10-Q
Table of Contents
falseQ1--12-310001634452NYCertain investments that are measured at fair value using NAV have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amount presented in the consolidated statements of assets and liabilities.Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $396,378 and $1,099,287 as of March 31, 2023 and are reflected on the consolidated statements of assets and liabilities.Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $414,624 and $1,229,809, respectively, as of December 31, 2022 and are reflected on the consolidated statements of assets and liabilities.Position, or a portion thereof, has been segregated to collateralize ABPCI Direct Lending Fund CLO VI Ltd. Position, or a portion thereof, has been segregated to collateralize ABPCIC Funding III, LLC. Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The unfunded loan commitment may be subject to a commitment termination date, that may expire prior to the maturity date stated. See Note 6 “Commitments and Contingencies”. The negative cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan. The negative fair value is the result of the capitalized discount on the loan. Position, or a portion thereof, has been segregated to collateralize ABPCIC Funding II, LLC. This investment has multiple reference rates or alternate base rates. The All-in interest rate shown is the weighted average interest rate in effect at March 31, 2023. Calculated as the amount of the stated interest and borrowing expenses divided by average borrowings during the period.The investment is on non-accrual status. See Note 2 “Significant Accounting Policies.” Non-income producing investment.Position or portion thereof is held through a consolidated subsidiary. As defined in the Investment Company Act, the investment is deemed to be a “controlled affiliated person” of the Fund because the Fund owns, either directly or indirectly, 25% or more of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company. See Note 3 “Related Party Transactions”. Positions considered non-qualified assets therefore excluded from the qualifying assets calculation as noted in footnote + above.Categorized as Level 1 assets under the definition of ASC 820 fair value hierarchy.Cybergrants Holdings, LLC has been renamed to Bonterra LLC in 2022.Saturn Borrower Inc. has been renamed to Stratus Networks, Inc. in 2022.TA/WEG Holdings, LLC has been renamed to Wealth Enhancement Group, LLC in 2022.MedMark Services, Inc. has been renamed to BAART Programs, Inc. in 2022.Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $414,624 and $1,229,809 as of December 31, 2022 and are reflected on the consolidated statements of assets and liabilities.Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $396,378 and $1,099,287, respectively, as of March 31, 2023 and are reflected on the consolidated statements of assets and liabilities.Excluded from the ASC 820 fair value hierarchy as fair value is measured using the net asset value per share practical expedient. Included within ‘Cash and cash equivalents’ on the Consolidated Statements of Assets and Liabilities. The rate shown is the annualized seven-day yield as of March 31, 2023. Millin Purchaser LLC. has been renamed to Medsuite Purchaser, LLC in 2022. Aggregate gross unrealized appreciation for federal income tax purposes is $8,894,947; aggregate gross unrealized depreciation for federal income tax purposes is $28,086,704. Net unrealized depreciation is $19,191,757 based upon a tax cost basis of $1,198,535,419. Securities exempt from registration under the Securities Act of 1933, and may be deemed to be “restricted securities”. As of March 31, 2023, the aggregate fair value of these securities is $18,652,582 or 4.02% of the Fund’s net assets. The initial acquisition dates have been included for such securities.Securities exempt from registration under the Securities Act of 1933, and may be deemed to be “restricted securities”. As of December 31, 2022, the aggregate fair value of these securities is $17,633,209 or 3.86% of the Fund’s net assets. The initial acquisition dates have been included for such securities.The rate shown is the annualized seven-day yield as of December 31, 2022.Aggregate gross unrealized appreciation for federal income tax purposes is $7,142,498; aggregate gross unrealized depreciation for federal income tax purposes is $30,898,346. 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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
 
FORM
10-Q
 
 
(Mark One)
QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 FOR THE QUARTERLY PERIOD ENDED MARCH 31, 2023
 
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
COMMISSION FILE NUMBER:
814-01196
 
 
AB Private Credit Investors Corporation
(Exact name of registrant as specified in its charter)
 
 
 
Maryland
 
81-2491356
(State of incorporation)
 
(I.R.S. Employer
Identification No.)
1345 Avenue of the Americas
New York, NY 10105
(Address of principal executive offices)
(212)
969-1000
(Registrant’s telephone number, including area code)
Securities registered pursuant to Section 12(b) of the Act:
 
Title of each class
 
Trading
Symbol(s)
 
Name of each exchange
on which registered
 
 
 
 
Indicate
by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.     Yes   ☒    No   ☐
Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of
Regulation S-T
(§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit such files).     Yes   ☒    No   ☐
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a
non-accelerated
filer, a smaller reporting company or an emerging growth company. See definitions of “large accelerated filer,” “accelerated filer,” “smaller reporting company” and “emerging growth company” in Rule
12b-2
of the Exchange Act.
 
Large accelerated filer      Accelerated filer  
       
Non-accelerated filer      Smaller reporting company  
       
Emerging Growth Company           
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act).   
Indicate by check mark whether the registrant is a shell company (as defined in Rule
12b-2
of the Exchange Act).     Yes   ☐    No   
The issuer had 49,615,133.915 shares of common stock, $0.01 par value per share, outstanding as of
May 15, 2023. 
 
 


Table of Contents

AB PRIVATE CREDIT INVESTORS CORPORATION

FORM 10-Q FOR THE QUARTER ENDED March 31, 2023

Table of Contents

 

   

INDEX

   PAGE
NO.
 

PART I.

  FINANCIAL INFORMATION      3  

Item 1.

  Consolidated Financial Statements      3  

Item 2.

  Management’s Discussion and Analysis of Financial Condition and Results of Operations      57  

Item 3.

  Quantitative and Qualitative Disclosures About Market Risk      70  

Item 4.

  Controls and Procedures      71  

PART II.

  OTHER INFORMATION      71  

Item 1.

  Legal Proceedings      71  

Item 1A.

  Risk Factors      71  

Item 2.

  Unregistered Sales of Equity Securities and Use of Proceeds      72  

Item 3.

  Defaults Upon Senior Securities      72  

Item 4.

  Mine Safety Disclosures      72  

Item 5.

  Other Information      72  

Item 6.

  Exhibits      72  

SIGNATURES

       73  

 

2


Table of Contents
Item 1.
Financial Statements
AB Private Credit Investors Corporation
Consolidated Statements of Assets and Liabilities
 
 
  
As of
March 31,

2023

(Unaudited)
 
 
As of
December 31,

2022
 
Assets
 
Investments, at fair value
          
 
 
 
Non-controlled/non-affiliated investments (amortized cost
 of $1,198,535,419 and $1,146,231,264, respectively)
   $ 1,179,169,825     $ 1,122,343,258  
Controlled affiliated investments (amortized cost of $0 and $0)
     173,837       173,837  
    
 
 
   
 
 
 
Total investments, at fair value (amortized cost of $1,198,535,419 and $1,146,231,264)
     1,179,343,662       1,122,517,095  
Cash and cash equivalents
     65,352,472       48,785,985  
Interest receivable
     16,815,086       9,795,021  
Receivable for fund shares
     2,834,026       2,834,026  
Receivable for investments sold
     1,423,278       6,428,709  
Deferred financing costs
     546,904       1,146,619  
Prepaid expenses
     90,657       226,644  
    
 
 
   
 
 
 
Total assets
   $ 1,266,406,085     $ 1,191,734,099  
    
 
 
   
 
 
 
Liabilities
 
Credit facility payable
   $ 520,000,000     $ 448,000,000  
Notes payable (net of unamortized discount of $396,378 and $414,624, respectively, and debt issuance costs of $1,099,287 and $1,229,809, respectively)
     245,254,335       245,105,567  
Interest and borrowing expenses payable
     9,402,857       8,311,138  
Secured borrowings
     8,768,765       5,917,275  
Payable for fund shares repurchased
     5,837,993       6,304,249  
Management fees payable
     3,938,904       3,778,123  
Incentive fee payable
     2,754,604       2,534,935  
Distribution payable
     2,395,272       8,909,055  
Accrued tax liability
     1,321,219       1,303,918  
Payable to Adviser
     1,061,589       1,347,210  
Professional fees payable
     650,093       594,355  
Administrator and custodian fees payable
     585,674       725,470  
Accrued expenses and other liabilities
     138,169           
Directors’ fees payable
     69,875           
Transfer agent fees payable
     35,272       34,224  
Payable for investments purchased
              1,990,087  
    
 
 
   
 
 
 
Total liabilities
   $ 802,214,621     $ 734,855,606  
    
 
 
   
 
 
 
Commitments and Contingencies (Note 6)
 
 
Net Assets
 
Common stock, par value $0.01 per share (200,000,000 shares authorized, 49,895,174 and 50,228,088 shares issued and outstanding at March 31, 2023 and December 31, 2022, respectively)
     498,952       502,281  
Paid-in
capital in excess of par value
     482,847,144       485,940,938  
Distributable earnings (accumulated loss)
     (19,190,141     (29,599,112
    
 
 
   
 
 
 
Total net assets of AB Private Credit Investors Corporation
   $ 464,155,955     $ 456,844,107  
    
 
 
   
 
 
 
Non-Controlling
Interest in ABPCIC Equity Holdings, LLC
   $ 35,509     $ 34,386  
    
 
 
   
 
 
 
Total net assets
   $ 464,191,464     $ 456,878,493  

  
 
 
 
 
 
 
 
Total liabilities and net assets
   $ 1,266,406,085     $ 1,191,734,099  
    
 
 
   
 
 
 
Net asset value per share of AB Private Credit Investors Corporation
   $ 9.30     $ 9.10  
    
 
 
   
 
 
 
 
See Notes to Unaudited Consolidated Financial Statements
3

Table of Contents
AB Private Credit Investors Corporation
Unaudited Consolidated Statements of Operations
 
    
For the Three Months Ended
March 31,
 
    
2023
    
2022
 
Investment Income:
 
From
non-controlled/non-affiliated
investments:
 
Interest income, net of amortization/accretion
   $ 29,238,830      $ 19,019,063  
Payment-in-kind
interest
     3,553,509        594,399  
Dividend income
     52,452        8,587  
From controlled affiliated investments:
 
Interest income, net of amortization/accretion
               65,388  
    
 
 
    
 
 
 
Total investment income
     32,844,791        19,687,437  
    
 
 
    
 
 
 
Expenses:
 
