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Borrower

R•••• T•••• U• B••••• I••

IT Servicesgroup grade Aon a schedule nowsponsor unattributed
Also written as: Inc. Asset Type; Inc. Asset Type Common
Principal held
at least $164M
sum of BDC pieces, a lower bound
Fair value
$149M
101c on cost, debt pieces
Unfunded
$54.9M
commitments not yet drawn
BDC lenders
13
13 on the latest quarter
Facilities
7
2 equity pieces beside them
Next maturity
Mar 30, 2031
no dated debt inside 24 months
On the tape since
Dec 31, 2023
latest Jun 30, 2026
Events
5
dated, non-routine
Capital structure as the BDCs see it
latest quarter end Jun 30, 2026
FacilityHeldOn costPricingMaturityBDCs
first lien term loan first lienat least $145M101cSOFR+450 bpSep 30, 203113
first lien delayed draw term loan first lienat least $14.0M99cSOFR+450 bpSep 30, 203113
first lien revolver first lienat least $3.4Mn/aSOFR+450 bpMar 31, 203111
revolver lien unstatedat least $1.1Mn/aS+450 bpMar 31, 20318
other lien unstated
exited Sep 30, 2025
at least $14.4M100cS+450 bpSep 30, 20318
delayed draw term loan lien unstated
exited Sep 30, 2025
unknownn/aunstated7
term loan lien unstated
exited Sep 30, 2024
unknownn/aunstated1
Equity pieces beside the debt: preferred equity ($1.7M fair value, 1 BDC), equity ($373,000 fair value, 1 BDC)
Lenders
every BDC piece at the latest quarter end
BDCInstrumentPrincipalFair valueRate
A• P•••••• C••••• I•••••••• C•••revolver first lien
US Corporate Debt | 1st Lien/Senior Secured Debt | Revolver | 3/30/2031
$0$0
0c
SOFR+450 bp
A• P•••••• C••••• I•••••••• C•••term loan first lien
US Corporate Debt | 1st Lien/Senior Secured Debt | Term Loan | 8.23% (S + 4.50%; 0.75% Flo
$6.4M$6.4M
101c
SOFR+450 bp
A• P•••••• C••••• I•••••••• C•••delayed draw term loan first lien
US Corporate Debt | 1st Lien/Senior Secured Debt | Delayed Draw Term Loan | 8.23% (S + 4.5
$309,640$309,640
105c
SOFR+450 bp
A• P•••••• L•••••• F•••term loan first lien
US Corporate Debt | 1st Lien/Senior Secured Debt | Term Loan | 8.23% (S + 4.50%; 0.75% Flo
$767,124$767,124
101c
SOFR+450 bp
A• P•••••• L•••••• F•••revolver first lien
US Corporate Debt | 1st Lien/Senior Secured Debt | Revolver | 3/30/2031
$0$0
0c
SOFR+450 bp
A• P•••••• L•••••• F•••delayed draw term loan first lien
US Corporate Debt | 1st Lien/Senior Secured Debt | Delayed Draw | 8.23% (S + 4.50%; 0.75%
$37,325$37,325
105c
SOFR+450 bp
A•••••• P•••••• C••••• F•••revolver first lien
Commitment Type Revolver Commitment Expiration Date 3/31/2031
n/a$-5,000
A•••••• P•••••• C••••• F•••revolver first lien
Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate 8.25% Mat
$998,000$-5,000
83c
SOFR+450 bp
A•••••• P•••••• C••••• F•••delayed draw term loan first lien
Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest
$3.0M$401,000
101c
SOFR+450 bp
A•••••• P•••••• C••••• F•••term loan first lien
Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate 8.25% Ma
$8.6M$8.5M
100c
SOFR+450 bp
A•••••• P•••••• C••••• F•••delayed draw term loan first lien
Commitment Type Delayed Draw Term Loan Commitment Expiration Date 3/31/2027
n/a$-13,000
A•••••• S•••••••• C••••• F•••term loan first lien
Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate 8.25% Ma
$19.7M$19.6M
100c
SOFR+450 bp
A•••••• S•••••••• C••••• F•••delayed draw term loan first lien
Commitment Type Delayed Draw Term Loan Commitment Expiration Date 3/31/2027
n/a$-30,000
