Private Credit Intelligence
The capital structure graph behind private markets. Who lent, to whom, under which sponsor, through which facility, how large the piece was, when it matures and what changed, with a filing behind every number. A BDC piece is that BDC's piece, a sum of pieces is a lower bound, and a sponsor is named with the evidence that names it.
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P••••••••• I••••••••• C•••
| Quarter | Fair value | Borrowers | On cost | PIK pos. | Avg spread |
|---|---|---|---|---|---|
| Jun 30, 2026 | $2.5B | 195 | 96c | 18 | 554 bp |
| Mar 31, 2026 | $2.5B | 197 | 96c | 19 | 553 bp |
| Dec 31, 2025 | $2.6B | 189 | 96c | 16 | 561 bp |
| Sep 30, 2025 | $4.2B | 190 | 104c | 25 | 572 bp |
| Jun 30, 2025 | $2.5B | 176 | 97c | 18 | 582 bp |
| Mar 31, 2025 | $10B | 164 | 98c | 18 | 584 bp |
| Dec 31, 2024 | $10B | 166 | 98c | 26 | 590 bp |
| Sep 30, 2024 | $13B | 182 | 101c | 52 | 601 bp |
| Jun 30, 2024 | $8.1B | 148 | 98c | 12 | 606 bp |
| Mar 31, 2024 | $9.0B | 138 | 99c | 8 | 617 bp |
| Dec 31, 2023 | $8.7B | 139 | 98c | 2 | 627 bp |
| Sep 30, 2023 | $11B | 135 | 101c | 6 | 622 bp |
| Jun 30, 2023 | $7.9B | 129 | 98c | 0 | 613 bp |
| Mar 31, 2023 | $8.1B | 130 | 100c | 0 | 603 bp |
| Sep 30, 2022 | $11B | 124 | 97c | 3 | 610 bp |
Each quarter end is the schedule as filed for that instant; a restated year end is taken from the latest filing that carries it.
- A•••••••• C•••••• P••••••• inferred6 borrowers $104M
- W••• P•••• P••••••• carried2 borrowers $49.2M
- C•••• S••••• C•••••• carried2 borrowers $32.8M
- 2 borrowers $31.4M
- C•••••• C•••••• P•••••••• L•• carried2 borrowers $27.6M
- S•••••• C•••••• M••••••••• L•• carried2 borrowers $25.4M
- G•••• C•••••• carried2 borrowers $7.3M
- S••••••••• C•••••• L• carried2 borrowers $6.6M
- A••••• I•••••••• carried1 borrower $70.9M
- 1 borrower $51.6M
- F•••••• S••••• • C•• carried1 borrower $35.5M
- S••••• P•••••••• L••• carried1 borrower $33.2M
- H••••• C••••••• L•• carried1 borrower $30.3M
- L•••••• G•••• • P•••••••• L••• carried1 borrower $30.0M
- 1 borrower $28.1M
Counted at BDC level here; the adviser page counts across every BDC it manages. A sponsor named by Form D signer consensus is an inference.
- Repeat sponsor and lender pairJun 30, 2026
- Repeat sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- Repeat sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- Repeat sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- New borrower on a BDC scheduleJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- Repeat sponsor and lender pairJun 30, 2026
- Repeat sponsor and lender pairJun 30, 2026
- New lender joined a facilityJun 30, 2026
- New sponsor and lender pairJun 30, 2026
- S••••••••• D••• notes2 BDCs hold it · matures Apr 3, 2031$45.7M 101c
- P•••• C••••••••• L•• first lien term loan3 BDCs hold it · matures Oct 2, 2031$45.6M 99c
- H••••• • C•• L•• first lien term loan3 BDCs hold it · matures Aug 9, 2030$38.1M 101c
- S•••• D•••••• S••••••• L•• first lien term loan3 BDCs hold it · matures Dec 20, 2027$37.9M 99c
- A•• H••••••• L•••••• first lien term loan1 BDC hold it · matures Mar 15, 2027$36.5M 97c
- C••••••• A••••••••• L•• first lien term loan2 BDCs hold it · matures Jun 14, 2028$35.1M 101c
- I••••••• H••• S••••••• H•••••• I•• first lien term loan4 BDCs hold it · matures Dec 28, 2028 · F•••••• S••••• • C••$34.2M 101c