Interest and borrowing expenses
     13,781,660        5,140,785  
Management fees
     3,938,904        3,402,792  
Income-based incentive fee
     2,754,604        1,931,939  
Professional fees
     515,313        476,980  
Administration and custodian fees
     264,455        223,237  
Insurance expenses
     135,986        153,239  
Directors’ fees
     69,875        50,000  
Transfer agent fees
     35,272        25,676  
Collateral management fees
               456,498  
Capital gains incentive fee
               (546,733
Other expenses
     309,575        299,625  
    
 
 
    
 
 
 
Total expenses
     21,805,644        11,614,038  
Reimbursement payments to Adviser (See Note 3: Expense Support and Conditional Reimbursement Agreement)
               259,263  
Waived collateral management fees
               (456,498
Waived management fees
               (283,566
    
 
 
    
 
 
 
Net expenses
     21,805,644        11,133,237  
    
 
 
    
 
 
 
Net investment income before taxes
     11,039,147        8,554,200  
    
 
 
    
 
 
 
Income tax expense, including excise tax
     17,301        308,827  
    
 
 
    
 
 
 
Net investment income after tax
     11,021,846        8,245,373  
    
 
 
    
 
 
 
Net realized and change in unrealized gains (losses) on investment transactions:
 
Net realized gain (loss) from:
 
Non-controlled/non-affiliated
investments
     5,453        172,332  
Net change in unrealized appreciation (depreciation) from:
 
Non-controlled/non-affiliated
investments
     4,522,412        (4,126,750
Controlled affiliated investments
               1,220,755  
    
 
 
    
 
 
 
Net realized and change in unrealized gains (losses) on investment transactions
     4,527,865        (2,733,663
    
 
 
    
 
 
 
Net increase in net assets resulting from operations
   $ 15,549,711      $ 5,511,710  
    
 
 
    
 
 
 
Less: Net increase (decrease) in net assets resulting from operations related to
Non-Controlling
Interest in ABPCIC Equity Holdings, LLC
   $ 1,123      $ 10  
    
 
 
    
 
 
 
Net increase (decrease) in net assets resulting from operations related to AB Private Credit Investors Corporation
   $ 15,548,588      $ 5,511,700  
    
 
 
    
 
 
 
Net investment income per share (basic and diluted):
 
Net investment income per share (basic and diluted):
   $ 0.22      $ 0.23  
Earnings per share (basic and diluted):
   $ 0.31      $ 0.15  
Weighted average shares outstanding:
     50,224,389        36,411,259  
 
See Notes to Unaudited Consolidated Financial Statements
 
4

Table of Contents
AB Private Credit Investors Corporation
Unaudited Consolidated Statements of Changes in Net Assets
 
    
Shares
   
Par Amount
   
Paid in Capital
in
Excess of Par
   
Distributable
Earnings
   
Non-Controlling

Interest -
ABPCIC
Equity
Holdings, LLC
   
Total
Net Assets
 
Net assets at December 31, 2022
     50,228,088     $ 502,281     $ 485,940,938     $ (29,599,112   $ 34,386     $ 456,878,493  
Increase (decrease) in net assets resulting from operations:
 
Net investment income
     —         —         —         11,022,469       (623     11,021,846  
Net realized gain (loss) on investments
     —         —         —         5,453       —         5,453  
Net change in unrealized appreciation (depreciation) on investments
     —         —         —         4,520,666       1,746       4,522,412  
Capital transactions:
 
Issuance of common shares pursuant to distribution reinvestment plan
     294,604       2,946       2,737,924       —         —         2,740,870  
Repurchase of common stock
     (627,518     (6,275     (5,831,718     —         —         (5,837,993
Distributions to stockholders
     —         —         —         (5,139,617     —         (5,139,617
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Total increase (decrease) for the three months ended March 31, 2023
     (332,914     (3,329     (3,093,794     10,408,971       1,123       7,312,971  
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Net assets at March 31, 2023
     49,895,174     $ 498,952     $ 482,847,144     $ (19,190,141   $ 35,509     $ 464,191,464  
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Distributions declared per share
     —       $ —       $ —       $ 0.10     $ —       $ 0.10  
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
 
See Notes to Unaudited Consolidated Financial Statements
 
5

Table of Contents
AB Private Credit Investors Corporation
Unaudited Consolidated Statements of Changes in Net Assets
 
                                                 
    
Shares
   
Par Amount
   
Paid in Capital
in
Excess of Par
   
Distributable
Earnings
   
Non-Controlling

Interest -
ABPCIC
Equity
Holdings, LLC
   
Total
Net Assets
 
Net assets at December 31, 2021
     35,343,949     $ 353,440     $ 339,292,017     $ 6,614,462     $ 16,761     $ 346,276,680  
Increase (decrease) in net assets resulting from operations:
 
Net investment income
     —         —         —         8,245,567       (194     8,245,373  
Net realized gain (loss) on investments
     —         —         —         172,332       —         172,332  
Net change in unrealized appreciation (depreciation) on investments
     —         —         —         (2,906,199     204       (2,905,995
Capital transactions:
 
Issuance of common stock
     3,095,246       30,952       30,653,048       —         —         30,684,000  
Contribution of
non-controlling
interest into ABPCIC Equity Holdings, LLC
     —         —         —         —         7,991       7,991  
Issuance of common shares pursuant to distribution reinvestment plan
     526,163       5,262       5,096,442       —         —         5,101,704  
Repurchase of common stock
     (420,864     (4,209     (4,077,161     —         —         (4,081,370
Distributions to stockholders
     —         —         —         (9,709,845     —         (9,709,845
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Total increase (decrease) for the three months ended March 31, 2022
     3,200,545       32,005       31,672,329       (4,198,145     8,001       27,514,190  
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Net assets at March 31, 2022
     38,544,494     $ 385,445     $ 370,964,346     $ 2,416,317     $ 24,762     $ 373,790,870  
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Distributions declared per share
     —       $ —       $ —       $ 0.25     $ —       $ 0.25  
    
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
 
See Notes to Unaudited Consolidated Financial Statements
 
6

Table of Contents
AB Private Credit Investors Corporation
Unaudited Consolidated Statements of Cash Flows
 
    
Three Months
Ended
March 31,

2023
   
Three Months
Ended
March 31,

2022
 
Cash flows from operating activities
 
Net increase (decrease) in net assets resulting from operations
   $ 15,549,711     $ 5,511,710  
 
Adjustments to reconcile net increase (decrease) in net assets resulting from operations to net cash provided by (used for)
operating activities:
 
Purchases of investments
     (61,547,585     (88,226,756
Payment-in-kind
investments
     (3,553,509     (594,399
Proceeds from sales of investments and principal repayments
     14,186,764       29,873,338  
Net realized (gain) loss on investments
     (5,453     (172,332
Net change in unrealized (appreciation) depreciation on investments
     (4,522,412     2,905,995  
Amortization of premium and accretion of discount, net
     (1,384,372     (1,390,757
Amortization of discount, debt issuance and deferred financing costs
     773,483       1,164,762  
 
Increase (decrease) in operating assets and liabilities:
 
(Increase) decrease in receivable for investments sold
     5,005,431       742,271  
(Increase) decrease in interest receivable
     (7,020,065     (809,212
(Increase) decrease in prepaid directors’ fee
              63,025  
(Increase) decrease in prepaid expenses
     135,987       153,240  
Increase (decrease) in payable for investments purchased
     (1,990,087 )     (9,559,875
Increase (decrease) in management fees payable
     160,781       466,174  
Increase (decrease) in payable to Adviser
     (285,621     (985,190
Increase (decrease) in administrator and custodian fees payable
     (139,796     66,073  
Increase (decrease) in professional fees payable
     55,738       108,491  
Increase (decrease) in accrued tax liability
     17,301       307,227  
Increase (decrease) in incentive fee payable
     219,669       7,919  
Increase (decrease) in directors’ fees payable
     69,875           
Increase (decrease) in transfer agent fees payable
     1,048       2,657  
Increase (decrease) in interest and borrowing expenses payable
     1,091,719       358,679  
Increase (decrease) in accrued expenses and other liabilities
     138,169       33,955  
    
 
 
   
 
 
 
Net cash provided by (used for) operating activities
     (43,043,224     (59,973,005
    
 
 
   
 
 
 
Cash flows from financing activities
 
Issuance of common stock
              51,068,587  
Contribution of
Non-Controlling
Interest into ABPCIC Equity Holdings, LLC
              7,991  
Repurchase of common stock
     (6,304,249     (4,736,139
Distributions paid
     (8,912,530     (2,340,900
Financing costs paid
     (25,000     (303,156
Borrowings on credit facility
     106,000,000       88,000,000  
Repayments of credit facility
     (34,000,000     (60,000,000
Proceeds on secured borrowings
     8,889,879           
Repayments on secured borrowings
     (6,038,389     (4,867,621
    
 
 
   
 
 
 
Net cash provided by (used for) financing activities
     59,609,711       66,828,762  
    
 
 
   
 
 
 
Net increase (decrease) in cash
     16,566,487       6,855,757  
Cash and cash equivalents, beginning of period
     48,785,985       54,489,043  
    
 
 
   
 
 
 
Cash and cash equivalents, end of period
   $ 65,352,472     $ 61,344,800  
    
 
 
   
 
 
 
Supplemental and
non-cash
financing activities
 
Cash paid during the period for interest
   $ 11,978,272     $ 3,528,077  
Issuance of common shares pursuant to distribution reinvestment plan
   $ 2,740,870     $ 5,101,704  
State taxes paid
   $        $ 1,600  
 
See Notes to Unaudited Consolidated Financial Statements
 
7

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
Investments at Fair Value
- 254.06% (++) + * # ^
 
