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S•••• P•••• C••••• C•••

Business development companymanaged by S•••• P•••• C••••• A•••••• L••Non-traded· GREENWICH, CT

A non-traded business development company, managed by S•••• P•••• C••••• A•••••• L••, holding $3.0B across 159 borrowers at Jun 30, 2026.

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

Fair value
$3.0B
Schedule of investments, 10-Q and 10-K
Borrowers
159
Schedule of investments, 10-Q and 10-K
Mark on cost
99.1¢
Schedule of investments, 10-Q and 10-K
First lien
88%
Schedule of investments, 10-Q and 10-K
As of · the latest schedule of investments read for this BDC

What matters now

  1. 6 below 80¢
    $34.6M principal

    6 positions across 6 borrowers marked below 80¢ on cost, $34.6M principal.

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

    Derivedeach position's fair value over cost, 30 Jun 2026
  2. 11 → 13
    loans paying in kind

    Loans paying in kind rose from 11 to 13 positions in the quarter to Jun 30, 2026.

    Q2 2026 · Borrowers paying interest in more debt rather than cash is an early sign of strain.

    Factthe schedule's PIK rates, quarter on quarterQuarter by quarter
  3. 150 → 159
    borrowers

    Added a net 9 borrowers in the quarter to Jun 30, 2026, to 159.

    Q2 2026 · The book is turning over faster than usual.

