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O•••••• S•••••••• C••••• F•••

Business development companymanaged by O•••••• F••• A•••••••• L••Non-traded· LOS ANGELES, CA

A non-traded business development company, managed by O•••••• F••• A•••••••• L••, holding $6.8B across 159 borrowers at Jun 30, 2026.

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

Fair value
$6.8B
Schedule of investments, 10-Q and 10-K
Borrowers
159
Schedule of investments, 10-Q and 10-K
Mark on cost
98.5¢
Schedule of investments, 10-Q and 10-K
First lien
87%
Schedule of investments, 10-Q and 10-K
As of · the latest schedule of investments read for this BDC

What matters now

  1. $11.5M
    on non-accrual, 1 borrower

    1 borrower on non-accrual, $11.5M principal; the largest is P••••••••• L•• ($11.5M).

    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 P••••••••• L••
  2. 7 below 80¢
    $118M principal

    7 positions across 7 borrowers marked below 80¢ on cost, $118M 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. 10 → 17
    loans paying in kind

    Loans paying in kind rose from 10 to 17 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
Every headline figure, and the identifiersCIK 1872371 · file 814-01471Show
Fair value
$6.8B
as of Jun 30, 2026
Principal held
$7.3B
debt pieces, the filer's figure
Cost
$6.9B
99c on cost, debt pieces
Unfunded
$825M
commitments not yet drawn
Positions
454
159 borrowers
First lien
87%
99% debt by fair value
Quarters on the tape
15
since Sep 30, 2022
Facilities held
330
19 sponsors financed
Portfolio through time
Fair value by quarter end$6.8B as of Jun 30, 2026
Sep 30, 2022$429M then
QuarterFair valueBorrowersOn costPIK pos.Avg spread
Jun 30, 2026$6.8B15999c17518 bp
Mar 31, 2026$7.0B16399c10514 bp
Dec 31, 2025$7.4B169100c11518 bp
Sep 30, 2025$7.4B189100c10528 bp
All 15 quarters
QuarterFair valueBorrowersOn costPIK pos.Avg spread
Jun 30, 2025$6.4B175101c12544 bp
Mar 31, 2025$6.1B181100c14553 bp
Dec 31, 2024$5.4B172100c15563 bp
Sep 30, 2024$4.6B210101c14580 bp
Jun 30, 2024$4.2B173100c11604 bp
Mar 31, 2024$3.5B161101c13618 bp
Dec 31, 2023$2.9B142101c10624 bp
Sep 30, 2023$1.9B155100c15629 bp
Jun 30, 2023$1.3B109100c13620 bp
Mar 31, 2023$900M10599c13606 bp
Sep 30, 2022$429M11596c2561 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 Dec 31, 2024
418 positions
BorrowerInstrumentPrincipalFair valueRateMaturity
M••••••• I••••••••• I••term loan first lien$17.1M$17.1M
101c
S+325 bpJun 17, 2031
S•• H•••••• I• C•••••••••term loan first lien$17.2M$17.0M
101c
S+500 bpMar 27, 2028
O••••••••• L••term loan first lien$17.1M$17.0M
100c
S+500 bpJun 10, 2030
G•••• H•••• P••••• O••••• L••term loan first lien$17.3M$16.9M
99c
S+800 bpJun 21, 2027
O••••• H•••••• I••term loan first lien$16.9M$16.6M
100c
S+725 bpFeb 1, 2029
B••••• U• B•••• L••term loan first lien$16.9M$16.3M