 
U.S. Corporate Debt
- 243.60%
 
 
1st Lien/Senior Secured Debt
- 241.34%
 
AmerCareRoyal, LLC
(1)
  Business Services   Delayed Draw Term Loan   11.41% (S + 6.50%; 0.75% PIK; 1.00% Floor)   11/25/2025   $ 496,070     $ 488,705     $ 491,109  
AmerCareRoyal, LLC
(1) (2)
  Business Services   Term Loan   11.35% (S + 6.50%; 0.75% PIK; 1.00% Floor)   11/25/2025     1,998,536       1,978,551       1,978,551  
AmerCareRoyal, LLC
(1) (3)
  Business Services   Term Loan   11.41% (S + 6.50%; 0.75% PIK; 1.00% Floor)   11/25/2025     4,111,647       4,046,954       4,070,530  
AmerCareRoyal, LLC
(3)
  Business Services   Term Loan   11.41% (S + 6.50%; 0.75% PIK; 1.00% Floor)   11/25/2025     510,571       498,708       505,465  
Cerifi, LLC
(4) (5)
  Business Services   Revolver   10.58% (S + 5.75%; 1.00% Floor)   04/01/2027              (18,476     (16,617
Cerifi, LLC
(2) (3)
  Business Services   Term Loan   10.58% (S + 5.75%; 1.00% Floor)   03/31/2028     16,026,181       15,745,330       15,785,788  
Engage2Excel, Inc.
  Business Services   Revolver   12.25% (S + 7.25%; 1.00% Floor)   02/15/2024     379,732       374,997       372,137  
Engage2Excel, Inc.
(1)
  Business Services   Term Loan   12.21% (S + 7.25%; 1.00% Floor)   12/31/2023     1,032,074       1,024,372       1,011,432  
Engage2Excel, Inc.
(1)
  Business Services   Term Loan   12.21% (S + 7.25%; 1.00% Floor)   02/15/2024     2,973,815       2,951,741       2,914,338  
Metametrics, Inc.
(4) (5)
  Business Services   Revolver   10.00% (L + 5.00%; 1.00% Floor)   09/10/2025              (5,375         
Metametrics, Inc.
(1) (3)
  Business Services   Term Loan   10.00% (L + 5.00%; 1.00% Floor)   09/10/2025     4,731,059       4,687,741       4,731,059  
MSM Acquisitions, Inc.
(3)
  Business Services   Delayed Draw Term Loan   11.00% (L + 6.00%; 1.00% Floor)   12/09/2026     2,997,487       2,956,228       2,877,587  
MSM Acquisitions, Inc.
  Business Services   Delayed Draw Term Loan   11.00% (L + 6.00%; 1.00% Floor)   12/09/2026     367,319       365,895       354,463  
MSM Acquisitions, Inc.
(4)
  Business Services   Revolver   11.00% (L + 6.00%; 1.00% Floor)   12/09/2026     768,716       753,418       719,714  
MSM Acquisitions, Inc.
(1) (2) (3)
  Business Services   Term Loan   11.00% (L + 6.00%; 1.00% Floor)   12/09/2026     8,191,395       8,094,333       7,863,740  
Rep Tec Intermediate Holdings, Inc.
(4)
  Business Services   Revolver   11.66% (L + 6.50%; 1.00% Floor)   12/01/2027     302,547       294,169       282,816  
Rep Tec Intermediate Holdings, Inc.
(1) (2) (3)
  Business Services   Term Loan   11.66% (L + 6.50%; 1.00% Floor)   12/01/2027     14,531,915       14,370,743       14,168,617  
Sako and Partners Lower Holdings LLC
(4)
  Business Services   Delayed Draw Term Loan   11.04% (S + 6.00%; 1.00% Floor)   09/15/2028     1,915,899       1,856,376       1,898,152  
Sako and Partners Lower Holdings LLC
(4)
  Business Services   Revolver   11.05% (S + 6.00%; 1.00% Floor)   09/15/2028     337,369       303,337       315,617  
Sako and Partners Lower Holdings LLC
(1) (2) (3)
  Business Services   Term Loan   11.05% (S + 6.00%; 1.00% Floor)   09/15/2028     14,877,959       14,470,601       14,617,595  
Valcourt Holdings II, LLC
(1)
  Business Services   Delayed Draw Term Loan   10.36% (S + 5.25%; 1.00% Floor)   01/07/2027     1,708,503       1,689,777       1,708,503  
Valcourt Holdings II, LLC
(3)
  Business Services   Term Loan   10.30% (S + 5.25%; 1.00% Floor)   01/07/2027     2,634,460       2,599,057       2,634,460  
Valcourt Holdings II, LLC
(1) (3)
  Business Services   Term Loan   10.30% (S + 5.25%; 1.00% Floor)   01/07/2027     6,263,077       6,180,821       6,263,077  
Valcourt Holdings II, LLC
(3)
  Business Services   Term Loan   10.30% (S + 5.25%; 1.00% Floor)   01/07/2027     1,152,318       1,133,990       1,152,318  
AEG Holding Company, Inc.
(1)
  Consumer Discretionary   Delayed Draw Term Loan   10.35% (L + 5.50%; 1.00% Floor)   11/20/2023     1,042,993       1,040,449       1,042,993  
AEG Holding Company, Inc.
(4)
  Consumer Discretionary   Revolver   10.35% (L + 5.50%; 1.00% Floor)   11/20/2023     446,746       443,821       446,746  
AEG Holding Company, Inc.
(2)
  Consumer Discretionary   Term Loan   10.35% (L + 5.50%; 1.00% Floor)   11/20/2023     1,814,971       1,809,414       1,814,971  
AEG Holding Company, Inc.
(1)
  Consumer Discretionary   Term Loan   10.35% (L + 5.50%; 1.00% Floor)   11/20/2023     5,497,386       5,483,481       5,497,386  
Ampler QSR Holdings, LLC
(2) (3)
  Consumer
Non-Cyclical
  Term Loan   11.02% (L + 5.875%; 1.00% Floor)   07/21/2027     12,315,544       12,136,697       11,545,822  
Blink Holdings, Inc.
(1)
  Consumer
Non-Cyclical
  Delayed Draw Term Loan   13.66% (L + 5.50%; 3.00% PIK; 1.00% Floor)   11/08/2024     1,123,558       1,119,643       957,833  
Blink Holdings, Inc.
  Consumer
Non-Cyclical
  Delayed Draw Term Loan   13.14% (L + 5.50%; 3.00% PIK; 1.00% Floor)   11/08/2024     901,308       898,142       768,365  
Blink Holdings, Inc.
(1)
  Consumer
Non-Cyclical
  Term Loan   13.66% (L + 5.50%; 3.00% PIK; 1.00% Floor)   11/08/2024     1,571,191       1,565,686       1,339,440  
Freddy’s Frozen Custard,
L.L.C
(4) (5)
  Consumer
Non-Cyclical
  Revolver   9.75% (L + 5.00%; 1.00% Floor)   03/03/2027              (3,410         
Freddy’s Frozen Custard,
L.L.C
(2) (3)
  Consumer
Non-Cyclical
  Term Loan   9.75% (L + 5.00%; 1.00% Floor)   03/03/2027     4,844,108       4,803,850       4,844,108  
Krispy Krunchy Foods, L.L.C
(3)
  Consumer
Non-Cyclical
  Term Loan   9.66% (S + 4.75%; 1.00% Floor)   11/17/2027     9,395,828       9,249,171       9,207,911  
Mathnasium LLC
(4)
  Consumer
Non-Cyclical
  Revolver   10.13% (L + 5.00%; 0.75% Floor)   11/15/2027     87,043       76,895       75,619  
Mathnasium LLC
(1) (3)
  Consumer
Non-Cyclical
  Term Loan   10.13% (L + 5.00%; 0.75% Floor)   11/15/2027     5,385,800       5,302,074       5,291,549  
MMP Intermediate, LLC
(4) (5)
  Consumer
Non-Cyclical
  Revolver   10.67% (S + 5.75%; 1.00% Floor)   02/15/2027              (8,646     (16,586
MMP Intermediate, LLC
(1) (3)
  Consumer
Non-Cyclical
  Term Loan   10.67% (S + 5.75%; 1.00% Floor)   02/15/2027     8,189,533       8,057,405       7,943,847  
PF Growth Partners, LLC
(1)
  Consumer
Non-Cyclical
  Term Loan   9.81% (S + 5.00%; 1.00% Floor)   07/11/2025     1,965,832       1,957,385       1,897,028  
PF Growth Partners, LLC
(1)
  Consumer
Non-Cyclical
  Term Loan   9.81% (S + 5.00%; 1.00% Floor)   07/11/2025     117,139       114,554       113,039  
PF Growth Partners, LLC
(1)
  Consumer
Non-Cyclical
  Term Loan   9.81% (S + 5.00%; 1.00% Floor)   07/11/2025     236,080       230,869       227,817  
TBG Food Acquisition Corp
(4) (5)
  Consumer
Non-Cyclical
  Delayed Draw Term Loan   10.92% (L + 6.00%; 0.75% Floor)   12/25/2027              (8,392     (81,848
TBG Food Acquisition Corp
(4) (5)
  Consumer
Non-Cyclical
  Revolver   10.92% (L + 6.00%; 0.75% Floor)   12/25/2027              (2,098     (20,462
TBG Food Acquisition Corp
(1) (3)
  Consumer
Non-Cyclical
  Term Loan   10.92% (L + 6.00%; 0.75% Floor)   12/25/2027     6,518,143       6,466,300       6,012,987  
Airwavz Solutions, Inc
(2) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   9.55% (S + 4.50%; 1.00% Floor)   03/31/2027     1,305,480       1,271,088       1,264,683  
Airwavz Solutions, Inc
(4) (5)
  Digital Infrastructure & Services   Revolver   9.55% (S + 4.50%; 1.00% Floor)   03/31/2027              (9,194     (11,423
 