A•••••• S•••••••• C••••• F•••revolver first lien
Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate 8.25% Mat
$2.3M$-11,000
42c
SOFR+450 bp
A•••••• S•••••••• C••••• F•••preferred equity equity
Investment Preferred
n/an/a
A•••••• S•••••••• C••••• F•••equity equity
Asset Type Common
n/a$373,000
1097c
A•••••• S•••••••• C••••• F•••preferred equity equity
Asset Type Preferred
n/a$1.7M
105c
A•••••• S•••••••• C••••• F•••revolver first lien
Commitment Type Revolver Commitment Expiration Date 3/31/2031
n/a$-11,000
A•••••• S•••••••• C••••• F•••equity equity
Investment Common
n/an/a
A•••••• S•••••••• C••••• F•••delayed draw term loan first lien
Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest
$6.9M$924,000
99c
SOFR+450 bp
A•••••• S•••••••• C••••• F••• I• L••term loan first lien
Asset Type First Lien Term Loan Reference Rate and Spread S + 4.50% Interest Rate 8.25% Ma
$1.0M$1.0M
100c
SOFR+450 bp
A•••••• S•••••••• C••••• F••• I• L••delayed draw term loan first lien
Asset Type First Lien Delayed Draw Term Loan Reference Rate and Spread S + 4.50% Interest
$354,000$47,000
100c
SOFR+450 bp
A•••••• S•••••••• C••••• F••• I• L••revolver first lien
Commitment Type Revolver Commitment Expiration Date 3/31/2031
n/a$-1,000
A•••••• S•••••••• C••••• F••• I• L••revolver first lien
Asset Type First Lien Revolver Reference Rate and Spread S + 4.50% Interest Rate 8.25% Mat
$118,000$-1,000
100c
SOFR+450 bp
A•••••• S•••••••• C••••• F••• I• L••delayed draw term loan first lien
Commitment Type Delayed Draw Term Loan Commitment Expiration Date 3/31/2027
n/a$-2,000
L••• P•••••• C••••• L••term loan first lien
First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturity Date 3/31
$0$0
0c
SOFR+450 bp
L••• P•••••• C••••• L••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 03/30/20
n/an/a
L••• P•••••• C••••• L••term loan first lien
First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturity Date 9/30
$164,000$164,000
105c
SOFR+450 bp
L••• P•••••• C••••• L••term loan first lien
First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturity Date 9/30
$3.9M$3.9M
101c
SOFR+450 bp
L••• P•••••• C••••• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 03/31/2031
n/an/a
M••••• S•••••• D••••• L•••••• F•••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest rate 8.23% Maturit
$1.1M$1.1M
105c
SOFR+450 bp
M••••• S•••••• D••••• L•••••• F•••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest rate 8.23% Maturit
$0$0
0c
SOFR+450 bp
M••••• S•••••• D••••• L•••••• F•••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 03/30/20
n/an/a
M••••• S•••••• D••••• L•••••• F•••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest rate 8.23% Maturit
$23.6M$23.6M
101c
SOFR+450 bp
M••••• S•••••• D••••• L•••••• F•••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 03/31/2031
n/an/a
N•••• H•••• P•••••• I••••• F••• A• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$4.9M$4.9M
101c
SOFR+450 bp
N•••• H•••• P•••••• I••••• F••• A• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$164,000$164,000
105c
SOFR+450 bp
N•••• H•••• P•••••• I••••• F••• A• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 03/31/2031
n/a$0
N•••• H•••• P•••••• I••••• F••• A• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$0$0
0c
SOFR+450 bp
N•••• H•••• P•••••• I••••• F••• A• L••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 03/30/20
n/a$0
