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T••••••••• V•••••• G••••• B•• C••••

Business development companymanaged by T••••••••• A••••••• L••Listed: TPVG· MENLO PARK, CA

A business development company traded as TPVG, managed by T••••••••• A••••••• L••, holding $781M across 137 borrowers at Jun 30, 2026.

Composed from this BDC's filings and its latest schedule of investments.

Fair value
$781M
Schedule of investments, 10-Q and 10-K
Borrowers
137
Schedule of investments, 10-Q and 10-K
Mark on cost
88.2¢
Schedule of investments, 10-Q and 10-K
As of · the latest schedule of investments read for this BDC

What matters now

  1. $10M
    on non-accrual, 1 borrower

    1 borrower on non-accrual, $10M principal; the largest is F•••••• I•• ($10M).

    Q2 2026 · Loans that have stopped paying interest; they set the book's credit losses.

    FactBDC schedules of investments, 30 Jun 2026For LPs and shareholders in these BDCs, co-lenders on the same namesOpen F•••••• I••
  2. 15 below 80¢
    $134M principal

    15 positions across 7 borrowers marked below 80¢ on cost, $134M principal.

    Q2 2026 · Marks this low usually come before non-accrual or a restructuring.

    Derivedeach position's fair value over cost, 30 Jun 2026
  3. 89.5¢ → 88.2¢
    book mark on cost

    Marked its book down from 89.5¢ to 88.2¢ on the dollar in the quarter to Jun 30, 2026.

    Q2 2026 · The whole portfolio was marked down; net asset value follows.

