Holdings LP, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.9
Investment, Identifier [Axis]: Amerivet Partners Management, Inc. and AVE Holdings LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   6.3
Investment, Identifier [Axis]: Amerivet Partners Management, Inc. and AVE Holdings LP, Subordinated loan    
Schedule of Investments [Line Items]    
Principal 71.8 [5] 66.2 [1]
Investment, Identifier [Axis]: Anaplan, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.4 1.4
Investment, Identifier [Axis]: Anaplan, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.8  
Investment, Identifier [Axis]: Anaplan, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.8
Investment, Identifier [Axis]: Anaplan, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   4.1
Investment, Identifier [Axis]: Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   55.4
Investment, Identifier [Axis]: Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1]   7.5
Investment, Identifier [Axis]: Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.7
Investment, Identifier [Axis]: Anaqua Parent Holdings, Inc. & Astorg VII Co-Invest Anaqua, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.4
Investment, Identifier [Axis]: Apex Service Partners, LLC and Apex Service Partners Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.2 55.8
Investment, Identifier [Axis]: Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 200.9 [4],[5] 198.3 [1],[2]
Investment, Identifier [Axis]: Apex Service Partners, LLC and Apex Service Partners Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [4],[5],[13] 5.9 [1],[2],[11]
Investment, Identifier [Axis]: Applied Technical Services, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.0
Investment, Identifier [Axis]: Applied Technical Services, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.0
Investment, Identifier [Axis]: Applied Technical Services, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.8
Investment, Identifier [Axis]: Applied Technical Services, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.6
Investment, Identifier [Axis]: Applied Technical Services, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   6.6
Investment, Identifier [Axis]: Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1 0.1
Investment, Identifier [Axis]: Appriss Health, LLC and Appriss Health Intermediate Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 2.8 [4],[5] 5.5 [1],[2]
Investment, Identifier [Axis]: Aptean, Inc. and Aptean Acquiror Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.2 0.8
Investment, Identifier [Axis]: Aptean, Inc. and Aptean Acquiror Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 30.5 [4],[5] 18.4 [1],[2]
Investment, Identifier [Axis]: Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[3]   25.2
Investment, Identifier [Axis]: Ardonagh Midco 2 plc and Ardonagh Midco 3 plc, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   76.6
Investment, Identifier [Axis]: Ardonagh Midco 3 Limited, Ardonagh Group Finco Pty Limited, and MDCP Co-Investors (Jade I), L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5],[6],[10] 49.9  
Investment, Identifier [Axis]: Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   11.3
Investment, Identifier [Axis]: Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc. Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 2.1  
Investment, Identifier [Axis]: Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 49.0 [4],[5],[6] 53.2 [1],[2],[3]
Investment, Identifier [Axis]: Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.7
Investment, Identifier [Axis]: Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal 7.0 [4],[5],[6] 1.4 [1],[2],[3]
Investment, Identifier [Axis]: Argenbright Holdings V, LLC, Amberstone Security Group Limited, Unifi Aviation North America LLC and Unifi Aviation Canada, Inc., Senior subordinated loan 3    
Schedule of Investments [Line Items]    
Principal 1.5 [4],[5],[6] 6.8 [1],[2],[3]
Investment, Identifier [Axis]: Arrowhead Holdco Company and Arrowhead GS Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Artifact Bidco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.9 6.9
Investment, Identifier [Axis]: Artifact Bidco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   18.9
Investment, Identifier [Axis]: Artifact Bidco, Inc.., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 18.9  
Investment, Identifier [Axis]: Artivion, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.9 6.9
Investment, Identifier [Axis]: Artivion, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 11.5 [4],[5],[6] 11.5 [1],[2],[3]
Investment, Identifier [Axis]: Artivion, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.9 [4],[5],[6] 0.9 [1],[2],[3]
Investment, Identifier [Axis]: AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.0 1.2
Investment, Identifier [Axis]: AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   9.0
Investment, Identifier [Axis]: AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2  
Investment, Identifier [Axis]: AthenaHealth Group Inc., Minerva Holdco, Inc. and BCPE Co-Invest (A), LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[10] 0.1 [1],[2],[9]
Investment, Identifier [Axis]: Auctane, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 143.4 [4],[5] 143.8 [1],[2]
Investment, Identifier [Axis]: Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Automotive Keys Group, LLC and Automotive Keys Investor, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 4.4 [4],[5] 4.7 [1],[2]
Investment, Identifier [Axis]: Avalara, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   2.7
Investment, Identifier [Axis]: Avalara, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   72.2
Investment, Identifier [Axis]: Avalign Holdings, Inc. and Avalign Technologies, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.7 3.7
Investment, Identifier [Axis]: Avalign Holdings, Inc. and Avalign Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 39.4 [4],[5] 38.9 [1],[2]
Investment, Identifier [Axis]: Avalign Holdings, Inc. and Avalign Technologies, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.6 [4],[5] 1.6 [1],[2]
Investment, Identifier [Axis]: Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 10.6 [4],[5] 10.4 [1],[2]
Investment, Identifier [Axis]: Aventine Intermediate LLC & Aventine Holdings II LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1]   48.1
Investment, Identifier [Axis]: Aventine Intermediate LLC & Aventine Holdings II LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] 50.6  
Investment, Identifier [Axis]: BAART Programs, Inc., MedMark Services, Inc., and Canadian Addiction Treatment Centres LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.8 [4],[5] 5.9 [1],[2]
Investment, Identifier [Axis]: BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: BCC Blueprint Holdings I, LLC and BCC Blueprint Investments, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 6.3 [5] 6.0 [1]
Investment, Identifier [Axis]: BCPE Pequod Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.6 8.6
Investment, Identifier [Axis]: BCPE Pequod Buyer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.0 [5],[10] 1.0 [1],[9]
Investment, Identifier [Axis]: BCTO Ignition Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   4.0
Investment, Identifier [Axis]: BCTO Ignition Purchaser, Inc., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.2  
Investment, Identifier [Axis]: BCTO Ignition Purchaser, Inc., Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.4  
Investment, Identifier [Axis]: BGI Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.7 24.8
Investment, Identifier [Axis]: BGI Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 10.5 [4],[5] 41.2 [1],[2]
Investment, Identifier [Axis]: BGI Purchaser, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 11.6 [4],[5] 10.5 [1],[2]
Investment, Identifier [Axis]: BGIF IV Fearless Utility Services, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.0 15.0
Investment, Identifier [Axis]: BGIF IV Fearless Utility Services, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 35.1 [4],[5] 35.2 [1],[2]
Investment, Identifier [Axis]: BGIF IV Fearless Utility Services, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [5],[13] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: BNZ TopCo B.V.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 22.6 19.9
Investment, Identifier [Axis]: BNZ TopCo B.V., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   11.8
Investment, Identifier [Axis]: BNZ TopCo B.V.,Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 13.4  
Investment, Identifier [Axis]: BR PJK Produce, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5] 4.0 [1],[2]
Investment, Identifier [Axis]: BR PJK Produce, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5] 0.7 [1],[2]
Investment, Identifier [Axis]: BVI Medical, Inc. and BVI Group Limited    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 17.1  
Investment, Identifier [Axis]: BVI Medical, Inc. and BVI Group Limited, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 138.1  
Investment, Identifier [Axis]: Bad Vibes Forever, LLC and Bad Vibes Forever Publishing, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] 20.4  
Investment, Identifier [Axis]: Badia Spices, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 16.8 16.8
Investment, Identifier [Axis]: Badia Spices, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 121.7 [4],[5] 122.0 [1],[2]
Investment, Identifier [Axis]: Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 16.2 [4],[5] 16.3 [1],[2]
Investment, Identifier [Axis]: Balrog Acquisition, Inc., Balrog Topco, Inc. and Balrog Parent, L.P., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 29.5 [4],[5] 29.5 [1],[2]
Investment, Identifier [Axis]: Bamboo Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 17.5 [4],[5] 17.6 [1],[2]
Investment, Identifier [Axis]: Bamboo US BidCo LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 17.2 19.4
Investment, Identifier [Axis]: Bamboo US BidCo LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 34.2 [4],[5] 32.5 [1],[2]
Investment, Identifier [Axis]: Bamboo US BidCo LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.3  
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 48.0  
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.2  
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software Intermediate, Inc.., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 122.4  
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   11.5
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   1.0
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.2
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   10.4
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   43.0
Investment, Identifier [Axis]: Banyan Software Holdings, LLC and Banyan Software, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   1.0
Investment, Identifier [Axis]: Beacon Pointe Harmony, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.3 9.3
Investment, Identifier [Axis]: Beacon Pointe Harmony, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 19.5 [4],[5],[6] 5.5 [1],[2],[3]
Investment, Identifier [Axis]: Beacon Pointe Harmony, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.8 [4],[5],[6] 14.1 [1],[2],[3]
Investment, Identifier [Axis]: Beacon Pointe Harmony, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 2.2 [4],[5],[6] 3.8 [1],[2],[3]
Investment, Identifier [Axis]: Beacon Pointe Harmony, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   2.2
Investment, Identifier [Axis]: Beacon Wellness Brands, Inc. and CDI Holdings I Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.5 0.5
Investment, Identifier [Axis]: Beacon Wellness Brands, Inc. and CDI Holdings I Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 3.7 [4],[5] 3.7 [1],[2]
Investment, Identifier [Axis]: Belfor Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 52.3 52.3
Investment, Identifier [Axis]: Belfor Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [5],[13] 0.0 [1],[14]
Investment, Identifier [Axis]: Bellwether Buyer, L.L.C. and Bellwether Topco V Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.9  
Investment, Identifier [Axis]: Benecon Midco II LLC and Benecon Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.7 8.7
Investment, Identifier [Axis]: Benecon Midco II LLC and Benecon Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 82.7 [4],[5] 83.1 [1],[2]
Investment, Identifier [Axis]: Benecon Midco II LLC and Benecon Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 14.7  
Investment, Identifier [Axis]: Berner Food & Beverage, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2 1.7
Investment, Identifier [Axis]: Berner Food & Beverage, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.4  
Investment, Identifier [Axis]: Berner Food & Beverage, LLC, First lien senior secured revolving 1 loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.3  
Investment, Identifier [Axis]: Berner Food & Beverage, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 1.4 [1],[2]
Investment, Identifier [Axis]: BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.2
Investment, Identifier [Axis]: BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.8
Investment, Identifier [Axis]: BlueHalo Financing Holdings, LLC, BlueHalo Global Holdings, LLC, and BlueHalo, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   2.7
Investment, Identifier [Axis]: Bluejack Fire Acquisition, Inc. and Bluejack Fire Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.0  
Investment, Identifier [Axis]: Bluejack Fire Acquisition, Inc. and Bluejack Fire Holdings LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.9  
Investment, Identifier [Axis]: Bobcat Purchaser, LLC and Bobcat Topco, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.5 2.5
Investment, Identifier [Axis]: Bobcat Purchaser, LLC and Bobcat Topco, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 15.6 [4],[5] 15.7 [1],[2]
Investment, Identifier [Axis]: Borrower R365 Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.5 1.5
Investment, Identifier [Axis]: Borrower R365 Holdings LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 15.9 [4],[5] 15.9 [1],[2]
Investment, Identifier [Axis]: Borrower R365 Holdings LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 1.9 [4],[5] 1.9 [1],[2]
Investment, Identifier [Axis]: Bottomline Technologies, Inc. and Legal Spend Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.6 2.3
Investment, Identifier [Axis]: Bottomline Technologies, Inc. and Legal Spend Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   8.0
Investment, Identifier [Axis]: Bottomline Technologies, Inc. and Legal Spend Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   4.2
Investment, Identifier [Axis]: Bottomline Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 16.6  
Investment, Identifier [Axis]: BradyIFS Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.5  
Investment, Identifier [Axis]: BradyPlus Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.0
Investment, Identifier [Axis]: BradyPlus Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 128.5  
Investment, Identifier [Axis]: BradyPlus Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   127.9
Investment, Identifier [Axis]: BradyPlus Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.8
Investment, Identifier [Axis]: Bragg Live Food Products, LLC and SPC Investment Co., L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.4 4.4
Investment, Identifier [Axis]: Bragg Live Food Products, LLC and SPC Investment Co., L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 20.1 [4],[5] 23.1 [1],[2]
Investment, Identifier [Axis]: BrightStar Group Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.4  
Investment, Identifier [Axis]: BrightStar Group Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 27.0  
Investment, Identifier [Axis]: BrightStar Group Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.2  
Investment, Identifier [Axis]: Broadcast Music, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   4.2
Investment, Identifier [Axis]: Broadcast Music, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   21.2
Investment, Identifier [Axis]: Bulab Holdings, Inc. and Buckman PPC Co-Invest LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 17.5  
Investment, Identifier [Axis]: Bulab Holdings, Inc. and Buckman PPC Co-Invest LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.1  
Investment, Identifier [Axis]: Bulab Holdings, Inc. and Buckman PPC Co-Invest LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 52.8  
Investment, Identifier [Axis]: Burgess Point Purchaser Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 21.7 [4],[5],[10] 21.8 [1],[2],[9]
Investment, Identifier [Axis]: Businessolver.com, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.4 1.5
Investment, Identifier [Axis]: Businessolver.com, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.7 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: CCreek Parent, Inc. and Creek Feeder, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 208.2  
Investment, Identifier [Axis]: CMG HoldCo, LLC and CMG Buyer Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 21.1 30.2
Investment, Identifier [Axis]: CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 30.5 [4],[5] 30.7 [1],[2]
Investment, Identifier [Axis]: CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.0 [4],[5] 9.6 [1],[2]
Investment, Identifier [Axis]: CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.3  
Investment, Identifier [Axis]: CMG HoldCo, LLC and CMG Buyer Holdings, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.4
Investment, Identifier [Axis]: CPIG Holdco Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 14.5 [4],[5] 14.6 [1],[2]
Investment, Identifier [Axis]: CST Holding Company    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.9 1.9
Investment, Identifier [Axis]: CST Holding Company, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: CST Holding Company, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 11.5  
Investment, Identifier [Axis]: CST Holding Company, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.1  
Investment, Identifier [Axis]: CST Holding Company, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   11.5
Investment, Identifier [Axis]: CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 47.7 56.4
Investment, Identifier [Axis]: CVP Holdco, Inc. and OMERS Wildcats Investment Holdings LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 31.4 [4],[5] 159.2 [1],[2]
Investment, Identifier [Axis]: Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.6 [4],[5] 6.6 [1],[2]
Investment, Identifier [Axis]: Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5],[13] 0.0  
Investment, Identifier [Axis]: Capstone Acquisition Holdings, Inc. and Capstone Parent Holdings, LP, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 87.5 [4],[5] 87.5 [1],[2]
Investment, Identifier [Axis]: Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 11.9 13.8
Investment, Identifier [Axis]: Capstone Acquisition Holdings, Inc., Capstone Logistics Holdings, Inc. and Capstone Parent Holdings, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[14]   0.0
Investment, Identifier [Axis]: Captive Resources Midco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.6 1.6
Investment, Identifier [Axis]: Captive Resources Midco, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.9 [4],[5] 6.0 [1],[2]
Investment, Identifier [Axis]: Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.0 5.0
Investment, Identifier [Axis]: Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc. Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   64.3
Investment, Identifier [Axis]: Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[9]   11.0
Investment, Identifier [Axis]: Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 16.7  
Investment, Identifier [Axis]: Cardinal Parent, Inc. and Packers Software Intermediate Holdings, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 71.6  
Investment, Identifier [Axis]: Center for Autism and Related Disorders, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.0
Investment, Identifier [Axis]: Center for Autism and Related Disorders, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[8]   1.5
Investment, Identifier [Axis]: Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[8],[11]   6.8
Investment, Identifier [Axis]: Center for Autism and Related Disorders, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[8],[11]   1.0
Investment, Identifier [Axis]: Centralsquare Technologies, LLC and Supermoose Newco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.4 15.4
Investment, Identifier [Axis]: Centralsquare Technologies, LLC and Supermoose Newco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 143.8 [4],[5] 141.9 [1],[2]
Investment, Identifier [Axis]: Centralsquare Technologies, LLC and Supermoose Newco, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [4],[5],[13] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 28.4 [4],[5] 28.4 [1],[2]
Investment, Identifier [Axis]: Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal 28.3 [4],[5] 26.6 [1],[2]
Investment, Identifier [Axis]: Centric Brands LLC, Centric Brands TopCo, LLC, and Centric Brands L.P., Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal 24.0 [4],[5] 29.3 [1],[2]
Investment, Identifier [Axis]: Chariot Buyer LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.3 12.3
Investment, Identifier [Axis]: Chariot Buyer LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[9]   0.1
Investment, Identifier [Axis]: Chariot Buyer LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 0.1  
Investment, Identifier [Axis]: City Line Distributors LLC and City Line Investments LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.7 2.7
Investment, Identifier [Axis]: City Line Distributors LLC and City Line Investments LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.4 [4],[5] 4.4 [1],[2]
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.6 0.7
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 3.4 [4],[5] 3.3 [1],[2]
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.7 [4],[5] 1.6 [1],[2]
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   4.9
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.7
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.7  
Investment, Identifier [Axis]: Clarion Home Services Group, LLC and LBC Breeze Holdings LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.1  
Investment, Identifier [Axis]: Clearstead Advisors, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.3  
Investment, Identifier [Axis]: Clearstead Advisors, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 8.4  
Investment, Identifier [Axis]: Clearstead Advisors, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.3  
Investment, Identifier [Axis]: Cliffwater LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.0
Investment, Identifier [Axis]: Cliffwater LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   4.0
Investment, Identifier [Axis]: Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.0 19.0
Investment, Identifier [Axis]: Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[9]   3.5
Investment, Identifier [Axis]: Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., First lien senior secured notes    
Schedule of Investments [Line Items]    
Principal [1],[9]   86.5
Investment, Identifier [Axis]: Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P., Second lien senior secured notes    
Schedule of Investments [Line Items]    
Principal [1],[9]   121.0
Investment, Identifier [Axis]: Cloud Software Group, Inc., Picard Parent, Inc., Cloud Software Group Holdings, Inc., Picard HoldCo, LLC and Elliott Alto Co-Investor Aggregator L.P.., Second lien senior secured notes    
Schedule of Investments [Line Items]    
Principal [5],[10] 121.0  
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.0 20.4
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   31.1
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   11.4
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   6.9
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.7
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 31.0  
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 11.4  
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.9  
Investment, Identifier [Axis]: Cobalt Buyer Sub, Inc., Cobalt Holdings I, LP, and Cobalt Intermediate I, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.1  
Investment, Identifier [Axis]: Collision SP Subco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.9 2.0
Investment, Identifier [Axis]: Collision SP Subco, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 6.9 [1],[2]
Investment, Identifier [Axis]: Collision SP Subco, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 9.7 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Color Intermediate, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 19.9 [4],[5] 20.0 [1],[2]
Investment, Identifier [Axis]: Compex Legal Services, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.4 1.8
Investment, Identifier [Axis]: Compex Legal Services, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.9 [4],[5] 1.9 [1],[2]
Investment, Identifier [Axis]: Compex Legal Services, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.2  
Investment, Identifier [Axis]: Compex Legal Services, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.8
Investment, Identifier [Axis]: Comprehensive EyeCare Partners, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.0 0.0
Investment, Identifier [Axis]: Comprehensive EyeCare Partners, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5] 0.3 [1],[2]
Investment, Identifier [Axis]: Comprehensive EyeCare Partners, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.0 [4],[5] 2.0 [1],[2]
Investment, Identifier [Axis]: Computer Services, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 38.5 38.5
Investment, Identifier [Axis]: Computer Services, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 33.3  
Investment, Identifier [Axis]: Computer Services, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.3 [4],[5] 33.5 [1],[2]
Investment, Identifier [Axis]: Computer Services, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Computer Services, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.4
Investment, Identifier [Axis]: Concert Golf Partners Holdco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 57.4 34.6
Investment, Identifier [Axis]: Concert Golf Partners Holdco LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5] 36.9 [1],[2]
Investment, Identifier [Axis]: Concert Golf Partners Holdco LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 34.6  
Investment, Identifier [Axis]: Conservice Midco, LLC., Second lien senior secured notes    
Schedule of Investments [Line Items]    
Principal [1]   15.5
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   5.2
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   73.3
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.4
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   28.0
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   11.5
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   3.8
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   5.9
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   1.2
Investment, Identifier [Axis]: Consilio Midco Limited, Compusoft US LLC, and Consilio Investment Holdings, L.P., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   2.4
Investment, Identifier [Axis]: Constellation Wealth Capital Fund, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.8 2.8
Investment, Identifier [Axis]: Continental Acquisition Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 39.3 [5],[12] 37.8 [1],[2]
Investment, Identifier [Axis]: Continental Acquisition Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 5.8 [5],[12] 5.6 [1],[2]
Investment, Identifier [Axis]: Convera International Holdings Limited and Convera International Financial S.A R.L.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.3 2.3
Investment, Identifier [Axis]: Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: Convera International Holdings Limited and Convera International Financial S.A R.L., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 8.8 [4],[5],[6] 8.8 [1],[2],[3]
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 1.9  
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   1.9
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: Convey Health Solutions, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: CoreLogic, Inc. and T-VIII Celestial Co-Invest LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 26.2 38.9
Investment, Identifier [Axis]: CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 12.7  
Investment, Identifier [Axis]: CoreLogic, Inc. and T-VIII Celestial Co-Invest LP, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 155.7 [4],[5],[10] 155.7 [1],[2]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 0.9
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.1 [4],[5],[6] 6.2 [1],[2],[3]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 4.3 [4],[5],[6] 4.3 [1],[2],[3]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5],[6] 0.2 [1],[2],[3]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 7.6 [4],[5],[6] 7.6 [1],[2],[3]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5],[6] 10.1 [1],[2],[3]
Investment, Identifier [Axis]: Cority Software Inc., Cority Software (USA) Inc., and Cority Parent, Inc., First lien senior secured loan 7    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 21.5  
Investment, Identifier [Axis]: Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 29.8 28.5
Investment, Identifier [Axis]: Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[9]   1.4
Investment, Identifier [Axis]: Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 16.5  
Investment, Identifier [Axis]: Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 8.4 [5],[7] 9.7 [1],[11]
Investment, Identifier [Axis]: Cornerstone OnDemand, Inc. and Sunshine Software Holdings, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 137.5 [4],[5] 137.5 [1],[2]
Investment, Identifier [Axis]: Coupa Holdings, LLC and Coupa Software Incorporated    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 0.9
Investment, Identifier [Axis]: Coupa Holdings, LLC and Coupa Software Incorporated, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.0 [4],[5] 9.0 [1],[2]
Investment, Identifier [Axis]: Cradle Lux Bidco S.A.R.L.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.0 4.0
Investment, Identifier [Axis]: Cradle Lux Bidco S.A.R.L., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 2.9 [4],[5],[6] 2.9 [1],[2],[3]
Investment, Identifier [Axis]: Cradle Lux Bidco S.A.R.L., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 12.3 [4],[5],[6] 8.3 [1],[2],[3]
Investment, Identifier [Axis]: Creek Parent, Inc. and Creek Feeder, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 30.0 30.1
Investment, Identifier [Axis]: Creek Parent, Inc. and Creek Feeder, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   208.7
Investment, Identifier [Axis]: Creek Parent, Inc. and Creek Feeder, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[13] 0.0  
Investment, Identifier [Axis]: Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.0 0.0
Investment, Identifier [Axis]: Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 23.9 [4],[5] 24.0 [1],[2]
Investment, Identifier [Axis]: Crown CT Parent Inc., Crown CT HoldCo Inc. and Crown CT Management LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2],[11]
Investment, Identifier [Axis]: DFC Global Facility Borrower III LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   10.7
Investment, Identifier [Axis]: DFC Global Facility Borrower III LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3],[15]   91.3
Investment, Identifier [Axis]: DFS Holding Company, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.3
Investment, Identifier [Axis]: DFS Holding Company, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 2.1 [4],[5] 2.1 [1],[2]
Investment, Identifier [Axis]: DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 14.6 0.1
Investment, Identifier [Axis]: DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   15.0
Investment, Identifier [Axis]: DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1  
Investment, Identifier [Axis]: DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 17.3  
Investment, Identifier [Axis]: DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   17.1
Investment, Identifier [Axis]: DOXA Insurance Holdings LLC and Rocket Co-Invest, SLP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6],[7] 0.2  
Investment, Identifier [Axis]: DP Flores Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 11.4 11.4
Investment, Identifier [Axis]: DP Flores Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 27.5 [4],[5] 27.3 [1],[2]
Investment, Identifier [Axis]: DRS Holdings III, Inc. and DRS Holdings I, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.9 10.8
Investment, Identifier [Axis]: DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 62.5 [4],[5] 26.1 [1],[2]
Investment, Identifier [Axis]: DRS Holdings III, Inc. and DRS Holdings I, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   24.1
Investment, Identifier [Axis]: Databricks, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [5] 0.1 [1]
Investment, Identifier [Axis]: Datix Bidco Limited and RL Datix Holdings (USA), Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 43.1 44.8
Investment, Identifier [Axis]: Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 104.6 [4],[5],[6] 104.6 [1],[2],[3]
Investment, Identifier [Axis]: Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 58.2 [4],[5],[6] 53.1 [1],[2],[3]
Investment, Identifier [Axis]: Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 3.4 [4],[5],[6] 1.3 [1],[2],[3]
Investment, Identifier [Axis]: Datix Bidco Limited and RL Datix Holdings (USA), Inc., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5],[6] 1.1 [1],[2],[3]
Investment, Identifier [Axis]: Davidson Hotel Company LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.0 3.4
Investment, Identifier [Axis]: Davidson Hotel Company LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.3 [4],[5] 8.2 [1],[2]
Investment, Identifier [Axis]: Davidson Hotel Company LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.7
Investment, Identifier [Axis]: Daylight Beta Parent LLC and CFCo, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 13.9 [5],[12] 13.2 [1],[8]
Investment, Identifier [Axis]: Daylight Beta Parent LLC and CFCo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 20.8 [5] 20.8 [1]
Investment, Identifier [Axis]: Dcert Buyer, Inc., DCert Preferred Holdings, Inc. and Destiny Digital Holdings, L.P., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 20.3 [5],[10] 11.0 [1]
Investment, Identifier [Axis]: DecoPac, Inc. and KCAKE Holdings Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 14.4 15.3
Investment, Identifier [Axis]: DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 170.9 [4],[5] 171.8 [1],[2]
Investment, Identifier [Axis]: DecoPac, Inc. and KCAKE Holdings Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 4.6 [1],[2]
Investment, Identifier [Axis]: Demakes Borrower, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.8
Investment, Identifier [Axis]: Demakes Borrower, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   6.2
Investment, Identifier [Axis]: Demakes Enterprises, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.2  
Investment, Identifier [Axis]: Denali Holdco LLC and Denali Apexco LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 24.3 24.3
Investment, Identifier [Axis]: Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.6  
Investment, Identifier [Axis]: Denali Holdco LLC and Denali Apexco LP, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   33.3
Investment, Identifier [Axis]: Diamond Mezzanine 24 LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.7 3.8
Investment, Identifier [Axis]: Diamond Mezzanine 24 LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 18.8  
Investment, Identifier [Axis]: Diamond Mezzanine 24 LLC,First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   14.0
Investment, Identifier [Axis]: Diamond Mezzanine 24 LLC,First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.0
Investment, Identifier [Axis]: Diligent Corporation and Diligent Preferred Issuer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.2 5.4
Investment, Identifier [Axis]: Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 23.5 [4],[5] 23.5 [1],[2]
Investment, Identifier [Axis]: Diligent Corporation and Diligent Preferred Issuer, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.2  
Investment, Identifier [Axis]: Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.4 8.7
Investment, Identifier [Axis]: Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 15.3 [4],[5] 15.4 [1],[2]
Investment, Identifier [Axis]: Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 8.0 [4],[5] 8.1 [1],[2]
Investment, Identifier [Axis]: Display Holding Company, Inc., Saldon Holdings, Inc. and Fastsigns Holdings Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.9 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: Divisions Holding Corporation, Divisions, Inc. and RC V Tecmo Investor LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.6  
Investment, Identifier [Axis]: Divisions Holding Corporation, Divisions, Inc. and RC V Tecmo Investor LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 110.0  
Investment, Identifier [Axis]: Dorado Bidco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.4 8.4
Investment, Identifier [Axis]: Dorado Bidco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 7.8 [4],[5] 6.8 [1],[2]
Investment, Identifier [Axis]: DriveCentric Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.7 1.7
Investment, Identifier [Axis]: DriveCentric Holdings, LLC., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   12.1
Investment, Identifier [Axis]: DriveCentric Holdings, LLC., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 12.1  
Investment, Identifier [Axis]: Drogon Bidco Inc. & Drogon Aggregator LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.7 9.7
Investment, Identifier [Axis]: Drogon Bidco Inc. & Drogon Aggregator LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 19.7 [4],[5] 19.8 [1],[2]
Investment, Identifier [Axis]: Duraserv LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.2 5.3
Investment, Identifier [Axis]: Duraserv LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   25.3
Investment, Identifier [Axis]: Duraserv LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 29.2  
Investment, Identifier [Axis]: Duraserv LLC, First lien senior secured loan2    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.3  
Investment, Identifier [Axis]: Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.5 5.2
Investment, Identifier [Axis]: Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 25.5 [4],[5] 25.6 [1],[2]
Investment, Identifier [Axis]: Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   4.4
Investment, Identifier [Axis]: Dynamic NC Aerospace Holdings, LLC and Dynamic NC Investment Holdings, LP, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.1  
Investment, Identifier [Axis]: EIS Legacy Holdco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 25.4 26.5
Investment, Identifier [Axis]: EIS Legacy Holdco, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 12.7 [4],[5] 11.6 [1],[2]
Investment, Identifier [Axis]: EMB Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 29.6  
Investment, Identifier [Axis]: EMB Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 90.5  
Investment, Identifier [Axis]: EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 57.9 [4],[5] 58.3 [1],[2]
Investment, Identifier [Axis]: EP Purchaser, LLC and TPG VIII EP Co-Invest II, L.P., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 88.9 [4],[5] 88.9 [1],[2]
Investment, Identifier [Axis]: EP Wealth Advisors, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.6 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: EP Wealth Advisors, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: ESHA Research, LLC and RMCF VI CIV XLVIII, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.4 0.2
Investment, Identifier [Axis]: ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.7 [4],[5] 6.7 [1],[2]
Investment, Identifier [Axis]: ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.7  
Investment, Identifier [Axis]: ESHA Research, LLC and RMCF VI CIV XLVIII, L.P., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.9
Investment, Identifier [Axis]: Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal [1],[3]   0.6
Investment, Identifier [Axis]: Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal 32.1 [5],[6] 28.7 [1],[3]
Investment, Identifier [Axis]: Eagle Football Holdings BidCo Limited and Eagle Football Holdings Limited, Senior subordinated loan 3    
Schedule of Investments [Line Items]    
Principal 57.2 [4],[5],[6] 53.9 [1],[2],[3]
Investment, Identifier [Axis]: Echo Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.0 2.5
Investment, Identifier [Axis]: Echo Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 11.4 [4],[5] 10.5 [1],[2]
Investment, Identifier [Axis]: Echo Purchaser, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.4
Investment, Identifier [Axis]: Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 50.4 50.4
Investment, Identifier [Axis]: Eclipse Topco, Inc., Eclipse Investor Parent, L.P. and Eclipse Buyer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 196.1 [4],[5] 196.1 [1],[2]
Investment, Identifier [Axis]: Edmunds Govtech, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.8 23.0
Investment, Identifier [Axis]: Edmunds Govtech, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 21.6 [4],[5] 18.5 [1],[2]
Investment, Identifier [Axis]: Edmunds Govtech, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.7 [4],[5] 1.7 [1],[2]
Investment, Identifier [Axis]: Einstein Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.8  
Investment, Identifier [Axis]: Einstein Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 45.9  
Investment, Identifier [Axis]: Elemica Parent, Inc. & EZ Elemica Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.5 0.0
Investment, Identifier [Axis]: Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 59.6 [4],[5] 59.9 [1],[2]
Investment, Identifier [Axis]: Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 5.6 [4],[5] 5.6 [1],[2]
Investment, Identifier [Axis]: Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 4.9 [4],[5] 4.9 [1],[2]
Investment, Identifier [Axis]: Elemica Parent, Inc. & EZ Elemica Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 6.8 [4],[5] 7.3 [1],[2]
Investment, Identifier [Axis]: Elevation Services Parent Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.2 1.1
Investment, Identifier [Axis]: Elevation Services Parent Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.0  
Investment, Identifier [Axis]: Elevation Services Parent Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 13.9 [4],[5] 10.0 [1],[2]
Investment, Identifier [Axis]: Elevation Services Parent Holdings, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   14.0
Investment, Identifier [Axis]: Elevation Services Parent Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   2.2
Investment, Identifier [Axis]: Elevation Services Parent Holdings, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 2.8  
Investment, Identifier [Axis]: Empower Payments Investor, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.3 1.3
Investment, Identifier [Axis]: Empower Payments Investor, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 32.8 [4],[5] 32.8 [1],[2]
Investment, Identifier [Axis]: Empower Payments Investor, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 8.9  
Investment, Identifier [Axis]: Endeavor Bidco LLC and Endeavor TopCo, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.1 [4],[5] 6.1 [1],[2]
Investment, Identifier [Axis]: Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 11.8 16.4
Investment, Identifier [Axis]: Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 137.4 [4],[5] 133.9 [1],[2]
Investment, Identifier [Axis]: Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.5  
Investment, Identifier [Axis]: Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: Enverus Holdings, Inc. and Titan DI Preferred Holdings, Inc., Preferred stock    
Schedule of Investments [Line Items]    
Principal [5]  
Investment, Identifier [Axis]: Equinox Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 45.2 [4],[5] 44.3 [1],[2]
Investment, Identifier [Axis]: Equinox Holdings, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.2 [5] 3.9 [1]
Investment, Identifier [Axis]: Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 42.7 45.0
Investment, Identifier [Axis]: Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 151.5 [4],[5] 151.5 [1],[2]
Investment, Identifier [Axis]: Essential Services Holding Corporation and OMERS Mahomes Investment Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.4 [4],[5],[7] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Eternal Aus Bidco Pty Ltd    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 1.0
Investment, Identifier [Axis]: Eternal Aus Bidco Pty Ltd, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 7.4 [4],[5],[6] 7.0 [1],[2],[3]
Investment, Identifier [Axis]: European Capital UK SME Debt LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.8 5.3
Investment, Identifier [Axis]: Evolent Health LLC and Evolent Health, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   31.2
Investment, Identifier [Axis]: Evolent Health LLC and Evolent Health, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 31.1  
Investment, Identifier [Axis]: Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 3.6
Investment, Identifier [Axis]: Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.4 [4],[5] 5.4 [1],[2]
Investment, Identifier [Axis]: Excel Fitness Consolidator LLC, Health Buyer LLC and Excel Fitness Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.9 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: Excelitas Technologies Corp, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 7.1  
Investment, Identifier [Axis]: Excelitas Technologies Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 27.1 27.1
Investment, Identifier [Axis]: Excelitas Technologies Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   7.1
Investment, Identifier [Axis]: Expereo USA, Inc. and Ristretto Bidco B.V.    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 61.0  
Total unfunded capital commitments 16.6 20.9
Investment, Identifier [Axis]: Expereo USA, Inc. and Ristretto Bidco B.V., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   56.0
Investment, Identifier [Axis]: Extrahop Networks, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.3 11.3
Investment, Identifier [Axis]: Extrahop Networks, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 35.3 [4],[5] 26.0 [1],[2]
Investment, Identifier [Axis]: Extrahop Networks, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.9 [4],[5] 3.9 [1],[2]
Investment, Identifier [Axis]: FL Hawk Intermediate Holdings, Inc, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 9.3  
Investment, Identifier [Axis]: FL Hawk Intermediate Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.3 1.3
Investment, Identifier [Axis]: FL Hawk Intermediate Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   9.3
Investment, Identifier [Axis]: FS Squared Holding Corp. and FS Squared, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 24.8 64.9
Investment, Identifier [Axis]: FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 88.2 [4],[5] 52.7 [1],[2]
Investment, Identifier [Axis]: FS Squared Holding Corp. and FS Squared, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [5],[13] 5.2 [1],[2],[11]
Investment, Identifier [Axis]: Faraday Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.1 5.1
Investment, Identifier [Axis]: Faraday Buyer, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 54.6 [4],[5] 54.9 [1],[2]
Investment, Identifier [Axis]: Faraday Buyer, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 7.8 [4],[5] 7.8 [1],[2]
Investment, Identifier [Axis]: Fever Labs, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.9 10.1
Investment, Identifier [Axis]: Fever Labs, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 17.0 [5] 14.0 [1]
Investment, Identifier [Axis]: Fever Labs, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 8.5 [5] 4.1 [1]
Investment, Identifier [Axis]: Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 17.9 17.9
Investment, Identifier [Axis]: Finastra USA, Inc., DH Corporation/Societe DH, and Finastra Europe S.A R.L., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 188.1 [4],[5] 189.0 [1],[2],[3]
Investment, Identifier [Axis]: Firebird Acquisition Corp, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.9  
Investment, Identifier [Axis]: Firebird Acquisition Corp, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 15.9  
Investment, Identifier [Axis]: Firebird Acquisition Corp, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.5  
Investment, Identifier [Axis]: Firebird Acquisition Corp, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[13] 0.0  
Investment, Identifier [Axis]: Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.3 20.1
Investment, Identifier [Axis]: Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 10.6 [4],[5] 37.2 [1],[2]
Investment, Identifier [Axis]: Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.2  
Investment, Identifier [Axis]: Fitness Ventures Holdings, Inc. and Meaningful Partners Fitness Ventures Co-Investment LP, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.5
Investment, Identifier [Axis]: Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.1 13.9
Investment, Identifier [Axis]: Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 28.9 [4],[5] 29.0 [1],[2]
Investment, Identifier [Axis]: Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 1.1 [4],[5] 1.1 [1],[2]
Investment, Identifier [Axis]: Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 7.4 [4],[5] 7.5 [1],[2]
Investment, Identifier [Axis]: Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.0  
Investment, Identifier [Axis]: Flinn Scientific, Inc. and WCI-Quantum Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 14.4 [4],[5],[7] 3.6 [1],[2],[11]
Investment, Identifier [Axis]: Flint OpCo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.6 4.8
Investment, Identifier [Axis]: Flint OpCo, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.9 [4],[5] 7.0 [1],[2]
Investment, Identifier [Axis]: Flint OpCo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.1 [4],[5] 1.3 [1],[2]
Investment, Identifier [Axis]: Florida Food Products, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: Florida Food Products, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: Florida Food Products, LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 71.8 [4],[5] 71.8 [1],[2]
Investment, Identifier [Axis]: FlyWheel Acquireco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.1 2.7
Investment, Identifier [Axis]: FlyWheel Acquireco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   52.0
Investment, Identifier [Axis]: FlyWheel Acquireco, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 4.1 [4],[5] 5.5 [1],[2]
Investment, Identifier [Axis]: FlyWheel Acquireco, Inc.,First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 51.7  
Investment, Identifier [Axis]: Forescout Technologies, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.4 2.4
Investment, Identifier [Axis]: Forescout Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   13.6
Investment, Identifier [Axis]: Forescout Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 13.5  
Investment, Identifier [Axis]: Forward Keystone Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.5  
Investment, Identifier [Axis]: Forward Keystone Holdings, LP, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [5] 24.7  
Investment, Identifier [Axis]: Forza Insurance Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 38.9  
Investment, Identifier [Axis]: Foundation Consumer Brands, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.4  
Investment, Identifier [Axis]: Foundation Consumer Brands, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 32.5 [4],[5] 12.6 [1],[2]
Investment, Identifier [Axis]: Foundation Consumer Brands, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: Foundation Risk Partners, Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 28.7 35.9
Investment, Identifier [Axis]: Foundation Risk Partners, Corp., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 78.2 [4],[5] 78.6 [1],[2]
Investment, Identifier [Axis]: Foundation Risk Partners, Corp., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 9.3 [4],[5] 9.3 [1],[2]
Investment, Identifier [Axis]: Foundation Risk Partners, Corp., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 17.3 [4],[5] 17.4 [1],[2]
Investment, Identifier [Axis]: Foundation Risk Partners, Corp., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 15.4 [4],[5] 8.4 [1],[2]
Investment, Identifier [Axis]: Frontline Road Safety Operations, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.8  
Investment, Identifier [Axis]: Frontline Road Safety Operations, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [5] 14.7  
Investment, Identifier [Axis]: Frontline Road Safety Operations, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [5] 45.8  
Investment, Identifier [Axis]: Frontline Road Safety Operations, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: GAPCO AIV InterHodlco (CP), L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 29.5  
Investment, Identifier [Axis]: GAPCO AIV InterHodlco (CP), L.P., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 17.9  
Investment, Identifier [Axis]: GHP-VGS Purchaser LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.7  
Investment, Identifier [Axis]: GHP-VGS Purchaser LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 14.3  
Investment, Identifier [Axis]: GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 22.2 18.8
Investment, Identifier [Axis]: GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 231.5  
Investment, Identifier [Axis]: GHX Ultimate Parent Corporation, Commerce Parent, Inc. and Commerce Topco, LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   243.5
Investment, Identifier [Axis]: GI Ranger Intermediate LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 3.2
Investment, Identifier [Axis]: GI Ranger Intermediate LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 9.9 [4],[5] 10.0 [1],[2]
Investment, Identifier [Axis]: GI Ranger Intermediate LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.1 [4],[5] 3.1 [1],[2]
Investment, Identifier [Axis]: GI Ranger Intermediate LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.4
Investment, Identifier [Axis]: GNZ Energy Bidco Limited and Galileo Co-investment Trust I    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.0 2.8
Investment, Identifier [Axis]: GNZ Energy Bidco Limited and Galileo Co-investment Trust I, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 29.6 [4],[5],[6] 27.2 [1],[2],[3]
Investment, Identifier [Axis]: GS SEER Group Borrower LLC and GS SEER Group Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.5 6.9
Investment, Identifier [Axis]: GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 24.1 [4],[5] 21.9 [1],[2]
Investment, Identifier [Axis]: GS SEER Group Borrower LLC and GS SEER Group Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[13] 0.0  
Investment, Identifier [Axis]: GSM Rights Fund II LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.1  
Investment, Identifier [Axis]: GSV Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.1 4.1
Investment, Identifier [Axis]: GSV Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: GSV Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.1  
Investment, Identifier [Axis]: GTCR Everest Borrower, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2 1.2
Investment, Identifier [Axis]: GTCR F Buyer Corp. and GTCR (D) Investors LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 1.4
Investment, Identifier [Axis]: GTCR F Buyer Corp. and GTCR (D) Investors LP (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.9
Investment, Identifier [Axis]: GTCR F Buyer Corp. and GTCR (D) Investors LP 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.3  
Investment, Identifier [Axis]: GTCR F Buyer Corp. and GTCR (D) Investors LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.6 [4],[5] 5.2 [1],[2]
Investment, Identifier [Axis]: GTCR F Buyer Corp. and GTCR (D) Investors LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.6  
Investment, Identifier [Axis]: Galway Borrower LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 20.9 25.8
Investment, Identifier [Axis]: Galway Borrower LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 33.5 [4],[5] 31.3 [1],[2]
Investment, Identifier [Axis]: Galway Borrower LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 3.4 [4],[5],[7] 0.9 [1],[2],[11]
Investment, Identifier [Axis]: Generator US Buyer, Inc. and Total Power Limited    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 1.9
Investment, Identifier [Axis]: Generator US Buyer, Inc. and Total Power Limited, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.8 [4],[5],[6] 4.8 [1],[2],[3]
Investment, Identifier [Axis]: Generator US Buyer, Inc. and Total Power Limited, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5],[6] 1.4 [1],[2],[3]
Investment, Identifier [Axis]: Generator US Buyer, Inc. and Total Power Limited, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.1  
Investment, Identifier [Axis]: Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.4 6.1
Investment, Identifier [Axis]: Gestion ABS Bidco Inc. / ABS Bidco Holdings Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.8 [4],[5],[6] 9.3 [1],[2],[3]
Investment, Identifier [Axis]: Global Medical Response, Inc. and GMR Buyer Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 41.2 [4],[5],[10] 41.3 [1],[2],[9]
Investment, Identifier [Axis]: Global Music Rights, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.0 15.0
Investment, Identifier [Axis]: Global Music Rights, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 220.9  
Investment, Identifier [Axis]: Global Music Rights, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   220.9
Investment, Identifier [Axis]: Goldeneye Parent, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.6  
Investment, Identifier [Axis]: Goldeneye Parent, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 17.4  
Investment, Identifier [Axis]: Gotham Greens Holdings, PBC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 36.4 [4] 36.8 [2]
Investment, Identifier [Axis]: GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.0 23.0
Investment, Identifier [Axis]: GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   71.5
Investment, Identifier [Axis]: GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 7.3  
Investment, Identifier [Axis]: GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.7  
Investment, Identifier [Axis]: GraphPAD Software, LLC, Insightful Science Intermediate I, LLC and Insightful Science Holdings, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 56.4 [5] 53.6 [1]
Investment, Identifier [Axis]: Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.6  
Investment, Identifier [Axis]: Ground Penetrating Radar Systems, LLC and RC VI Buckeye Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.8  
Investment, Identifier [Axis]: Guidepoint Security Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.4 3.4
Investment, Identifier [Axis]: Guidepoint Security Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.7 [4],[5] 6.7 [1],[2]
Investment, Identifier [Axis]: Guidepoint Security Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.4 [4],[5] 2.4 [1],[2]
Investment, Identifier [Axis]: Gula Buyer Inc. and Gula Co-Invest II, L.P., First lien senior secured loan, 0.0932, SOFR (M), 0.05, 45590, 48122, 125200000, 125200000, 125200000    
Schedule of Investments [Line Items]    
Principal [4],[5] 125.2  
Investment, Identifier [Axis]: Gula Buyer Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   125.6
Investment, Identifier [Axis]: H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[8]   0.1
Investment, Identifier [Axis]: H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[8]   24.5
Investment, Identifier [Axis]: H-Food Holdings, LLC and Matterhorn Parent, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[8]   3.3
Investment, Identifier [Axis]: H-Food Holdings, LLC and Matterhorn Parent, LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[8]   73.0
Investment, Identifier [Axis]: HFCP XI (Parallel - A), L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.5 7.5
Investment, Identifier [Axis]: HGC Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 34.4 7.5
Investment, Identifier [Axis]: HGC Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 65.8  
Investment, Identifier [Axis]: HGC Holdings, LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.9  
Investment, Identifier [Axis]: HH-Stella, Inc. and Bedrock Parent Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.7 16.9
Investment, Identifier [Axis]: HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 8.7 [4],[5] 8.8 [1],[2]
Investment, Identifier [Axis]: HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 21.7 [4],[5] 21.8 [1],[2]
Investment, Identifier [Axis]: HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 10.2 [4],[5] 4.4 [1],[2]
Investment, Identifier [Axis]: HH-Stella, Inc. and Bedrock Parent Holdings, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5],[7] 1.3 [1],[2],[11]
Investment, Identifier [Axis]: HP RSS Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.7 4.9
Investment, Identifier [Axis]: HP RSS Buyer, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 16.9 [4],[5] 17.0 [1],[2]
Investment, Identifier [Axis]: HP RSS Buyer, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.0 [4],[5] 1.8 [1],[2]
Investment, Identifier [Axis]: HPCC Parent, Inc. and Patriot Container Corp, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1]   78.4
Investment, Identifier [Axis]: HPCC Parent, Inc. and Patriot Container Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.8 7.0
Investment, Identifier [Axis]: HPCC Parent, Inc. and Patriot Container Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] 81.9  
Investment, Identifier [Axis]: Harvey Tool Company, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 66.7 66.7
Investment, Identifier [Axis]: Harvey Tool Company, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.6  
Investment, Identifier [Axis]: Harvey Tool Company, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 55.4  
Investment, Identifier [Axis]: Harvey Tool Company, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.6
Investment, Identifier [Axis]: Harvey Tool Company, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2]   79.1
Investment, Identifier [Axis]: HealthEdge Software, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.1
Investment, Identifier [Axis]: HealthEdge Software, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   26.5