- E•••• I••••••••• I•• L•• first lien term loan3 BDCs hold it · matures Mar 15, 2027$33.2M 88c
- B••• P••• T••••••••• I•• first lien term loan4 BDCs hold it · matures Jul 2, 2029$30.0M 100c
- A•••••• L•• first lien term loan8 BDCs hold it · matures Sep 13, 2029$27.6M 100c
- C••••••••• F••• P••••••••• H•••••••• L•• first lien term loan2 BDCs hold it · matures Sep 23, 2030$27.3M 101c
- A•• A•••• B••••• L•• first lien term loan6 BDCs hold it · matures Oct 2, 2029$26.8M 99c
| Borrower | Instrument | Principal | Fair value | Rate | Maturity |
|---|---|---|---|---|---|
| S•••• D•••••• S••••••• L•• Telecommunications | term loan first lien | $7.0M | $7.0M 100c | SOFR+640 bp | Dec 20, 2027 |
| P••••• L••••• C•••. C••••••••• S••••••s and Supplies | term loan first lien | $6.9M | $6.9M 101c | SOFR+525 bp | Jul 1, 2031 |
| E••• H••• C••• S•••••••• I••••••••• L•• H•••••care, Education and Childcare | term loan first lien | $6.8M | $6.8M 101c | SOFR+575 bp | May 10, 2030 |
| E•• P••••• C••••••••• Business S••••••s | term loan second lien | $7.5M | $6.8M 91c | SOFR+776 bp | Aug 19, 2029 |
| S••••••••• D•••/C•••••••• H•••••care, Education and Childcare | notes lien unstated | $6.7M | $6.7M 101c | PIK 15.00% | Jun 21, 2030 |
| R•• C••••••••• L•• Business S••••••s | term loan first lien | $6.8M | $6.5M 97c | SOFR+525 bp | Aug 15, 2029 |
| P•••••••• P•••••• E••••••••• LLC Gaming | term loan first lien | $6.5M | $6.5M 101c | SOFR+475 bp | Oct 1, 2032 |
| W•••••••• R•••••••• H•••••••• L•• Consumer Products | term loan first lien | $6.4M | $6.4M 100c | 6.00% | Jul 2, 2029 |
| O•• E••••••• P••••••••• L•• Aerospace and D•••••• | term loan first lien | $6.3M | $6.3M 101c | SOFR+575 bp | Dec 17, 2029 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name GMP H••••, LP D••••••••• | equity equity | n/a | $6.3M 169c | ||
| NBH Group, LLC H•••••care, Education and Childcare | term loan first lien | $6.7M | $6.3M 95c | SOFR+585 bp | Aug 19, 2026 |
| Global Holdings I••••••, LLC Banking, Finance, Insurance & Real Estate | term loan first lien | $6.3M | $6.3M 100c | SOFR+560 bp | Sep 16, 2027 |
| H•••••• R•••••• A•• C••••••••• L•• Insurance | term loan first lien | $6.0M | $6.0M 100c | SOFR+560 bp | Dec 31, 2026 |
| P•••••• G•••••• B••••• I••. Business S••••••s | term loan first lien | $5.9M | $6.0M 102c | SOFR+575 bp | Dec 31, 2030 |
| B••• I••••••••• L•• Conglomerate Manufacturing | term loan first lien | $5.9M | $5.9M 101c | SOFR+475 bp | Dec 27, 2030 |
| C••••••••• A••••••• o• A••••••• L•• P••••••••• S••••••s | term loan first lien | $5.9M | $5.9M 100c | SOFR+475 bp | May 13, 2032 |
| I••••• I••••••••• S•••••• I••••••••• Business S••••••s | term loan first lien | $5.9M | $5.8M 99c | SOFR+525 bp | Dec 17, 2030 |
| A••••••• L•• Diversified Conglomerate S•••••• | term loan first lien | $5.7M | $5.7M 100c | SOFR+575 bp | Jun 26, 2029 |
| B•••••• P•••• P•••••••• C••••••••• Auto Sector | term loan first lien | $6.1M | $5.6M 95c | SOFR+535 bp | Jul 25, 2029 |
| G••• N••••• L•• Aerospace and D•••••• | term loan first lien | $5.6M | $5.6M 100c | SOFR+525 bp | Mar 29, 2032 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name A1 Garage Equity, LLC Personal, Food and Miscellaneous S••••••s | equity equity | n/a | $5.5M 250c | ||
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name WCP Ivyrehab QP CF Feeder, LP H•••••care, Education and Childcare | equity equity | n/a | $5.5M 142c | ||