99c
S+525 bpSep 30, 2030
i••••• I•••term loan first lien$16.3M$15.8M
98c
S+575 bpAug 18, 2028
O••••• H•••••• I••term loan first lien$15.7M$15.7M
102c
S+775 bpFeb 1, 2029
P•• A••• B••••• I••term loan first lien$14.8M$14.6M
99c
S+550 bpFeb 15, 2029
M••••• F•••••• V• L•term loan first lien$14.2M$14.3M
102c
S+658 bpJun 3, 2027
C•••• H•••••••• L••term loan first lien$13.4M$13.4M
102c
S+525 bpFeb 27, 2030
S••••••• I•••• F•••• R•••notes lien unstated$13.5M$13.3M
99c
10.75%Sep 1, 2029
S•••• W••••••• C••••••••• L••term loan first lien$13.5M$12.9M
97c
S+1000 bpOct 7, 2026
M••••• P•••••••• S•••••••• H•••••• C•• F•••• R•••notes lien unstated$12.5M$12.8M
103c
7.88%Apr 15, 2027
T•••••• T•• H••••••• I••term loan first lien$12.3M$12.5M
101c
S+375 bpSep 15, 2028
A••••• S•••••••• L••• F•••• R•••notes lien unstated$12.7M$12.2M
96c
8.50%Feb 15, 2031
C••••• H•••••• C•••••••••term loan first lien$12.0M$11.8M
100c
S+650 bpMay 13, 2026
D•••• R••• C•••••• I•••term loan first lien$11.7M$11.6M
101c
S+650 bpDec 8, 2028
E••••••••• L••• H••••••• I•••term loan first lien$11.4M$11.4M
101c
9.00%Apr 21, 2027
O••••••••• L••term loan first lien$11.5M$11.3M
99c
S+500 bpJun 10, 2030
A••••• I••term loan first lien$11.2M$11.2M
101c
S+700 bpOct 31, 2025
A••• P••••••• H•••••••• I••term loan first lien$12.6M$10.7M
89c
5.50%
PIK 5.50%
Oct 14, 2027
A••••••• L••term loan first lien$10.6M$10.6M
100c
S+400 bpAug 19, 2028
A•• T••••••••• S•term loan first lien$10.4M$10.1M
101c
S+750 bpAug 15, 2029
H•••••• I••term loan first lien$9.3M$9.5M
102c
S+650 bpJan 19, 2026
W••••••• 2••••• T••••• C••
Structured finance (CLO)
notes lien unstated$9.4M$9.4M
101c
S+777 bpOct 25, 2036
E•••••••• I• B••••••• 2•••• L••term loan first lien$9.1M$9.1M
101c
S+475 bpSep 30, 2030
C•••• S••••••• G••••• I•••• F•••• R•••notes lien unstated$8.9M$8.7M
107c
6.50%Mar 31, 2029
O••••••••• L••term loan first lien$8.5M$8.5M
103c
S+625 bpJun 10, 2030
L•• H•••••• L••term loan first lien$8.9M$8.5M
96c
S+600 bpJan 31, 2028
T•••••• B•••• L••term loan first lien$8.3M$8.2M
100c
S+500 bpJan 31, 2029
T•••••• B•••• L••term loan first lien$8.1M$8.0M
100c
S+500 bpJan 31, 2029
L•••• A••••••• G•••• S•••term loan first lien$7.8M$7.9M
101c
7.88%Apr 15, 2030
S•••••• F•••••• G•••• N• H•••••••• L••term loan first lien$8.1M$7.9M
98c
S+700 bpDec 31, 2026
E••••••••• I•••term loan first lien$7.7M$7.7M
100c
S+500 bpJul 2, 2031
P••••• C••• C••••••• L••preferred equity equityNot disclosed$7.4M
118c
P•••••• C••••• C••• 2•••••• C••
Structured finance (CLO)
notes lien unstated$7.3M$7.3M
100c
14.64%Oct 15, 2034
O••••••••• S••••• H••••••• A•term loan first lien$7.4M$7.1M
96c
S+550 bpOct 30, 2031
M•• S••••••• L••term loan first lien$7.1M$7.0M
99c
S+475 bpFeb 10, 2027
a••••••••• G•••• I••preferred equity equityNot disclosed$6.9M
122c
F••••••• C••••• B•• X••• C••
Structured finance (CLO)