Investment, Identifier [Axis]: Heavy Construction Systems Specialists, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.0 4.0
Investment, Identifier [Axis]: Heavy Construction Systems Specialists, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Heavy Construction Systems Specialists, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 13.8 [4],[5] 13.9 [1],[2]
Investment, Identifier [Axis]: Helios Service Partners, LLC and Astra Service Partners, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.3 11.3
Investment, Identifier [Axis]: Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.7  
Investment, Identifier [Axis]: Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.9
Investment, Identifier [Axis]: Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.7
Investment, Identifier [Axis]: Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: Helios Service Partners, LLC and Astra Service Partners, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5],[7] 0.0 [1],[14]
Investment, Identifier [Axis]: Helix Acquisition Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 11.9 [4],[5] 11.9 [1],[2]
Investment, Identifier [Axis]: Help/Systems Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.0 13.3
Investment, Identifier [Axis]: Help/Systems Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1]   1.7
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.6 3.7
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.3  
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc. and HIG Intermediate, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.7  
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.3
Investment, Identifier [Axis]: Higginbotham Insurance Agency, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.5
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.7 38.7
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   32.6
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 38.7  
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 22.2 [4],[5] 22.3 [1],[2]
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 19.5 [4],[5] 28.8 [1],[2]
Investment, Identifier [Axis]: High Street Buyer, Inc. and High Street Holdco LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 16.0  
Investment, Identifier [Axis]: HighPeak Energy, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 83.9 [4],[5],[6] 82.7 [1],[2],[3]
Investment, Identifier [Axis]: HighTower Holding, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 8.1 [5],[6],[10] 8.1 [1],[3],[9]
Investment, Identifier [Axis]: Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 17.5 17.0
Investment, Identifier [Axis]: Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[14]   0.0
Investment, Identifier [Axis]: Highline Aftermarket Acquisition, LLC, Highline Aftermarket SC Acquisition, Inc. and Highline PPC Blocker LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   70.4
Investment, Identifier [Axis]: Hills Distribution, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.3  
Investment, Identifier [Axis]: Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.3
Investment, Identifier [Axis]: Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.2 [4],[5] 5.2 [1],[2]
Investment, Identifier [Axis]: Hills Distribution, Inc., Hills Intermediate FT Holdings, LLC and GMP Hills, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Himalaya TopCo LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 92.3  
Investment, Identifier [Axis]: Himalaya TopCo LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 230.3  
Investment, Identifier [Axis]: Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.9  
Investment, Identifier [Axis]: Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 48.6  
Investment, Identifier [Axis]: Horizon Avionics Buyer, LLC and Horizon CTS Buyer, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 1.0  
Investment, Identifier [Axis]: HuFriedy Group Acquisition LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.6 9.9
Investment, Identifier [Axis]: HuFriedy Group Acquisition LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 74.9 [4],[5] 73.4 [1],[2]
Investment, Identifier [Axis]: HuFriedy Group Acquisition LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5],[13] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.3 4.7
Investment, Identifier [Axis]: Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 58.9 [4],[5] 59.1 [1],[2]
Investment, Identifier [Axis]: Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 7.0 [4],[5] 8.6 [1],[2]
Investment, Identifier [Axis]: Huskies Parent, Inc., GI Insurity Parent LLC and GI Insurity TopCo LP, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 127.4 [5] 121.3 [1]
Investment, Identifier [Axis]: Hyland Software, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.0 1.9
Investment, Identifier [Axis]: Hyland Software, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   96.6
Investment, Identifier [Axis]: Hyland Software, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 96.1  
Investment, Identifier [Axis]: Hyland Software, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[14]   0.0
Investment, Identifier [Axis]: ID.me, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 26.7  
Investment, Identifier [Axis]: ID.me, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] 107.9  
Investment, Identifier [Axis]: ID.me, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5] 13.4  
Investment, Identifier [Axis]: IFH Franchisee Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 14.6 14.6
Investment, Identifier [Axis]: IFH Franchisee Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 55.0 [4],[5] 55.3 [1],[2]
Investment, Identifier [Axis]: IFH Franchisee Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 4.3 [4],[5] 4.3 [1],[2]
Investment, Identifier [Axis]: IQN Holding Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.6 1.4
Investment, Identifier [Axis]: IQN Holding Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.4
Investment, Identifier [Axis]: IQN Holding Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.4  
Investment, Identifier [Axis]: IQN Holding Corp., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.7 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: IRI Group Holdings, Inc. and Circana, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 159.9  
Investment, Identifier [Axis]: IRI Group Holdings, Inc. and Circana, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [5],[13] 0.0  
Investment, Identifier [Axis]: IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   11.4
Investment, Identifier [Axis]: IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   150.7
Investment, Identifier [Axis]: IRI Group Holdings, Inc., Circana, LLC and IRI-NPD Co-Invest Aggregator, L.P., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   2.9
Investment, Identifier [Axis]: IRI Holdings, Inc., IRI Group Holdings, Inc. and IRI Parent, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.6  
Investment, Identifier [Axis]: ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 26.5 29.1
Investment, Identifier [Axis]: ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 4.9 [4],[5] 4.9 [1],[2]
Investment, Identifier [Axis]: ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.9 [4],[5] 3.9 [1],[2]
Investment, Identifier [Axis]: ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   0.7
Investment, Identifier [Axis]: ISQ Hawkeye Holdco, Inc. and ISQ Hawkeye Holdings, L.P., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 3.4  
Investment, Identifier [Axis]: ITI Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.6
Investment, Identifier [Axis]: ITI Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   34.3
Investment, Identifier [Axis]: ITI Holdings, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.7
Investment, Identifier [Axis]: ITI Holdings, Inc., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.4
Investment, Identifier [Axis]: Icefall Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 1.1
Investment, Identifier [Axis]: Icefall Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 16.7 [4],[5] 16.7 [1],[2]
Investment, Identifier [Axis]: Imaging Business Machines, L.L.C. and Scanner Holdings Corporation, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 19.1 [5] 18.5 [1]
Investment, Identifier [Axis]: Implus Footcare, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.2  
Investment, Identifier [Axis]: Implus Footcare, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.3 [5],[12] 1.3 [1],[8]
Investment, Identifier [Axis]: Implus Footcare, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 117.4 [5],[12] 117.3 [1],[8]
Investment, Identifier [Axis]: Implus Footcare, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 5.0 [5],[12] 5.0 [1],[8]
Investment, Identifier [Axis]: Implus Footcare, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.2  
Investment, Identifier [Axis]: Infinity Home Services HoldCo, Inc. and IHS Parent Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.7  
Investment, Identifier [Axis]: Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   1.3
Investment, Identifier [Axis]: Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   6.4
Investment, Identifier [Axis]: Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.5
Investment, Identifier [Axis]: Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.7
Investment, Identifier [Axis]: Infinity Home Services HoldCo, Inc., D&S Amalco and IHS Parent Holdings, L.P., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   14.7
Investment, Identifier [Axis]: Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   25.2
Investment, Identifier [Axis]: Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 14.6  
Investment, Identifier [Axis]: Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 6.4  
Investment, Identifier [Axis]: Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 1.3  
Investment, Identifier [Axis]: Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 5.5  
Investment, Identifier [Axis]: Infinity Home Services Holdco, Inc., D'Angelo & Sons Construction Limited and IHS Parent Holdings, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 1.3  
Investment, Identifier [Axis]: Inszone Mid, LLC and INSZ Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 64.3 72.0
Investment, Identifier [Axis]: Inszone Mid, LLC and INSZ Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 26.9 [4],[5] 24.7 [1],[2]
Investment, Identifier [Axis]: Inszone Mid, LLC and INSZ Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Internet Truckstop Group LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2 1.2
Investment, Identifier [Axis]: Internet Truckstop Group LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 39.5 [4],[5] 39.5 [1],[2]
Investment, Identifier [Axis]: Ivy Hill Asset Management, L.P., Subordinated revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 155.0  
Investment, Identifier [Axis]: JAMS Holdings LP and Jams Buyer LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.0  
Investment, Identifier [Axis]: JAMS Holdings LP and Jams Buyer LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 14.4  
Investment, Identifier [Axis]: Jenny C Acquisition, Inc., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 1.9 [5] 1.8 [1]
Investment, Identifier [Axis]: Johnnie-O Inc. and Johnnie-O Holdings Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 17.5  
Investment, Identifier [Axis]: Johnnie-O Inc. and Johnnie-O Holdings Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   17.5
Investment, Identifier [Axis]: KBHS Acquisition, LLC (d/b/a Alita Care, LLC)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.8 1.5
Investment, Identifier [Axis]: KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5] 4.2  
Investment, Identifier [Axis]: KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.0
Investment, Identifier [Axis]: KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.4
Investment, Identifier [Axis]: KBHS Acquisition, LLC (d/b/a Alita Care, LLC), First lien senior secured revolving loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.1
Investment, Identifier [Axis]: KNPC HoldCo, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.5
Investment, Identifier [Axis]: KNPC HoldCo, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 1.3 [1],[2]
Investment, Identifier [Axis]: KNPC HoldCo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5] 2.7 [1],[2]
Investment, Identifier [Axis]: KNPC HoldCo, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 2.7 [4],[5] 27.6 [1],[2]
Investment, Identifier [Axis]: KNPC HoldCo, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 27.6  
Investment, Identifier [Axis]: KPS Global LLC and Cool Group LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.4 3.4
Investment, Identifier [Axis]: KPS Global LLC and Cool Group LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.2  
Investment, Identifier [Axis]: KPS Global LLC and Cool Group LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.2
Investment, Identifier [Axis]: Kaseya Inc. and Knockout Intermediate Holdings I Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   21.3
Investment, Identifier [Axis]: Kaseya Inc. and Knockout Intermediate Holdings I Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   172.8
Investment, Identifier [Axis]: Kaseya Inc. and Knockout Intermediate Holdings I Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   4.9
Investment, Identifier [Axis]: Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.1
Investment, Identifier [Axis]: Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 43.8 [4],[5] 41.9 [1],[2]
Investment, Identifier [Axis]: Kellermeyer Bergensons Services, LLC and KBS TopCo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 14.7 [5],[12] 13.8 [1],[2]
Investment, Identifier [Axis]: Kene Acquisition, Inc. and Kene Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.0 1.0
Investment, Identifier [Axis]: Kene Acquisition, Inc. and Kene Holdings, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.3 [4],[5] 5.3 [1],[2]
Investment, Identifier [Axis]: Keystone Agency Partners LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 1.0
Investment, Identifier [Axis]: Keystone Agency Partners LLC ,First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: Keystone Agency Partners LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 12.9 [4],[5] 12.0 [1],[2]
Investment, Identifier [Axis]: Keystone Agency Partners LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.4 [4],[5] 6.5 [1],[2]
Investment, Identifier [Axis]: Keystone Agency Partners LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.2  
Investment, Identifier [Axis]: King Risk Partners, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.0  
Investment, Identifier [Axis]: King Risk Partners, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 9.8  
Investment, Identifier [Axis]: Kings Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.2 1.2
Investment, Identifier [Axis]: Kings Buyer, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 16.2 [4],[5] 16.3 [1],[2]
Investment, Identifier [Axis]: Kings Buyer, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.8 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.7 9.7
Investment, Identifier [Axis]: LBC Woodlands Purchaser LLC and LBC Woodlands Holdings LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 19.1 [4],[5] 19.1 [1],[2]
Investment, Identifier [Axis]: LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.9
Investment, Identifier [Axis]: LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P. 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.9  
Investment, Identifier [Axis]: LJ Perimeter Buyer, Inc. and LJ Perimeter Co-Invest, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 39.3 [4],[5] 39.4 [1],[2]
Investment, Identifier [Axis]: LJP Purchaser, Inc. and LJP Topco, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.0 3.1
Investment, Identifier [Axis]: LJP Purchaser, Inc. and LJP Topco, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.7 [4],[5] 9.6 [1],[2]
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.8 9.6
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 24.2 [4],[5] 22.6 [1],[2]
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 17.2 [4],[5] 17.0 [1],[2]
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 4.6 [4],[5] 4.5 [1],[2]
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 14.6 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: Laboratories Bidco LLC and Laboratories Topco LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal 2.6 [4],[5] 9.5 [1],[2]
Investment, Identifier [Axis]: Largest Portfolio Company Investment | Senior Direct Lending Program    
Schedule of Investments [Line Items]    
Principal 420.0 400.0
Investment, Identifier [Axis]: LeanTaaS Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.5 17.2
Investment, Identifier [Axis]: LeanTaaS Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 69.0  
Investment, Identifier [Axis]: LeanTaaS Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   34.7
Investment, Identifier [Axis]: LeanTaaS Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   29.6
Investment, Identifier [Axis]: Legends Hospitality Holding Company, LLC and ASM Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   11.6
Investment, Identifier [Axis]: Legends Hospitality Holding Company, LLC and ASM Buyer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   57.2
Investment, Identifier [Axis]: Legends Hospitality Holding Company, LLC and ASM Buyer, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.1
Investment, Identifier [Axis]: Legends Hospitality Holding Company, LLC and Stadium Coinvest (B)-III, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.3  
Investment, Identifier [Axis]: Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 57.7  
Investment, Identifier [Axis]: Legends Hospitality Holding Company, LLC, ASM Buyer, Inc., Legends ASM Holdco I, LLC, and Stadium Coinvest (B)-III, L.P., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 4.4  
Investment, Identifier [Axis]: Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.8 1.5
Investment, Identifier [Axis]: Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   30.3
Investment, Identifier [Axis]: Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 30.1  
Investment, Identifier [Axis]: Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.4  
Investment, Identifier [Axis]: Leviathan Intermediate Holdco, LLC and Leviathan Holdings, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.7  
Investment, Identifier [Axis]: Lew's Intermediate Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1 1.3
Investment, Identifier [Axis]: Lew's Intermediate Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.0 [4],[5] 1.0 [1],[2]
Investment, Identifier [Axis]: Lew's Intermediate Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.2 [5],[7] 1.0 [1],[11]
Investment, Identifier [Axis]: Lido Advisors, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.7 6.7
Investment, Identifier [Axis]: Lido Advisors, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.0 [4],[5] 5.1 [1],[2]
Investment, Identifier [Axis]: Lido Advisors, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.3 [4],[5] 6.0 [1],[2]
Investment, Identifier [Axis]: Lido Advisors, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.8 [4],[5] 2.7 [1],[2]
Investment, Identifier [Axis]: Lido Advisors, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.2  
Investment, Identifier [Axis]: Lido Advisors, LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.8  
Investment, Identifier [Axis]: Lido Advisors, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.2 [4],[5],[7] 0.8 [1],[2],[11]
Investment, Identifier [Axis]: LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 18.2 [4],[5],[6] 18.3 [1],[2],[3]
Investment, Identifier [Axis]: LifeStyles Bidco Ltd., Lifestyles US Holdco, Inc. and LifeStyles Parent, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 9.3 [4],[5],[6] 8.3 [1],[2],[3]
Investment, Identifier [Axis]: Lifescan Global Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.7 [5],[10],[12] 11.4 [1],[8],[9]
Investment, Identifier [Axis]: Lifescan Global Corporation, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.2 [5],[12] 0.2 [1],[8]
Investment, Identifier [Axis]: Lightbeam Bidco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1 3.5
Investment, Identifier [Axis]: Lightbeam Bidco, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.2 [4],[5] 5.2 [1],[2]
Investment, Identifier [Axis]: Lightbeam Bidco, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.3 [4],[5] 3.4 [1],[2]
Investment, Identifier [Axis]: Lightbeam Bidco, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5],[7] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Linden Structured Capital Fund II-A LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 0.8
Investment, Identifier [Axis]: LivTech Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.5 7.0
Investment, Identifier [Axis]: LivTech Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.3 [4],[5] 4.9 [1],[2]
Investment, Identifier [Axis]: MP Midco Holdings, LLC and MP Topco Holdings, LLC (fka H-Food Holdings, LLC), First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 9.6  
Investment, Identifier [Axis]: MRI Software LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 3.6
Investment, Identifier [Axis]: MRI Software LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 13.4 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: MRI Software LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 23.8 [4],[5] 14.4 [1],[2]
Investment, Identifier [Axis]: MRI Software LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   23.9
Investment, Identifier [Axis]: MRI Software LLC., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.2  
Investment, Identifier [Axis]: MSIS Holdings, Inc. and MS Precision Parent, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.4  
Investment, Identifier [Axis]: MSIS Holdings, Inc. and MS Precision Parent, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 23.6  
Investment, Identifier [Axis]: MSIS Holdings, Inc. and MS Precision Parent, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.8  
Investment, Identifier [Axis]: Mai Capital Management Intermediate LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.5 4.9
Investment, Identifier [Axis]: Mai Capital Management Intermediate LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 10.2  
Investment, Identifier [Axis]: Mai Capital Management Intermediate LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   9.8
Investment, Identifier [Axis]: Mai Capital Management Intermediate LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.5 [4],[5],[6] 0.3 [1],[2],[3]
Investment, Identifier [Axis]: Majesco and Magic Topco, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.0 2.0
Investment, Identifier [Axis]: Majesco and Magic Topco, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 17.9 [4],[5] 18.0 [1],[2]
Investment, Identifier [Axis]: Manna Pro Products, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.0 0.2
Investment, Identifier [Axis]: Manna Pro Products, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.1
Investment, Identifier [Axis]: Manna Pro Products, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.8
Investment, Identifier [Axis]: Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: Marcone Yellowstone Buyer Inc. and Marcone Yellowstone Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: Maverick Acquisition, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[8]   27.1
Investment, Identifier [Axis]: Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   11.3
Investment, Identifier [Axis]: Mavis Tire Express Services Topco Corp., Metis HoldCo, Inc., and Metis TopCo, LP, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[11]   18.4
Investment, Identifier [Axis]: Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.5  
Investment, Identifier [Axis]: Mavis Tire Express Services Topco Corp., Metis Holdco, Inc. and Metis Topco, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5],[7] 1.4  
Investment, Identifier [Axis]: Max US Bidco Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.0 [5],[10] 1.0 [1],[9]
Investment, Identifier [Axis]: McKenzie Creative Brands, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.5 3.1
Investment, Identifier [Axis]: McKenzie Creative Brands, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[16] 84.5  
Investment, Identifier [Axis]: McKenzie Creative Brands, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 84.5 [1],[2],[17]
Investment, Identifier [Axis]: McKenzie Creative Brands, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.5
Investment, Identifier [Axis]: McKenzie Creative Brands, LLC, First lien senior secured loan, First Out Tranche    
Schedule of Investments [Line Items]    
Principal 36.2 38.7
Investment, Identifier [Axis]: McKenzie Creative Brands, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.4
Investment, Identifier [Axis]: Medlar Bidco Limited    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.9 64.3
Investment, Identifier [Axis]: Medlar Bidco Limited, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 27.7  
Investment, Identifier [Axis]: Medlar Bidco Limited, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 33.9  
Investment, Identifier [Axis]: Metatiedot Bidco OY and Metatiedot US, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.2 3.5
Investment, Identifier [Axis]: Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 8.2  
Investment, Identifier [Axis]: Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   7.2
Investment, Identifier [Axis]: Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   5.2
Investment, Identifier [Axis]: Metatiedot Bidco OY and Metatiedot US, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.2
Investment, Identifier [Axis]: Metatiedot Bidco OY and Metatiedot US, LLC., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 5.2  
Investment, Identifier [Axis]: Meyer Laboratory, LLC and Meyer Parent, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.1 11.6
Investment, Identifier [Axis]: Meyer Laboratory, LLC and Meyer Parent, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 31.8 [4],[5] 27.1 [1],[2]
Investment, Identifier [Axis]: Meyer Laboratory, LLC and Meyer Parent, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.7  
Investment, Identifier [Axis]: Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 135.8  
Investment, Identifier [Axis]: Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Second lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   68.1
Investment, Identifier [Axis]: Microstar Logistics LLC, Microstar Global Asset Management LLC, MStar Holding Corporation and Kegstar USA Inc., Second lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   68.1
Investment, Identifier [Axis]: Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 58.2 [4],[5],[6] 68.5 [1],[2],[3]
Investment, Identifier [Axis]: Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 38.5 [4],[5],[6] 35.3 [1],[2],[3]
Investment, Identifier [Axis]: Mimecast Borrowerco, Inc. and Magnesium Co- Invest SCSp, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 5.1 [4],[5],[6] 5.2 [1],[2],[3]
Investment, Identifier [Axis]: Ministry Brands Holdings, LLC and RCP MB Investments B, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.3 8.0
Investment, Identifier [Axis]: Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 38.8 [4],[5] 39.0 [1],[2]
Investment, Identifier [Axis]: Ministry Brands Holdings, LLC and RCP MB Investments B, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.7  
Investment, Identifier [Axis]: Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.1  
Investment, Identifier [Axis]: Modernizing Medicine, Inc. and ModMed Software Midco Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 69.6  
Investment, Identifier [Axis]: Modigent, LLC and OMERS PMC Investment Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.9 7.2
Investment, Identifier [Axis]: Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 12.3 [4],[5] 3.4 [1],[2]
Investment, Identifier [Axis]: Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.3 [4],[5] 2.8 [1],[2]
Investment, Identifier [Axis]: Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.2  
Investment, Identifier [Axis]: Modigent, LLC and OMERS PMC Investment Holdings LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.4
Investment, Identifier [Axis]: Monica Holdco (US) Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 3.6
Investment, Identifier [Axis]: Monica Holdco (US) Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   2.5
Investment, Identifier [Axis]: Monica Holdco (US) Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   2.7
Investment, Identifier [Axis]: Monica Holdco (US) Inc., First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 2.5  
Investment, Identifier [Axis]: Monica Holdco (US) Inc., First lien senior secured loan2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 2.7  
Investment, Identifier [Axis]: Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 0.8
Investment, Identifier [Axis]: Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 24.5 [4],[5] 24.6 [1],[2]
Investment, Identifier [Axis]: Moonraker AcquisitionCo LLC and Moonraker HoldCo LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: Motor Vehicle Software Corporation    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.0  
Investment, Identifier [Axis]: Motor Vehicle Software Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 82.5  
Investment, Identifier [Axis]: Mountaineer Merger Corporation    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.9 3.7
Investment, Identifier [Axis]: Mountaineer Merger Corporation, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 5.5 [5] 9.7 [1]
Investment, Identifier [Axis]: Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.8 6.0
Investment, Identifier [Axis]: Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 2.4 [4],[5] 9.6 [1],[2]
Investment, Identifier [Axis]: Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 9.6  
Investment, Identifier [Axis]: Mr. Greens Intermediate, LLC, Florida Veg Investments LLC, MRG Texas, LLC and Restaurant Produce and Services Blocker, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.9 [4],[5],[7] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.4  
Investment, Identifier [Axis]: Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 23.8 [4],[5] 23.8 [1],[2]
Investment, Identifier [Axis]: Mustang Prospects Holdco, LLC, Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 0.1  
Investment, Identifier [Axis]: Mustang Prospects Purchaser, LLC and Senske Acquisition, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   5.7
Investment, Identifier [Axis]: NAS, LLC and Nationwide Marketing Group, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 1.5
Investment, Identifier [Axis]: NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.1 [4],[5] 6.1 [1],[2]
Investment, Identifier [Axis]: NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.3 [4],[5] 2.3 [1],[2]
Investment, Identifier [Axis]: NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5] 1.3 [1],[2]
Investment, Identifier [Axis]: NAS, LLC and Nationwide Marketing Group, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.9 [4],[5] 1.5 [1],[2]
Investment, Identifier [Axis]: NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 11.5  
Investment, Identifier [Axis]: NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.4  
Investment, Identifier [Axis]: NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 25.5  
Investment, Identifier [Axis]: NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.0  
Investment, Identifier [Axis]: NCP-MSI Buyer, Inc. and NCP MSI Co-Invest, LP, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 1.7  
Investment, Identifier [Axis]: NMC Skincare Intermediate Holdings II, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.6 7.7
Investment, Identifier [Axis]: NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 28.4 [4],[5] 30.4 [1],[2]
Investment, Identifier [Axis]: NMC Skincare Intermediate Holdings II, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 4.2 [4],[5] 4.5 [1],[2]
Investment, Identifier [Axis]: NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 1.5 [4],[5] 5.0 [1],[2]
Investment, Identifier [Axis]: NMC Skincare Intermediate Holdings II, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: NMN Holdings III Corp. and NMN Holdings LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 62.3 59.4
Investment, Identifier [Axis]: NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 165.9 [4],[5] 247.0 [1],[2]
Investment, Identifier [Axis]: NMN Holdings III Corp. and NMN Holdings LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5],[7] 3.6 [1],[2],[11]
Investment, Identifier [Axis]: Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.5 21.5
Investment, Identifier [Axis]: Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 16.4 [4],[5],[6] 16.5 [1],[2],[3]
Investment, Identifier [Axis]: Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 36.3 [4],[5],[6] 32.1 [1],[2],[3]
Investment, Identifier [Axis]: Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 1.6 [4],[5],[6] 1.1 [1],[2],[3]
Investment, Identifier [Axis]: Nelipak Holding Company, Nelipak European Holdings Cooperatief U.A., KNPAK Holdings, LP and PAKNK Netherlands Treasury B.V., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.6 [1],[2],[3]
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.3 12.3
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 80.3 [4],[5],[10] 80.7 [1],[2],[9]
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 97.3 [4],[5],[10] 97.8 [1],[2],[9]
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured note    
Schedule of Investments [Line Items]    
Principal [1],[9]   52.8
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured notes    
Schedule of Investments [Line Items]    
Principal [5],[10] 52.8  
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[14]   0.0
Investment, Identifier [Axis]: Neptune Bidco US Inc. and Elliott Metron Co-Investor Aggregator L.P., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 203.4 [4],[5] 227.5 [1],[2]
Investment, Identifier [Axis]: Netsmart, Inc. and Netsmart Technologies, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 33.8 33.8
Investment, Identifier [Axis]: Netsmart, Inc. and Netsmart Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 32.7 [4],[5] 141.0 [1],[2]
Investment, Identifier [Axis]: New ChurcHill HoldCo LLC and Victory Topco, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   9.8
Investment, Identifier [Axis]: New ChurcHill HoldCo LLC and Victory Topco, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 18.4 [4],[5] 14.4 [1],[2]
Investment, Identifier [Axis]: New Churchill Holdco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.7  
Investment, Identifier [Axis]: Next Holdco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.4 2.4
Investment, Identifier [Axis]: Next Holdco, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.5 [4],[5] 6.5 [1],[2]
Investment, Identifier [Axis]: Nomi Health, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 11.4 [4],[5] 11.4 [1],[2]
Investment, Identifier [Axis]: Nomi Health, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.8 [4],[5] 6.8 [1],[2]
Investment, Identifier [Axis]: Nordic Ferry Infrastructure AS Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal [1],[3]   0.1
Investment, Identifier [Axis]: Nordic Ferry Infrastructure AS, Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [5],[6] 0.1 [1],[3]
Investment, Identifier [Axis]: Nordic Ferry Infrastructure AS, Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal [5],[6] 0.1  
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.0 0.0
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 46.3 [4],[5] 46.6 [1],[2]
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 2.5 [4],[5] 2.5 [1],[2]
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 9.2 [4],[5] 9.3 [1],[2]
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.5 [4],[5] 2.5 [1],[2]
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [1]   1.7
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal [1]   1.0
Investment, Identifier [Axis]: North American Science Associates, LLC, Cardinal Purchaser LLC and Cardinal Topco Holdings, L.P., Senior subordinated loan 3    
Schedule of Investments [Line Items]    
Principal [5] 1.7  
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 17.6  
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.4  
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.1  
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC and Fairway Lawns, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.0  
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.6 6.8
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC , First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   17.7
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC , First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.4
Investment, Identifier [Axis]: North Haven Fairway Buyer, LLC, Fairway Lawns, LLC and Command Pest Control, LLC , First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.8
Investment, Identifier [Axis]: North Haven Falcon Buyer, LLC and North Haven Falcon Holding Company, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 28.4 [5],[12] 27.6 [1],[8]
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.1 8.3
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 8.6 [4],[5] 9.7 [1],[2]
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.2  
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.3 [5] 4.0 [1],[2]
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5] 2.2 [1],[2]
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 2.7 [5] 3.9 [1],[2]
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal [4],[5] 7.6  
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 7    
Schedule of Investments [Line Items]    
Principal [4],[5] 6.8  
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 8    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.1  
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured loan 9    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.7  
Investment, Identifier [Axis]: North Haven Stack Buyer, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.4 [4],[5] 1.3 [1],[2]
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.3 3.3
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.2 [5],[6] 3.6 [1],[3]
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.9 [5],[6] 29.5 [1],[2],[3]
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 25.5 [4],[5],[6] 1.7 [1],[3]
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 1.7  
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 4.0  
Investment, Identifier [Axis]: North Star Acquisitionco, LLC and Toucan Bidco Limited, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[3]   5.5
Investment, Identifier [Axis]: Northwinds Holding, Inc. and Northwinds Services Group LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.6 10.6
Investment, Identifier [Axis]: Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.2 [4],[5] 27.1 [1],[2]
Investment, Identifier [Axis]: Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 26.9  
Investment, Identifier [Axis]: Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured loan2    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.3  
Investment, Identifier [Axis]: Northwinds Holding, Inc. and Northwinds Services Group LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.8
Investment, Identifier [Axis]: Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 22.2 [4],[5] 22.1 [1],[2]
Investment, Identifier [Axis]: Novipax Buyer, L.L.C. and Novipax Parent Holding Company, L.L.C., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5] 0.3 [1],[2]
Investment, Identifier [Axis]: OMH-HealthEdge Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   7.2
Investment, Identifier [Axis]: OMH-HealthEdge Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   96.9
Investment, Identifier [Axis]: OPH NEP Investment, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] 31.4  
Investment, Identifier [Axis]: OPH NEP Investment, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 4.2 [5] 30.3 [1]
Investment, Identifier [Axis]: OTG Concessions Management, LLC and Octa Parent Holdings, LLC, Second lien notes    
Schedule of Investments [Line Items]    
Principal 8.8 [5] 8.0 [1]
Investment, Identifier [Axis]: OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.2 3.2
Investment, Identifier [Axis]: OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 10.4 [4],[5] 8.8 [1],[2]
Investment, Identifier [Axis]: OakBridge Insurance Agency LLC and Maple Acquisition Holdings, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: Offen, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [5] 0.1 [1]
Investment, Identifier [Axis]: Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 0.9
Investment, Identifier [Axis]: Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5] 64.8 [1],[8]
Investment, Identifier [Axis]: Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 69.5 [5],[12] 13.2 [1],[8]
Investment, Identifier [Axis]: Olympia Acquisition, Inc., Olympia TopCo, L.P., and Asclepius Holdings LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 14.1 [5],[12] 3.7 [1],[2]
Investment, Identifier [Axis]: OneDigital Borrower LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.7 15.7
Investment, Identifier [Axis]: OneDigital Borrower LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[14]   0.0
Investment, Identifier [Axis]: Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc.    
Schedule of Investments [Line Items]    
Principal [5],[6] 0.1  
Investment, Identifier [Axis]: Opal Fuels Intermediate HoldCo LLC, and Opal Fuels Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[3]   0.1
Investment, Identifier [Axis]: OpenMarket Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   16.1
Investment, Identifier [Axis]: Optimizely North America Inc. and Optimizely Sweden Holdings AB    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.8 0.8
Investment, Identifier [Axis]: Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.7 [4],[5],[6] 5.7 [1],[2],[3]
Investment, Identifier [Axis]: Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.2 [4],[5],[6] 2.0 [1],[2],[3]
Investment, Identifier [Axis]: Optimizely North America Inc. and Optimizely Sweden Holdings AB, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 1.0 [4],[5],[6] 0.9 [1],[2],[3]
Investment, Identifier [Axis]: Osmose Utilities Services, Inc. and Pine Intermediate Holding LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 55.3 [4],[5] 55.3 [1],[2]
Investment, Identifier [Axis]: PCG-Ares Sidecar Investment, L.P. and PCG-Ares Sidecar Investment II, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 37.6 37.6
Investment, Identifier [Axis]: PCIA SPV-3, LLC and ASE Royal Aggregator, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 2.5
Investment, Identifier [Axis]: PCIA SPV-3, LLC and ASE Royal Aggregator, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.4 [4],[5],[6] 6.9 [1],[2],[3]
Investment, Identifier [Axis]: PCMI Parent, LLC and PCMI Ultimate Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.2  
Investment, Identifier [Axis]: PCMI Parent, LLC and PCMI Ultimate Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 21.2  
Investment, Identifier [Axis]: PCS MidCo, Inc. and PCS Parent, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.5 5.0
Investment, Identifier [Axis]: PCS MidCo, Inc. and PCS Parent, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.5 [4],[5] 8.5 [1],[2]
Investment, Identifier [Axis]: PCS MidCo, Inc. and PCS Parent, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5] 0.8 [1],[2]
Investment, Identifier [Axis]: PDDS HoldCo, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 1.7
Investment, Identifier [Axis]: PDDS HoldCo, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 13.4 [4],[5] 12.5 [1],[2]
Investment, Identifier [Axis]: PDDS HoldCo, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.5 2.5
Investment, Identifier [Axis]: PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 8.8  
Investment, Identifier [Axis]: PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   6.6
Investment, Identifier [Axis]: PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.3  
Investment, Identifier [Axis]: PDI TA Holdings, Inc., Peachtree Parent, Inc. and Insight PDI Holdings, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.7  
Investment, Identifier [Axis]: PS Operating Company LLC and PS Op Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.4 0.0
Investment, Identifier [Axis]: PS Operating Company LLC and PS Op Holdings LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 18.1 [5],[12] 17.2 [1],[8]
Investment, Identifier [Axis]: PS Operating Company LLC and PS Op Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 6.5 [5],[12] 6.8 [1],[8]
Investment, Identifier [Axis]: PSC Group LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.1  
Investment, Identifier [Axis]: PSC Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   11.3
Investment, Identifier [Axis]: PSC Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 53.6 [4],[5] 49.4 [1],[2]
Investment, Identifier [Axis]: PSC Parent, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 2.0  
Investment, Identifier [Axis]: PSC Parent, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   3.4
Investment, Identifier [Axis]: PYE-Barker Fire & Safety, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.8 14.2
Investment, Identifier [Axis]: PYE-Barker Fire & Safety, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 14.1 [4],[5] 12.7 [1],[2]
Investment, Identifier [Axis]: PYE-Barker Fire & Safety, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.5 [4],[5] 0.5 [1],[2]
Investment, Identifier [Axis]: Packaging Coordinators Midco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   15.0
Investment, Identifier [Axis]: Paragon 28, Inc. and Paragon Advanced Technologies, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   8.0
Investment, Identifier [Axis]: Paragon 28, Inc. and Paragon Advanced Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   24.0
Investment, Identifier [Axis]: Paragon 28, Inc. and Paragon Advanced Technologies, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.1
Investment, Identifier [Axis]: Paris US Holdco, Inc. & 1001028292 Ontario Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.8 24.0
Investment, Identifier [Axis]: Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 77.3 [4],[5],[6] 77.5 [1],[2]
Investment, Identifier [Axis]: Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.1  
Investment, Identifier [Axis]: Paris US Holdco, Inc. & 1001028292 Ontario Inc., First lien senior secured revolving loan1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.1  
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P 1.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1  
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.2 0.1
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P. (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   4.2
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 4.8  
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 7.9 [4],[5],[6] 8.0 [1],[2],[3]
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5],[6] 0.3 [1],[2],[3]
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5],[6] 15.0 [1],[2],[3]
Investment, Identifier [Axis]: Pathstone Family Office LLC and Kelso XI Tailwind Co-Investment, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   4.9
Investment, Identifier [Axis]: Pathway Vet Alliance LLC and Jedi Group Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.8 1.7
Investment, Identifier [Axis]: Pathway Vet Alliance LLC and Jedi Group Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[14]   0.0
Investment, Identifier [Axis]: Pathway Vet Alliance LLC and Jedi Group Holdings LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 78.6 [5],[12] 76.3 [1],[2]
Investment, Identifier [Axis]: Patriot Growth Insurance Services, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.2 1.1
Investment, Identifier [Axis]: Patriot Growth Insurance Services, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 15.6 [4],[5] 15.7 [1],[2]
Investment, Identifier [Axis]: Patriot Growth Insurance Services, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.1
Investment, Identifier [Axis]: Pelican Products, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1 0.7
Investment, Identifier [Axis]: Pelican Products, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.2 [4],[5] 1.6 [1],[2]
Investment, Identifier [Axis]: Pelican Products, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 60.0 [4],[5] 60.0 [1],[2]
Investment, Identifier [Axis]: People Corporation    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 25.7 30.5
Investment, Identifier [Axis]: People Corporation, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 42.4 [4],[5],[6] 40.4 [1],[2],[3]
Investment, Identifier [Axis]: People Corporation, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 15.0 [4],[5],[6] 23.6 [1],[2],[3]
Investment, Identifier [Axis]: People Corporation, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 3.5 [4],[5],[6] 11.5 [1],[2],[3]
Investment, Identifier [Axis]: People Corporation, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 24.8  
Investment, Identifier [Axis]: People Corporation, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 3.8 [4],[5],[6] 3.5 [1],[2],[3]
Investment, Identifier [Axis]: Perforce Software, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.5 6.5
Investment, Identifier [Axis]: Perforce Software, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1]   1.0
Investment, Identifier [Axis]: Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.1 1.7
Investment, Identifier [Axis]: Perigon Wealth Management, LLC, Perigon Wealth Advisors Holdings Company, LLC and CWC Fund I Co-Invest (Prism) LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 2.9 [4],[5],[6] 2.3 [1],[2],[3]
Investment, Identifier [Axis]: PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.1
Investment, Identifier [Axis]: PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 17.1 [4],[5] 17.2 [1],[2]
Investment, Identifier [Axis]: PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.7 [4],[5] 2.8 [1],[2]
Investment, Identifier [Axis]: PerkinElmer U.S. LLC and NM Polaris Co-Invest, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 4.3 [4],[5] 3.2 [1],[2]
Investment, Identifier [Axis]: PestCo Holdings, LLC and PestCo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.1 2.1
Investment, Identifier [Axis]: PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.5
Investment, Identifier [Axis]: PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.5  
Investment, Identifier [Axis]: PestCo Holdings, LLC and PestCo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.8 [4],[5] 0.8 [1],[2]
Investment, Identifier [Axis]: PetVet Care Centers, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 49.4 49.4
Investment, Identifier [Axis]: PetVet Care Centers, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 130.8 [4],[5] 131.4 [1],[2]
Investment, Identifier [Axis]: Petrus Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.8 1.8
Investment, Identifier [Axis]: Petrus Buyer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.9
Investment, Identifier [Axis]: Petrus Buyer, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.9  
Investment, Identifier [Axis]: Petrus Buyer, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.9  
Investment, Identifier [Axis]: Petrus Buyer, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.2  
Investment, Identifier [Axis]: Petvisor Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 20.4 28.5
Investment, Identifier [Axis]: Petvisor Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.0 [4],[5] 5.9 [1],[2]
Investment, Identifier [Axis]: Petvisor Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.0 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Petvisor Holdings, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 10.7 [4],[5] 3.7 [1],[2]
Investment, Identifier [Axis]: Petvisor Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.7
Investment, Identifier [Axis]: Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.7 4.7
Investment, Identifier [Axis]: Phoenix YW Buyer, Inc. and Phoenix YW Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 50.3 [4],[5],[6] 54.9 [1],[2],[3]
Investment, Identifier [Axis]: Ping Identity Holding Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.2 0.2
Investment, Identifier [Axis]: Ping Identity Holding Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 11.2 [4],[5] 11.2 [1],[2]
Investment, Identifier [Axis]: Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.9 6.6
Investment, Identifier [Axis]: Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.6 [4],[5] 5.6 [1],[2]
Investment, Identifier [Axis]: Pinnacle MEP Intermediate Holdco LLC and BPCP Pinnacle Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.1 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 17.5  
Investment, Identifier [Axis]: Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.1 [4],[5],[7] 22.1 [1],[2],[9]
Investment, Identifier [Axis]: Plaskolite PPC Intermediate II LLC and Plaskolite PPC Blocker LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 260.5 [4],[5] 55.0 [1],[2]
Investment, Identifier [Axis]: Pluralsight, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.2  
Investment, Identifier [Axis]: Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   15.2
Investment, Identifier [Axis]: Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 21.6  
Investment, Identifier [Axis]: Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 20.9  
Investment, Identifier [Axis]: Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   21.5
Investment, Identifier [Axis]: Pluralsight, LLC and Pluralsight Holdings, LLC and Paradigmatic Holdco LLC., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   19.7
Investment, Identifier [Axis]: Poseidon IntermediateCo, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.5  
Investment, Identifier [Axis]: Poseidon IntermediateCo, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 28.2  
Investment, Identifier [Axis]: Potomac Intermediate Holdings II LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.0  
Investment, Identifier [Axis]: PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 11.3 11.3
Investment, Identifier [Axis]: PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 36.4 [4],[5] 36.6 [1],[2]
Investment, Identifier [Axis]: PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.5 [4],[5] 0.5 [1],[2]
Investment, Identifier [Axis]: PracticeTek Purchaser, LLC, PracticeTek MidCo, LLC and GSV PracticeTek Holdings, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 50.0 [5] 46.7 [1]
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.2 10.1
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 11.4 [4],[5],[6] 11.5 [1],[2],[3]
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5],[6] 0.1 [1],[2],[3]
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 15.3  
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 4.2  
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   3.6
Investment, Identifier [Axis]: Precision Concepts International LLC and Precision Concepts Canada Corporation, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.7
Investment, Identifier [Axis]: Premier Specialties, Inc. and RMCF V CIV XLIV, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.0 2.5
Investment, Identifier [Axis]: Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 28.1 [4],[5] 28.0 [1],[2]
Investment, Identifier [Axis]: Premier Specialties, Inc. and RMCF V CIV XLIV, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.5 [4],[5] 1.0 [1],[2]
Investment, Identifier [Axis]: Premiere Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.4 8.5
Investment, Identifier [Axis]: Premiere Buyer, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 38.4 [1],[2]
Investment, Identifier [Axis]: Premiere Buyer, LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.0  
Investment, Identifier [Axis]: Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.6 4.9
Investment, Identifier [Axis]: Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 53.9 [4],[5] 54.2 [1],[2]
Investment, Identifier [Axis]: Premise Health Holding Corp. and OMERS Bluejay Investment Holdings LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.3 [4],[5],[7] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Primo Water Holdings Inc / Triton Water Holdings Inc, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[10] 1.0  
Investment, Identifier [Axis]: Primo Water Holdings Inc / Triton Water Holdings Inc, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [5],[6],[10] 0.1  
Investment, Identifier [Axis]: Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 34.8 [4],[5] 34.5 [1],[2]
Investment, Identifier [Axis]: Priority Waste Holdings LLC, Priority Waste Holdings Indiana LLC and Priority Waste Super Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 11.1 [4],[5] 11.0 [1],[2]
Investment, Identifier [Axis]: Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   20.1
Investment, Identifier [Axis]: Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 66.6 [4],[5] 67.0 [1],[2]
Investment, Identifier [Axis]: Pritchard Industries, LLC and LJ Pritchard TopCo Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 18.9 [4],[5] 12.2 [1],[2]
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 53.9 [5],[12] 50.2 [1],[2]
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 16.9 [4],[5] 16.1 [1],[2]
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 8.3 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 28.9 [4],[5] 7.8 [1],[2]
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 2.6 [4],[5] 27.5 [1],[2]
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.6  
Investment, Identifier [Axis]: Production Resource Group, L.L.C. and PRG III, LLC, First lien senior secured loan 7    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.9  
Investment, Identifier [Axis]: Professional Fighters League, LLC and PFL MMA, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 23.8 [5] 22.2 [1]
Investment, Identifier [Axis]: Professional Fighters League, LLC and PFL MMA, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.2 [5] 0.2 [1]
Investment, Identifier [Axis]: ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   5.1
Investment, Identifier [Axis]: ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.4
Investment, Identifier [Axis]: ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   6.8
Investment, Identifier [Axis]: ProfitSolv Purchaser, Inc. and PS Co-Invest, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.7
Investment, Identifier [Axis]: Project Essential Bidco, Inc. and Project Essential Super Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.1
Investment, Identifier [Axis]: Project Essential Bidco, Inc. and Project Essential Super Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   37.8
Investment, Identifier [Axis]: Project Potter Buyer, LLC and Project Potter Parent, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 19.1 5.5
Investment, Identifier [Axis]: Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 42.5 [4],[5] 42.8 [1],[2]
Investment, Identifier [Axis]: Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 11.7 [4],[5] 11.7 [1],[2]
Investment, Identifier [Axis]: Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 25.7 [4],[5] 17.9 [1],[2]
Investment, Identifier [Axis]: Project Potter Buyer, LLC and Project Potter Parent, L.P., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5] 17.8  
Investment, Identifier [Axis]: Proofpoint, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.1 3.1
Investment, Identifier [Axis]: Proofpoint, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.0 [4],[5],[10] 1.0 [1],[2],[9]
Investment, Identifier [Axis]: PumpTech, LLC and Impel CV-B, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.6  
Investment, Identifier [Axis]: PumpTech, LLC and Impel CV-B, LP 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.3  
Investment, Identifier [Axis]: PumpTech, LLC and Impel CV-B, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 11.8  
Investment, Identifier [Axis]: PumpTech, LLC and Impel CV-B, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.6 1.6
Investment, Identifier [Axis]: Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   7.6
Investment, Identifier [Axis]: Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.6
Investment, Identifier [Axis]: Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 7.6  
Investment, Identifier [Axis]: Pyramid-BMC IntermediateCo I, LLC and Pyramid Investors, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.6  
Investment, Identifier [Axis]: QBS Parent, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.6 1.6
Investment, Identifier [Axis]: QBS Parent, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   14.1
Investment, Identifier [Axis]: QBS Parent, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 15.4  
Investment, Identifier [Axis]: QF Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.0 0.6
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.7 [4],[5] 4.9 [1],[2]
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 4.9 [4],[5] 1.9 [1],[2]
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 8.1 [4],[5] 4.9 [1],[2]
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 5.0 [4],[5] 8.1 [1],[2]
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.1
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.5  
Investment, Identifier [Axis]: QF Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.5 [1],[2]
Investment, Identifier [Axis]: Qnnect, LLC and Connector TopCo, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.8
Investment, Identifier [Axis]: Qnnect, LLC and Connector TopCo, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   10.5
Investment, Identifier [Axis]: Qnnect, LLC and Connector TopCo, LP, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   31.4
Investment, Identifier [Axis]: Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 16.7 12.4
Investment, Identifier [Axis]: Quick Quack Car Wash Holdings, LLC and KKR Game Changer Co-Invest Feeder II L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.7 [4],[5] 52.9 [1],[2]
Investment, Identifier [Axis]: RB Holdings InterCo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.5 0.6
Investment, Identifier [Axis]: RB Holdings InterCo, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 11.2 [4],[5] 11.3 [1],[2]
Investment, Identifier [Axis]: RB Holdings InterCo, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.6 [4],[5] 1.5 [1],[2]
Investment, Identifier [Axis]: RD Holdco Inc., Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal 31.4 [5],[12] 32.6 [1],[8]
Investment, Identifier [Axis]: RD Holdco Inc., Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal 1.2 [5],[12] 1.2 [1],[8]
Investment, Identifier [Axis]: RFS Opco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.4 7.0
Investment, Identifier [Axis]: RFS Opco LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   29.5
Investment, Identifier [Axis]: RFS Opco LLC, First lien senior secured loan1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 29.4  