See Notes to Unaudited Consolidated Financial Statements
 
8

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
Airwavz Solutions, Inc
(2)
  Digital Infrastructure & Services   Term Loan   9.55% (S + 4.50%; 1.00% Floor)   03/31/2027   $ 5,221,919     $ 5,148,368     $ 5,130,535  
Avant Communications,
LLC
(4) (5)
  Digital Infrastructure & Services   Revolver   10.40% (S + 5.50%; 1.00% Floor)   11/30/2026              (8,388         
Avant Communications,
LLC
(1) (3)
  Digital Infrastructure & Services   Term Loan   10.40% (S + 5.50%; 1.00% Floor)   11/30/2026     11,197,723       11,021,444       11,197,723  
Bridgepointe Technologies, LLC
(1) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.40% (S + 6.50%; 1.00% Floor)   12/31/2027     3,106,069       3,001,963       3,018,993  
Bridgepointe Technologies, LLC
(2)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.55% (S + 6.50%; 1.00% Floor)   12/31/2027     2,758,696       2,737,632       2,696,625  
Bridgepointe Technologies, LLC
(1) (3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.38% (S + 6.50%; 1.00% Floor)   12/31/2027     3,877,753       3,833,899       3,790,504  
Bridgepointe Technologies, LLC
(4) (5)
  Digital Infrastructure & Services   Revolver   11.55% (S + 6.50%; 1.00% Floor)   12/31/2027              (12,371     (17,494
Bridgepointe Technologies, LLC
(1) (3)
  Digital Infrastructure & Services   Term Loan   11.55% (S + 6.50%; 1.00% Floor)   12/31/2027     2,288,514       2,203,028       2,237,023  
Bridgepointe Technologies, LLC
(1) (3)
  Digital Infrastructure & Services   Term Loan   11.55% (S + 6.50%; 1.00% Floor)   12/31/2027     4,741,472       4,663,288       4,634,789  
Coretelligent Intermediate LLC
(3) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.16% (L + 5.00%; 1.00% Floor)   10/21/2027     1,914,096       1,890,817       1,847,862  
Coretelligent Intermediate LLC
(4)
  Digital Infrastructure & Services   Revolver   12.00% (P + 4.00%; 1.00% Floor)   10/21/2027     94,982       80,431       69,653  
Coretelligent Intermediate LLC
(1) (2) (3)
  Digital Infrastructure & Services   Term Loan   10.16% (L + 5.00%; 1.00% Floor)   10/21/2027     7,928,746       7,837,647       7,770,171  
EvolveIP, LLC
(3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.29% (S + 5.50%; 1.00% Floor)   06/07/2025     110,823       110,871       106,113  
EvolveIP, LLC
(4) (6)
  Digital Infrastructure & Services   Revolver   10.23% (S + 5.50%; 1.00% Floor)   06/07/2025     160,613       160,163       136,521  
EvolveIP, LLC
(1)
  Digital Infrastructure & Services   Term Loan   10.54% (S + 5.50%; 1.00% Floor)   06/07/2025     6,417,682       6,412,048       6,144,931  
Fatbeam, LLC
  Digital Infrastructure & Services   Revolver   10.97% (L + 6.25%; 1.00% Floor)   02/22/2026     643,849       635,333       642,239  
Fatbeam, LLC
(2) (3)
  Digital Infrastructure & Services   Term Loan   11.09% (L + 6.25%; 1.00% Floor)   02/22/2026     6,422,394       6,336,797       6,406,338  
Firstdigital Communications LLC
(4)
  Digital Infrastructure & Services   Revolver   9.13% (L + 4.25%; 0.75% Floor)   12/17/2026     412,549       388,782       349,080  
Firstdigital Communications LLC
(2) (3)
  Digital Infrastructure & Services   Term Loan   9.13% (L + 4.25%; 0.75% Floor)   12/17/2026     13,645,840       13,441,445       13,100,007  
FirstLight Holdco, Inc.
(1) (3)
  Digital Infrastructure & Services   Term Loan   9.13% (L + 4.00%; 1.00% Floor)   07/23/2025     6,148,719       6,011,875       5,902,770  
Greenlight Intermediate II,
Inc.
(4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.42% (S + 5.50%; 0.75% Floor)   06/01/2028     1,182,721       1,108,774       1,182,721  
Greenlight Intermediate II,
Inc.
(1) (3)
  Digital Infrastructure & Services   Term Loan   10.54% (S + 5.50%; 0.75% Floor)   06/01/2028     5,331,605       5,234,720       5,304,947  
MBS Holdings, Inc.
(4) (5)
  Digital Infrastructure & Services   Revolver   10.59% (L + 5.75%; 1.00% Floor)   04/16/2027              (13,294     (34,096
MBS Holdings, Inc.
(1) (2) (3)
  Digital Infrastructure & Services   Term Loan   10.59% (L + 5.75%; 1.00% Floor)   04/16/2027     10,336,910       10,195,845       9,975,118  
MSP Global Holdings, Inc.
(2) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   8.40% (S + 5.25%; 1.00% Floor)   01/25/2027     613,238       592,928       589,130  
MSP Global Holdings, Inc.
(4) (5)
  Digital Infrastructure & Services   Revolver   8.40% (S + 5.25%; 1.00% Floor)   01/25/2027              (11,384     (16,919
MSP Global Holdings, Inc.
(2) (3)
  Digital Infrastructure & Services   Term Loan   8.40% (S + 5.25%; 1.00% Floor)   01/25/2027     7,851,280       7,742,546       7,694,254  
NI Topco, Inc
(1)
  Digital Infrastructure & Services   Term Loan   10.91% (L + 5.75%; 0.75% Floor)   12/28/2028     1,227,462       1,202,844       1,205,981  
NI Topco, Inc
(2) (3)
  Digital Infrastructure & Services   Term Loan   10.91% (L + 5.75%; 0.75% Floor)   12/28/2028     6,622,642       6,495,509       6,506,745  
Race Finco LLC
(4) (5)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.78% (S + 7.00%; 1.00% Floor)   01/10/2028              (52,468     (54,882
Race Finco LLC
(4) (5)
  Digital Infrastructure & Services   Revolver   11.78% (S + 7.00%; 1.00% Floor)   01/10/2028              (17,495     (18,294
Race Finco LLC
(2) (3)
  Digital Infrastructure & Services   Term Loan   11.78% (S + 7.00%; 1.00% Floor)   01/10/2028     4,878,384       4,738,424       4,732,033  
Single Digits, Inc.
(3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.16% (S + 4.25%; 3.25% PIK; 1.00% Floor)   06/19/2026     602,002       600,340       516,216  
Single Digits, Inc.
(4) (5)
  Digital Infrastructure & Services   Revolver   11.16% (L + 6.00%; 0.50% PIK; 1.00% Floor)   06/19/2026              (610     (59,301
Single Digits, Inc.
(1)
  Digital Infrastructure & Services   Term Loan   11.16% (S + 4.25%; 3.25% PIK; 1.00% Floor)   06/19/2026     3,231,321       3,221,516       2,770,857  
Stratus Networks, Inc.
(2) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   9.69% (L + 4.50%; 1.00% Floor)   12/15/2027     858,085       820,071       828,382  
Stratus Networks, Inc.
(4)
  Digital Infrastructure & Services   Revolver   9.35% (L + 4.50%; 1.00% Floor)   12/15/2027     792,078       776,414       774,751  
 
