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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Borrower

R•••••• H•••••••• I••

Automobile Componentsgroup grade Aon a schedule nowsponsor unattributed
Principal held
at least $45.0M
sum of BDC pieces, a lower bound
Fair value
$44.3M
100c on cost, debt pieces
Unfunded
$11.9M
commitments not yet drawn
BDC lenders
4
3 on the latest quarter
Facilities
6
0 equity pieces beside them
Next maturity
Nov 1, 2029
no dated debt inside 24 months
On the tape since
Dec 31, 2022
latest Jun 30, 2026
Events
4
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 $45.0M100cSOFR+500 bpNov 1, 20293
first lien delayed draw term loan first lienunknownn/aunstated3
first lien revolver first lienunknownn/aunstated3
other lien unstated
exited Jun 30, 2025
at least $33.1M102cS+500 bpunstated4
revolver lien unstated
exited Dec 31, 2024
unknownn/aunstated2
delayed draw term loan lien unstated
exited Dec 31, 2024
unknownn/aunstated2
Lenders
every BDC piece at the latest quarter end
BDCInstrumentPrincipalFair valueRate
M••••• S•••••• D••••• L•••••• F•••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 11/01/2029
n/an/a
M••••• S•••••• D••••• L•••••• F•••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/20/20
n/an/a
M••••• S•••••• D••••• L•••••• F•••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 5.00% Interest Rate 8.64% Maturit
$2.2M$2.1M
100c
SOFR+500 bp
M••••• S•••••• D••••• L•••••• F•••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 5.00% Interest Rate 8.64% Maturit
$101,000$90,000
102c
SOFR+500 bp
M••••• S•••••• D••••• L•••••• F•••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 5.00% Interest Rate 8.64% Maturit
$7.2M$7.1M
100c
SOFR+500 bp
N•••• H•••• P•••••• I••••• F••• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 11/01/2029
n/an/a
N•••• H•••• P•••••• I••••• F••• L••term loan first lien
Investment First Lien Debt Reference Rate & Spread S + 5.00% Interest Rate 8.64% Maturity
$4.5M$4.4M
100c
SOFR+500 bp
N•••• H•••• P•••••• I••••• F••• L••term loan first lien
Investment First Lien Debt Reference Rate & Spread S + 5.00% Interest Rate 8.64% Maturity
$207,000$184,000
99c
SOFR+500 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 12/20/20
n/an/a
N•••• H•••• P•••••• I••••• F••• L••term loan first lien
Investment First Lien Debt Reference Rate & Spread S + 5.00% Interest Rate 8.64% Maturity
$14.0M$13.8M
100c
SOFR+500 bp
T• S••••• B•• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 5.00% Interest Rate 8.64% Maturit
$186,000$165,000
102c
SOFR+500 bp
T• S••••• B•• L••revolver first lien
First Lien Debt Commitment Type Revolver Commitment Expiration Date 11/01/2029
n/an/a
T• S••••• B•• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 5.00% Interest Rate 8.64% Maturit
$4.0M$4.0M
100c
SOFR+500 bp
T• S••••• B•• L••term loan first lien
Investment First Lien Debt Reference Rate and Spread S + 5.00% Interest Rate 8.64% Maturit
$12.6M$12.4M
100c
SOFR+500 bp
T• S••••• B•• L••delayed draw term loan first lien
First Lien Debt Commitment Type Delayed Draw Term Loan Commitment Expiration Date 12/20/20
n/an/a
Through time
the borrower's pieces summed across BDCs, every quarter end
Quarter endBDCsPrincipal heldFair valueOn costPIK pieces
Jun 30, 20263$45.0M$44.3M100c0
Mar 31, 20263$44.6M$43.9M100c0
Dec 31, 20253$42.8M$42.3M101c0
Sep 30, 20253$42.5M$42.0M101c0
Jun 30, 20253$41.6M$41.6M102c0
Mar 31, 20253$40.4M$40.4M102c0
Dec 31, 20243$83.3M$83.3M102c0
Sep 30, 20243$36.6M$36.5M102c0
Jun 30, 20243$32.6M$32.6M103c0
Mar 31, 20244$35.0M$35.0M103c0
Dec 31, 20234$33.9M$33.7M103c0
Sep 30, 20234$34.0M$33.6M102c0
Jun 30, 20234$33.6M$32.6M101c0
Mar 31, 20234$33.7M$32.5M100c0
Dec 31, 20224$33.6M$32.4M100c0
What changed
Every change including routine ones
Identity
Group key
RANDYderivedthe codename stem after legal suffixes and deal words
Spellings
1 across 4 BDCsderived
Industry
Automobile Componentsreportedas one filer wrote it