N•••• H•••• P•••••• I••••• F••• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$38.4M$38.4M
101c
SOFR+450 bp
N•••• H•••• P•••••• I••••• F••• L••term loan first lien
Investment First Lien Debt Reference Rate & Spread S +4.50% Interest Rate 8.23% Maturity D
$0$0
0c
SOFR+450 bp
N•••• H•••• P•••••• I••••• F••• L••term loan first lien
Investment First Lien Debt Reference Rate & Spread S +4.50% Interest Rate 8.23% Maturity D
$1.9M$1.9M
105c
SOFR+450 bp
N•••• H•••• P•••••• I••••• F••• L••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 03/30/20
n/an/a
N•••• H•••• P•••••• I••••• F••• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 03/31/2031
n/an/a
N••••• C•••••••• D••••• L•••••• C••••revolver lien unstated
Revolving Loan
$79,000$-1,000
100c
S+450 bp
N••••• C•••••••• D••••• L•••••• C••••term loan first lien
First Lien Debt
$675,000$669,000
100c
S+450 bp
N••••• C•••••••• D••••• L•••••• C••••delayed draw term loan first lien
First Lien Debt (Delayed Draw)
$236,000$31,000
97c
S+450 bp
N••••• C•••••••• D••••• L•••••• C••••revolver lien unstated
Revolving Loan
n/an/a
N••••• C•••••••• D••••• L•••••• C••••delayed draw term loan first lien
Delayed Draw Loan
n/an/a
N••••• C•••••••• P•••••• C•••••• I••••• F•••term loan first lien
First Lien Debt
$9.1M$9.0M
100c
S+450 bp
N••••• C•••••••• P•••••• C•••••• I••••• F•••revolver lien unstated
Revolving Loan
n/an/a
N••••• C•••••••• P•••••• C•••••• I••••• F•••delayed draw term loan first lien
First Lien Debt (Delayed Draw)
$3.2M$417,000
95c
S+450 bp
N••••• C•••••••• P•••••• C•••••• I••••• F•••revolver lien unstated
Revolving Loan
$1.1M$-8,000
100c
S+450 bp
N••••• C•••••••• P•••••• C•••••• I••••• F•••delayed draw term loan first lien
Delayed Draw Loan
n/an/a
S• I••••••••• F••• I• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$493,000$493,000
105c
SOFR+450 bp
S• I••••••••• F••• I• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$10.1M$10.1M
101c
SOFR+450 bp
S• I••••••••• F••• I• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturit
$0$0
0c
SOFR+450 bp
S• I••••••••• F••• I• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 3/31/2031
n/an/a
S• I••••••••• F••• I• L••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 3/30/202
n/an/a
T• S••••• B•• L••term loan first lien
First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturity Date 09/3
$13.5M$13.5M
101c
SOFR+450 bp
T• S••••• B•• L••term loan first lien
First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturity Date 03/3
$0$0
0c
SOFR+450 bp
T• S••••• B•• L••term loan first lien
First Lien Debt Reference Rate and Spread S + 4.50% Interest Rate 8.23% Maturity Date 09/3
$657,000$657,000
105c
SOFR+450 bp
T• S••••• B•• L••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 03/30/20
n/an/a
T• S••••• B•• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 03/31/2031
n/an/a
Through time
the borrower's pieces summed across BDCs, every quarter end
Quarter endBDCsPrincipal heldFair valueOn costPIK pieces
Jun 30, 202613$164M$147M101c0
Mar 31, 202613$160M$156M101c0
Dec 31, 202513$179M$162M101c0
Sep 30, 202513$173M$156M101c0
Jun 30, 202512$172M$155M101c0
Mar 31, 202512$160M$145M100c0
Dec 31, 202412$320M$295M101c0
Sep 30, 20248$132M$121M100c0
Dec 31, 20232$0$0n/a0
What changed
Every change including routine ones
Identity
Group key
RIDGE TRAILderivedthe codename stem after legal suffixes and deal words
Spellings
1 across 13 BDCsderived
Industry
IT Servicesreportedas one filer wrote it