| C•••••• C••••••••• L•• Consumer S••••••s | term loan first lien | $5.6M | $5.4M 97c | SOFR+590 bp | Oct 22, 2026 |
| A••••• A••••••••• L•• Media | term loan first lien | $5.4M | $5.4M 100c | SOFR+626 bp | May 8, 2028 |
| I•••••• A•••••••••co, Inc. Business S••••••s | term loan first lien | $5.4M | $5.4M 100c | SOFR+510 bp | Nov 15, 2027 |
| D•• H•••••• I••. Media | term loan first lien | $5.7M | $5.3M 97c | SOFR+535 bp | Dec 21, 2028 |
| C•••• 1• S•••••••• I••. Personal, Food and Miscellaneous S••••••s | term loan first lien | $5.2M | $5.2M 99c | SOFR+586 bp | Aug 16, 2027 |
| P•• M••••• I••. Financial S••••••s | term loan first lien | $5.2M | $5.2M 101c | SOFR+575 bp | Mar 1, 2030 |
| P•••••••• I••••••••• L•• Business S••••••s | term loan first lien | n/a | $5.1M 34c | 0.00% | Mar 28, 2030 |
| N• R•••••••• I••••••••• L•• Buildings and Real Estate | term loan first lien | $5.0M | $5.0M 100c | 15.50% | May 10, 2025 |
| G••••• I••. Aerospace and D•••••• | term loan first lien | $5.0M | $5.0M 100c | SOFR+475 bp | May 31, 2033 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name PennantP•••-TSO Financial S••••••s | term loan lien unstated | n/a | $5.0M 61c | ||
| D••••• A••••••••• L•• Marketing S••••••s | term loan first lien | $4.9M | $4.9M 101c | SOFR+500 bp | Sep 30, 2030 |
| W••• & Wax S•••••s, LLC - S••••••••• D••• Business S••••••s | unstated lien unstated | $4.8M | $4.8M 100c | 12.00% | Jul 30, 2028 |
| S••••••• S•••••• P••••••• N•• L•• Diversified Conglomerate S•••••• | term loan first lien | $4.9M | $4.8M 98c | SOFR+525 bp | Dec 20, 2029 |
| E••••••• A••• I••. Electronics | term loan first lien | $4.8M | $4.8M 100c | SOFR+550 bp | May 28, 2032 |
| S••••• B••••• L•• Chemicals, Plastics and Rubber | term loan first lien | $4.7M | $4.7M 101c | SOFR+715 bp | Jun 13, 2029 |
| A•• H••••••• L•••••• • C•••• D• H•••••care, Education and Childcare | equity equity | n/a | $4.6M 173c | ||
| F•••• M•••••• M••• L•• H•••••care, Education and Childcare | term loan first lien | $4.6M | $4.5M 98c | SOFR+575 bp | Jun 13, 2031 |
| S•• C••••••• R••••••• I••••••••• H•••••••• L•• H••••• C••• Providers and S••••••s | term loan first lien | $4.5M | $4.5M 100c | SOFR+475 bp | Jan 2, 2032 |
| I• I••••••••• H•••••••• L•• Business S••••••s | term loan first lien | $4.3M | $4.3M 100c | SOFR+500 bp | Sep 22, 2028 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Quad (U.S.) Co-Invest, LP Business S••••••s | equity equity | n/a | $4.2M 163c | ||
| D•• H••••••• I••• I••. Consumer Products | term loan first lien | $4.3M | $4.2M 100c | SOFR+525 bp | Nov 1, 2028 |
| K•••••• P••••••••• L•• Consumer Products | term loan first lien | $14.2M | $4.1M 30c | Nov 10, 2027 | |
| S•• D•••••••••, LLC - F•••• Out New Money Transportation | term loan first lien | $4.5M | $4.1M 98c | 0.00% | Oct 3, 2029 |
| B•••••• I••••••••• P••• Buildings and Real Estate | term loan first lien | $4.0M | $4.0M 99c | 13.00% | Nov 2, 2026 |
| R•••• S••••••• H•••••••• I••. P••••••••• S••••••s | term loan first lien | $5.6M | $4.0M 71c | SOFR+625 bp | Jun 15, 2029 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name AMCSI Crash Co-Invest, LP Auto Sector | equity equity | n/a | $3.9M 157c | ||