See Notes to Unaudited Consolidated Financial Statements
 
9

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
 
 
        Cost        
 
 
  Fair Value  
 
Stratus Networks, Inc.
(3)
  Digital Infrastructure & Services   Term Loan   9.35% (L + 4.50%; 1.00% Floor)   12/15/2027   $ 7,920,781     $ 7,791,516     $ 7,782,168  
Thrive Buyer, Inc.
(1) (3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.16% (L + 6.00%; 1.00% Floor)   01/22/2027     8,236,746       8,119,504       8,154,379  
Thrive Buyer, Inc.
(4)
  Digital Infrastructure & Services   Revolver   13.00% (P + 5.00%; 2.00% Floor)   01/22/2027     369,907       354,840       358,810  
Thrive Buyer, Inc.
(1) (2) (3)
  Digital Infrastructure & Services   Term Loan   11.16% (L + 6.00%; 1.00% Floor)   01/22/2027     11,735,551       11,580,184       11,618,196  
Towerco IV Holdings,
LLC
(1) (3) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   8.92% (S + 4.00%; 1.00% Floor)   04/23/2026     18,094,038       17,908,276       17,776,414  
Transtelco Holding, Inc
(1) (2)
  Digital Infrastructure & Services   Term Loan   10.31% (S + 5.50%; 1.00% Floor)   03/26/2026     8,503,727       8,291,700       8,291,134  
Transtelco Holding, Inc.
(1) (2) (3)
  Digital Infrastructure & Services   Term Loan   10.91% (S + 5.75%; 0.50% Floor)   03/26/2026     4,661,043       4,638,366       4,626,085  
Transtelco Holding, Inc.
(3)
  Digital Infrastructure & Services   Term Loan   10.41% (S + 5.25%; 0.50% Floor)   03/26/2026     4,661,043       4,637,560       4,579,475  
Accelerate Resources Operating, LLC
(4) (5)
  Energy   Revolver   10.34% (L + 5.50%; 1.00% Floor)   02/24/2026              (4,093         
Accelerate Resources Operating, LLC
(1)
  Energy   Term Loan   10.34% (L + 5.50%; 1.00% Floor)   02/24/2026     3,577,596       3,542,382       3,577,596  
Foundation Risk Partners,
Corp.
(2) (4)
  Financials   Delayed Draw Term Loan   11.00% (S + 6.00%; 0.75% Floor)   10/30/2028     1,884,714       1,851,554       1,718,635  
Foundation Risk Partners,
Corp.
(2)
  Financials   Delayed Draw Term Loan   11.00% (S + 6.00%; 0.75% Floor)   10/29/2028     2,116,776       2,103,555       2,000,353  
Foundation Risk Partners,
Corp.
(4) (5)
  Financials   Revolver   11.00% (S + 6.00%; 0.75% Floor)   10/29/2027              (9,841     (57,093
Foundation Risk Partners,
Corp.
(3)
  Financials   Term Loan   11.00% (S + 6.00%; 0.75% Floor)   10/30/2028     785,308       775,206       742,116  
Foundation Risk Partners,
Corp.
(1) (2) (3)
  Financials   Term Loan   11.00% (S + 6.00%; 0.75% Floor)   10/29/2028     9,732,750       9,636,399       9,197,449  
Galway Borrower, LLC
(4) (5)
  Financials   Delayed Draw Term Loan   10.41% (L + 5.25%; 0.75% Floor)   09/29/2028              (310     (882
Galway Borrower, LLC
(4)
  Financials   Revolver   10.41% (L + 5.25%; 0.75% Floor)   09/30/2027     58,138       54,044       49,350  
Galway Borrower, LLC
(1) (3)
  Financials   Term Loan   10.41% (L + 5.25%; 0.75% Floor)   09/29/2028     4,240,250       4,186,071       4,102,442  
Higginbotham Insurance Agency, Inc.
(3) (4)
  Financials   Delayed Draw Term Loan   10.09% (L + 5.25%; 0.75% Floor)   11/25/2026     2,137,394       2,119,578       2,112,405  
Higginbotham Insurance Agency, Inc.
(1) (2) (3)
  Financials   Term Loan   10.09% (L + 5.25%; 0.75% Floor)   11/25/2026     8,022,963       7,947,731       7,942,733  
Peter C. Foy & Associates Insurance Services, LLC
(2)
  Financials   Delayed Draw Term Loan   11.12% (S + 6.00%; 0.75% Floor)   11/01/2028     1,253,691       1,235,738       1,216,081  
Peter C. Foy & Associates Insurance Services, LLC
(1) (2)
  Financials   Delayed Draw Term Loan   11.12% (S + 6.00%; 0.75% Floor)   11/01/2028     5,914,582       5,866,248       5,737,145  
Peter C. Foy & Associates Insurance Services, LLC
(1)
  Financials   Term Loan   11.12% (S + 6.00%; 0.75% Floor)   11/01/2028     501,005       494,395       485,975  
RSC Acquisition, Inc.
(3)
  Financials   Delayed Draw Term Loan   10.54% (S + 5.50%; 0.75% Floor)   11/02/2026     3,349,373       3,339,126       3,274,012  
RSC Acquisition, Inc.
(4)
  Financials   Delayed Draw Term Loan   6.25% (S + 5.50%; 0.75% Floor)   10/30/2026     371,951       341,766       288,597  
Wealth Enhancement Group, LLC
(1) (3)
  Financials   Delayed Draw Term Loan   11.01% (S + 6.25%; 1.00% Floor)   10/04/2027     6,278,795       6,264,315       6,168,916  
Wealth Enhancement Group, LLC
(4) (6)
  Financials   Delayed Draw Term Loan   11.16% (S + 6.25%; 1.00% Floor)   10/04/2027     835,406       832,000       814,966  
Wealth Enhancement Group, LLC
(4) (5)
  Financials   Revolver   11.01% (S + 6.25%; 1.00% Floor)   10/04/2027              (1,445     (8,004
AAH Topco, LLC
(1) (2) (3) (4) (6)
  Healthcare & HCIT   Delayed Draw Term Loan   10.21% (L + 5.50%; 0.75% Floor)   12/22/2027     4,831,387       4,686,763       4,616,098  
AAH Topco, LLC
(4) (5)
  Healthcare & HCIT   Revolver   10.34% (L + 5.50%; 0.75% Floor)   12/22/2027              (12,505     (27,555
AAH Topco, LLC
(1) (2) (3)
  Healthcare & HCIT   Term Loan   10.34% (L + 5.50%; 0.75% Floor)   12/22/2027     6,469,004       6,358,921       6,242,589  
American Physician Partners, LLC
(1) (3) (7)
  Healthcare & HCIT   Delayed Draw Term Loan   — (S + 6.75%; 3.50% PIK; 1.00% Floor)   06/30/2023     1,084,315       1,077,762       805,104  
American Physician Partners, LLC
(7)
  Healthcare & HCIT   Delayed Draw Term Loan   — (S + 6.75%; 3.50% PIK; 1.00% Floor)   06/30/2023     651,469       651,469       651,469  
American Physician Partners, LLC
(6) (7)
  Healthcare & HCIT   Revolver   — (S + 6.75%; 3.50% PIK; 1.00% Floor)   06/30/2023     346,322       344,738       257,144  
American Physician Partners, LLC
(7)
  Healthcare & HCIT   Term Loan   — (S + 6.75%; 3.50% PIK; 1.00% Floor)   06/30/2023     1,243,170       1,220,261       923,054  
American Physician Partners, LLC
(7)
  Healthcare & HCIT   Term Loan   — (S + 6.75%; 3.50% PIK; 1.00% Floor)   06/30/2023     5,794,773       5,660,096       4,302,619  
American Physician Partners, LLC
(1) (7)
  Healthcare & HCIT   Term Loan   — (S + 6.75%; 3.50% PIK; 1.00% Floor)   06/30/2023     2,307,558       2,238,532       1,713,362  
Analogic Corporation
(4)
  Healthcare & HCIT   Revolver   10.08% (L + 5.25%; 1.00% Floor)   06/22/2023     152,778       152,590       147,965  
Analogic Corporation
(1) (2)
  Healthcare & HCIT   Term Loan   10.08% (L + 5.25%; 1.00% Floor)   06/22/2024     2,069,375       2,059,946       2,022,814  
AOM Acquisition, LLC.
(4) (5)
  Healthcare & HCIT   Revolver   9.80% (S + 4.75%; 1.00% Floor)   02/18/2027              (19,079     (6,093
AOM Acquisition, LLC.
(1) (3)
  Healthcare & HCIT   Term Loan   9.80% (S + 4.75%; 1.00% Floor)   02/18/2027     7,052,170       6,938,730       7,016,909  
 
See Notes to Unaudited Consolidated Financial Statements
 
10

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
BAART Programs, Inc.
(1)
  Healthcare & HCIT   Delayed Draw Term Loan  
10.16% (L +
5.00
%; 1.00% Floor)
  06/11/2027   $ 3,904,356     $ 3,874,780     $ 3,728,660  
BAART Programs, Inc.
(1) (3)
  Healthcare & HCIT   Term Loan   10.16% (L + 5.00%; 1.00% Floor)   06/11/2027     4,709,898       4,678,760       4,497,952  
BV EMS Buyer, Inc.
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.61% (S + 5.75%; 1.00% Floor)   11/23/2027     1,821,823       1,764,018       1,724,806  
BV EMS Buyer, Inc.
(3)
  Healthcare & HCIT   Term Loan   10.61% (S + 5.75%; 1.00% Floor)   11/23/2027     3,512,112       3,417,118       3,415,529  
Caregiver 2, Inc.
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   9.91% (L + 5.25%; 1.00% Floor)   07/24/2025     1,554,705       1,535,894       1,457,536  
Caregiver 2, Inc.
(2)
  Healthcare & HCIT   Term Loan   9.91% (L + 5.25%; 1.00% Floor)   07/24/2025     4,659,683       4,614,415       4,368,453  
Caregiver 2, Inc.
(2)
  Healthcare & HCIT   Term Loan   9.91% (L + 5.25%; 1.00% Floor)   07/24/2025     668,815       662,318       627,014  
Caregiver 2, Inc.
(3)
  Healthcare & HCIT   Term Loan   9.91% (L + 5.25%; 1.00% Floor)   07/24/2025     638,383       629,301       598,484  
Choice Health At Home,
LLC,
(1) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.67% (L + 6.00%; 1.00% Floor)   12/29/2026     985,651       967,007       835,756  
Choice Health At Home,
LLC,
(1) (3)
  Healthcare & HCIT   Term Loan   10.67% (L + 6.00%; 1.00% Floor)   12/29/2026     2,670,963       2,639,639       2,483,995  
Coding Solutions Acquisition, Inc
(4) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   10.31% (S + 5.50%; 0.75% Floor)   05/11/2028              (14,494     (49,689
Coding Solutions Acquisition, Inc
(4)
  Healthcare & HCIT   Revolver   10.31% (S + 5.50%; 0.75% Floor)   05/11/2028     238,608       225,517       206,794  
Coding Solutions Acquisition, Inc
(2) (3)
  Healthcare & HCIT   Term Loan   10.31% (S + 5.50%; 0.75% Floor)   05/11/2028     5,502,810       5,408,520       5,282,697  
Community Based Care Acquisition, Inc.
(4) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   10.25% (S + 5.75%; 1.00% Floor)   09/16/2027              (52,498     (80,083
Community Based Care Acquisition, Inc.
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.25% (S + 5.25%; 1.00% Floor)   09/16/2027     2,028,994       1,999,975       1,948,809  
Community Based Care Acquisition, Inc.
(4)
  Healthcare & HCIT   Revolver   12.25% (P + 4.25%; 2.00% Floor)   09/16/2027     259,144       246,180       226,751  
Community Based Care Acquisition, Inc.
(1) (3)
  Healthcare & HCIT   Term Loan   10.25% (S + 5.25%; 1.00% Floor)   09/16/2027     5,275,306       5,194,163       5,077,482  
Delaware Valley Management Holdings, Inc.
(7)
  Healthcare & HCIT   Delayed Draw Term Loan   — (11.10% PIK; 1.00% Floor)   03/21/2024     380,240       353,686       238,601  
Delaware Valley Management Holdings, Inc.
(4) (7)
  Healthcare & HCIT   Delayed Draw Term Loan   — (11.10% PIK; 1.00% Floor)   03/21/2024     335,342       329,251       210,974  
Delaware Valley Management Holdings, Inc.
(7)
  Healthcare & HCIT   Revolver   — (11.10% PIK; 1.00% Floor)   03/21/2024     561,682       559,427       352,455  
Delaware Valley Management Holdings, Inc.
(7)
  Healthcare & HCIT   Term Loan   — (11.10% PIK; 1.00% Floor)   03/21/2024     3,612,279       3,597,130       2,266,705  
FH MD Buyer, Inc.
(1) (3)
  Healthcare & HCIT   Term Loan   9.84% (L + 5.00%; 0.75% Floor)   07/22/2028     5,451,572       5,405,457       5,274,396  
GHA Buyer, Inc.
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   9.55% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     815,950       808,160       781,272  
GHA Buyer, Inc.
(4) (5)
  Healthcare & HCIT   Revolver   13.30% (S + 4.50%; 3.25% PIK; 1.00% Floor)   06/24/2026              (3,334     (40,421
GHA Buyer, Inc.
(1)
  Healthcare & HCIT   Term Loan   13.30% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     562,705       556,769       538,790  
GHA Buyer, Inc.
(1)
  Healthcare & HCIT   Term Loan   13.30% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     1,968,503       1,963,471       1,884,842  
GHA Buyer, Inc.
(1) (2)
  Healthcare & HCIT   Term Loan   13.30% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     5,384,838       5,332,730       5,155,982  
GHA Buyer, Inc.
(2)
  Healthcare & HCIT   Term Loan   13.30% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     4,662,572       4,613,202       4,464,413  
GHA Buyer, Inc.
(1)
  Healthcare & HCIT   Term Loan   13.30% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     730,410       720,506       699,367  
Honor HN Buyer, Inc
(4) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   10.80% (S + 6.00%; 1.00% Floor)   10/15/2027              (21,607         
Honor HN Buyer, Inc
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.80% (S + 5.75%; 1.00% Floor)   10/15/2027     760,747       742,306       760,747  
Honor HN Buyer, Inc
(4) (5)
  Healthcare & HCIT   Revolver   10.80% (S + 5.75%; 1.00% Floor)   10/15/2027              (4,628         
Honor HN Buyer, Inc
(1) (3)
  Healthcare & HCIT   Term Loan   10.80% (S + 5.75%; 1.00% Floor)   10/15/2027     2,610,253       2,570,381       2,610,253  
Medbridge Holdings, LLC
(4) (5)
  Healthcare & HCIT   Revolver   11.05% (S + 6.00%; 1.00% Floor)   12/23/2026              (17,264     (20,643
Medbridge Holdings, LLC
(1)
  Healthcare & HCIT   Term Loan   11.05% (S + 6.00%; 1.00% Floor)   12/23/2026     974,356       958,380       959,741  
Medbridge Holdings, LLC
(1) (3)
  Healthcare & HCIT   Term Loan   11.05% (S + 6.00%; 1.00% Floor)   12/23/2026     15,367,872       15,169,478       15,137,353  
Medical Management Resource Group, LLC
(1)
  Healthcare & HCIT   Delayed Draw Term Loan   10.58% (L + 5.75%; 0.75% Floor)   09/30/2027     1,570,210       1,528,739       1,515,252  
Medical Management Resource Group, LLC
(4)
  Healthcare & HCIT   Revolver   12.75% (P + 4.75%; 1.75% Floor)   09/30/2026     126,566       122,093       115,491  
Medical Management Resource Group, LLC
(3)
  Healthcare & HCIT   Term Loan   10.58% (L + 5.75%; 0.75% Floor)   09/30/2027     3,802,359       3,744,787       3,669,277  
Medsuite Purchaser, LLC
(4) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   9.80% (S + 4.75%; 1.00% Floor)   10/22/2026              (38,439         
Medsuite Purchaser, LLC
(4) (5)
  Healthcare & HCIT   Revolver   9.80% (S + 4.75%; 1.00% Floor)   10/22/2026              (7,330     (3,402
Medsuite Purchaser, LLC
(1) (3)
  Healthcare & HCIT   Term Loan   9.80% (S + 4.75%; 1.00% Floor)   10/22/2026     4,770,456       4,719,066       4,746,604  
OMH-HealthEdge
Holdings, LLC
(4) (5)
  Healthcare & HCIT   Revolver   10.03% (L + 5.25%; 1.00% Floor)   10/24/2024              (3,280         
OMH-HealthEdge
Holdings, LLC
(1)
  Healthcare & HCIT   Term Loan   10.03% (L + 5.25%; 1.00% Floor)   10/24/2025     3,651,990       3,612,340       3,651,990  
 