Investment, Identifier [Axis]: RFS Opco LLC, First lien senior secured loan2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 6.9  
Investment, Identifier [Axis]: RMS HoldCo II, LLC & RMS Group Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.9 2.9
Investment, Identifier [Axis]: RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: RMS HoldCo II, LLC & RMS Group Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: RTI Surgical, Inc. and Pioneer Surgical Technology, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.8 9.5
Investment, Identifier [Axis]: RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   22.0
Investment, Identifier [Axis]: RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 19.2  
Investment, Identifier [Axis]: RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.1  
Investment, Identifier [Axis]: RTI Surgical, Inc. and Pioneer Surgical Technology, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   11.6
Investment, Identifier [Axis]: RWA Wealth Partners, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.3 7.6
Investment, Identifier [Axis]: RWA Wealth Partners, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.1 [4],[5],[6] 8.1 [1],[2],[3]
Investment, Identifier [Axis]: RWA Wealth Partners, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.3  
Investment, Identifier [Axis]: Radiant Intermediate Holding, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 2.1 [4],[5] 2.1 [1],[2]
Investment, Identifier [Axis]: Radius Aerospace, Inc. and Radius Aerospace Europe Limited    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.0 1.6
Investment, Identifier [Axis]: Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 10.0 [4],[5],[6] 10.6 [1],[2],[3]
Investment, Identifier [Axis]: Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   2.1
Investment, Identifier [Axis]: Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5],[6] 2.0 [1],[2],[3]
Investment, Identifier [Axis]: Radius Aerospace, Inc. and Radius Aerospace Europe Limited, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 2.2  
Investment, Identifier [Axis]: Radwell Parent, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.7 5.1
Investment, Identifier [Axis]: Radwell Parent, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: Radwell Parent, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.1  
Investment, Identifier [Axis]: Radwell Parent, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: RailPros Parent, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.3  
Investment, Identifier [Axis]: Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.1 8.9
Investment, Identifier [Axis]: Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 8.3 [4],[5] 8.4 [1],[2]
Investment, Identifier [Axis]: Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 8.0 [4],[5] 8.1 [1],[2]
Investment, Identifier [Axis]: Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 24.9 [4],[5] 25.0 [1],[2]
Investment, Identifier [Axis]: Raptor Technologies, LLC, Sycamore Bidco LTD and Rocket Parent, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.8  
Investment, Identifier [Axis]: Raven Acquisition Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.3 5.3
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.9
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and Easton Diamond Sports, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.3  
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.1 1.3
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P. 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2  
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   43.8
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 43.6 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 5.6 [1],[2]
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 5.6 [4],[5] 3.4 [1],[2]
Investment, Identifier [Axis]: Rawlings Sporting Goods Company, Inc. and SEP Diamond Fund, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.7 [4],[5] 7.9 [1],[2]
Investment, Identifier [Axis]: Reagent Chemical & Research, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.6 2.6
Investment, Identifier [Axis]: Reagent Chemical & Research, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 12.1 [4],[5] 47.6 [1],[2]
Investment, Identifier [Axis]: Reagent Chemical & Research, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [4],[5],[13] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Reddy Ice LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 18.4 33.9
Investment, Identifier [Axis]: Reddy Ice LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 125.6 [4],[5] 273.5 [1],[2]
Investment, Identifier [Axis]: Reddy Ice LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[14]   0.0
Investment, Identifier [Axis]: Reddy Ice LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 3.9  
Investment, Identifier [Axis]: Reddy Ice LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 11.4  
Investment, Identifier [Axis]: Reddy Ice LLC, First lien senior secured revolving loan 3    
Schedule of Investments [Line Items]    
Principal [4] 2.6  
Investment, Identifier [Axis]: Redwood Services LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.0  
Investment, Identifier [Axis]: Redwood Services LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 26.6  
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   14.1
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.2
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.0
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2]   8.6
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [1],[2]   12.4
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.4
Investment, Identifier [Axis]: Redwood Services, LLC and Redwood Services Holdco, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.2
Investment, Identifier [Axis]: Reef Lifestyle, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.7 0.4
Investment, Identifier [Axis]: Reef Lifestyle, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 20.4 [4],[5] 21.1 [1],[2]
Investment, Identifier [Axis]: Reef Lifestyle, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.7 [4],[5] 3.4 [1],[2]
Investment, Identifier [Axis]: Reef Lifestyle, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 33.2 [4],[5],[7] 27.3 [1],[2],[11]
Investment, Identifier [Axis]: Reef Lifestyle, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal 4.3 [4],[5],[7] 3.9 [1],[2],[11]
Investment, Identifier [Axis]: Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.1 1.5
Investment, Identifier [Axis]: Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.7
Investment, Identifier [Axis]: Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.6  
Investment, Identifier [Axis]: Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.0  
Investment, Identifier [Axis]: Registrar Intermediate, LLC and PSP Registrar Co-Investment Fund, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 3.9 [4],[5] 5.4 [1],[2]
Investment, Identifier [Axis]: Relativity ODA LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.8 8.8
Investment, Identifier [Axis]: Relativity ODA LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.6 [4],[5] 6.6 [1],[2]
Investment, Identifier [Axis]: Repairify, Inc. and Repairify Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.2 0.0
Investment, Identifier [Axis]: Repairify, Inc. and Repairify Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.0  
Investment, Identifier [Axis]: Repairify, Inc. and Repairify Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 5.1 [4],[5] 7.3 [1],[2]
Investment, Identifier [Axis]: Revalize, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.2 0.2
Investment, Identifier [Axis]: Revalize, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5] 0.7 [1],[2]
Investment, Identifier [Axis]: Revalize, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5] 0.7 [1],[2]
Investment, Identifier [Axis]: Revival Animal Health, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.9  
Investment, Identifier [Axis]: Revival Animal Health, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 26.9  
Investment, Identifier [Axis]: Revival Animal Health, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.0  
Investment, Identifier [Axis]: Revival Animal Health, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.4  
Investment, Identifier [Axis]: Rialto Management Group, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.8 1.9
Investment, Identifier [Axis]: Rialto Management Group, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 23.7  
Investment, Identifier [Axis]: Rialto Management Group, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   24.8
Investment, Identifier [Axis]: Rialto Management Group, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3],[14]   0.0
Investment, Identifier [Axis]: Rialto Management Group, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6],[13] 0.0  
Investment, Identifier [Axis]: Riser Topco II, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.7
Investment, Identifier [Axis]: Riser Topco II, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.1
Investment, Identifier [Axis]: Riser Topco II, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   7.5
Investment, Identifier [Axis]: Riser Topco II, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   9.0
Investment, Identifier [Axis]: Riser Topco II, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.0
Investment, Identifier [Axis]: Rodeo AcquisitionCo LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.0 1.5
Investment, Identifier [Axis]: Rodeo AcquisitionCo LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 16.5 [4],[5] 16.6 [1],[2]
Investment, Identifier [Axis]: Rodeo AcquisitionCo LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.5 [4],[5] 1.0 [1],[2]
Investment, Identifier [Axis]: Royal Borrower, LLC and Royal Parent, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 14.1 14.1
Investment, Identifier [Axis]: Royal Borrower, LLC and Royal Parent, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 20.8 [4],[5] 20.9 [1],[2]
Investment, Identifier [Axis]: Royal Borrower, LLC and Royal Parent, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [4],[5],[13] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: Runway Bidco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.6 15.6
Investment, Identifier [Axis]: Runway Bidco, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 42.7 [4],[5] 42.8 [1],[2]
Investment, Identifier [Axis]: SAPPHIRE SOFTWARE BUYER, INC.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   5.9
Investment, Identifier [Axis]: SCIH Salt Holdings Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 22.5 16.3
Investment, Identifier [Axis]: SCIH Salt Holdings Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   4.1
Investment, Identifier [Axis]: SCIH Salt Holdings Inc., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.1
Investment, Identifier [Axis]: SCM Insurance Services Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.0 3.7
Investment, Identifier [Axis]: SCM Insurance Services Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 20.2 [4],[5],[6] 19.2 [1],[2],[3]
Investment, Identifier [Axis]: SFE Intermediate Holdco LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.1 [4],[5] 6.1 [1],[2]
Investment, Identifier [Axis]: SFE Intermediate Holdco LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 9.8 [4],[5] 9.8 [1],[2]
Investment, Identifier [Axis]: SFE Intermediate Holdco LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: SG Acquisition, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.0 2.0
Investment, Identifier [Axis]: SG Acquisition, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 46.4 [4],[5] 47.0 [1],[2]
Investment, Identifier [Axis]: SIG Parent Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 32.8 33.8
Investment, Identifier [Axis]: SIG Parent Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 57.1 [4],[5] 56.4 [1],[2]
Investment, Identifier [Axis]: SM Wellness Holdings, Inc. and SM Holdco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.8
Investment, Identifier [Axis]: SOC Telemed, Inc. and PSC Spark Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 108.4 [4],[5] 107.3 [1],[2]
Investment, Identifier [Axis]: SV Newco 2, Inc. and Site 2020 Incorporated    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.0 17.5
Investment, Identifier [Axis]: SV Newco 2, Inc. and Site 2020 Incorporated, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   22.5
Investment, Identifier [Axis]: SV Newco 2, Inc. and Site 2020 Incorporated, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 2.7  
Investment, Identifier [Axis]: SV Newco 2, Inc. and Site 2020 Incorporated, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 25.3  
Investment, Identifier [Axis]: Safe Home Security, Inc., Security Systems Inc., Safe Home Monitoring, Inc., National Protective Services, Inc., Bright Integrations LLC and Medguard Alert, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 24.0 [4],[5] 46.9 [1],[2]
Investment, Identifier [Axis]: SageSure Holdings, LLC and SageSure LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 57.7 26.2
Investment, Identifier [Axis]: SageSure Holdings, LLC and SageSure LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   26.0
Investment, Identifier [Axis]: SageSure Holdings, LLC and SageSure LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 52.0  
Investment, Identifier [Axis]: SageSure Holdings, LLC and SageSure LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 59.5  
Investment, Identifier [Axis]: Sapphire Software Buyer, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.9  
Investment, Identifier [Axis]: Sapphire Software Buyer, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 31.6 [4],[5] 71.6 [1],[2]
Investment, Identifier [Axis]: Saturn Purchaser Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.5  
Investment, Identifier [Axis]: Saturn Purchaser Corp., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.7
Investment, Identifier [Axis]: Saturn Purchaser Corp., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.7  
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 13.3 2.5
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   14.6
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P. 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.5  
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.4
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.4  
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.5  
Investment, Identifier [Axis]: Schill Landscaping and Lawn Care Services LLC, Tender Lawn Care ULC and Landscape Parallel Partners, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: SePro Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   8.5
Investment, Identifier [Axis]: SelectQuote, Inc. and SQ ABS Issuer, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 9.2  
Investment, Identifier [Axis]: SelectQuote, Inc. and SQ ABS Issuer, LLC, First lien senior secured notes 1    
Schedule of Investments [Line Items]    
Principal [5] 1.6  
Investment, Identifier [Axis]: SelectQuote, Inc. and SQ ABS Issuer, LLC, First lien senior secured notes 2    
Schedule of Investments [Line Items]    
Principal [5] 2.4  
Investment, Identifier [Axis]: SelectQuote, Inc. and SQ ABS Issuer, LLC,First lien senior secured notes 1    
Schedule of Investments [Line Items]    
Principal [1]   1.8
Investment, Identifier [Axis]: SelectQuote, Inc. and SQ ABS Issuer, LLC,First lien senior secured notes 2    
Schedule of Investments [Line Items]    
Principal [1]   2.7
Investment, Identifier [Axis]: SelectQuote, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   16.9
Investment, Identifier [Axis]: Senior Direct Lending Program, LLC, Subordinated certificates    
Schedule of Investments [Line Items]    
Principal 1,062.9 [6],[18] 1,309.9 [3],[19]
Investment, Identifier [Axis]: Severin Acquisition, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 55.7 73.6
Investment, Identifier [Axis]: Severin Acquisition, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 138.3 [4],[5] 221.2 [1],[2]
Investment, Identifier [Axis]: Severin Acquisition, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 11.8  
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.7 6.0
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.1 [4],[5] 5.1 [1],[2]
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.5 [4],[5] 1.3 [1],[2]
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 5.1  
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.9  
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.2  
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5] 2.9  
Investment, Identifier [Axis]: Shermco Intermediate Holdings, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1]   2.3
Investment, Identifier [Axis]: Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.6 0.7
Investment, Identifier [Axis]: Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.2 [4],[5] 1.2 [1],[2]
Investment, Identifier [Axis]: Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.5 [4],[5] 6.5 [1],[2]
Investment, Identifier [Axis]: Shoes For Crews Global, LLC and Shoes For Crews Holdings, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 3.8 [4],[5] 3.7 [1],[2]
Investment, Identifier [Axis]: Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 31.2 [4],[5] 31.4 [1],[2]
Investment, Identifier [Axis]: Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.5 [4],[5] 0.5 [1],[2]
Investment, Identifier [Axis]: Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 6.1 [4],[5] 6.1 [1],[2]
Investment, Identifier [Axis]: Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 12.7 [4],[5] 12.7 [1],[2]
Investment, Identifier [Axis]: Shur-Co Acquisition, Inc. and Shur-Co Holdco, Inc., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 5.4 [4],[5] 5.4 [1],[2]
Investment, Identifier [Axis]: Silk Holdings III Corp. and Silk Holdings I Corp.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.0 0.0
Investment, Identifier [Axis]: Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 5.3 [4],[5] 5.4 [1],[2]
Investment, Identifier [Axis]: Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 47.7 [4],[5] 55.9 [1],[2]
Investment, Identifier [Axis]: Silk Holdings III Corp. and Silk Holdings I Corp., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Slaine Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 23.2  
Investment, Identifier [Axis]: Slaine Holdings LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 49.2  
Investment, Identifier [Axis]: Smarsh Inc. and Skywalker TopCo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.8 1.7
Investment, Identifier [Axis]: Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 3.4 [4],[5] 1.4 [1],[2]
Investment, Identifier [Axis]: Smarsh Inc. and Skywalker TopCo, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.9 [4],[5] 0.3 [1],[2]
Investment, Identifier [Axis]: Spaceship Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 26.8 26.9
Investment, Identifier [Axis]: Spaceship Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 100.4 [4],[5] 100.7 [1],[2]
Investment, Identifier [Axis]: Spaceship Purchaser, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[13] 0.0  
Investment, Identifier [Axis]: Spark Purchaser, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.3 2.3
Investment, Identifier [Axis]: Spark Purchaser, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 30.6 [4],[5] 30.8 [1],[2]
Investment, Identifier [Axis]: Spindrift Beverage Co., Inc. and SBC Aggregator LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6  
Investment, Identifier [Axis]: Spindrift Beverage Co., Inc. and SBC Aggregator LP 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.2  
Investment, Identifier [Axis]: Spindrift Beverage Co., Inc. and SBC Aggregator LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 12.2  
Investment, Identifier [Axis]: Spindrift Beverage Co., Inc. and SBC Aggregator LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.2  
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.6 2.5
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.6 [4],[5] 2.5 [1],[2]
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.8 [4],[5] 0.8 [1],[2]
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.5  
Investment, Identifier [Axis]: Spirit RR Holdings, Inc. and Winterfell Co-Invest SCSp, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.0  
Investment, Identifier [Axis]: Spring Insurance Solutions, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   21.8
Investment, Identifier [Axis]: Spruce Bidco II Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 50.7  
Investment, Identifier [Axis]: Spruce Bidco II Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 27.9  
Investment, Identifier [Axis]: Spruce Bidco II Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 28.2  
Investment, Identifier [Axis]: Spruce Bidco II Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 195.8  
Investment, Identifier [Axis]: St Athena Global LLC and St Athena Global Holdings Limited    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.1 3.3
Investment, Identifier [Axis]: St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   30.0
Investment, Identifier [Axis]: St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 29.9 [4],[5],[6] 17.0 [1],[2],[3]
Investment, Identifier [Axis]: St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 18.6  
Investment, Identifier [Axis]: St Athena Global LLC and St Athena Global Holdings Limited, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.9 [4],[5],[6] 0.7 [1],[2],[3]
Investment, Identifier [Axis]: Star US Bidco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   15.5
Investment, Identifier [Axis]: Steward Partners Global Advisory, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 11.1  
Investment, Identifier [Axis]: Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   2.0
Investment, Identifier [Axis]: Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 4.9  
Investment, Identifier [Axis]: Steward Partners Global Advisory, LLC and Steward Partners Investment Advisory, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   0.2
Investment, Identifier [Axis]: Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   42.8
Investment, Identifier [Axis]: Storable, Inc. and EQT IX Co-Investment (E) SCSP, Second lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   10.3
Investment, Identifier [Axis]: Storm Investment S.a.r.l. and Atletico Holdco, S.L., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[3]   63.9
Investment, Identifier [Axis]: Storm Investment S.a.r.l. and Atletico Holdco, S.L., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [1],[3]   29.1
Investment, Identifier [Axis]: Storm Investment S.a.r.l., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5],[6] 72.6  
Investment, Identifier [Axis]: Sugar PPC Buyer LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.7 3.9
Investment, Identifier [Axis]: Sugar PPC Buyer LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 15.7 [4],[5] 15.7 [1],[2]
Investment, Identifier [Axis]: Sugar PPC Buyer LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.2  
Investment, Identifier [Axis]: Sun Acquirer Corp. and Sun TopCo, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 67.5 72.7
Investment, Identifier [Axis]: Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 52.5 [4],[5] 52.8 [1],[2]
Investment, Identifier [Axis]: Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 9.2 [4],[5] 16.6 [1],[2]
Investment, Identifier [Axis]: Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 12.3 [4],[5] 9.5 [1],[2]
Investment, Identifier [Axis]: Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 2.8 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: Sun Acquirer Corp. and Sun TopCo, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.0 [5],[13] 0.0 [1],[14]
Investment, Identifier [Axis]: Sundance Group Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.2 2.6
Investment, Identifier [Axis]: Sundance Group Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.0  
Investment, Identifier [Axis]: Sundance Group Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   26.4
Investment, Identifier [Axis]: Sundance Group Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.2 [4],[5] 1.8 [1],[2]
Investment, Identifier [Axis]: Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   4.9
Investment, Identifier [Axis]: Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, Diecast Beacon    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.1  
Investment, Identifier [Axis]: Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   3.8
Investment, Identifier [Axis]: Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.7  
Investment, Identifier [Axis]: Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 2.8 [4],[5],[7] 2.1 [1],[2],[11]
Investment, Identifier [Axis]: Sunk Rock Foundry Partners LP, Hatteras Electrical Manufacturing Holding Company and Sigma Electric Manufacturing Corporation, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 15.0  
Investment, Identifier [Axis]: Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [5] 0.1 [1]
Investment, Identifier [Axis]: Sunrun Atlas Depositor 2019-2, LLC and Sunrun Atlas Holdings 2019-2, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 179.6 [4],[5] 173.2 [1],[2]
Investment, Identifier [Axis]: Sunrun Luna Holdco 2021, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[3]   150.0
Investment, Identifier [Axis]: Sunrun Luna Holdco 2021, LLC, Senior subordinated revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 150.0  
Investment, Identifier [Axis]: Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.3 [5] 0.3 [1]
Investment, Identifier [Axis]: Sunrun Xanadu Issuer 2019-1, LLC and Sunrun Xanadu Holdings 2019-1, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 83.7 [4],[5] 81.2 [1],[2]
Investment, Identifier [Axis]: Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 34.8 37.9
Investment, Identifier [Axis]: Sunvair Aerospace Group, Inc. and GB Helios Holdings, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 38.8 [4],[5] 35.9 [1],[2]
Investment, Identifier [Axis]: Superman Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.3 16.7
Investment, Identifier [Axis]: Superman Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 42.7  
Investment, Identifier [Axis]: Superman Holdings, LLC., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   35.5
Investment, Identifier [Axis]: Supplying Demand, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1 0.1
Investment, Identifier [Axis]: Surescripts, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 22.9 22.9
Investment, Identifier [Axis]: Surescripts, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 57.9 [4],[5] 58.0 [1],[2]
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.4 6.3
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 28.6 [4],[5],[10] 28.8 [1],[2],[9]
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 17.2 [4],[5] 17.3 [1],[2]
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.4 [5] 3.7 [1]
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [5] 1.3  
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 76.2 [4],[5] 76.2 [1],[2]
Investment, Identifier [Axis]: Symplr Software Inc. and Symplr Software Intermediate Holdings, Inc., Second lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 54.0 [4],[5] 52.9 [1],[2]
Investment, Identifier [Axis]: Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   4.2
Investment, Identifier [Axis]: Synergy HomeCare Franchising, LLC and NP/Synergy Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   10.9
Investment, Identifier [Axis]: Systems Planning and Analysis, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.5 4.0
Investment, Identifier [Axis]: Systems Planning and Analysis, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.0 [4],[5] 1.0 [1],[2]
Investment, Identifier [Axis]: Systems Planning and Analysis, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.5  
Investment, Identifier [Axis]: TCI Buyer LLC and TCI Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 25.8 25.8
Investment, Identifier [Axis]: TCI Buyer LLC and TCI Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 32.8 [4],[5] 33.6 [1],[2]
Investment, Identifier [Axis]: TCP Hawker Intermediate LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 13.0 11.5
Investment, Identifier [Axis]: TCP Hawker Intermediate LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 50.5 [4],[5] 3.4 [1],[2]
Investment, Identifier [Axis]: TCP Hawker Intermediate LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.0 [4],[5] 50.7 [1],[2]
Investment, Identifier [Axis]: TCP Hawker Intermediate LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.8
Investment, Identifier [Axis]: TCP Hawker Intermediate LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[2]   2.0
Investment, Identifier [Axis]: TCP Hawker Intermediate LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.6  
Investment, Identifier [Axis]: THG Acquisition, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 50.7 51.8
Investment, Identifier [Axis]: THG Acquisition, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 1.6  
Investment, Identifier [Axis]: THG Acquisition, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 144.0 [4],[5] 143.4 [1],[2]
Investment, Identifier [Axis]: THG Acquisition, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 7.5 [4] 1.6 [1],[2],[11]
Investment, Identifier [Axis]: TPG IX Cardiff Debt HoldCo I, LLC, TPG IX Cardiff Debt Holdco II, LLC, TPG IX Cardiff CI I, L.P., and TPG IX Cardiff CI II, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 11.4  
Investment, Identifier [Axis]: TSS Buyer, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.3 0.5
Investment, Identifier [Axis]: TSS Buyer, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 1.2 [4],[5] 2.1 [1],[2]
Investment, Identifier [Axis]: TSS Buyer, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.1  
Investment, Identifier [Axis]: Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.5 7.5
Investment, Identifier [Axis]: Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 34.3 [4],[5] 34.4 [1],[2]
Investment, Identifier [Axis]: Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.8  
Investment, Identifier [Axis]: Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 5.8 [4],[5] 10.8 [1],[2]
Investment, Identifier [Axis]: Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [1],[2]   5.8
Investment, Identifier [Axis]: Tamarack Intermediate, L.L.C. and Tamarack Parent, L.L.C., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.0  
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.8 0.8
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5] 1.4 [1],[2]
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5] 0.4 [1],[2]
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal 0.6 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 3    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.4
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 4    
Schedule of Investments [Line Items]    
Principal 0.5 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Taymax Group, L.P., Taymax Group G.P., LLC, PF Salem Canada ULC and TCP Fit Parent, L.P., First lien senior secured revolving loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.1  
Investment, Identifier [Axis]: Team Acquisition Corporation    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.1 6.1
Investment, Identifier [Axis]: Team Acquisition Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 34.4 [4],[5] 34.6 [1],[2]
Investment, Identifier [Axis]: Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 75.5 [4],[5] 75.9 [1],[2]
Investment, Identifier [Axis]: Teasdale Foods, Inc. and Familia Group Holdings Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.8  
Investment, Identifier [Axis]: Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.3  
Investment, Identifier [Axis]: Telle Tire & Auto Service, LLC and Next Horizon Capital TireCo SPV, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.0  
Investment, Identifier [Axis]: Tempus AI, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 76.3 [4],[5],[6] 75.0 [1],[2],[3]
Investment, Identifier [Axis]: Tempus AI, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 22.2 [4],[5],[6] 21.8 [1],[2],[3]
Investment, Identifier [Axis]: Tempus AI, Inc., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 9.5 [4],[5],[6] 9.3 [1],[2],[3]
Investment, Identifier [Axis]: Tempus AI, Inc., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 31.3  
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.9 15.2
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.2
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.2  
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 1.6 [4],[5] 1.6 [1],[2]
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 5.4 [4],[5] 5.3 [1],[2]
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 10.9 [4],[5] 8.6 [1],[2]
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 8.8  
Investment, Identifier [Axis]: The Arcticom Group, LLC and AMCP Mechanical Holdings, LP, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.8
Investment, Identifier [Axis]: The Edelman Financial Center, LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [5],[6],[10] 0.1 [1],[3],[9]
Investment, Identifier [Axis]: The Hiller Companies, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.2 11.9
Investment, Identifier [Axis]: The Hiller Companies, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 47.8 [4],[5] 41.5 [1],[2]
Investment, Identifier [Axis]: The Hiller Companies, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5],[13] 0.0  
Investment, Identifier [Axis]: The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.6 0.8
Investment, Identifier [Axis]: The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 3.9 [4],[5],[6] 3.9 [1],[2],[3]
Investment, Identifier [Axis]: The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.5  
Investment, Identifier [Axis]: The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.4 [4],[5],[6] 0.2 [1],[2],[3]
Investment, Identifier [Axis]: The Mather Group, LLC, TVG-TMG Topco, Inc., and TVG-TMG Holdings, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 4.1 [5],[6] 3.8 [1],[3]
Investment, Identifier [Axis]: The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.6 5.6
Investment, Identifier [Axis]: The Ultimus Group Midco, LLC, The Ultimus Group, LLC, and The Ultimus Group Aggregator, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 20.6 [4],[5] 20.7 [1],[2]
Investment, Identifier [Axis]: Therapy Brands Holdings LLC, Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 29.1 [4],[5] 29.1 [1],[2]
Investment, Identifier [Axis]: Thermostat Purchaser III, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.3 3.7
Investment, Identifier [Axis]: Thermostat Purchaser III, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [5],[7] 0.8  
Investment, Identifier [Axis]: Thermostat Purchaser III, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[11]   2.4
Investment, Identifier [Axis]: Thermostat Purchaser III, Inc., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[11]   1.2
Investment, Identifier [Axis]: Thermostat Purchaser III, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 23.0 [4],[5] 23.0 [1],[2]
Investment, Identifier [Axis]: Tiger Holdco LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.6  
Investment, Identifier [Axis]: Top Five Largest Portfolio Company Investments | Senior Direct Lending Program    
Schedule of Investments [Line Items]    
Principal 1,711.0 1,692.0
Investment, Identifier [Axis]: Transit Technologies LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.0 6.3
Investment, Identifier [Axis]: Transit Technologies LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 12.0  
Investment, Identifier [Axis]: Transit Technologies LLC., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   10.8
Investment, Identifier [Axis]: Triton Water Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2],[9]   1.0
Investment, Identifier [Axis]: Triton Water Holdings, Inc., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal [1],[9]   0.1
Investment, Identifier [Axis]: Triwizard Holdings, Inc. and Triwizard Parent, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 15.0 18.0
Investment, Identifier [Axis]: Triwizard Holdings, Inc. and Triwizard Parent, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [2]   3.0
Investment, Identifier [Axis]: Triwizard Holdings, Inc. and Triwizard Parent, LP, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 4.6  
Investment, Identifier [Axis]: Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 95.3 18.4
Investment, Identifier [Axis]: Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 127.2 [4],[5] 80.9 [1],[2]
Investment, Identifier [Axis]: Truck-Lite Co., LLC, Ecco Holdings Corp. and Clarience Technologies, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.0  
Investment, Identifier [Axis]: Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.4 5.4
Investment, Identifier [Axis]: Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5],[10] 0.1  
Investment, Identifier [Axis]: Truist Insurance Holdings, LLC and McGriff Insurance Services, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1]   0.1
Investment, Identifier [Axis]: Two Six Labs, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 31.6 36.5
Investment, Identifier [Axis]: Two Six Labs, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.5 [4],[5] 8.6 [1],[2]
Investment, Identifier [Axis]: Two Six Labs, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.9  
Investment, Identifier [Axis]: U.S. Anesthesia Partners, Inc. & U.S. Anesthesia Partners Holdings, Inc., Second lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 147.8 [4],[5] 147.8 [1],[2]
Investment, Identifier [Axis]: U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.9  
Investment, Identifier [Axis]: U.S. Urology Partners, LLC and General Atlantic (USU) Blocker Collection Holdco, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.8  
Investment, Identifier [Axis]: UP Intermediate II LLC and UPBW Blocker LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.5 4.1
Investment, Identifier [Axis]: UP Intermediate II LLC and UPBW Blocker LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.8 [4],[5] 4.8 [1],[2]
Investment, Identifier [Axis]: UP Intermediate II LLC and UPBW Blocker LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.5 [4],[5],[7] 0.0 [1],[2],[14]
Investment, Identifier [Axis]: US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.9 9.9
Investment, Identifier [Axis]: US Salt Investors, LLC and Emerald Lake Pearl Acquisition-A, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 24.8 [4],[5] 25.3 [1],[2]
Investment, Identifier [Axis]: United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.5 7.9
Investment, Identifier [Axis]: United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 10.4 [4],[5] 10.2 [1],[2]
Investment, Identifier [Axis]: United Digestive MSO Parent, LLC and Koln Co-Invest Unblocked, LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5] 0.5 [1],[2]
Investment, Identifier [Axis]: Unity Purchaser, LLC and Unity Ultimate Holdings, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 10.9  
Investment, Identifier [Axis]: Unity Purchaser, LLC and Unity Ultimate Holdings, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.6  
Investment, Identifier [Axis]: UserZoom Technologies, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.8 [4],[5] 5.8 [1],[2]
Investment, Identifier [Axis]: VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 14.7 3.2
Investment, Identifier [Axis]: VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 6.1 [4],[5] 6.1 [1],[2]
Investment, Identifier [Axis]: VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 9.0 [4],[5] 9.1 [1],[2]
Investment, Identifier [Axis]: VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 12.3 [4],[5] 12.4 [1],[2]
Investment, Identifier [Axis]: VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 2.7 [4],[5] 2.0 [1],[2]
Investment, Identifier [Axis]: VPP Intermediate Holdings, LLC and VPP Group Holdings, L.P., First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5] 1.8  
Investment, Identifier [Axis]: VPROP Operating, LLC and V SandCo, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 2.2 2.2
Investment, Identifier [Axis]: VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 30.0 [4],[5] 28.0 [1],[2]
Investment, Identifier [Axis]: VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 6.6 [4],[5] 6.2 [1],[2]
Investment, Identifier [Axis]: VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 5.1 [1],[2]
Investment, Identifier [Axis]: VPROP Operating, LLC and V SandCo, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 4.7 [4],[5] 4.5 [1],[2]
Investment, Identifier [Axis]: VRC Companies, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.4 5.4
Investment, Identifier [Axis]: VRC Companies, LLC, Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 5.3 [5] 5.2 [1]
Investment, Identifier [Axis]: Valcourt Holdings II, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.5  
Investment, Identifier [Axis]: Valcourt Holdings II, LLC and Jobs Holdings, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   3.5
Investment, Identifier [Axis]: Valcourt Holdings II, LLC and Jobs Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 55.6 [4],[5] 55.9 [1],[2]
Investment, Identifier [Axis]: Vamos Bidco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.9  
Investment, Identifier [Axis]: Vamos Bidco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 18.2  
Investment, Identifier [Axis]: Verista, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.3 7.3
Investment, Identifier [Axis]: Verista, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.8 [4],[5] 0.8 [1],[2]
Investment, Identifier [Axis]: Verista, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5] 0.7 [1],[2]
Investment, Identifier [Axis]: Vertex Service Partners, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 12.0  
Investment, Identifier [Axis]: Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   14.8
Investment, Identifier [Axis]: Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 15.2 [4],[5] 15.2 [1],[2]
Investment, Identifier [Axis]: Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 2.9 [4],[5] 0.3 [1],[2]
Investment, Identifier [Axis]: Vertex Service Partners, LLC and Vertex Service Partners Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.3 [4],[5],[7] 1.4 [1],[2]
Investment, Identifier [Axis]: Viant Medical Holdings, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.0 [5],[10] 27.6 [1],[9]
Investment, Identifier [Axis]: Victors Purchaser, LLC and WP Victors Co-Investment, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 7.4 22.9
Investment, Identifier [Axis]: Victors Purchaser, LLC and WP Victors Co-Investment, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 6.6 [4],[5] 70.1 [1],[2]
Investment, Identifier [Axis]: Victors Purchaser, LLC and WP Victors Co-Investment, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.1
Investment, Identifier [Axis]: Viper Bidco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.1 5.1
Investment, Identifier [Axis]: Viper Bidco, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 17.7 [4],[5] 17.8 [1],[2]
Investment, Identifier [Axis]: Viper Bidco, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 11.2 [4],[5] 10.3 [1],[2]
Investment, Identifier [Axis]: Visual Edge Technology, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 18.9 18.9
Investment, Identifier [Axis]: Visual Edge Technology, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 33.7 [4],[5] 33.6 [1],[2]
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   6.6
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1]   3.4
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1],[8]   63.9
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [1],[8]   5.7
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [1],[8]   8.4
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [1],[8]   4.2
Investment, Identifier [Axis]: Vobev, LLC and Vobev Holdings, LLC, First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal [1],[8]   2.5
Investment, Identifier [Axis]: W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 6.5 6.3
Investment, Identifier [Axis]: W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 23.5 [4],[5] 17.3 [1],[2]
Investment, Identifier [Axis]: W.S. Connelly & Co., LLC and WSC Ultimate Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.0  
Investment, Identifier [Axis]: WCI-BXC Purchaser, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.7  
Investment, Identifier [Axis]: WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.7
Investment, Identifier [Axis]: WCI-BXC Purchaser, LLC and WCI-BXC Investment Holdings, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 5.0 [4],[5] 5.0 [1],[2]
Investment, Identifier [Axis]: WRE Sports Investments LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.8 6.5
Investment, Identifier [Axis]: WRE Sports Investments LLC,First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1]   24.9
Investment, Identifier [Axis]: WRE Sports Investments LLC,First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1]   0.4
Investment, Identifier [Axis]: WRE Sports Investments LLC., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] 26.7  
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.0 5.1
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 33.8 [4],[5] 33.2 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 4.6 [4],[5] 4.5 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 5.5 [4],[5] 13.9 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 11.0 [4],[5] 10.8 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 6    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 7    
Schedule of Investments [Line Items]    
Principal 31.8 [4],[5] 31.2 [1],[2]
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured loan 8    
Schedule of Investments [Line Items]    
Principal [4],[5] 8.6  
Investment, Identifier [Axis]: WSHP FC Acquisition LLC and WSHP FC Holdings LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 15.3 [4],[5],[7] 10.2 [1],[2],[11]
Investment, Identifier [Axis]: WU Holdco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 8.7  
Investment, Identifier [Axis]: WU Holdco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 10.6  
Investment, Identifier [Axis]: Walnut Parent, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 14.3 [4],[5] 14.3 [1],[2]
Investment, Identifier [Axis]: Walnut Parent, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Wash Encore Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 96.0 [4],[5] 96.5 [1],[2]
Investment, Identifier [Axis]: Wash Encore Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 16.6 [4],[5] 16.6 [1],[2]
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.6 3.6
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 20.6 [4],[5] 5.6 [1],[2]
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 5.6 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.9  
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 3.7  
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 0.1  
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2],[11]   0.4
Investment, Identifier [Axis]: Watermill Express, LLC and Watermill Express Holdings, LLC, First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   20.7
Investment, Identifier [Axis]: Waverly Advisors, LLC and WAAM Topco, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 35.7 0.8
Investment, Identifier [Axis]: Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.7 [4],[5],[6] 0.7 [1],[2],[3]
Investment, Identifier [Axis]: Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 5.0 [4],[5],[6] 4.3 [1],[2],[3]
Investment, Identifier [Axis]: Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 6.0  
Investment, Identifier [Axis]: Waverly Advisors, LLC and WAAM Topco, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6] 0.8  
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 34.8 43.2
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.5  
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 1.9 [4],[5] 0.5 [1],[2]
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 1.9 [1],[2]
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 0.9 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 16.7 [4],[5] 0.9 [1],[2]
Investment, Identifier [Axis]: Wealth Enhancement Group, LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal 3.7 [4],[5] 12.0 [1],[2]
Investment, Identifier [Axis]: WebPT, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.2  
Investment, Identifier [Axis]: WebPT, Inc. and WPT Intermediate Holdco, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   0.4
Investment, Identifier [Axis]: WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 0.7  
Investment, Identifier [Axis]: WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured revolving loan 1    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.4
Investment, Identifier [Axis]: WebPT, Inc. and WPT Intermediate Holdco, Inc., First lien senior secured revolving loan 2    
Schedule of Investments [Line Items]    
Principal [1],[2]   0.1
Investment, Identifier [Axis]: WebPT, Inc. and WPT Intermediate Holdco, Inc., Senior subordinated loan    
Schedule of Investments [Line Items]    
Principal 69.7 [5] 65.3 [1]
Investment, Identifier [Axis]: Wellington Bidco Inc. and Wellington TopCo LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 16.0 16.0
Investment, Identifier [Axis]: Wellington Bidco Inc. and Wellington TopCo LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 4.0 [4],[5] 60.9 [1],[2]
Investment, Identifier [Axis]: Wellington Bidco Inc. and Wellington TopCo LP, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 0.6 [4],[5] 0.6 [1],[2]
Investment, Identifier [Axis]: Wellington-Altus Financial Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.9 1.9
Investment, Identifier [Axis]: Wellington-Altus Financial Inc. (2)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.1
Investment, Identifier [Axis]: Wellington-Altus Financial Inc. 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.9  
Investment, Identifier [Axis]: Wellington-Altus Financial Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.8 [4],[5],[6] 0.8 [1],[2],[3]
Investment, Identifier [Axis]: Wellington-Altus Financial Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[6],[13] 0.0  
Investment, Identifier [Axis]: Wellness AcquisitionCo, Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.2 2.2
Investment, Identifier [Axis]: Wellness AcquisitionCo, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 11.4  
Investment, Identifier [Axis]: Wellness AcquisitionCo, Inc., First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 3.0 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: Wellness AcquisitionCo, Inc., First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 3.9 [4],[5] 1.7 [1],[2]
Investment, Identifier [Axis]: Werner Finco LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 110.3  
Investment, Identifier [Axis]: WorkWave Intermediate II, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 4.1 4.1
Investment, Identifier [Axis]: WorkWave Intermediate II, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 53.9 [4],[5] 53.0 [1],[2]
Investment, Identifier [Axis]: WorkWave Intermediate II, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 19.6 [4],[5] 19.3 [1],[2]
Investment, Identifier [Axis]: WorkWave Intermediate II, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 6.5 [4],[5] 6.4 [1],[2]
Investment, Identifier [Axis]: WorkWave Intermediate II, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 1.1 [4],[5] 1.1 [1],[2]
Investment, Identifier [Axis]: World Insurance Associates, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.9  
Investment, Identifier [Axis]: World Insurance Associates, LLC and World Associates Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   4.4
Investment, Identifier [Axis]: World Insurance Associates, LLC and World Associates Holdings, LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 9.4 [4],[5] 8.9 [1],[2]
Investment, Identifier [Axis]: Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 1.7 0.2
Investment, Identifier [Axis]: Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P. (1)    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   1.7
Investment, Identifier [Axis]: Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P. 1    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.2  
Investment, Identifier [Axis]: Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 8.3 [4],[5] 8.2 [1],[2]
Investment, Identifier [Axis]: Worldwide Produce Acquisition, LLC and REP WWP Coinvest IV, L.P., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[13] 0.0  
Investment, Identifier [Axis]: Wrench Group LLC, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 0.1 [5],[10] 0.1 [1],[9]
Investment, Identifier [Axis]: XIFIN, Inc. and ACP Charger Co-Invest LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 0.1 0.0
Investment, Identifier [Axis]: XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 36.8 [4],[5] 37.0 [1],[2]
Investment, Identifier [Axis]: XIFIN, Inc. and ACP Charger Co-Invest LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 5.6 [4],[5] 5.7 [1],[2]
Investment, Identifier [Axis]: YE Brands Holdings, LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 3.2 1.9
Investment, Identifier [Axis]: YE Brands Holdings, LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.1 [4],[5] 0.1 [1],[2]
Investment, Identifier [Axis]: YE Brands Holdings, LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 8.0 [4],[5] 8.0 [1],[2]
Investment, Identifier [Axis]: YE Brands Holdings, LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 3.6 [4],[5] 3.6 [1],[2]
Investment, Identifier [Axis]: YE Brands Holdings, LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal 2.6 [4],[5] 2.3 [1],[2]
Investment, Identifier [Axis]: YE Brands Holdings, LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   1.6
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 28.3 8.9
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal 0.2 [4],[5] 0.2 [1],[2]
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal 8.6 [4],[5] 8.6 [1],[2]
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 3    
Schedule of Investments [Line Items]    
Principal 10.6 [4],[5] 7.7 [1],[2]
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 4    
Schedule of Investments [Line Items]    
Principal [4],[5] 2.9  
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC, First lien senior secured loan 5    
Schedule of Investments [Line Items]    
Principal [4],[5] 4.0  
Investment, Identifier [Axis]: ZB Holdco LLC and ZB TopCo LLC, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal 6.3 [4],[5],[7] 5.0 [1],[2],[11]
Investment, Identifier [Axis]: ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 9.5 12.8
Investment, Identifier [Axis]: ZenDesk, Inc., Zoro TopCo, Inc. and Zoro TopCo, LP, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 32.8 [4],[5] 43.4 [1],[2]
Investment, Identifier [Axis]: Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc.    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 5.9 10.8
Investment, Identifier [Axis]: Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [4],[5] 12.5  
Investment, Identifier [Axis]: Zinc Buyer Corporation and Marmic Fire & Safety Co., Inc., First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [4],[5],[7] 0.3  
Investment, Identifier [Axis]: Zinc Buyer Corporation, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [1],[2]   37.7
Investment, Identifier [Axis]: Zinc Buyer Corporation, First lien senior secured revolving loan    
Schedule of Investments [Line Items]    
Principal [1],[14]   0.0
Investment, Identifier [Axis]: ZocDoc, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 74.1 [4],[5] 74.1 [1],[2]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 1    
Schedule of Investments [Line Items]    
Principal 56.0 [4],[5],[6] 42.1 [1],[2],[3]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 2    
Schedule of Investments [Line Items]    
Principal 5.4 [4],[5],[6] 56.0 [1],[2],[3]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 3    
Schedule of Investments [Line Items]    
Principal 24.3 [4],[5],[6] 5.4 [1],[2],[3]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 4    
Schedule of Investments [Line Items]    
Principal 55.8 [4],[5],[6] 24.3 [1],[2],[3]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 5    
Schedule of Investments [Line Items]    
Principal 12.3 [4],[5],[6] 55.8 [1],[2],[3]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 6    
Schedule of Investments [Line Items]    
Principal 42.1 [4],[5],[6] 12.3 [1],[2],[3]
Investment, Identifier [Axis]: eCapital Finance Corp., Senior subordinated loan 7    
Schedule of Investments [Line Items]    
Principal 21.9 [4],[5],[6] 21.9 [1],[2],[3]
Investment, Identifier [Axis]: eResearch Technology, Inc. and Astorg VII Co-Invest ERT    
Schedule of Investments [Line Items]    
Total unfunded capital commitments   15.0
Investment, Identifier [Axis]: eResearch Technology, Inc. and Astorg VII Co-Invest ERT, First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal 181.9 [4],[5] 1.0 [1],[2],[9]
Investment, Identifier [Axis]: eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 1    
Schedule of Investments [Line Items]    
Principal [1]   27.2
Investment, Identifier [Axis]: eResearch Technology, Inc. and Astorg VII Co-Invest ERT, Second lien senior secured loan 2    
Schedule of Investments [Line Items]    
Principal [1]   $ 30.6
Investment, Identifier [Axis]: eResearchTechnology, Inc. and Astorg VII Co-Invest ERT    
Schedule of Investments [Line Items]    
Total unfunded capital commitments 34.5  
Investment, Identifier [Axis]: pH Beauty Holdings III, Inc., First lien senior secured loan    
Schedule of Investments [Line Items]    
Principal [5] $ 25.3  
[1]
(2)These assets are pledged as collateral under the Company’s or the Company’s consolidated subsidiaries’ various revolving credit facilities and debt securitizations and, as a result, are not directly available to the creditors of the Company to satisfy any obligations of the Company other than the obligations under each of the respective facilities and debt securitizations (see Note 5).
[2] Loan includes interest rate floor feature.
[3] This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act. Under the Investment Company Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Company's total assets. Pursuant to Section 55(a) of the Investment Company Act, 22% of the Company's total assets are represented by investments at fair value and other assets that are considered “non-qualifying assets” as of December 31, 2024.
[4] Loan includes interest rate floor feature.
[5] These assets are pledged as collateral under the Company’s or the Company’s consolidated subsidiaries’ various revolving credit facilities and debt securitizations and, as a result, are not directly available to the creditors of the Company to satisfy any obligations of the Company other than the obligations under each of the respective facilities and debt securitizations (see Note 5).
[6] This portfolio company is not a qualifying asset under Section 55(a) of the Investment Company Act. Under the Investment Company Act, the Company may not acquire any non-qualifying asset unless, at the time such acquisition is made, qualifying assets represent at least 70% of the Company's total assets. Pursuant to Section 55(a) of the Investment Company Act, 22% of the Company's total assets are represented by investments at fair value and other assets that are considered "non-qualifying assets" as of June 30, 2025.
[7] As of June 30, 2025, in addition to the amounts funded by the Company under this first lien senior secured revolving loan, there were also letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.
[8] Loan was on non-accrual status as of December 31, 2024.
[9] Other than the investments noted by this footnote, the fair value of the Company’s investments is determined using unobservable inputs that are significant to the overall fair value measurement. See Note 8 for more information regarding the fair value of the Company’s investments.
[10] Other than the investments noted by this footnote, the fair value of the Company’s investments is determined using unobservable inputs that are significant to the overall fair value measurement. See Note 8 for more information regarding the fair value of the Company’s investments.
[11] As of December 31, 2024, in addition to the amounts funded by the Company under this first lien senior secured revolving loan, there were also letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.
[12] Loan was on non-accrual status as of June 30, 2025.
[13] As of June 30, 2025, no amounts were funded by the Company under this first lien senior secured revolving loan; however, there were letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.
[14] As of December 31, 2024, no amounts were funded by the Company under this first lien senior secured revolving loan; however, there were letters of credit issued and outstanding through a financial intermediary under the loan. See Note 7 for further information on letters of credit commitments related to certain portfolio companies.
[15] The Company sold a participating interest of approximately $32.0 in aggregate principal amount outstanding of the portfolio company’s first lien senior secured revolving loan. As the transaction did not qualify as a “true sale” in accordance with U.S. generally accepted accounting principles (“GAAP”), the Company recorded a corresponding $32.0 secured borrowing, at fair value, included in “secured borrowings” in the accompanying consolidated balance sheet. As of December 31, 2024, the interest rate in effect for the secured borrowing was 12.15%.
[16] In addition to the interest earned based on the stated interest rate of this security, the Company is entitled to receive an additional interest amount of 2.00% on $36.2 in aggregate principal amount of a “first out” tranche of the portfolio company’s senior term debt previously syndicated by the Company into “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any other amounts due thereunder.
[17] In addition to the interest earned based on the stated interest rate of this security, the Company is entitled to receive an additional interest amount of 2.00% on $38.7 in aggregate principal amount of a “first out” tranche of the portfolio company’s senior term debt previously syndicated by the Company into “first out” and “last out” tranches, whereby the “first out” tranche will have priority as to the “last out” tranche with respect to payments of principal, interest and any other amounts due thereunder.
[18] In addition to the interest earned based on the stated contractual interest rate of this security, the certificates entitle the holders thereof to receive a portion of the excess cash flow from the SDLP’s loan portfolio, after expenses, which may result in a return to the Company greater than the contractual stated interest rate.
[19] In addition to the interest earned based on the stated contractual interest rate of this security, the certificates entitle the holders thereof to receive a portion of the excess cash flow from the SDLP’s loan portfolio, after expenses, which may result in a return to the Company greater than the contractual stated interest rate.