    Derivedthe schedule's fair value over cost, quarter on quarterQuarter by quarter
Every headline figure, and the identifiersCIK 1580345 · file 814-01044Show
Fair value
$781M
as of Jun 30, 2026
Principal held
$730M
debt pieces, the filer's figure
Cost
$831M
88c on cost, debt pieces
Unfunded
$141M
commitments not yet drawn
Positions
340
137 borrowers
First lien
not established
82% debt by fair value
Quarters on the tape
17
since Dec 31, 2021
Facilities held
246
15 sponsors financed
Portfolio through time
Fair value by quarter end$781M as of Jun 30, 2026
Dec 31, 2024$1.4B then
QuarterFair valueBorrowersOn costPIK pos.Avg spread
Jun 30, 2026$781M13788c20430 bp
Mar 31, 2026$786M13589c20408 bp
Dec 31, 2025$1.6B13890c47426 bp
Sep 30, 2025$798M12890c18451 bp
All 18 quarters
QuarterFair valueBorrowersOn costPIK pos.Avg spread
Jun 30, 2025$718M12089c20483 bp
Mar 31, 2025Not disclosed18n/a0n/a
Dec 31, 2024$1.4B13189c30543 bp
Sep 30, 2024Not disclosed20n/a0n/a
Jun 30, 2024Not disclosed17n/a0n/a
Mar 31, 2024Not disclosed14n/a0n/a
Dec 31, 2023Not disclosed50n/a0n/a
Sep 30, 2023Not disclosed39n/a0n/a
Jun 30, 2023Not disclosed40n/a0n/a
Mar 31, 2023Not disclosed38n/a0n/a
Dec 31, 2022Not disclosed51n/a0n/a
Sep 30, 2022Not disclosed48n/a0n/a
Dec 31, 2021Not disclosed56n/a0n/a
Sep 30, 2021Not disclosed1n/a0n/a
Sponsors financed
No borrower on this schedule has a sponsor attribution yet.
What changed
Full timeline · 20 events
Every position change, including routine ones
Largest facilities held, with co-lenders
Schedule of investments at Dec 31, 2024
648 positions
BorrowerInstrumentPrincipalFair valueRateMaturity
P•••••• I••••••••• L••••••term loan lien unstated$36.7M$36.7M
100c
PIK 14.28%
Dec 31, 2025
P•••••• I••••••••• L••••••unstated lien unstated$36.7M$36.7M
100c
PIK 14.28%
Dec 31, 2025
R•••••• L••equity equityNot disclosed$24.4M
8362c
R•••••• L••equity equityNot disclosed$24.4M
8362c
T••••• M••••••• I•••term loan lien unstated$23.7M$23.4M
97c
S+475 bp
PIK 6.13%
Jun 12, 2027
T••••• M••••••• I•••unstated lien unstated$23.7M$23.4M
97c
6.38%
PIK 6.13%
Jun 12, 2027
O••••••••• G•••unstated lien unstated$27.2M$22.9M
75c
PIK 11.00%
Jan 1, 2026
O••••••••• G•••term loan lien unstated$27.2M$22.9M
75c
PIK 11.00%
Jan 1, 2026
T••••• M••••••• I•••term loan lien unstated$20.0M$20.8M
100c
S+475 bpDec 31, 2025
T••••• M••••••• I•••unstated lien unstated$20.0M$20.8M
100c
S+475 bpDec 31, 2025
T••••••• I•••unstated lien unstated$19.5M$20.6M
98c
S+775 bpDec 31, 2026
T••••••• I•••term loan lien unstated$19.5M$20.6M
98c
S+775 bpDec 31, 2026
F••••••••• I•••term loan lien unstated$20.3M$20.0M
100c
S+175 bp
PIK 2.50%
May 31, 2027
F••••••••• I•••unstated lien unstated$20.3M$20.0M
100c
S+175 bp
PIK 2.50%
May 31, 2027
P•••••• I••••••••• L••••••equity equityNot disclosed$19.8M
93c
P•••••• I••••••••• L••••••equity equityNot disclosed$19.8M
93c
P•••• L•••• L••term loan lien unstated$19.5M$19.2M
100c
S+350 bpDec 1, 2028
P•••• L•••• L••unstated lien unstated$19.5M$19.2M
100c
S+350 bpDec 1, 2028
M•••••• I•••unstated lien unstated$16.5M$17.0M
100c
S+800 bpJun 30, 2027
M•••••• I•••term loan lien unstated$16.5M$17.0M