    Factthe schedule's borrowers, quarter on quarterSchedule of investments
Every headline figure, and the identifiersCIK 1825384 · file 814-01375Show
Fair value
$3.0B
as of Jun 30, 2026
Principal held
$3.0B
debt pieces, the filer's figure
Cost
$3.0B
99c on cost, debt pieces
Unfunded
Not disclosed
commitments not yet drawn
Positions
370
159 borrowers
First lien
88%
99% debt by fair value
Quarters on the tape
15
since Dec 31, 2022
Facilities held
308
24 sponsors financed
Portfolio through time
Fair value by quarter end$3.0B as of Jun 30, 2026
Dec 31, 2022$1.8B then
QuarterFair valueBorrowersOn costPIK pos.Avg spread
Jun 30, 2026$3.0B15999c13502 bp
Mar 31, 2026$2.9B15099c11503 bp
Dec 31, 2025$3.0B140100c12507 bp
Sep 30, 2025$2.7B136100c0513 bp
All 15 quarters
QuarterFair valueBorrowersOn costPIK pos.Avg spread
Jun 30, 2025$2.7B129100c0519 bp
Mar 31, 2025$2.6B123100c0532 bp
Dec 31, 2024$3.9B116100c0541 bp
Sep 30, 2024$2.5B102100c0557 bp
Jun 30, 2024$2.3B9199c0571 bp
Mar 31, 2024$2.1B82100c0587 bp
Dec 31, 2023$2.2B8299c0601 bp
Sep 30, 2023$1.9B7399c0604 bp
Jun 30, 2023$1.9B7298c0603 bp
Mar 31, 2023$1.8B6999c0594 bp
Dec 31, 2022$1.8B6898c0590 bp
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 Mar 31, 2024
186 positions
BorrowerInstrumentPrincipalFair valueRateMaturity
B••••••••• T••••••••• I••term loan first lien$87.1M$84.6M
99c
SOFR+525 bpMay 14, 2029
P•••••• K• B••••••• I••term loan first lien$75.5M$75.7M
102c
SOFR+575 bpDec 10, 2027
E••••• T••••••••• L••term loan first lien$71.7M$71.7M
102c
SOFR+550 bpOct 2, 2028
G••••• B•••••••• L••term loan first lien$64.2M$64.1M
101c
SOFR+525 bpSep 29, 2028
I• I••••••••• H•••••••• L••term loan first lien$63.3M$62.9M
101c
SOFR+600 bpSep 22, 2028
M•• D••••• S••••••••• L••term loan first lien$54.8M$54.3M
100c
SOFR+600 bpFeb 13, 2031
M••• C•••••• I• L••term loan first lien$50.0M$50.0M
102c
SOFR+600 bpSep 2, 2030
K••••• F••••••••• I•••term loan second lien$50.0M$49.6M
100c
SOFR+600 bpSep 22, 2031
T•• T•• H•••••• I••term loan first lien$47.0M$47.0M
101c
SOFR+600 bpMar 26, 2026
P••••• 2••• I••term loan first lien$44.8M$44.1M
100c
SOFR+750 bpJul 12, 2028
M•• P•••••••• I••term loan first lien$44.1M$43.4M
101c
SOFR+775 bpMay 23, 2028
A•••••••• G•••• L••term loan first lien$41.7M$41.0M
100c
SOFR+575 bpAug 31, 2029
F••••••••• R••• P•••••••• C•••term loan first lien$38.6M$38.9M
104c
SOFR+675 bpOct 27, 2028
A•••••• H•••••••• L••term loan first lien$39.2M$38.9M
101c
SOFR+575 bpOct 5, 2028
G• A••••••••• I••term loan first lien$36.7M$36.5M
100c
SOFR+500 bpMay 22, 2026
B•••••• B••••• I••term loan first lien$36.5M$35.6M
100c
SOFR+575 bpMar 8, 2030
G••••• H•••
H••••• C•••
term loan first lien$32.5M$32.8M
101c
SOFR+650 bpDec 12, 2029
R•• A••••••••• I••delayed draw term loan first lien$32.6M$31.9M
98c
SOFR+550 bpNov 1, 2029
C•••••• R•••••••• M••••• L••term loan first lien$31.4M$31.1M
100c
SOFR+575 bpJul 2, 2029
A••••••••term loan first lien$30.0M$29.6M
100c
SOFR+575 bpMar 15, 2030
D••••••• C•••••••••term loan first lien$29.1M$28.6M
99c
SOFR+575 bpAug 4, 2025
B••••• P••••• H••••••• L••term loan first lien$28.4M$28.4M
101c
SOFR+550 bpDec 29, 2028
I•••••• A••••••••• L••term loan first lien$28.3M$28.3M
101c
SOFR+525 bpNov 16, 2027
V••••• S••••••••• I••term loan second lien$30.0M$27.6M
93c
SOFR+725 bpApr 23, 2029
E••••••• I•••••••• I••term loan first lien$28.6M$27.2M