v3.25.2
DEBT - Narrative (Details) - USD ($)
$ in Millions
6 Months Ended 12 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Jun. 21, 2019
Jun. 20, 2019
Debt Instrument [Line Items]        
Asset coverage requirement applicable to senior securities 199.00%   150.00% 200.00%
Principal amount of debt outstanding $ 14,114 $ 13,789    
Operating lease, weighted average discount rate, percent 4.90%      
Weighted average stated interest rate   4.90%    
Weighted Average        
Debt Instrument [Line Items]        
Term of debt instrument 3 years 9 months 18 days 3 years 9 months 18 days    

v3.25.2
DEBT - Outstanding Debt (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes $ 20,978 $ 18,948
Principal Amount Outstanding 14,114 13,789
Carrying Value 14,109 13,727
Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 14,109 13,727
Revolving Credit Facility    
Debt Instrument [Line Items]    
Borrowing capacity increase under line of credit 7,925 6,732
SMBC Funding Facility    
Debt Instrument [Line Items]    
Borrowing capacity increase under line of credit 1,000  
April 2036 CLO Notes    
Debt Instrument [Line Items]    
Principal Amount Outstanding 702  
Line of Credit | Revolving Credit Facility    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 5,393 4,513
Principal Amount Outstanding 1,144 1,113
Carrying Value 1,144 1,113
Line of Credit | Revolving Funding Facility    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 2,150 2,150
Principal Amount Outstanding 750 1,065
Carrying Value 750 1,065
Line of Credit | SMBC Funding Facility    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 800 800
Principal Amount Outstanding 400 502
Carrying Value 400 502
Line of Credit | SMBC Funding Facility | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 400  
Line of Credit | BNP Funding Facility    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,265 1,265
Principal Amount Outstanding 450 889
Carrying Value 450 889
Line of Credit | BNP Funding Facility | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 450  
Secured Debt | April 2036 CLO Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 476 476
Principal Amount Outstanding 476 476
Carrying Value 473 473
Secured Debt | October 2036 CLO Secured Loans    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 544 544
Principal Amount Outstanding 544 544
Carrying Value 541 541
Senior Notes | March 2025 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 0 600
Principal Amount Outstanding 0 600
Carrying Value 0 600
Senior Notes | March 2025 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 0 600
Senior Notes | July 2025 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,250 1,250
Principal Amount Outstanding 1,250 1,250
Carrying Value 1,250 1,252
Senior Notes | July 2025 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 1,250 1,252
Senior Notes | January 2026 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,150 1,150
Principal Amount Outstanding 1,150 1,150
Carrying Value 1,149 1,148
Senior Notes | January 2026 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 1,149 1,148
Senior Notes | July 2026 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,000 1,000
Principal Amount Outstanding 1,000 1,000
Carrying Value 997 996
Senior Notes | July 2026 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 997 996
Senior Notes | January 2027 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 900 900
Principal Amount Outstanding 900 900
Carrying Value 901 891
Senior Notes | January 2027 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 901 891
Senior Notes | June 2027 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 500 500
Principal Amount Outstanding 500 500
Carrying Value 497 497
Senior Notes | June 2027 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 497 497
Senior Notes | June 2028 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,250 1,250
Principal Amount Outstanding 1,250 1,250
Carrying Value 1,248 1,248
Senior Notes | June 2028 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 1,248 1,248
Senior Notes | March 2029 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,000 1,000
Principal Amount Outstanding 1,000 1,000
Carrying Value 999 985
Senior Notes | March 2029 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 999 985
Senior Notes | July 2029 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 850 850
Principal Amount Outstanding 850 850
Carrying Value 862 835
Senior Notes | July 2029 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 862 835
Senior Notes | March 2030    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes   0
Principal Amount Outstanding 750 0
Carrying Value 742 0
Senior Notes | November 2031 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 700 700
Principal Amount Outstanding 700 700
Carrying Value 693 692
Senior Notes | November 2031 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt 693 692
Senior Notes | March 2032 Notes    
Debt Instrument [Line Items]    
Aggregate principal amount of unsecured notes 1,000 0
Principal Amount Outstanding 1,000 0
Carrying Value   0
Senior Notes | March 2032 Notes | Carrying value    
Debt Instrument [Line Items]    
Fair value disclosures of long-term debt $ 1,013 $ 0