100c
S+800 bpJun 30, 2027
F••••••••• I•••unstated lien unstated$16.9M$16.9M
100c
S+700 bpNov 30, 2027
F••••••••• I•••term loan lien unstated$16.9M$16.9M
100c
S+700 bpNov 30, 2027
M••• O•••••••• I•••term loan lien unstated$16.0M$16.0M
107c
S+650 bpAug 1, 2026
M••• O•••••••• I•••unstated lien unstated$16.0M$16.0M
107c
S+650 bpAug 1, 2026
H•••• I•••unstated lien unstated$16.0M$15.9M
100c
S+300 bpMar 31, 2029
H•••• I•••term loan lien unstated$16.0M$15.9M
100c
S+300 bpMar 31, 2029
H•••••• I•••unstated lien unstated$16.7M$14.6M
89c
S+350 bpDec 1, 2027
H•••••• I•••term loan lien unstated$16.7M$14.6M
89c
S+350 bpDec 1, 2027
M••• O•••••••• I•••revolver lien unstated$11.0M$11.0M
95c
S+400 bpDec 31, 2025
M••• O•••••••• I•••unstated lien unstated$11.0M$11.0M
95c
S+400 bpDec 31, 2025
J•••• S•••••••• I•••term loan lien unstated$10.0M$10.5M
100c
10.00%Sep 30, 2025
J•••• S•••••••• I•••unstated lien unstated$10.0M$10.5M
100c
10.00%Sep 30, 2025
J•••• S•••••••• I•••unstated lien unstated$10.0M$10.3M
101c
13.75%Jun 30, 2026
J•••• S•••••••• I•••term loan lien unstated$10.0M$10.3M
101c
13.75%Jun 30, 2026
H•••••••• I•••term loan lien unstated$10.0M$10.2M
96c
S+650 bpJun 30, 2026
H•••••••• I•••unstated lien unstated$10.0M$10.2M
96c
S+650 bpJun 30, 2026
M••• C•••• L••••••term loan lien unstated$23.2M$9.6M
45c
PIK 12.00%
Dec 31, 2025
M••• C•••• L••••••unstated lien unstated$23.2M$9.6M
45c
PIK 12.00%
Dec 31, 2025
F•••• S•unstated lien unstated$13.7M$9.4M
68c
9.75%Aug 31, 2028
F•••• S•term loan lien unstated$13.7M$9.4M
67c
9.75%Aug 31, 2028
F•••• S•term loan lien unstated$13.7M$9.4M
68c
9.75%Aug 31, 2028
F•••• S•unstated lien unstated$13.7M$9.4M
67c
9.75%Aug 31, 2028
K•••••••• I•••unstated lien unstated$8.9M$9.2M
100c
S+450 bpSep 30, 2026
K•••••••• I•••term loan lien unstated$8.9M$9.2M
100c
S+450 bpSep 30, 2026
Q•••• C••••••• L••unstated lien unstated$11.3M$9.1M
96c
PIK 6.00%
Dec 31, 2028
Q•••• C••••••• L••term loan lien unstated$11.3M$9.1M
96c
PIK 6.00%
Dec 31, 2028
H•••••• I•••revolver lien unstated$9.8M$8.8M
90c
S+200 bpDec 31, 2026
H•••••• I•••unstated lien unstated$9.8M$8.8M
90c
S+200 bpDec 31, 2026
F•••• I•••term loan lien unstated$8.9M$8.8M
100c
S+400 bpAug 1, 2027
F••••• I•••unstated lien unstated$8.9M$8.8M
100c
S+400 bpAug 1, 2027
F•• H••••• U• L••••••term loan lien unstated$8.8M$8.7M
101c
S+575 bpJul 31, 2025
F•• H••••• U• L••••••unstated lien unstated$8.8M$8.7M
101c
S+575 bpJul 31, 2025
F•• H••••• U• L••••••unstated lien unstated$8.3M$8.3M
100c
S+575 bpMay 31, 2025
F•• H••••• U• L••••••term loan lien unstated$8.3M$8.3M
100c
S+575 bpMay 31, 2025
F•••••• I•••term loan lien unstated$8.0M$7.9M
98c
S+800 bpOct 31, 2026
F•••••• I•••unstated lien unstated$8.0M$7.9M
98c
S+800 bpOct 31, 2026
G••••••••• I•••equity equityNot disclosed$7.8M
100c
G••••••••• I•••equity equityNot disclosed$7.8M
100c
Q•••• C••••••• L•• 1•equity equityNot disclosed$7.7M
96c
Q•••• C••••••• L••preferred equity equityNot disclosed$7.7M
96c
S••••• X• I•••term loan lien unstated$7.5M$7.3M
100c
S+725 bpMay 31, 2027
S••••• X• I•••unstated lien unstated$7.5M$7.3M
100c
S+725 bpMay 31, 2027