| A•••• B••••• I•• Business S••••••s | term loan first lien | $3.9M | $3.9M 101c | SOFR+475 bp | Jul 17, 2031 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Aftermarket Drivetrain Products Holdings, LLC Machinery | equity equity | n/a | $3.8M 232c | ||
| G••••••• B••••• I••. D••••••••• | term loan first lien | $3.9M | $3.8M 97c | SOFR+560 bp | Aug 10, 2027 |
| S••• H•••• D•••••• U•• L•• Building Materials | term loan first lien | $3.9M | $3.8M 99c | SOFR+550 bp | May 23, 2029 |
| F••• S••• B••••• I••. Hotels, Motels, Inns and Gaming | term loan first lien | $4.1M | $3.8M 93c | Feb 23, 2028 | |
| R•• C••••••••• L•• Business S••••••s | term loan first lien | $3.9M | $3.8M 97c | SOFR+525 bp | Aug 15, 2029 |
| D•••••• L•• Business S••••••s | term loan first lien | $9.6M | $3.7M 39c | SOFR+576 bp | Oct 16, 2028 |
| 4•••••• I••••••••• H•••••••• I••. Containers, Packaging and Glass | preferred equity equity | n/a | $3.6M 75c | ||
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name MDI Aggregator, LP Chemicals, Plastics and Rubber | equity equity | n/a | $3.5M 109c | ||
| R••••••••• M••••••• L•• H•••••care, Education and Childcare | term loan first lien | $3.5M | $3.5M 100c | SOFR+450 bp | Jun 21, 2027 |
| P• B••••• I••. Financial S••••••s | term loan first lien | $3.5M | $3.5M 99c | SOFR+450 bp | Jul 31, 2031 |
| S••••••• S•••••• P••••••• N•• L•• Diversified Conglomerate S•••••• | term loan first lien | $3.3M | $3.2M 98c | SOFR+525 bp | Dec 20, 2029 |
| P•••• C••••••••• L•• Auto Sector | revolver first lien | $3.2M | $3.2M 98c | SOFR+475 bp | Oct 3, 2030 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name ITC Infusion Co-invest, LP H•••••care, Education and Childcare | equity equity | n/a | $3.2M 184c | ||
| O•• A••••••••• I••. Business S••••••s | term loan first lien | $4.7M | $3.1M 67c | SOFR+940 bp PIK 7.50% | Sep 3, 2027 |
| O•••• E••••••• S••••••••• L•• Diversified Conglomerate S•••••• | term loan first lien | $3.2M | $3.1M 99c | SOFR+525 bp | Dec 31, 2029 |
| L••• O•••• L•• Consumer Products | term loan first lien | $3.1M | $3.1M 99c | SOFR+710 bp PIK 5.10% | Sep 17, 2027 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Cowboy P••••• LLC D••••••••• | equity equity | n/a | $3.0M 101c | ||
| P• T•••••••• H•••••• L•• Diversified Conglomerate S•••••• | term loan first lien | $3.0M | $3.0M 102c | SOFR+525 bp | Oct 14, 2030 |
| S••••• B••••• L•• Chemicals, Plastics and Rubber | revolver first lien | $3.0M | $3.0M 100c | SOFR+715 bp | Jun 13, 2028 |
| S•• D•••••••••, LLC - DIP Commitment Transportation | term loan first lien | $3.0M | $3.0M 101c | PIK 8.00% | Jul 14, 2026 |
| B•••••••• I••••••••• D••••••••• I••. D••••••••• | revolver first lien | $3.0M | $3.0M 99c | SOFR+590 bp | Sep 17, 2026 |
| P•• M••••• I••. Financial S••••••s | term loan first lien | $2.9M | $2.9M 101c | SOFR+575 bp | Mar 1, 2030 |
| E•• P••••• C••••••••• Business S••••••s | term loan first lien | $3.4M | $2.9M 93c | SOFR+451 bp | Aug 21, 2028 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Marketplace Events Holdings, LP Media | equity equity | n/a | $2.9M 196c | ||
| M••••••••• A•••••••• L•• Business S••••••s | term loan first lien | $2.9M | $2.9M 100c | SOFR+565 bp | Dec 10, 2027 |
| A•• O•••• L•• H••••• C••• Providers and S••••••s | term loan first lien | $2.9M | $2.9M 100c | SOFR+450 bp | Sep 30, 2031 |