v3.25.2
DEBT - Revolving Credit Facility and Letter of Credit Facility Narrative (Details)
$ in Millions
6 Months Ended 27 Months Ended 30 Months Ended
Oct. 08, 2024
Jun. 30, 2025
USD ($)
Oct. 08, 2024
Sep. 30, 2024
Dec. 31, 2024
USD ($)
Debt Instrument [Line Items]          
Principal amount of debt outstanding   $ 14,114     $ 13,789
Minimum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment   0.50%      
Maximum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment   1.25%      
Revolving Credit Facility          
Debt Instrument [Line Items]          
Percentage of total commitment under line of credit   85      
Revolving Credit Facility | Minimum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment   0.325%      
Line of Credit | Revolving Credit Facility          
Debt Instrument [Line Items]          
Interest rate spread       0.10%  
Line of Credit | Revolving Credit Facility | Base Rate | Minimum          
Debt Instrument [Line Items]          
Interest rate spread   1.75%      
Line of Credit | Revolving Credit Facility | Base Rate | Maximum          
Debt Instrument [Line Items]          
Interest rate spread   1.875%      
Line of Credit | Revolving Credit Facility | Alternate Base Rate | Minimum          
Debt Instrument [Line Items]          
Interest rate spread   0.75%      
Line of Credit | Revolving Credit Facility | Alternate Base Rate | Maximum          
Debt Instrument [Line Items]          
Interest rate spread   0.875%      
Revolving Credit Facility          
Debt Instrument [Line Items]          
Borrowing capacity increase under line of credit   $ 7,925     6,732
Percentage of total commitment under line of credit   0.85      
Percentage of line of credit commitment   1.775%      
Revolving Credit Facility | Minimum          
Debt Instrument [Line Items]          
Percentage of line of credit commitment   1.90%      
Revolving Credit Facility | Maximum          
Debt Instrument [Line Items]          
Percentage of line of credit commitment   2.025%      
Revolving Credit Facility | Line of Credit          
Debt Instrument [Line Items]          
Total Aggregate Principal Amount Committed/ Outstanding   $ 5,393      
Minimum required ratio of total assets to total indebtedness   1.5      
Principal amount of debt outstanding   $ 1,144     1,113
Remaining amount available for borrowing under line of credit   $ 4,196      
Interest rate spread   1.65%   0.10%  
Revolving Credit Facility | Line of Credit | Base Rate          
Debt Instrument [Line Items]          
Interest rate spread   1.525%      
Revolving Credit Facility | Line of Credit | Base Rate | Minimum          
Debt Instrument [Line Items]          
Interest rate spread   1.65%      
Revolving Credit Facility | Line of Credit | Base Rate | Maximum          
Debt Instrument [Line Items]          
Interest rate spread   1.775%      
Revolving Credit Facility | Line of Credit | Alternate Base Rate          
Debt Instrument [Line Items]          
Interest rate spread   0.525%      
Revolving Credit Facility | Line of Credit | Alternate Base Rate | Minimum          
Debt Instrument [Line Items]          
Interest rate spread   0.65%      
Revolving Credit Facility | Line of Credit | Alternate Base Rate | Maximum          
Debt Instrument [Line Items]          
Interest rate spread   0.775%      
Revolving Credit Facility | Line of Credit | Revolving Credit Facility          
Debt Instrument [Line Items]          
Total Aggregate Principal Amount Committed/ Outstanding   $ 4,249      
Revolving Credit Facility | Line of Credit | Letter of Credit          
Debt Instrument [Line Items]          
Total Aggregate Principal Amount Committed/ Outstanding   400      
Principal amount of debt outstanding   53     52
Letter Of Credit Facility | Line of Credit | Letter of Credit          
Debt Instrument [Line Items]          
Letter of credit facility outstanding   211     140
Revolving Funding Facility | Line of Credit          
Debt Instrument [Line Items]          
Total Aggregate Principal Amount Committed/ Outstanding   2,150      
Principal amount of debt outstanding   $ 750     $ 1,065
Interest rate spread 2.00%   1.90%    
Revolving Funding Facility | Line of Credit | Secured Overnight Financing Rate (SOFR)          
Debt Instrument [Line Items]          
Interest rate spread     0.10%    