notes lien unstated$6.8M$6.9M
101c
S+837 bpJul 24, 2036
P•••••• C••••term loan first lien$7.4M$6.9M
94c
S+375 bpFeb 1, 2028
M••••••• A••••••••• I•••term loan first lien$7.0M$6.9M
101c
S+500 bpJun 3, 2030
A••••••• A••• A•••••• G••••• L••term loan second lien$6.9M$6.8M
100c
S+875 bpJan 2, 2029
M•••••• P••• E••• F•••••• X••• C••
Structured finance (CLO)
notes lien unstated$7.0M$6.7M
99c
S+360 bpJul 15, 2032
T••••••• C•• X• D••• C••
Structured finance (CLO)
notes lien unstated$6.5M$6.4M
110c
S+771 bpApr 22, 2034
H•••• I•••••••• M•••••• S•••••• L•••• F•••• R•••notes lien unstated$6.1M$6.4M
105c
9.00%Feb 15, 2029
V••••• P•••••• I•••term loan first lien$6.3M$6.3M
102c
11.00%May 9, 2029
N•••• S••• A••••••••• L••term loan first lien$5.7M$6.1M
99c
S+500 bpMay 3, 2029
N•••• S••• A••••••••• L••term loan first lien$6.2M$6.1M
98c
S+500 bpMay 3, 2029
G•••••• P•••••• I•••revolver first lien$6.0M$6.0M
100c
S+575 bpMay 3, 2029
C••••• C•• 2•••••• C••
Structured finance (CLO)
notes lien unstated$5.5M$5.6M
103c
S+715 bpOct 15, 2037
I• B•••• L••term loan first lien$5.5M$5.5M
100c
S+500 bpJun 28, 2029
F••••••• C••••• B•• X•• C••
Structured finance (CLO)
notes lien unstated$5.3M$5.4M
101c
S+851 bpJan 23, 2037
P•••••• C••••• C••• 2•••••• C••
Structured finance (CLO)
notes lien unstated$5.5M$5.4M
100c
10.05%Oct 15, 2034
C•• C••••••• L••• F••• X•••• C••
Structured finance (CLO)
notes lien unstated$5.4M$5.2M
99c
S+664 bpJun 15, 2037
P•••••• C••••• C••• 2•••••• C••
Structured finance (CLO)
notes lien unstated$5.2M$5.2M
100c
7.15%Oct 15, 2034
M•• I••••••••• H•••••••• L••term loan first lien$5.2M$5.2M
101c
S+600 bpJul 21, 2027
P••••••••• L••term loan first lien$5.1M$5.1M
100c
S+750 bp
PIK 12.01%
Aug 22, 2029
E•••• P••••• C••••term loan first lien$5.2M$5.1M
99c
S+425 bpApr 2, 2029
A••• L••••• C••• C••
Structured finance (CLO)
notes lien unstated$5.0M$5.1M
102c
S+575 bpApr 25, 2035
M•••••• P••• F•••••• L••••• C••
Structured finance (CLO)
notes lien unstated$5.0M$5.1M
102c
S+550 bpApr 21, 2035
G••••••• C•• X• 2•••••• C••
Structured finance (CLO)
notes lien unstated$5.0M$5.1M
103c
S+541 bpOct 14, 2035
3• C•••••• C•• 4• C••
Structured finance (CLO)
notes lien unstated$5.0M$5.0M
101c
S+550 bpJan 15, 2034
O••• B•• X••• C••• C••
Structured finance (CLO)
notes lien unstated$5.0M$5.0M
101c
S+450 bpApr 20, 2037
F••••••• C••••• B•• X•• C••
Structured finance (CLO)
notes lien unstated$5.0M$5.0M
100c
S+475 bpOct 18, 2033
V••••• P•••••• I•••term loan first lien$5.0M$4.9M
102c
11.00%May 9, 2029
A•••••••• A••••••••• C• L••term loan first lien$4.8M$4.7M
98c
S+600 bpDec 29, 2027
K•••• B••••• L••term loan first lien$4.7M$4.6M
98c
S+500 bpOct 29, 2027
T••••••• C•• X••• C••
Structured finance (CLO)
notes lien unstated$4.5M$4.5M
103c
S+426 bpApr 25, 2033
A•••••• C•• X••• C••
Structured finance (CLO)
notes lien unstated$4.4M$4.5M