100c
SOFR+600 bpJun 28, 2029
T•••••• P••••••• H••••••• L••term loan first lien$27.0M$27.0M
101c
SOFR+550 bpDec 21, 2028
S••••••• H•••••••• I••term loan first lien$26.5M$26.5M
101c
SOFR+550 bpOct 1, 2027
H••••• S•••••••• I••term loan first lien$25.2M$24.9M
100c
SOFR+600 bpSep 19, 2030
T••••• I••••••••• H•••••••• L••delayed draw term loan first lien$24.7M$24.3M
99c
SOFR+550 bpOct 4, 2027
M••••term loan first lien$24.4M$24.2M
100c
SOFR+650 bpJul 29, 2026
S••••••• S••••• H••••••••• S•••••••• L••term loan first lien$24.0M$24.0M
101c
SOFR+550 bpJan 2, 2029
E•••••• L••term loan first lien$28.2M$22.6M
82c
SOFR+750 bpSep 14, 2027
A•••••••• P••••••• L••term loan first lien$23.0M$22.5M
100c
SOFR+600 bpAug 29, 2029
T••••• I••••••••• H•••••••• L••delayed draw term loan first lien$21.9M$21.6M
99c
SOFR+550 bpOct 4, 2027
T••••••• I••••••••• L••term loan first lien$21.1M$20.7M
99c
SOFR+575 bpMar 13, 2028
A••••••• I••term loan first lien$20.7M$20.5M
101c
SOFR+650 bpJun 21, 2029
H••••••••• R••••••••• H••••••• L••••••notes unsecured or subordinated$20.0M$20.4M
104c
7.25%Jun 29, 2031
G••••••• S•••••••• L••term loan first lien$19.6M$19.4M
100c
SOFR+550 bpApr 27, 2027
O••••••••• B••••••• L••term loan first lien$18.6M$18.4M
100c
SOFR+600 bpNov 16, 2027
W••• U•• T•••• H•••••••• L••term loan second lien$20.0M$18.3M
94c
SOFR+700 bpJul 26, 2029
F••••••••• R••• P•••••••• C•••delayed draw term loan first lien$18.0M$18.2M
104c
SOFR+675 bpOct 27, 2028
B•••••• B••••• I•••term loan first lien$18.3M$18.2M
102c
SOFR+650 bpJun 21, 2029
P•••• B•••••••• L••term loan first lien$17.9M$17.5M
101c
SOFR+575 bpNov 15, 2030
F•••••••• S••••••• I••••••••• H•••••••• I••term loan second lien$21.5M$17.1M
81c
SOFR+675 bpJun 16, 2031
G••••••• S•••••••• L••term loan first lien$17.0M$16.9M
100c
SOFR+550 bpApr 27, 2027
M••••••• B••••• P••••••••• L••term loan first lien$17.3M$16.8M
98c
SOFR+550 bpDec 28, 2028
C••••••••• L••term loan first lien$17.1M$16.8M
100c
SOFR+600 bpOct 7, 2030
O•••• A•••••• S••••••••• I••term loan second lien$16.5M$16.2M
99c
SOFR+850 bpSep 24, 2028
M••••••• T••••••••• I••••••••• H•••••••• I••term loan second lien$17.5M$15.8M
91c
SOFR+650 bpJul 30, 2029
G••••••••• H•••••••• L••term loan first lien$15.5M$15.3M
100c
SOFR+350 bpJan 17, 2031
W••••••• M••••••• L••term loan first lien$15.7M$15.2M
99c
SOFR+575 bpAug 25, 2028
A•••••• H•••••••• L••term loan first lien$15.0M$14.7M
103c
SOFR+550 bpDec 17, 2029
A•••••••• R••••••••• M•••••••••term loan first lien$14.7M$14.5M
100c
SOFR+625 bpOct 5, 2029
G••••• B•••••••• L••term loan first lien$13.9M$13.9M
102c
SOFR+575 bpSep 29, 2028
A••••••••term loan first lien$13.9M$13.7M
102c
SOFR+575 bpMar 15, 2030
B•• U••• P•••term loan first lien$13.5M$13.2M
100c
SOFR+600 bpAug 31, 2038
N•••••• F•••• I•••••••••term loan first lien$13.1M$13.0M
101c
SOFR+600 bpMay 8, 2029
A•••••• H•••••••• L••term loan first lien$12.9M$12.8M
101c
SOFR+575 bpOct 5, 2028
P•••••• K• B••••••• I••notes unsecured or subordinated$13.8M$12.7M
97c
8.00%Dec 11, 2028
S••••••••• I••term loan first lien$13.4M$12.5M
95c
SOFR+575 bpJun 19, 2028
C••• H••••• H••••••• C•••term loan first lien$14.2M$12.4M
88c
SOFR+575 bpJun 15, 2027
M•• P•••••••• I••delayed draw term loan first lien$12.4M$12.2M
100c
SOFR+575 bpMay 23, 2028
N•••••• B•••• U• I••term loan second lien$12.5M$12.2M
100c
SOFR+975 bpOct 11, 2029