v3.25.2
Debt - Revolving and Term Loan (Details) - Revolving Credit Facility - Line of Credit
$ in Millions
Jun. 30, 2025
USD ($)
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding $ 5,393
Revolving tranche  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 4,249
Revolving tranche | Debt Instrument, Redemption, Period One  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 3,958
Revolving tranche | Debt Instrument, Redemption, Period Two  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 246
Revolving tranche | Debt Instrument, Redemption, Period Three  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 45
Term loan tranche  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 1,144
Term loan tranche | Debt Instrument, Redemption, Period One  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 1,035
Term loan tranche | Debt Instrument, Redemption, Period Two  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 45
Term loan tranche | Debt Instrument, Redemption, Period Three  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding 24
Term loan tranche | Debt Instrument, Redemption, Period Four  
Line of Credit Facility [Line Items]  
Total Aggregate Principal Amount Committed/ Outstanding $ 40

v3.25.2
DEBT - Components of Debt Interest Expense (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Line of Credit Facility [Line Items]        
Amortization of debt issuance costs     $ 18 $ 16
Net amortization of premium on notes payable     (2) (3)
Interest and credit facility fees $ 188 $ 174 374 333
Cash paid for interest expense     339 288
SMBC Funding Facility        
Line of Credit Facility [Line Items]        
Average outstanding balance 449 346 432 316
BNP Funding Facility        
Line of Credit Facility [Line Items]        
Average outstanding balance 664 537 687 555
Revolving Credit Facility        
Line of Credit Facility [Line Items]        
Average outstanding balance 1,183 1,242 1,151 1,220
Revolving Funding Facility        
Line of Credit Facility [Line Items]        
Average outstanding balance 921 747 954 645
Line of Credit | SMBC Funding Facility        
Line of Credit Facility [Line Items]        
Stated interest expense 7 7 14 12
Credit facility fees 1 1 1 2
Amortization of debt issuance costs 0 0 1 1
Interest and credit facility fees 8 8 16 15
Cash paid for interest expense $ 8 $ 6 $ 15 $ 12
Average stated interest rate 6.32% 7.95% 6.32% 7.66%
Line of Credit | BNP Funding Facility        
Line of Credit Facility [Line Items]        
Stated interest expense $ 11 $ 10 $ 22 $ 23
Credit facility fees 1 0 1 0
Amortization of debt issuance costs 0 0 1 0
Interest and credit facility fees 12 10 24 23
Cash paid for interest expense $ 13 $ 11 $ 25 $ 23
Average stated interest rate 6.20% 7.93% 6.31% 8.03%
Line of Credit | Revolving Credit Facility        
Line of Credit Facility [Line Items]        
Stated interest expense $ 18 $ 23 $ 35 $ 45
Credit facility fees 4 3 7 7
Amortization of debt issuance costs 2 3 4 5
Interest and credit facility fees 24 29 46 57
Cash paid for interest expense $ 22 $ 23 $ 43 $ 61
Average stated interest rate 6.01% 7.34% 6.10% 7.31%
Line of Credit | Revolving Funding Facility        
Line of Credit Facility [Line Items]        
Stated interest expense $ 14 $ 14 $ 30 $ 24
Credit facility fees 2 2 4 4
Amortization of debt issuance costs 2 1 3 2
Interest and credit facility fees 18 17 37 30
Cash paid for interest expense $ 18 $ 13 $ 35 $ 26
Average stated interest rate 6.31% 7.40% 6.32% 7.39%
Secured Debt | April 2036 CLO Notes        
Line of Credit Facility [Line Items]        
Stated interest expense     $ 15 $ 31
Amortization of debt issuance costs     1 1
Interest and credit facility fees     16 32
Cash paid for interest expense     $ 21 $ 29
Average stated interest rate     5.90% 6.04%
Average outstanding balance     $ 1,020 $ 1,020
Convertible Debt | Convertible Unsecured Notes        
Line of Credit Facility [Line Items]        
Stated interest expense   $ 0   3
Interest and credit facility fees   0   3
Cash paid for interest expense   0   9
Senior Notes        
Line of Credit Facility [Line Items]        
Stated interest expense $ 108 103 215 196
Amortization of debt issuance costs 4 4 8 8
Net amortization of premium on notes payable (1) (1) (2) (3)
Interest and credit facility fees 110 106 219 201
Cash paid for interest expense 81 59 192 157
Senior Notes | Interest rate swap | Hedged Item        
Line of Credit Facility [Line Items]        
Net gain on interest rate swaps accounted for as hedge instruments and the related hedged items $ (1) $ 0 $ (2) $ 0