102c
S+740 bpJul 21, 2037
1•••••• V•• H••••• R••••• L••term loan first lien$4.4M$4.4M
99c
13.00%Feb 18, 2025
H•••••• I••term loan first lien$4.3M$4.4M
102c
S+650 bpJan 19, 2026
P••••••••• L••equity equityNot disclosed$4.1M
73c
N••••••••• C•••••• X•• C••
Structured finance (CLO)
notes lien unstated$4.0M$4.0M
102c
S+401 bpJun 20, 2034
A•••••••• R••• M••••••••• G••••• I•••term loan first lien$3.9M$4.0M
100c
S+475 bpNov 1, 2029
N•••• S••• A••••••••• L••term loan first lien$3.9M$3.9M
100c
S+500 bpMay 3, 2029
A•••• A••••••••• C•••term loan first lien$5.2M$3.9M
76c
S+675 bpFeb 25, 2028
A• B•• C•••• C••
Structured finance (CLO)
notes lien unstated$3.8M$3.9M
102c
S+550 bpApr 20, 2036
C••••• H•••••• C•••••••••term loan first lien$3.9M$3.8M
100c
S+650 bpMay 13, 2026
W••• 2•••••• C••
Structured finance (CLO)
notes lien unstated$4.1M$3.8M
113c
3.60%Sep 15, 2044
J• B•••• L••equity equityNot disclosed$3.6M
100c
B••• C•••••• C••••• C•• 2•••••• C••
Structured finance (CLO)
notes lien unstated$3.5M$3.5M
104c
S+370 bpJul 17, 2035
A••• X••• C••• C••
Structured finance (CLO)
notes lien unstated$3.5M$3.5M
103c
S+713 bpApr 15, 2034
G•••• H•••• P••••• O••••• L••term loan first lien$3.5M$3.5M
99c
S+800 bpJun 21, 2027
W••• R•••• 2••••• C••• C••
Structured finance (CLO)
notes lien unstated$3.3M$3.3M
103c
S+425 bpApr 20, 2037
P••••••••• L••term loan first lien$3.3M$3.3M
100c
S+450 bp
PIK 1.50%
Aug 22, 2029
H••••• C•• I•• C••
Structured finance (CLO)
notes lien unstated$3.5M$3.3M
95c
S+571 bpJan 25, 2034
N•••• S••• A••••••••• L••term loan first lien$3.3M$3.3M
101c
S+475 bpMay 3, 2029
T•••••• B•••• L••term loan first lien$3.3M$3.3M
100c
S+500 bpJan 31, 2029
E••••••• E•• C••• H••••• L••term loan first lien$3.2M$3.2M
100c
S+550 bpOct 5, 2029
O•••••• 6•• C••
Structured finance (CLO)
notes lien unstated$3.0M$3.1M
104c
S+509 bpNov 16, 2036
J•••• B•••• L••••••term loan first lien$3.1M$3.0M
102c
S+600 bpApr 25, 2031
C••••••• B••••• I•••term loan first lien$3.1M$3.0M
101c
S+675 bpNov 8, 2030
S•• H•••••• I• C•••••••••term loan first lien$3.1M$3.0M
101c
S+500 bpMar 27, 2028
M••••• P•••• C•• X•••• C••
Structured finance (CLO)
notes lien unstated$3.0M$3.0M
101c
S+365 bpJul 20, 2037
B•••••• T••••••••• I••term loan first lien$3.4M$2.9M
88c
3.00%
PIK 10.00%
Apr 19, 2027
F••••••• U••• I•••revolver first lien$2.8M$2.8M
101c
S+725 bpSep 13, 2029
T••••••• C•• V• L•••• C••
Structured finance (CLO)
notes lien unstated$2.8M$2.7M
101c
S+708 bpJan 25, 2034
W• C•• H•••••••• L••term loan first lien$2.6M$2.6M
100c
S+750 bp
PIK 4.13%
Nov 29, 2029
Page 2 of 5PreviousNext
Registration
Fiscal year end
0930reported
Incorporated
unknownreported
On the SEC BDC report
2022 to 2026reported
Filings listed
19reported10-Q and 10-K since 2022
Former names
O•••••• Opportunistic Income Fundreported
Latest schedule
0001872371-26-000013reported