A•••••• P••••• I•••unstated lien unstated$7.0M$7.2M
100c
11.75%Dec 31, 2026
A•••••• P••••• I•••term loan lien unstated$7.0M$7.2M
100c
11.75%Dec 31, 2026
O••••••• I•••unstated lien unstated$7.1M$7.1M
100c
S+250 bpFeb 1, 2028
O••••••• I•••term loan lien unstated$7.1M$7.1M
100c
S+250 bpFeb 1, 2028
R•••••• L•• 2•warrants equityNot disclosed$6.8M
2111c
R•••••• L••warrants equityNot disclosed$6.8M
2111c
L••••••• R••• L••••••unstated lien unstated$35.5M$6.8M
23c
Aug 31, 2026
L••••••• R••• L••••••term loan lien unstated$35.5M$6.8M
23c
Aug 31, 2026
M•••• B••• L••••••term loan lien unstated$7.0M$6.2M
90c
12.00%Mar 8, 2026
M•••• B••• L••••••unstated lien unstated$7.0M$6.2M
90c
12.00%Mar 8, 2026
P••••••• E••••••••• I•••unstated lien unstated$6.0M$6.0M
100c
S+200 bpJan 1, 2027
P••••••• E••••••••• I•••term loan lien unstated$6.0M$6.0M
100c
S+200 bpJan 1, 2027
T••••••• I•••unstated lien unstated$5.5M$5.8M
100c
S+775 bpDec 31, 2026
T••••••• I•••term loan lien unstated$5.5M$5.8M
100c
S+775 bpDec 31, 2026
F•• H••••• U• L••••••unstated lien unstated$5.8M$5.7M
101c
S+575 bpSep 30, 2025
F•• H••••• U• L••••••term loan lien unstated$5.8M$5.7M
101c
S+575 bpSep 30, 2025
R•••••• L••warrants equityNot disclosed$5.7M
14157c
R•••••• L•• 1•warrants equityNot disclosed$5.7M
14157c
N•••••• O•• W•••• A•term loan lien unstated$6.6M$5.3M
89c
S+825 bpDec 31, 2026
N•••••• O•• W•••• A•unstated lien unstated$6.6M$5.3M
89c
S+825 bpDec 31, 2026
L•••• H•••••• C••••••term loan lien unstated$4.8M$5.1M
100c
S+375 bpDec 31, 2025
L•••• H•••••• C••••••unstated lien unstated$4.8M$5.1M
100c
S+375 bpDec 31, 2025
L••• O•••••• S•••••••• I•••unstated lien unstated$5.0M$5.0M
100c
S+675 bpDec 31, 2027
L••• O•••••• S•••••••• I•••term loan lien unstated$5.0M$5.0M
100c
S+675 bpDec 31, 2027
F•••• B•••••• L••term loan lien unstated$5.1M$4.9M
95c
S+525 bpApr 30, 2026
F•••• B•••••• L••unstated lien unstated$5.1M$4.9M
95c
12.00%Apr 30, 2026
F•••••• I•••term loan lien unstated$4.4M$4.6M
98c
S+800 bpOct 31, 2026
F•••••• I•••unstated lien unstated$4.4M$4.6M
98c
S+800 bpOct 31, 2026
F•••• B•••••• L••term loan lien unstated$4.2M$4.1M
93c
S+525 bpNov 30, 2025
F•••• B•••••• L••unstated lien unstated$4.2M$4.1M
93c
12.00%Nov 30, 2025
L••• O•••••• S•••••••• I•••unstated lien unstated$4.0M$4.0M
100c
S+675 bpDec 31, 2027
L••• O•••••• S•••••••• I•••term loan lien unstated$4.0M$4.0M
100c
S+675 bpDec 31, 2027
K• H•••••• I•••unstated lien unstated$3.9M$4.0M
100c
S+225 bpJul 31, 2026
K• H•••••• I•••term loan lien unstated$3.9M$4.0M
100c
S+225 bpJul 31, 2026
A•• H••••••• •••••••• H••••••unstated lien unstated$4.0M$3.9M
100c
S+100 bpDec 1, 2027
A•• H••••••• •••••••• H••••••term loan lien unstated$4.0M$3.9M
100c
S+100 bpDec 1, 2027
S••••• X• I•••term loan lien unstated$4.0M$3.9M
100c
S+725 bpMay 31, 2027
S••••• X• I•••unstated lien unstated$4.0M$3.9M
100c
S+725 bpMay 31, 2027
Page 1 of 7Next
Registration
Fiscal year end
1231reported
Incorporated
MDreported
On the SEC BDC report
2015 to 2026reported
Filings listed
19reported10-Q and 10-K since 2022
Latest schedule
0001580345-26-000025reported

Not yet on record: first lien.