v3.25.2
DEBT - Revolving Funding Facility Narrative (Details) - USD ($)
$ in Millions
6 Months Ended 27 Months Ended
Oct. 08, 2024
Jun. 30, 2025
Oct. 08, 2024
Dec. 31, 2024
Debt Instrument [Line Items]        
Principal amount of debt outstanding   $ 14,114   $ 13,789
Minimum        
Debt Instrument [Line Items]        
Percentage of unused portion of line of credit commitment   0.50%    
Maximum        
Debt Instrument [Line Items]        
Percentage of unused portion of line of credit commitment   1.25%    
Revolving Funding Facility | Line of Credit        
Debt Instrument [Line Items]        
Total Aggregate Principal Amount Committed/ Outstanding   $ 2,150    
Principal amount of debt outstanding   $ 750   $ 1,065
Interest rate spread 2.00%   1.90%  

v3.25.2
DEBT - SMBC Funding Facility Narrative (Details)
$ in Millions
6 Months Ended 7 Months Ended 8 Months Ended 11 Months Ended
Jun. 30, 2025
USD ($)
extensionOption
Jun. 30, 2025
USD ($)
extensionOption
Dec. 05, 2024
Mar. 27, 2024
Dec. 31, 2024
USD ($)
Debt Instrument [Line Items]          
Principal amount of debt outstanding $ 14,114 $ 14,114     $ 13,789
Minimum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment 0.50%        
Maximum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment 1.25%        
SMBC Funding Facility          
Debt Instrument [Line Items]          
Line of credit, borrowing capacity incremental increase limit $ 1,000 1,000      
SMBC Funding Facility | Minimum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment 0.50%        
SMBC Funding Facility | Maximum          
Debt Instrument [Line Items]          
Percentage of unused portion of line of credit commitment 1.00%        
SMBC Funding Facility | Line of Credit          
Debt Instrument [Line Items]          
Total Aggregate Principal Amount Committed/ Outstanding $ 800 $ 800      
Number of debt maturity extensions | extensionOption 2 2      
Term of debt maturity extension option 1 year        
Principal amount of debt outstanding $ 400 $ 400     $ 502
Interest rate spread   2.00% 2.50% 0.10%  
SMBC Funding Facility | Line of Credit | Base Rate          
Debt Instrument [Line Items]          
Interest rate spread   1.00% 1.50%    
SMBC Funding Facility | Line of Credit | Base Rate | Minimum          
Debt Instrument [Line Items]          
Interest rate spread       0.75%  
SMBC Funding Facility | Line of Credit | Base Rate | Maximum          
Debt Instrument [Line Items]          
Interest rate spread       1.00%  
SMBC Funding Facility | Line of Credit | Secured Overnight Financing Rate (SOFR) | Minimum          
Debt Instrument [Line Items]          
Interest rate spread       1.75%  
SMBC Funding Facility | Line of Credit | Secured Overnight Financing Rate (SOFR) | Maximum          
Debt Instrument [Line Items]          
Interest rate spread       2.00%  

v3.25.2
DEBT - BNP Funding Facility Narrative (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2025
Dec. 31, 2024
Debt Instrument [Line Items]      
Principal amount of debt outstanding $ 14,114 $ 14,114 $ 13,789
Minimum      
Debt Instrument [Line Items]      
Percentage of unused portion of line of credit commitment   0.50%  
Maximum      
Debt Instrument [Line Items]      
Percentage of unused portion of line of credit commitment   1.25%  
BNP Funding Facility | Minimum      
Debt Instrument [Line Items]      
Percentage of unused portion of line of credit commitment   2.10%  
BNP Funding Facility | Maximum      
Debt Instrument [Line Items]      
Percentage of unused portion of line of credit commitment   2.80%  
BNP Funding Facility | Line of Credit      
Debt Instrument [Line Items]      
Total Aggregate Principal Amount Committed/ Outstanding 1,265 $ 1,265  
Principal amount of debt outstanding $ 450 $ 450 $ 889
BNP Funding Facility | Line of Credit | Base Rate, During Reinvestment Period      
Debt Instrument [Line Items]      
Interest rate spread 1.90%    
BNP Funding Facility | Line of Credit | Base Rate, After Reinvestment Period      
Debt Instrument [Line Items]      
Interest rate spread 2.40%    

v3.25.2
DEBT - Debt Securitizations (Details) - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Nov. 30, 2024
May 31, 2024
Debt Instrument [Line Items]        
Term debt securitization     $ 544 $ 702
Principal amount of debt outstanding $ 14,114 $ 13,789    
Weighted average stated interest rate   4.90%    
Class A CLO Notes | Secured Debt        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 406     406
Interest rate spread 1.80%      
Class B CLO Notes | Secured Debt        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 70     70
Interest rate spread 2.20%      
April 2036 CLO Notes        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 702      
April 2036 CLO Notes | Subordinated        
Debt Instrument [Line Items]        
Principal amount of debt outstanding 226     $ 226
April 2036 CLO Notes | Secured Debt        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 476 $ 476    
Weighted average stated interest rate 1.71%      
November 2024 Debt Securitization | Subordinated        
Debt Instrument [Line Items]        
Principal amount of debt outstanding     260  
November 2024 Debt Securitization | Secured Debt        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 544      
October 2036 Class A CLO Loans | Secured Debt        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 464   464  
Interest rate spread 1.54%      
October 2036 Class B CLO Loans | Secured Debt        
Debt Instrument [Line Items]        
Principal amount of debt outstanding $ 80   $ 80  
Interest rate spread 1.83%      

v3.25.2
DEBT - Convertible Unsecured Notes Narrative (Details) - USD ($)
$ in Millions
1 Months Ended 3 Months Ended 6 Months Ended
Mar. 31, 2024
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Mar. 31, 2025
Debt Instrument [Line Items]            
Realized loss on extinguishment of debt   $ 0 $ 0 $ 0 $ 14  
Repayment of 2024 Convertible Notes       $ 0 $ 10  
2024 Convertible Notes | Convertible Debt            
Debt Instrument [Line Items]            
Repayments and repurchases of debt $ 403          
Effective Stated Interest Rate 4.625%          
Realized loss on extinguishment of debt $ 14          
Extinguishment of debt, amount $ 393          
Conversion of 2024 Convertible Notes (in shares) 20,000,000          
Repayment of 2024 Convertible Notes $ 10          
March 2025 Notes (principal amount outstanding of $0 and $600, respectively) | Senior Notes            
Debt Instrument [Line Items]            
Effective Stated Interest Rate           4.25%

v3.25.2
DEBT - Key Components of Unsecured Notes (Details) - USD ($)
$ in Millions
1 Months Ended
Mar. 31, 2025
Jun. 30, 2025
Dec. 31, 2024
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 20,978 $ 18,948
July 2025 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 1,250 1,250
Effective Stated Interest Rate   3.25%  
January 2026 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 1,150 1,150
Effective Stated Interest Rate   3.875%  
July 2026 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 1,000 1,000
Effective Stated Interest Rate   2.15%  
January 2027 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 900 900
Effective Stated Interest Rate   6.893%  
June 2027 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 500 500
Effective Stated Interest Rate   2.875%  
June 2028 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 1,250 1,250
Effective Stated Interest Rate   2.875%  
March 2029 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 1,000 1,000
Effective Stated Interest Rate   6.347%  
July 2029 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 850 850
Effective Stated Interest Rate   5.955%  
September 2030 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 750  
Effective Stated Interest Rate   6.093%  
November 2031 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 700 700
Effective Stated Interest Rate   3.20%  
March 2032 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 1,000 0
Effective Stated Interest Rate   5.80%  
March 2025 Notes | Senior Notes      
Debt Instrument [Line Items]      
Aggregate Principal Amount Issued   $ 0 $ 600
Effective Stated Interest Rate 4.25%    
Aggregate principal amount outstanding $ 600    

v3.25.2
DEBT - Interest Rate Swap Instruments (Details) - Interest rate swap - USD ($)
Jun. 30, 2025
Dec. 31, 2024
Debt Instrument [Line Items]    
Notional Amount $ 4,500,000,000 $ 2,750,000,000
January 2027 Notes | Hedged Item    
Debt Instrument [Line Items]    
Company Receives 7.00%  
Company Pays 2.581%  
Notional Amount $ 900,000,000  
March 2029 Notes | Hedged Item    
Debt Instrument [Line Items]    
Company Receives 5.875%  
Company Pays 2.023%  
Notional Amount $ 1,000,000,000  
July 2029 Notes | Hedged Item    
Debt Instrument [Line Items]    
Company Receives 5.95%  
Company Pays 1.643%  
Notional Amount $ 850,000,000  
September 2030 Notes | Hedged Item    
Debt Instrument [Line Items]    
Company Receives 5.50%  
Company Pays 1.7705%  
Notional Amount $ 750,000,000  
March 2032 Notes | Hedged Item    
Debt Instrument [Line Items]    
Company Receives 5.80%  
Company Pays 1.6995%  
Notional Amount $ 1,000,000,000  

v3.25.2
DERIVATIVE INSTRUMENTS - Derivative Instruments (Details)
€ in Millions, ¥ in Millions, £ in Millions, kr in Millions, $ in Millions, $ in Millions, $ in Millions, $ in Millions
Jun. 30, 2025
USD ($)
Jun. 30, 2025
CNY (¥)
Jun. 30, 2025
CAD ($)
Jun. 30, 2025
GBP (£)
Jun. 30, 2025
EUR (€)
Jun. 30, 2025
NOK (kr)
Jun. 30, 2025
NZD ($)
Jun. 30, 2025
AUD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2024
CAD ($)
Dec. 31, 2024
GBP (£)
Dec. 31, 2024
EUR (€)
Dec. 31, 2024
NOK (kr)
Dec. 31, 2024
NZD ($)
Dec. 31, 2024
AUD ($)
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Gross Amount of Recognized Assets $ 1,073               $ 1,041            
Gross Amount of Recognized Liabilities (1,101)               (1,017)            
Foreign currency forward contract, China 1                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | ¥   ¥ 8,131                          
Gross Amount of Recognized Assets 58                            
Gross Amount of Recognized Liabilities (59)                            
Foreign currency forward contract, CAD 1                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount     $ 366             $ 240          
Gross Amount of Recognized Assets 265               184            
Gross Amount of Recognized Liabilities (270)               (179)            
Foreign currency forward contract, GBP 1                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | £       £ 143             £ 133        
Gross Amount of Recognized Assets 173               168            
Gross Amount of Recognized Liabilities (177)               (166)            
Foreign currency forward contract, GBP 2                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | £       £ 142             £ 74        
Gross Amount of Recognized Assets 183               95            
Gross Amount of Recognized Liabilities (190)               (93)            
Foreign currency forward contract, CAD 2                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount     $ 131             $ 188          
Gross Amount of Recognized Assets 95               133            
Gross Amount of Recognized Liabilities (97)               (131)            
Foreign currency forward contract, EUR 1                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | €         € 122             € 182      
Gross Amount of Recognized Assets 141               195            
Gross Amount of Recognized Liabilities (146)               (189)            
Foreign currency forward contract, EUR 2                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | €         € 87             € 103      
Gross Amount of Recognized Assets 99               109            
Gross Amount of Recognized Liabilities (102)               (105)            
Foreign currency forward contract, NOK 1                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | kr           kr 64             kr 97    
Gross Amount of Recognized Assets 6               96            
Gross Amount of Recognized Liabilities (6)               (96)            
Foreign currency forward contract, NZD                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount             $ 64             $ 68  
Gross Amount of Recognized Assets 38               41            
Gross Amount of Recognized Liabilities (39)               (38)            
Foreign currency forward contract, AUD                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount               $ 22             $ 21
Gross Amount of Recognized Assets 15               14            
Gross Amount of Recognized Liabilities $ (15)               (14)            
Foreign currency forward contract, NOK 2                              
Derivative Instruments and Hedging Activities Disclosures [Line Items]                              
Notional Amount | kr                         kr 63    
Gross Amount of Recognized Assets                 6            
Gross Amount of Recognized Liabilities                 $ (6)            

v3.25.2
DERIVATIVE INSTRUMENTS - Net Realized and Unrealized Gains (Losses) on Derivative Instruments (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Derivative Instruments, Gain (Loss) [Line Items]        
Net unrealized gains (losses) from foreign currency and other transactions $ 1 $ 0 $ 2 $ 0
Foreign currency forward contract        
Derivative Instruments, Gain (Loss) [Line Items]        
Net realized gains (losses) from foreign currency and other transactions (40) 14 (9) (1)
Net unrealized gains (losses) from foreign currency and other transactions $ (10) $ (10) $ (54) $ 20

v3.25.2
DERIVATIVE INSTRUMENTS - Qualifying Hedge Accounting Relationship (Details) - Interest rate swap - USD ($)
Jun. 30, 2025
Dec. 31, 2024
Statement [Line Items]    
Notional Amount $ 4,500,000,000 $ 2,750,000,000
January 2027 Notes | Hedged Item    
Statement [Line Items]    
Company Receives 7.00%  
Company Pays 2.581%  
Notional Amount $ 900,000,000  
March 2029 Notes | Hedged Item    
Statement [Line Items]    
Company Receives 5.875%  
Company Pays 2.023%  
Notional Amount $ 1,000,000,000  
July 2029 Notes | Hedged Item    
Statement [Line Items]    
Company Receives 5.95%  
Company Pays 1.643%  
Notional Amount $ 850,000,000  
September 2030 Notes | Hedged Item    
Statement [Line Items]    
Company Receives 5.50%  
Company Pays 1.7705%  
Notional Amount $ 750,000,000  
March 2032 Notes | Hedged Item    
Statement [Line Items]    
Company Receives 5.80%  
Company Pays 1.6995%  
Notional Amount $ 1,000,000,000  

v3.25.2
DERIVATIVE INSTRUMENTS - Interest Rate Swap Derivative Instruments (Details) - USD ($)
$ in Millions
6 Months Ended 12 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets $ 1,073 $ 1,041
Gross Amount of Recognized Liabilities (1,101) (1,017)
Interest rate swap    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Notional Amount 4,500 2,750
Gross Amount of Recognized Assets 90 11
Gross Amount of Recognized Liabilities 0 (9)
Interest rate swap | January 2027 Notes    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Change in fair value result effective hedging relationship, increase (decrease) 10 4
Interest rate swap | March 2029 Notes    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Change in fair value result effective hedging relationship, increase (decrease) 13 (9)
Interest rate swap | July 2029 Notes    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Change in fair value result effective hedging relationship, increase (decrease) 27 7
Interest rate swap | September 2030 Notes    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Change in fair value result effective hedging relationship, increase (decrease) 8  
Interest rate swap | March 2032 Notes    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Change in fair value result effective hedging relationship, increase (decrease) 32  
Interest rate swap 1    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Notional Amount 900 900
Interest rate swap 1 | Other Assets    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets 10 4
Gross Amount of Recognized Liabilities 0 0
Interest rate swap 1 | Accounts Payable and Accrued Liabilities    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Liabilities   (11)
Interest rate swap 2    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Notional Amount 1,000 1,000
Interest rate swap 2 | Other Assets    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets 13  
Gross Amount of Recognized Liabilities 0  
Interest rate swap 2 | Accounts Payable and Accrued Liabilities    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets   0
Gross Amount of Recognized Liabilities   (9)
Interest rate swap 3    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Notional Amount 850 850
Interest rate swap 3 | Other Assets    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets 27 7
Gross Amount of Recognized Liabilities 0 0
Interest rate swap 3 | Accounts Payable and Accrued Liabilities    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Liabilities   $ 7
Interest rate swap 4    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Notional Amount 750  
Interest rate swap 4 | Other Assets    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets 8  
Gross Amount of Recognized Liabilities 0  
Interest rate swap 5    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Notional Amount 1,000  
Interest rate swap 5 | Other Assets    
Derivative Instruments and Hedging Activities Disclosures [Line Items]    
Gross Amount of Recognized Assets 32  
Gross Amount of Recognized Liabilities $ 0  

v3.25.2
COMMITMENTS AND CONTINGENCIES - Loan Commitments (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Other Commitments [Line Items]    
Total net adjusted unfunded loan commitments $ 25.0 $ 29.0
Revolving and delayed draw loan commitments    
Other Commitments [Line Items]    
Total revolving loan commitments 4,788.4 4,447.5
Less: funded commitments (539.0) (529.3)
Less: unavailable delayed draw loan commitments due to borrowing base or other covenant restrictions (26.5) (23.1)
Total net adjusted unfunded loan commitments 4,249.4 3,918.2
Total net unfunded revolving and delayed draw loan commitments 4,222.9 3,895.1
Revolving loan commitments    
Other Commitments [Line Items]    
Total revolving loan commitments 2,469.0 2,254.0
Less: funded commitments (539.0) (529.0)
Less: unavailable delayed draw loan commitments due to borrowing base or other covenant restrictions (12.0) (1.0)
Total net adjusted unfunded loan commitments 1,918.0 1,724.0
Delayed draw loan commitments    
Other Commitments [Line Items]    
Total revolving loan commitments 2,320.0 2,193.0
Less: unavailable delayed draw loan commitments due to borrowing base or other covenant restrictions (15.0) (22.0)
Total net adjusted unfunded loan commitments $ 2,305.0 $ 2,171.0

v3.25.2
COMMITMENTS AND CONTINGENCIES - Narrative (Details)
$ in Millions
Jun. 30, 2025
USD ($)
Other Commitments [Line Items]  
Letters of credit outstanding, amount $ 94
Letters of credit outstanding, amount, year one 53
Letters of credit outstanding, amount, year two 41
Letter of Credit  
Other Commitments [Line Items]  
Total commitments $ 507

v3.25.2
COMMITMENTS AND CONTINGENCIES - Private Equity Commitments (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Other Commitments [Line Items]    
Total unfunded equity commitments $ 25.0 $ 29.0
Equity investment commitments    
Other Commitments [Line Items]    
Total equity commitments 154.1 191.3
Less: funded commitments (39.0) (88.0)
Total unfunded equity commitments 114.9 103.3
Less: equity commitments substantially at discretion of the Company (43.4) (42.9)
Total net unfunded revolving and delayed draw loan commitments $ 71.5 $ 60.4