See Notes to Unaudited Consolidated Financial Statements
 
11

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
OMH-HealthEdge
Holdings, LLC
(3)
  Healthcare & HCIT   Term Loan   10.03% (L + 5.25%; 1.00% Floor)   10/24/2025   $ 2,116,440     $ 2,089,511     $ 2,116,440  
OMH-HealthEdge
Holdings, LLC
(3)
  Healthcare & HCIT   Term Loan   10.03% (L + 5.25%; 1.00% Floor)   10/24/2025     961,210       945,806       961,210  
Pace Health Companies,
LLC
(4) (5)
  Healthcare & HCIT   Revolver   9.55% (L + 4.50%; 1.00% Floor)   08/02/2024              (1,733     (1,542
Pace Health Companies, LLC
(1)
  Healthcare & HCIT   Term Loan   9.55% (L + 4.50%; 1.00% Floor)   08/02/2024     5,127,622       5,111,955       5,114,803  
Pinnacle Dermatology Management, LLC
(4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.67% (S + 5.75%; 0.75% Floor)   12/08/2028     653,189       640,295       615,388  
Pinnacle Dermatology Management, LLC
(4)
  Healthcare & HCIT   Revolver   9.39% (P + 3.00%; 1.75% Floor)   12/08/2026     199,715       189,707       192,994  
Pinnacle Dermatology Management, LLC
(1) (2) (3)
  Healthcare & HCIT   Term Loan   11.05% (S + 5.75%; 0.75% Floor)   12/08/2028     5,594,592       5,485,204       5,398,781  
Pinnacle Treatment Centers,
Inc.
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   11.79% (S + 6.75%; 1.00% Floor)   01/02/2026     342,757       341,405       335,045  
Pinnacle Treatment Centers,
Inc.
(4)
  Healthcare & HCIT   Revolver   13.50% (S + 6.75%; 1.00% Floor)   01/02/2026     131,829       130,448       125,238  
Pinnacle Treatment Centers,
Inc.
(2)
  Healthcare & HCIT   Term Loan   11.79% (S + 6.75%; 1.00% Floor)   01/02/2026     147,546       146,363       144,226  
Pinnacle Treatment Centers,
Inc.
(2)
  Healthcare & HCIT   Term Loan   11.79% (S + 6.75%; 1.00% Floor)   01/02/2026     286,064       280,196       279,628  
Pinnacle Treatment Centers,
Inc.
(2) (3)
  Healthcare & HCIT   Term Loan   11.79% (S + 6.75%; 1.00% Floor)   01/02/2026     4,075,572       4,059,201       3,983,872  
Priority Ondemand Midco 2,L.P
(4) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   10.61% (S + 5.50%; 1.00% Floor)   07/17/2028              (21,073     (20,405
Priority Ondemand Midco 2,L.P
(1) (3)
  Healthcare & HCIT   Term Loan   10.61% (S + 5.25%; 1.00% Floor)   07/17/2028     7,598,838       7,480,244       7,503,852  
RCP Encore Acquisition, Inc.
(7)
  Healthcare & HCIT   Term Loan   — (L + 5.00%; 1.00% Floor)   06/07/2025     3,328,678       3,239,445       33,287  
Redwood Family Care Network, Inc.
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.61% (S + 5.50%; 1.00% Floor)   06/18/2026     679,989       594,940       614,806  
Redwood Family Care Network, Inc.
(1) (3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.61% (S + 5.50%; 1.00% Floor)   06/18/2026     5,815,080       5,740,255       5,727,854  
Redwood Family Care Network, Inc.
(4) (5)
  Healthcare & HCIT   Revolver   10.61% (S + 5.50%; 1.00% Floor)   06/18/2026              (7,663     (8,831
Redwood Family Care Network, Inc.
(2) (3)
  Healthcare & HCIT   Term Loan   10.61% (S + 5.50%; 1.00% Floor)   06/18/2026     6,651,630       6,564,812       6,551,855  
Salisbury House, LLC
(4) (5)
  Healthcare & HCIT   Revolver   9.81% (S + 5.00%; 1.00% Floor)   08/30/2025              (5,567     (11,209
Salisbury House, LLC
(1)
  Healthcare & HCIT   Term Loan   10.20% (S + 5.50%; 1.00% Floor)   08/30/2025     1,234,423       1,214,790       1,203,563  
Salisbury House, LLC
(1)
  Healthcare & HCIT   Term Loan   10.20% (S + 5.50%; 1.00% Floor)   08/30/2025     1,134,264       1,123,576       1,105,907  
Salisbury House, LLC
(1) (3)
  Healthcare & HCIT   Term Loan   10.57% (S + 5.50%; 1.00% Floor)   08/30/2025     3,934,410       3,880,078       3,836,049  
Sandstone Care Holdings, LLC
(4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.30% (S + 5.50%; 1.00% Floor)   06/28/2028     100,117       88,903       76,560  
Sandstone Care Holdings, LLC
(4)
  Healthcare & HCIT   Revolver   10.28% (S + 5.50%; 1.00% Floor)   06/28/2028     194,344       179,867       169,610  
Sandstone Care Holdings, LLC
(1) (2)
  Healthcare & HCIT   Term Loan   10.28% (S + 5.50%; 1.00% Floor)   06/28/2028     4,676,045       4,583,718       4,535,763  
SCA Buyer, LLC
(4)
  Healthcare & HCIT   Revolver   11.38% (S + 6.50%; 1.00% Floor)   01/20/2026     386,309       380,811       354,117  
SCA Buyer, LLC
(3)
  Healthcare & HCIT   Term Loan   11.38% (S + 6.50%; 1.00% Floor)   01/20/2026     3,785,832       3,752,407       3,596,541  
SIS Purchaser, Inc.
(4) (5)
  Healthcare & HCIT   Revolver   11.00% (S + 6.00%; 1.00% Floor)   10/15/2026              (12,151     (26,234
SIS Purchaser, Inc.
(1) (2) (3)
  Healthcare & HCIT   Term Loan   11.00% (S + 6.00%; 1.00% Floor)   10/15/2026     12,536,883       12,400,245       12,254,803  
SIS Purchaser, Inc.
(3)
  Healthcare & HCIT   Term Loan   11.00% (S + 6.00%; 1.00% Floor)   10/15/2026     2,399,850       2,370,954       2,345,853  
Smile Brands, Inc.
(2)
  Healthcare & HCIT   Delayed Draw Term Loan   9.33% (L + 4.50%; 0.75% Floor)   10/12/2025     481,727       480,453       441,985  
Smile Brands, Inc.
(4) (6)
  Healthcare & HCIT   Revolver   9.45% (L + 4.50%; 0.75% Floor)   10/12/2025     237,820       237,540       216,799  
Smile Brands, Inc.
(1)
  Healthcare & HCIT   Term Loan   9.33% (L + 4.50%; 0.75% Floor)   10/12/2025     1,586,584       1,582,011       1,455,690  
Spark DSO LLC
(4)
  Healthcare & HCIT   Revolver   11.32% (S + 6.65%; 1.00% Floor)   04/20/2026     248,796       236,665       207,330  
Spark DSO LLC
(1) (2) (3)
  Healthcare & HCIT   Term Loan   11.24% (S + 6.65%; 1.00% Floor)   04/19/2026     7,254,093       7,174,290       6,982,065  
The Center for Orthopedic and Research Excellence,
Inc.
(1) (3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.33% (S + 5.50%; 1.00% Floor)   08/15/2025     1,138,679       1,134,744       1,115,905  
The Center for Orthopedic and Research Excellence, Inc.
(4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.68% (S + 5.50%; 1.00% Floor)   08/15/2025     455,369       441,963       434,011  
The Center for Orthopedic and Research Excellence,
Inc.
(3) (6)
  Healthcare & HCIT   Delayed Draw Term Loan   10.68% (S + 5.50%; 1.00% Floor)   08/15/2025     1,730,747       1,713,698       1,696,132  
The Center for Orthopedic and Research Excellence, Inc.
(4)
  Healthcare & HCIT   Revolver   10.33% (S + 5.50%; 1.00% Floor)   08/15/2025     552,426       547,457       538,615  
The Center for Orthopedic and Research Excellence,
Inc.
(1) (2)
  Healthcare & HCIT   Term Loan   10.33% (S + 5.50%; 1.00% Floor)   08/15/2025     4,831,134       4,793,631       4,734,512  
The Center for Orthopedic and Research Excellence, Inc.
(3)
  Healthcare & HCIT   Term Loan   10.41% (S + 5.50%; 1.00% Floor)   08/15/2025     3,224,210       3,182,926       3,159,726  
West Dermatology
(4) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   10.70% (S + 5.75%; 1.00% Floor)   03/17/2028              (32,331     (354,518
West Dermatology
(4) (5)
  Healthcare & HCIT   Revolver   10.70% (S + 5.75%; 1.00% Floor)   03/17/2028              (21,569     (130,612
West Dermatology
(1) (2) (3)
  Healthcare & HCIT   Term Loan   10.70% (S + 5.75%; 1.00% Floor)   03/17/2028     12,562,683       12,344,850       11,243,601  
Activ Software Holdings, LLC
  Software & Tech Services   Delayed Draw Term Loan   11.32% (S + 6.25%; 1.00% Floor)   05/04/2027     632,383       614,430       616,574  
 