| W••••••••• B••••, LLC. Electronics | revolver first lien | $2.7M | $2.7M 99c | SOFR+600 bp | Dec 3, 2029 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name New Medina H•••••, LLC H•••••care, Education and Childcare | equity equity | n/a | $2.6M 185c | ||
| B•• H•••••• C••••••• I••. Business S••••••s | term loan first lien | $2.6M | $2.6M 101c | SOFR+450 bp | Nov 20, 2030 |
| B• L•••• P••••••••• I• S•••••••• L•• Business S••••••s | term loan first lien | $2.6M | $2.6M 99c | SOFR+5 bp | Jul 15, 2031 |
| R•• C••••••••• L•• Business S••••••s | revolver first lien | $2.7M | $2.6M 96c | SOFR+525 bp | Aug 15, 2029 |
| M•••••• G•••• B••••• L•• H•••••care and Pharmaceuticals | term loan first lien | $2.6M | $2.6M 100c | SOFR+450 bp | Apr 1, 2032 |
| A•• H••••••• L•••••• • C•••• E• H•••••care, Education and Childcare | equity equity | n/a | $2.5M 260c | ||
| S••••••••• Global, LLC Business S••••••s | term loan first lien | $2.6M | $2.5M 95c | SOFR+635 bp PIK 5.85% | Mar 31, 2027 |
| B••• C•••• P•••••••• S•••••• C•••••• LLC H••••• C••• Providers and S••••••s | term loan first lien | $2.5M | $2.5M 100c | SOFR+500 bp | Jan 21, 2031 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Tinicum Space Coast Co-Invest, LLC Aerospace and D•••••• | equity equity | n/a | $2.4M 115c | ||
| M•• B••••• I••. Chemicals, Plastics and Rubber | revolver first lien | $2.2M | $2.2M 100c | SOFR+350 bp | Jul 25, 2028 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name FedHC InvestCo II, LP Aerospace and D•••••• | equity equity | n/a | $2.2M 94c | ||
| W•••••••• R•••••••• H•••••••• L•• | preferred equity equity | n/a | $2.2M 100c | ||
| T•• U• P•••••• L•• Food | term loan first lien | $2.1M | $2.1M 100c | SOFR+590 bp | Apr 20, 2026 |
| A••••• P••••••••• L•• Printing and Publishing | term loan first lien | $2.1M | $2.1M 101c | SOFR+7 bp | May 31, 2027 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Aechelon InvestCo, LP Aerospace and D•••••• | equity equity | n/a | $2.0M | ||
| L•• G••• H•••••••• I••. - Takeback TL Leisure, Amusement, Motion Pictures, E••••••••• | term loan first lien | $2.3M | $2.0M 84c | SOFR+594 bp | Jul 31, 2029 |
| S••••• P••••••• and Analysis, Inc. Aerospace and D•••••• | term loan first lien | $2.0M | $2.0M 100c | SOFR+475 bp | Aug 16, 2027 |
| C•••••••• H•••••• L•• H•••••care, Education and Childcare | term loan first lien | $1.9M | $1.9M 100c | SOFR+750 bp | Nov 30, 2028 |
| M••••••••• A•••••••• L•• Business S••••••s | term loan first lien | $1.9M | $1.9M 100c | SOFR+565 bp | Dec 10, 2027 |
| S•• D•••••••••, LLC - F•••• Out New Money Transportation | term loan first lien | $2.1M | $1.9M 98c | Oct 3, 2029 | |
| C••••••••• F••• P••••••••• H•••••••• L•• Business S••••••s | term loan first lien | $1.9M | $1.9M 101c | SOFR+450 bp | Sep 23, 2030 |
| I••••••• H••• S••••••• H•••••• I••. (CAD) Personal, Food and Miscellaneous S••••••s | term loan first lien | $2.6M | $1.8M 97c | SOFR+600 bp | Dec 28, 2028 |
| /P••••••••• I••••••••/Warrants of Net Assets Issuer Name Kentucky Racing H•••••, LLC Hotels, Motels, Inns and Gaming | warrants equity | n/a | $1.8M | ||
| H•••• D••••••••• I••. D••••••••• | term loan first lien | $1.8M | $1.8M 100c | SOFR+550 bp | Nov 8, 2029 |
- Fiscal year end
- 0930reported
- Incorporated
- unknownreported
- On the SEC BDC report
- 2012 to 2026reported
- Filings listed
- 19reported10-Q and 10-K since 2022
- Former names
- Pennant Investment CORPreported
- Latest schedule
- 0001193125-26-342350reported