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS - Fair Value Measurements of Cash and Cash Equivalents, Restricted Cash, Investments, Derivatives, and Unfunded Revolving and Delayed Draw Loan Commitments (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Cash and cash equivalents $ 447.0 $ 635.0
Restricted cash 217.0 225.0
Total investments 27,886.4 [1] 26,719.9 [2]
Unfunded revolving and delayed draw loan commitments (25.0) (29.0)
Derivatives (143.0) (62.0)
Foreign currency forward contract    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives (28.0) 24.0
Interest rate swap    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives 90.0 2.0
Total    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Total investments 27,870.0 26,711.0
Level 1    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Cash and cash equivalents 447.0 635.0
Restricted cash 217.0 225.0
Total investments 20.0 33.0
Unfunded revolving and delayed draw loan commitments 0.0 0.0
Level 1 | Foreign currency forward contract    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives 0.0 0.0
Level 1 | Interest rate swap    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives 0.0 0.0
Level 2    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Cash and cash equivalents 0.0 0.0
Restricted cash 0.0 0.0
Total investments 724.0 587.0
Unfunded revolving and delayed draw loan commitments 0.0 0.0
Level 2 | Foreign currency forward contract    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives (28.0) 24.0
Level 2 | Interest rate swap    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives 90.0 2.0
Level 3    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Cash and cash equivalents 0.0 0.0
Restricted cash 0.0 0.0
Total investments 27,126.0 26,091.0
Unfunded revolving and delayed draw loan commitments (25.0) (29.0)
Level 3 | Foreign currency forward contract    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives 0.0 0.0
Level 3 | Interest rate swap    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Derivatives 0.0 0.0
Investments measured at net asset value    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Total investments $ 16.0 $ 9.0
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS - Significant Unobservable Inputs (Details)
$ in Millions
Jun. 30, 2025
USD ($)
Dec. 31, 2024
USD ($)
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value $ 27,886.4 [1] $ 26,719.9 [2]
Level 3    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 27,126.0 26,091.0
Level 3 | Yield analysis | First lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 16,137.0 14,722.0
Level 3 | Yield analysis | Second lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 1,229.0 1,724.0
Level 3 | Yield analysis | Senior subordinated loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 1,379.0 1,343.0
Level 3 | Yield analysis | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 2,643.0 2,649.0
Level 3 | Discounted cash flow analysis | Subordinated certificates of the SDLP    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 1,052.0 1,192.0
Level 3 | Discounted cash flow analysis | Ivy Hill Asset Management, L.P.    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value 2,081.0 1,915.0
Level 3 | EV market multiple analysis | Other equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair Value $ 2,605.0 $ 2,546.0
Level 3 | Market yield | Yield analysis | Minimum | First lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.054 0.038
Level 3 | Market yield | Yield analysis | Minimum | Second lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.110 0.096
Level 3 | Market yield | Yield analysis | Minimum | Senior subordinated loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.069 0.084
Level 3 | Market yield | Yield analysis | Minimum | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.070 0.070
Level 3 | Market yield | Yield analysis | Maximum | First lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.208 0.229
Level 3 | Market yield | Yield analysis | Maximum | Second lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.187 0.232
Level 3 | Market yield | Yield analysis | Maximum | Senior subordinated loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.226 0.219
Level 3 | Market yield | Yield analysis | Maximum | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.196 0.190
Level 3 | Market yield | Yield analysis | Weighted Average | First lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.101 0.104
Level 3 | Market yield | Yield analysis | Weighted Average | Second lien senior secured loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.140 0.142
Level 3 | Market yield | Yield analysis | Weighted Average | Senior subordinated loans    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.140 0.128
Level 3 | Market yield | Yield analysis | Weighted Average | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.132 0.133
Level 3 | Discount rate | Discounted cash flow analysis | Minimum | Subordinated certificates of the SDLP    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.094 0.100
Level 3 | Discount rate | Discounted cash flow analysis | Minimum | Ivy Hill Asset Management, L.P.    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.093 0.099
Level 3 | Discount rate | Discounted cash flow analysis | Maximum | Subordinated certificates of the SDLP    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.127 0.130
Level 3 | Discount rate | Discounted cash flow analysis | Maximum | Ivy Hill Asset Management, L.P.    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.190 0.190
Level 3 | Discount rate | Discounted cash flow analysis | Weighted Average | Subordinated certificates of the SDLP    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.118 0.120
Level 3 | Discount rate | Discounted cash flow analysis | Weighted Average | Ivy Hill Asset Management, L.P.    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 0.101 0.114
Level 3 | EBITDA multiple | EV market multiple analysis | Minimum | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 3 2.6
Level 3 | EBITDA multiple | EV market multiple analysis | Minimum | Other equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 5 5.6
Level 3 | EBITDA multiple | EV market multiple analysis | Maximum | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 27.4 25.1
Level 3 | EBITDA multiple | EV market multiple analysis | Maximum | Other equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 35 49.7
Level 3 | EBITDA multiple | EV market multiple analysis | Weighted Average | Preferred equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 16.0 15.4
Level 3 | EBITDA multiple | EV market multiple analysis | Weighted Average | Other equity    
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Unobservable Input 16.2 18.1
[1] As of June 30, 2025, the estimated net unrealized gain for federal tax purposes was approximately $0.3 billion based on a tax cost basis of $27.5 billion. As of June 30, 2025, the estimated aggregate gross unrealized gain for federal income tax purposes was approximately $1.8 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was approximately $1.5 billion.
[2] As of December 31, 2024, the estimated net unrealized gain for federal tax purposes was $0.2 billion based on a tax cost basis of $26.5 billion. As of December 31, 2024, the estimated aggregate gross unrealized gain for federal income tax purposes was $1.7 billion and the estimated aggregate gross unrealized loss for federal income tax purposes was $1.5 billion.     

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS - Changes in Investments that use Level 3 Inputs (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]        
Balance at the beginning $ 26,385 $ 22,353 $ 26,091 $ 22,084
Purchases 2,730 3,245 5,409 6,116
Sales (665) (60) (1,464) (1,111)
Repayments (1,452) (1,301) (2,908) (3,055)
PIK interest and dividends 150 128 255 218
Net accretion of discount on investments 3 3 5 4
Net transfers in and/or out of Level 3 (52) 0 (212) 0
Balance at the end 27,126 24,302 27,126 24,302
Debt and Equity Securities, Realized Gain (Loss)        
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]        
Net realized gains (losses) and unrealized gains (losses) $ 110 $ (15) $ 7 $ (13)
Fair Value, Asset, Recurring Basis, Unobservable Input Reconciliation, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] Net realized gains (losses): Net realized gains (losses): Net realized gains (losses): Net realized gains (losses):
Debt and Equity Securities, Unrealized Gain (Loss)        
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]        
Net realized gains (losses) and unrealized gains (losses) $ (83) $ (51) $ (57) $ 59
Fair Value, Asset, Recurring Basis, Unobservable Input Reconciliation, Gain (Loss), Statement of Income or Comprehensive Income [Extensible Enumeration] Net unrealized gains (losses): Net unrealized gains (losses): Net unrealized gains (losses): Net unrealized gains (losses):

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS - Narrative (Details) - Level 3 - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]        
Unrealized appreciation (depreciation) on investments $ 316 $ 294 $ 316 $ 294
Net unrealized gains (losses) $ 76 $ (68) $ (18) $ 75

v3.25.2
FAIR VALUE OF FINANCIAL INSTRUMENTS - Carrying and Fair Values of Debt Obligations (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding $ 14,114 $ 13,789
Debt 14,109 13,727
April 2036 CLO Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 702  
Line of Credit | Revolving Credit Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,144 1,113
Debt 1,144 1,113
Line of Credit | Revolving Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 750 1,065
Debt 750 1,065
Line of Credit | SMBC Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 400 502
Debt 400 502
Line of Credit | BNP Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 450 889
Debt 450 889
Convertible Debt | October 2036 CLO Secured Loans    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 541 544
Debt   541
Senior Notes | March 2025 Notes (principal amount outstanding of $0 and $600, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 0 600
Debt 0 600
Senior Notes | July 2025 Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,250 1,250
Debt 1,250 1,252
Senior Notes | January 2026 Notes (principal amount outstanding of $1,150)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,150 1,150
Debt 1,149 1,148
Senior Notes | July 2026 Notes (principal amount outstanding of $1,000)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,000 1,000
Debt 997 996
Senior Notes | January 2027 Notes (principal amount outstanding of $900)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 900 900
Debt 901 891
Senior Notes | June 2027 Notes (principal amount outstanding of $500)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 500 500
Debt 497 497
Senior Notes | June 2028 Notes (principal amount outstanding of $1,250)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,250 1,250
Debt 1,248 1,248
Senior Notes | March 2029 Notes (principal amount outstanding of $1,000)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,000 1,000
Debt 999 985
Senior Notes | July 2029 Notes (principal amount outstanding of $850)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 850 850
Debt 862 835
Senior Notes | September 2030 Notes (principal amount outstanding of $750 and $0, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding   0
Senior Notes | November 2031 Notes (principal amount outstanding of $700)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 700 700
Debt 693 692
Senior Notes | March 2032 Notes (principal amount outstanding of $1,000 and $0, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 1,000 0
Debt   0
Term loan tranche | April 2036 CLO Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 476 476
Debt 473 473
Term loan tranche | October 2036 CLO Secured Loans    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Principal amount of debt outstanding 544 544
Debt 541 541
Carrying value    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 14,109 13,727
Carrying value | Revolving Credit Facility | Revolving Credit Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt   1,113
Carrying value | Revolving Credit Facility | Revolving Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt   1,065
Carrying value | Line of Credit | SMBC Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt   502
Carrying value | Line of Credit | BNP Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt   889
Carrying value | Revolving Credit Facility | Revolving Credit Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,144  
Carrying value | Revolving Credit Facility | Revolving Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 750  
Carrying value | Line of Credit | SMBC Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 400  
Carrying value | Line of Credit | BNP Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 450  
Carrying value | Convertible Debt | April 2036 CLO Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt   473
Carrying value | Senior Notes | March 2025 Notes (principal amount outstanding of $0 and $600, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 0 600
Carrying value | Senior Notes | July 2025 Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,250 1,252
Carrying value | Senior Notes | January 2026 Notes (principal amount outstanding of $1,150)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,149 1,148
Carrying value | Senior Notes | July 2026 Notes (principal amount outstanding of $1,000)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 997 996
Carrying value | Senior Notes | January 2027 Notes (principal amount outstanding of $900)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 901 891
Carrying value | Senior Notes | June 2027 Notes (principal amount outstanding of $500)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 497 497
Carrying value | Senior Notes | June 2028 Notes (principal amount outstanding of $1,250)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,248 1,248
Carrying value | Senior Notes | March 2029 Notes (principal amount outstanding of $1,000)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 999 985
Carrying value | Senior Notes | July 2029 Notes (principal amount outstanding of $850)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 862 835
Carrying value | Senior Notes | September 2030 Notes (principal amount outstanding of $750 and $0, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt   0
Carrying value | Senior Notes | November 2031 Notes (principal amount outstanding of $700)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 693 692
Carrying value | Senior Notes | March 2032 Notes (principal amount outstanding of $1,000 and $0, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,013 0
Fair value    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 13,964 13,552
Fair value | Revolving Credit Facility | Revolving Credit Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,144 1,113
Fair value | Revolving Credit Facility | Revolving Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 750 1,065
Fair value | Line of Credit | SMBC Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 400 502
Fair value | Line of Credit | BNP Funding Facility    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 450 889
Fair value | Convertible Debt | April 2036 CLO Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 473 476
Fair value | Senior Notes | March 2025 Notes (principal amount outstanding of $0 and $600, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 0 599
Fair value | Senior Notes | July 2025 Notes    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,249 1,238
Fair value | Senior Notes | January 2026 Notes (principal amount outstanding of $1,150)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,145 1,137
Fair value | Senior Notes | July 2026 Notes (principal amount outstanding of $1,000)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 975 957
Fair value | Senior Notes | January 2027 Notes (principal amount outstanding of $900)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 929 933
Fair value | Senior Notes | June 2027 Notes (principal amount outstanding of $500)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 484 475
Fair value | Senior Notes | June 2028 Notes (principal amount outstanding of $1,250)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,179 1,151
Fair value | Senior Notes | March 2029 Notes (principal amount outstanding of $1,000)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 1,020 1,010
Fair value | Senior Notes | July 2029 Notes (principal amount outstanding of $850)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 870 861
Fair value | Senior Notes | September 2030 Notes (principal amount outstanding of $750 and $0, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 748 0
Fair value | Senior Notes | November 2031 Notes (principal amount outstanding of $700)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt 610 602
Fair value | Senior Notes | March 2032 Notes (principal amount outstanding of $1,000 and $0, respectively)    
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Line Items]    
Fair value disclosures of long-term debt $ 997 $ 0

v3.25.2
STOCKHOLDERS’ EQUITY - Common Shares Issued and Sold (Details) - USD ($)
$ / shares in Units, shares in Millions, $ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Subsidiary, Sale of Stock [Line Items]    
Number of Shares Issued (in shares) 32.0 25.9
Gross Proceeds $ 709.4 $ 538.7
Underwriting Fees/Offering Expenses 7.5 5.9
Net Proceeds $ 701.9 $ 532.8
“At the market” offerings    
Subsidiary, Sale of Stock [Line Items]    
Number of Shares Issued (in shares) 32.0 25.9
Gross Proceeds $ 709.4 $ 538.7
Underwriting Fees/Offering Expenses 7.5 5.9
Net Proceeds $ 701.9 $ 532.8
Average Offering Price Per Share (in dollars per share) $ 22.14 $ 20.83

v3.25.2
STOCKHOLDERS’ EQUITY - Narrative (Details) - USD ($)
$ / shares in Units, shares in Millions, $ in Millions
1 Months Ended 6 Months Ended
Mar. 31, 2024
Jun. 30, 2025
Jun. 30, 2024
Subsidiary, Sale of Stock [Line Items]      
Number of shares issued (in shares)   32.0 25.9
Net Proceeds   $ 701.9 $ 532.8
Authorized amount of stock repurchase program   1,000.0  
Stock available for repurchase under the stock repurchase program   1,000.0  
2024 Convertible Notes      
Subsidiary, Sale of Stock [Line Items]      
Conversion price (in usd per share) $ 20.12    
Net Proceeds $ 407.0    
“At the market” offerings      
Subsidiary, Sale of Stock [Line Items]      
Maximum issuance of common stock   1,500.0  
Stock available for issuance   $ 791.0  
Number of shares issued (in shares)   32.0 25.9
Net Proceeds   $ 701.9 $ 532.8
Over-allotment option one | 2024 Convertible Notes      
Subsidiary, Sale of Stock [Line Items]      
Number of shares issued (in shares) 20.0    

v3.25.2
EARNINGS PER SHARE (Details) - USD ($)
$ / shares in Units, shares in Millions, $ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Earnings Per Share [Abstract]        
Net increase in stockholders’ equity resulting from operations $ 361 $ 322 $ 602 $ 771
Weighted average shares of common stock outstanding— diluted (in shares) 695 616 686 603
Weighted average shares of common stock outstanding—basic (in shares) 695 616 686 603
Basic net increase in stockholders’ equity resulting from operations per share (in usd per share) $ 0.52 $ 0.52 $ 0.88 $ 1.28
Diluted net increase in stockholders’ equity resulting from operations per share (in usd per share) $ 0.52 $ 0.52 $ 0.88 $ 1.28

v3.25.2
DIVIDENDS AND DISTRIBUTIONS - Dividends Declared and Payable (Details) - USD ($)
$ / shares in Units, $ in Millions
6 Months Ended
Jun. 30, 2025
Mar. 31, 2025
Jun. 28, 2024
Mar. 29, 2024
Jun. 30, 2025
Jun. 30, 2024
Dividends Payable [Line Items]            
Per share amount (in usd per share)         $ 0.96 $ 0.96
Total amount         $ 665 $ 591
April 29, 2025            
Dividends Payable [Line Items]            
Per share amount (in usd per share) $ 0.48          
Total amount $ 337          
February 5, 2025            
Dividends Payable [Line Items]            
Per share amount (in usd per share)   $ 0.48        
Total amount   $ 328        
May 1, 2024            
Dividends Payable [Line Items]            
Per share amount (in usd per share)     $ 0.48      
Total amount     $ 300      
February 7, 2024            
Dividends Payable [Line Items]            
Per share amount (in usd per share)       $ 0.48    
Total amount       $ 291    

v3.25.2
DIVIDENDS AND DISTRIBUTIONS - Dividend Reinvestment Plan Activity (Details) - $ / shares
shares in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Equity [Abstract]    
Shares issued (in shares) 1.8 2.0
Average issue price per share (in dollars per share) $ 22.06 $ 20.83

v3.25.2
RELATED PARTY TRANSACTIONS (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Related Party Transaction [Line Items]        
Related party transaction amounts payable $ 0.0 $ 0.0 $ 0.0 $ 0.0
Expense Reimbursement        
Related Party Transaction [Line Items]        
Related party transaction amounts payable 1.0 6.0 3.0 7.0
Proprietary Portfolio Management Software Agreement        
Related Party Transaction [Line Items]        
Related party transaction amounts payable $ 0.0 $ 0.0 0.0 $ 0.0
Underwriting And Advisory Fees Received | Ares Management Capital Markets        
Related Party Transaction [Line Items]        
Related party transaction amounts payable     $ 0.5  

v3.25.2
FINANCIAL HIGHLIGHTS - Financial Highlights (Details) - USD ($)
$ / shares in Units, shares in Millions, $ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Mar. 31, 2025
Dec. 31, 2024
Sep. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
Investment Company, Financial Highlights [Roll Forward]              
Net asset value, beginning of period (in dollars per share) $ 19.89 $ 19.24          
Issuances of common stock (in dollars per share) 0.09 0.04          
Conversion of 2024 Convertible Notes (in dollars per share) 0 0.01          
Net investment income for period (in dollars per share) 1.03 1.17          
Net realized and unrealized gains (losses) for period (in dollars per share) (0.15) 0.11          
Net increase in stockholders' equity resulting from operations (in dollars per share) 0.97 1.33          
Total distributions to stockholders (in dollars per share) (0.96) (0.96)          
Net asset value, end of period (in dollars per share) 19.90 19.61          
Per share market value at end of period (in dollars per share) $ 21.96 $ 20.84   $ 21.89     $ 20.03
Total return based on market value 4.87% 9.02%          
Total return based on net asset value 4.95% 6.98%          
Shares outstanding at end of period (in shares) 706 630   672      
Ratio/Supplemental Data:              
Net assets at end of period $ 14,034 $ 12,364 $ 13,672 $ 13,355 $ 12,773 $ 11,872 $ 11,201
Ratio of operating expenses to average net assets 11.12% 12.31%          
Ratio of net investment income to average net assets 10.42% 12.13%          
Portfolio turnover rate 34.00% 37.00%          

v3.25.2
FINANCIAL HIGHLIGHTS - Financial Highlights, Additional Information (Details) - $ / shares
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Dec. 31, 2024
Dec. 31, 2023
Investment Company, Financial Highlights [Line Items]        
Per share market value at end of period (in dollars per share) $ 21.96 $ 20.84 $ 21.89 $ 20.03
Total distributions to stockholders (in dollars per share) $ 0.96 $ 0.96    
Ratio of operating expenses to average net assets 11.12% 12.31%    
Base management fee        
Investment Company, Financial Highlights [Line Items]        
Ratio of operating expenses to average net assets 3.05% 3.03%    
Income based fee and capital gains incentive fee        
Investment Company, Financial Highlights [Line Items]        
Ratio of operating expenses to average net assets 2.21% 3.27%    
Interest and credit facility fees        
Investment Company, Financial Highlights [Line Items]        
Ratio of operating expenses to average net assets 5.51% 5.66%    
Other operating expenses        
Investment Company, Financial Highlights [Line Items]        
Ratio of operating expenses to average net assets 0.35% 0.35%    

v3.25.2
SEGMENT REPORTING - Narrative (Details)
6 Months Ended
Jun. 30, 2025
segment
Segment Reporting [Abstract]  
Number of operating segment 1
Number of reportable segment 1

v3.25.2
SUBSEQUENT EVENTS (Details) - USD ($)
$ in Millions
6 Months Ended 7 Months Ended 8 Months Ended 11 Months Ended 27 Months Ended 30 Months Ended
Jul. 29, 2025
Jul. 28, 2025
Oct. 08, 2024
Jun. 30, 2025
Jun. 30, 2025
Dec. 05, 2024
Mar. 27, 2024
Oct. 08, 2024
Sep. 30, 2024
Jul. 31, 2025
Jul. 30, 2025
Dec. 31, 2024
Revolving Credit Facility                        
Subsequent Event [Line Items]                        
Line of credit, borrowing capacity incremental increase limit       $ 7,925 $ 7,925             $ 6,732
Revolving Credit Facility | Line of Credit                        
Subsequent Event [Line Items]                        
Total Aggregate Principal Amount Committed/ Outstanding       $ 5,393 $ 5,393              
Interest rate spread       1.65%         0.10%      
Revolving Credit Facility | Line of Credit | Base Rate                        
Subsequent Event [Line Items]                        
Interest rate spread       1.525%                
July 2025 Notes | Senior Notes                        
Subsequent Event [Line Items]                        
Effective stated interest rate       3.25% 3.25%              
SMBC Funding Facility                        
Subsequent Event [Line Items]                        
Line of credit, borrowing capacity incremental increase limit       $ 1,000 $ 1,000              
SMBC Funding Facility | Line of Credit                        
Subsequent Event [Line Items]                        
Total Aggregate Principal Amount Committed/ Outstanding       800 $ 800              
Interest rate spread         2.00% 2.50% 0.10%          
SMBC Funding Facility | Line of Credit | Base Rate                        
Subsequent Event [Line Items]                        
Interest rate spread         1.00% 1.50%            
Revolving Funding Facility | Line of Credit                        
Subsequent Event [Line Items]                        
Total Aggregate Principal Amount Committed/ Outstanding       $ 2,150 $ 2,150              
Interest rate spread     2.00%         1.90%        
Revolving Funding Facility | Line of Credit | Secured Overnight Financing Rate (SOFR)                        
Subsequent Event [Line Items]                        
Interest rate spread               0.10%        
Subsequent Event | Revolving Credit Facility | Line of Credit                        
Subsequent Event [Line Items]                        
Total Aggregate Principal Amount Committed/ Outstanding                   $ 5,493 $ 5,393  
Subsequent Event | July 2025 Notes | Senior Notes                        
Subsequent Event [Line Items]                        
Effective stated interest rate 3.25%                      
Subsequent Event | SMBC Funding Facility | Line of Credit                        
Subsequent Event [Line Items]                        
Total Aggregate Principal Amount Committed/ Outstanding $ 1,100 $ 800                    
Line of credit, borrowing capacity incremental increase limit $ 1,300                      
Subsequent Event | SMBC Funding Facility | Line of Credit | Base Rate                        
Subsequent Event [Line Items]                        
Interest rate spread 0.80% 1.00%                    
Subsequent Event | SMBC Funding Facility | Line of Credit | Secured Overnight Financing Rate (SOFR)                        
Subsequent Event [Line Items]                        
Interest rate spread 1.80% 2.00%                    
Subsequent Event | Revolving Funding Facility | Line of Credit                        
Subsequent Event [Line Items]                        
Total Aggregate Principal Amount Committed/ Outstanding $ 2,250 $ 2,150                    
Interest rate spread 1.80% 2.00%                    

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