See Notes to Unaudited Consolidated Financial Statements
 
12

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
Activ Software Holdings, LLC
(4) (5)
  Software & Tech Services   Revolver   11.79% (L + 6.25%; 1.00% Floor)   05/04/2027   $        $ (8,966   $ (16,221
Activ Software Holdings, LLC
(1)
  Software & Tech Services   Term Loan   11.28% (S + 6.25%; 1.00% Floor)   05/04/2027     2,529,533       2,457,720       2,466,294  
Activ Software Holdings, LLC
(1) (2) (3)
  Software & Tech Services   Term Loan   11.79% (L + 6.25%; 1.00% Floor)   05/04/2027     7,968,531       7,858,412       7,769,318  
Admiral Buyer, Inc
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.40% (S + 5.50%; 0.75% Floor)   05/08/2028              (13,467         
Admiral Buyer, Inc
(4) (5)
  Software & Tech Services   Revolver   10.40% (S + 5.50%; 0.75% Floor)   05/08/2028              (9,627     (4,224
Admiral Buyer, Inc
(1) (3)
  Software & Tech Services   Term Loan   10.40% (S + 5.50%; 0.75% Floor)   05/08/2028     5,827,997       5,728,379       5,784,287  
AMI US Holdings, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.16% (L + 5.25%)   04/01/2024              (4,741         
AMI US Holdings, Inc.
(1) (3)
  Software & Tech Services   Term Loan   10.16% (L + 5.25%; 1.00% Floor)   04/01/2025     7,986,238       7,924,628       7,986,238  
Avalara, Inc.
(4) (5)
  Software & Tech Services   Revolver   12.15% (S + 7.25%; 0.75% Floor)   10/19/2028              (24,712     (23,971
Avalara, Inc.
(2) (3)
  Software & Tech Services   Term Loan   12.15% (S + 7.25%; 0.75% Floor)   10/19/2028     10,653,748       10,406,626       10,414,038  
Avetta, LLC
(4) (5)
  Software & Tech Services   Revolver   10.58% (L + 5.75%; 1.00% Floor)   04/10/2024              (1,724     (3,708
Avetta, LLC
(1)
  Software & Tech Services   Term Loan   10.58% (L + 5.75%; 1.00% Floor)   04/10/2024     4,185,130       4,164,874       4,153,741  
Avetta, LLC
(1) (2)
  Software & Tech Services   Term Loan   10.58% (L + 5.75%; 1.00% Floor)   04/10/2024     3,178,660       3,157,637       3,154,820  
Avetta, LLC
(3)
  Software & Tech Services   Term Loan   10.58% (L + 5.75%; 1.00% Floor)   04/10/2024     6,751,380       6,700,048       6,700,745  
Bonterra, LLC
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   11.16% (L + 6.00%; 0.75% Floor)   09/08/2027              (16,124     (48,059
Bonterra, LLC
(4)
  Software & Tech Services   Revolver   11.16% (L + 6.00%; 0.75% Floor)   09/08/2027     1,133,230       1,120,336       1,104,436  
Bonterra, LLC
(1) (2) (3)
  Software & Tech Services   Term Loan   11.16% (L + 6.00%; 0.75% Floor)   09/08/2027     15,595,728       15,425,770       15,205,835  
Brightspot Buyer, Inc
(4) (5)
  Software & Tech Services   Revolver   11.75% (S + 6.75%; 0.75% Floor)   11/16/2027              (10,582     (15,307
Brightspot Buyer, Inc
(2)
  Software & Tech Services   Term Loan   11.73% (S + 6.75%; 0.75% Floor)   11/16/2027     1,448,598       1,412,694       1,416,005  
Brightspot Buyer, Inc
(3)
  Software & Tech Services   Term Loan   11.75% (S + 6.75%; 0.75% Floor)   11/16/2027     5,215,571       5,134,444       5,098,221  
BSI2 Hold Nettle, LLC
(4) (5)
  Software & Tech Services   Revolver   9.65% (S + 4.75%; 0.75% Floor)   06/30/2028              (7,763     (8,834
BSI2 Hold Nettle, LLC
(2) (3)
  Software & Tech Services   Term Loan   9.65% (S + 4.75%; 0.75% Floor)   06/30/2028     4,687,823       4,626,028       4,617,506  
BusinesSolver.com, Inc.
(4)
  Software & Tech Services   Delayed Draw Term Loan   9.88% (L + 5.50%; 0.75% Floor)   12/01/2027     169,455       160,986       124,769  
BusinesSolver.com, Inc.
(2) (3)
  Software & Tech Services   Term Loan   10.66% (L + 5.50%; 0.75% Floor)   12/01/2027     7,306,163       7,248,738       7,105,244  
Certify, Inc
(2)
  Software & Tech Services   Delayed Draw Term Loan   10.34% (L + 5.50%; 1.00% Floor)   02/28/2024     479,627       478,020       477,229  
Certify, Inc
  Software & Tech Services   Delayed Draw Term Loan   10.34% (L + 5.50%; 1.00% Floor)   02/28/2024     399,689       398,142       397,691  
Certify, Inc
(4)
  Software & Tech Services   Revolver   10.34% (L + 5.50%; 1.00% Floor)   02/28/2024     39,969       39,866       39,170  
Certify, Inc
(1) (2) (3)
  Software & Tech Services   Term Loan   10.34% (L + 5.50%; 1.00% Floor)   02/28/2024     3,916,954       3,901,793       3,897,370  
Community Brands Parentco, LLC
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.66% (S + 5.75%; 0.75% Floor)   02/24/2028              (6,858     (18,774
Community Brands Parentco, LLC
(4) (5)
  Software & Tech Services   Revolver   10.66% (S + 5.75%; 0.75% Floor)   02/24/2028              (6,865     (13,559
Community Brands Parentco, LLC
(1) (3)
  Software & Tech Services   Term Loan   10.66% (S + 5.75%; 0.75% Floor)   02/24/2028     7,021,603       6,902,840       6,793,401  
Coupa Holdings,LLC
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   12.29% (S + 7.50%; 0.75% Floor)   02/27/2030              (11,850     (11,850
Coupa Holdings,LLC
(4) (5)
  Software & Tech Services   Revolver   12.29% (S + 7.50%; 0.75% Floor)   02/27/2029              (18,147     (18,147
Coupa Holdings,LLC
(3)
  Software & Tech Services   Term Loan   12.29% (S + 7.50%; 0.75% Floor)   02/27/2030     10,617,824       10,352,378       10,352,378  
Datacor, Inc.
(4)
  Software & Tech Services   Delayed Draw Term Loan   10.56% (S + 5.75%; 1.00% Floor)   12/29/2025     1,113,561       1,087,348       1,088,109  
Datacor, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.56% (S + 5.75%; 1.00% Floor)   12/29/2025              (7,045     (12,877
Datacor, Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   10.56% (S + 5.75%; 1.00% Floor)   12/29/2025     13,841,011       13,631,763       13,564,191  
Degreed, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   11.41% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026              (11,091     (23,129
Degreed, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   11.41% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026              (3,637     (31,306
Degreed, Inc.
(4) (5)
  Software & Tech Services   Revolver   11.41% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026              (1,386     (11,490
Degreed, Inc.
(1) (2)
  Software & Tech Services   Term Loan   11.41% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026     5,185,318       5,157,264       5,042,722  
Degreed, Inc.
(3)
  Software & Tech Services   Term Loan   11.41% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026     2,800,228       2,785,327       2,723,222  
Dispatch Track, LLC
(4) (5)
  Software & Tech Services   Revolver   9.36% (S + 4.50%; 1.00% Floor)   12/17/2026              (1,583     (2,264
Dispatch Track, LLC
(1) (3)
  Software & Tech Services   Term Loan   9.36% (S + 4.50%; 1.00% Floor)   12/17/2026     9,849,936       9,786,728       9,776,062  
Drilling Info Holdings, Inc.
(1)
  Software & Tech Services   Term Loan   9.09% (L + 4.25%)   07/30/2025     3,283,581       3,277,888       3,242,536  
EET Buyer, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.26% (L + 5.25%; 0.75% Floor)   11/08/2027              (10,695     (15,543
EET Buyer, Inc.
(2) (3)
  Software & Tech Services   Term Loan   10.26% (L + 5.25%; 0.75% Floor)   11/08/2027     6,838,858       6,732,985       6,684,983  
Exterro, Inc.
(4)
  Software & Tech Services   Revolver   10.75% (P + 4.50%; 1.00% Floor)   05/31/2024     369,281       346,229       369,281  
Exterro, Inc.
(1) (3)
  Software & Tech Services   Term Loan   10.56% (S + 5.50%; 1.00% Floor)   05/31/2024     5,809,123       5,757,916       5,809,123  
Exterro, Inc.
(1)
  Software & Tech Services   Term Loan   10.56% (S + 5.50%; 1.00% Floor)   05/31/2024     2,793,450       2,781,500       2,793,450  
Exterro, Inc.
(2) (3)
  Software & Tech Services   Term Loan   10.56% (S + 5.50%; 1.00% Floor)   05/31/2024     6,237,900       6,193,406       6,237,900  
Faithlife, LLC
(1) (3)
  Software & Tech Services   Delayed Draw Term Loan   10.50% (S + 5.50%; 1.00% Floor)   09/18/2025     708,304       701,358       708,304  
Faithlife, LLC
(4) (5)
  Software & Tech Services   Revolver   10.50% (S + 5.50%; 1.00% Floor)   09/18/2025              (2,780         
Faithlife, LLC
(1) (3)
  Software & Tech Services   Term Loan   10.50% (S + 5.50%; 1.00% Floor)   09/18/2025     304,180       301,131       304,180  
Fusion Holding Corp
(4) (5)
  Software & Tech Services   Revolver   11.15% (S + 6.25%; 0.75% Floor)   09/15/2027              (27,750     (31,032
Fusion Holding Corp
(1) (2) (3)
  Software & Tech Services   Term Loan   11.15% (S + 6.25%; 0.75% Floor)   09/15/2029     16,852,823       16,489,410       16,473,635  
 