T•• I••••••••• H•••••••• L••term loan first lien$12.2M$12.1M
100c
SOFR+575 bpNov 27, 2026
H••••• P•••••••• I••term loan second lien$12.5M$11.9M
97c
SOFR+850 bpApr 8, 2030
T••••• I••••••••• H•••••••• L••notes unsecured or subordinated$12.0M$11.8M
101c
15.00%May 26, 2033
B••••• P••••• H••••••• L••delayed draw term loan first lien$11.1M$11.1M
102c
SOFR+550 bpDec 29, 2028
G••••••• S•••••••• L••delayed draw term loan first lien$11.0M$10.9M
100c
SOFR+550 bpApr 27, 2027
G••••• B•••••••• L••equity equity$11.0M$10.9M
101c
14.00%
E•••••• I••term loan second lien$11.3M$10.8M
96c
SOFR+800 bpMay 28, 2029
S••••• S•••••• L••••••term loan first lien$10.6M$10.6M
101c
SOFR+550 bpOct 29, 2028
R•• A••••••••• I••delayed draw term loan first lien$10.6M$10.5M
99c
SOFR+600 bpNov 1, 2029
A•••••••• G•••• L••delayed draw term loan first lien$10.4M$10.3M
100c
SOFR+575 bpAug 31, 2029
G•••••••• C••••••••• I••term loan first lien$10.3M$10.0M
98c
SOFR+525 bpMay 18, 2029
G• P•••••• H•••••••• I•••equity equity$10.3M$9.8M
97c
12.50%Jun 6, 2022
D••••••• C•••••••••term loan first lien$9.7M$9.6M
99c
SOFR+575 bpAug 4, 2025
H••••••••• H•••••••• I••term loan second lien$10.0M$9.2M
92c
SOFR+675 bpNov 19, 2027
N••••••
H•••••••••
term loan first lien$9.2M$9.1M
100c
SOFR+600 bpNov 11, 2030
M••••••• 1• L••term loan second lien$9.0M$8.6M
96c
SOFR+675 bpMay 18, 2029
D•••• B••••• I••term loan second lien$8.3M$7.5M
92c
SOFR+700 bpFeb 19, 2029
T•• I••••••••• H•••••••• L••delayed draw term loan first lien$7.6M$7.5M
99c
SOFR+575 bpNov 27, 2026
B••••• P••••• H••••••• L••delayed draw term loan first lien$7.4M$7.4M
101c
SOFR+550 bpDec 29, 2028
A••••••• F•••• B••term loan first lien$6.9M$6.8M
100c
SOFR+475 bpFeb 18, 2031
G• T•• I••••••••• H•••••••• I••notes unsecured or subordinated$6.1M$5.8M
111c
7.50%Apr 1, 2029
S••••••• S••••• H••••••••• S•••••••• L••delayed draw term loan first lien$5.4M$5.4M
101c
SOFR+550 bpJan 2, 2029
R•• T••••• I••equity equity$5.4M$5.3M
101c
13.25%
E•••••• F•••••••• C•••••term loan second lien$5.1M$5.2M
106c
SOFR+675 bpJul 20, 2026
C••••• B••••• L••term loan first lien$5.2M$5.1M
100c
SOFR+525 bpFeb 18, 2028
I• I••••••••• H•••••••• L••term loan first lien$4.9M$4.9M
100c
SOFR+600 bpSep 22, 2028
S••••• R• H•••••••• I•••equity equity$3.6M$4.6M
126c
Sep 19, 2022
G••••• H•••
H••••• C•••
term loan second lien$4.5M$4.6M
103c
12.50%Apr 26, 2029
P•• P•••••• I•••delayed draw term loan first lien$4.7M$4.5M
99c
SOFR+550 bpDec 29, 2028
I•• H••• A•••• M••••••••• L•••notes unsecured or subordinated$4.3M$4.4M
102c
9.00%Jun 29, 2028
C••••• B•••••• A••••••• L••term loan first lien$4.4M$4.3M
100c
SOFR+575 bpJun 30, 2028
G••••••• S•••••••• L••term loan first lien$4.1M$4.0M
100c
SOFR+550 bpJun 16, 2031
R•• A••••••••• I••term loan first lien$4.1M$4.0M
99c
SOFR+550 bpNov 1, 2029
M••••••••• T•••• C••• L••term loan first lien$3.9M$3.9M
102c
SOFR+475 bpMar 27, 2026
T•• F••• I• I•••••••• ••••••••• L••equity equity$3.7M$3.7M
100c
A••• I••••••••• H•••••••• L••term loan first lien$3.7M$3.7M
103c
SOFR+625 bpMay 23, 2029
I•••••• A••••••••• L••equity equity$2.0M$2.9M
146c
Page 1 of 2Next
Registration
Fiscal year end
1231reported
Incorporated
DEreported
On the SEC BDC report
2021 to 2026reported
Filings listed
19reported10-Q and 10-K since 2022
Former names
S•••• P•••• Capital Credit LLCreported
Latest schedule
0001193125-26-352549reported