See Notes to Unaudited Consolidated Financial Statements
 
13

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
Fusion Risk Management Inc
(4)
(5)
  Software & Tech Services   Revolver   8.14% (S + 6.50%; 1.00% Floor)   08/30/2028   $        $ (17,385   $ (25,585
Fusion Risk Management Inc
(1)
(2)
  Software & Tech Services   Term Loan   8.14% (S + 3.25%; 3.50% PIK; 1.00% Floor)   08/30/2028     8,680,053       8,506,198       8,419,651  
Genesis Acquisition Co.
(2)
  Software & Tech Services   Revolver   8.96% (L + 3.75%)   07/31/2024     202,400       201,466       198,352  
Genesis Acquisition Co.
(1) (3)
  Software & Tech Services   Term Loan   9.46% (L + 3.75%)   07/31/2024     1,357,246       1,350,535       1,330,101  
Greenhouse Software, Inc.
(4)
  Software & Tech Services   Revolver   11.74% (S + 7.00%; 1.00% Floor)   09/01/2028     169,260       155,563       158,681  
Greenhouse Software, Inc.
(4)
  Software & Tech Services   Revolver   11.74% (S + 7.00%; 1.00% Floor)   09/01/2028     345,030       326,676       323,466  
Greenhouse Software,
Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   11.90% (S + 7.00%; 1.00% Floor)   09/01/2028     14,507,975       14,179,254       14,254,085  
Greenhouse Software,
Inc.
(2) (3)
  Software & Tech Services   Term Loan   11.90% (S + 7.00%; 1.00% Floor)   09/01/2028     12,376,845       12,191,019       12,160,250  
Gryphon-Redwood Acquisition LLC
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   14.90% (S + 4.00%; 6.00% PIK; 1.00% Floor)   09/16/2028              (25,329     (27,755
Gryphon-Redwood Acquisition LLC
(1)
  Software & Tech Services   Term Loan   14.90% (S + 4.00%; 6.00% PIK; 1.00% Floor)   09/16/2028     3,566,170       3,511,040       3,503,762  
GS AcquisitionCo, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.80% (S + 5.75%; 1.00% Floor)   05/22/2026              (1,585     (14,843
GS AcquisitionCo,
Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   10.80% (S + 5.75%; 1.00% Floor)   05/22/2026     9,454,712       9,428,749       9,147,434  
Iodine Software, LLC
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.91% (S + 7.00%; 1.00% Floor)   05/19/2027              (38,804         
Iodine Software, LLC
(2) (3)
  Software & Tech Services   Delayed Draw Term Loan   10.91% (S + 6.00%; 1.00% Floor)   05/19/2027     7,936,069       7,825,053       7,836,868  
Iodine Software, LLC
(4) (5)
  Software & Tech Services   Revolver   10.91% (S + 6.00%; 1.00% Floor)   05/19/2027              (15,188     (13,613
Iodine Software, LLC
(1) (3)
  Software & Tech Services   Term Loan   10.91% (S + 6.00%; 1.00% Floor)   05/19/2027     5,268,312       5,194,840       5,202,459  
Kaseya Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.65% (S + 5.75%; 0.75% Floor)   06/25/2029              (8,514     (12,736
Kaseya Inc.
(4) (5)
  Software & Tech Services   Revolver   10.65% (S + 5.75%; 0.75% Floor)   06/25/2029              (4,255     (17,511
Kaseya Inc.
(1) (3)
  Software & Tech Services   Term Loan   10.65% (S + 5.75%; 0.75% Floor)   06/25/2029     10,506,804       10,366,321       10,217,867  
Mavenlink, Inc.
(4)
  Software & Tech Services   Revolver   10.17% (L + 5.50%; 0.75% Floor)   06/03/2027     715,926       688,483       680,130  
Mavenlink, Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   10.34% (L + 5.50%; 0.75% Floor)   06/03/2027     15,034,451       14,803,928       14,733,762  
Moon Buyer, Inc.
  Software & Tech Services   Delayed Draw Term Loan   9.49% (L + 4.75%; 1.00% Floor)   04/21/2027     580,442       577,086       577,539  
Moon Buyer, Inc.
(4) (5)
  Software & Tech Services   Revolver   9.75% (S + 4.75%; 1.00% Floor)   04/21/2027              (11,941     (5,819
Moon Buyer, Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   9.75% (S + 4.75%; 1.00% Floor)   04/21/2027     6,288,846       6,224,280       6,257,402  
Mykaarma Acquisition LLC
(4) (5)
  Software & Tech Services   Revolver   8.00% (S + 3.00%; 3.75% PIK; 1.00% Floor)   03/21/2028              (9,870     (10,381
Mykaarma Acquisition LLC
(2) (3)
  Software & Tech Services   Term Loan   8.00% (S + 3.00%; 3.75% PIK; 1.00% Floor)   03/21/2028     6,160,929       6,058,994       6,053,113  
Navigate360, LLC
(3)
  Software & Tech Services   Delayed Draw Term Loan   10.83% (S + 6.00%; 1.00% Floor)   03/17/2027     1,803,642       1,783,102       1,776,587  
Navigate360, LLC
  Software & Tech Services   Revolver   10.93% (S + 6.00%; 1.00% Floor)   03/17/2027     604,235       594,621       595,172  
Navigate360, LLC
(3)
  Software & Tech Services   Term Loan   10.83% (S + 6.00%; 1.00% Floor)   03/17/2027     2,260,117       2,218,896       2,226,215  
Navigate360, LLC
(2)
  Software & Tech Services   Term Loan   10.83% (S + 6.00%; 1.00% Floor)   03/17/2027     4,187,349       4,118,916       4,124,539  
Netwrix Corporation And Concept Searching
Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.12% (S + 5.00%; 0.75% Floor)   06/11/2029              (3,467     (14,691
Netwrix Corporation And Concept Searching Inc.
(4)
  Software & Tech Services   Revolver   9.90% (S + 5.00%; 0.75% Floor)   06/11/2029     193,689       191,428       187,878  
Netwrix Corporation And Concept Searching
Inc.
(1) (3)
  Software & Tech Services   Term Loan   10.12% (S + 5.00%; 0.75% Floor)   06/11/2029     9,766,394       9,744,822       9,693,146  
Ping Identity
Corporation
(4) (5)
  Software & Tech Services   Revolver   11.76% (S + 7.00%; 0.75% Floor)   10/17/2028              (27,898     (27,075
Ping Identity
Corporation
(1) (2) (3)
  Software & Tech Services   Term Loan   11.76% (S + 7.00%; 0.75% Floor)   10/17/2029     12,033,445       11,751,242       11,762,693  
Ranger Buyer, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.41% (S + 5.50%; 0.75% Floor)   11/18/2027              (18,774     (26,983
Ranger Buyer, Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   10.41% (S + 5.50%; 0.75% Floor)   11/17/2028     14,246,882       14,007,032       13,926,327  
Sauce Labs, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.78% (S + 5.50%; 0.50% PIK; 1.00% Floor)   08/16/2027              (20,741     (29,594
Sauce Labs, Inc.
(2)
  Software & Tech Services   Delayed Draw Term Loan   10.78% (S + 5.50%; 0.50% PIK; 1.00% Floor)   08/16/2027     1,927,408       1,899,063       1,884,042  
Sauce Labs, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.78% (S + 5.50%; 1.00% Floor)   08/16/2027              (18,909     (28,841
Sauce Labs, Inc.
(2) (3)
  Software & Tech Services   Term Loan   10.78% (S + 5.50%; 0.50% PIK; 1.00% Floor)   08/16/2027     7,513,013       7,392,736       7,343,970  
Saviynt, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   8.91% (S + 4.00%; 3.50% PIK; 1.00% Floor)   12/22/2027              (144,356     (137,205
Saviynt, Inc.
(4) (5)
  Software & Tech Services   Revolver   8.91% (S + 4.00%; 3.50% PIK; 1.00% Floor)   12/22/2027              (14,436     (13,720
Saviynt, Inc.
(2) (3)
  Software & Tech Services   Term Loan   8.91% (S + 4.00%; 3.50% PIK; 1.00% Floor)   12/22/2027     18,470,580       18,022,196       18,054,992  
ScyllaDB, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   11.24% (S + 6.50%; 1.00% Floor)   09/08/2027              (2,940     (4,956
ScyllaDB, Inc.
(4) (5)
  Software & Tech Services   Revolver   11.24% (S + 6.50%; 1.00% Floor)   09/08/2027              (2,352     (3,304
ScyllaDB, Inc.
(2)
  Software & Tech Services   Term Loan   11.24% (S + 6.50%; 1.00% Floor)   09/08/2027     2,643,348       2,580,716       2,610,306  
Securonix, Inc.
(4) (5)
  Software & Tech Services   Revolver   11.10% (S + 6.50%; 0.75% Floor)   04/05/2028              (22,627     (80,763
Securonix, Inc.
(2) (3)
  Software & Tech Services   Term Loan   11.10% (S + 6.50%; 0.75% Floor)   04/05/2028     8,546,314       8,420,612       8,097,633  
Sirsi Corporation
(4) (5)
  Software & Tech Services   Revolver   9.34% (L + 4.50%; 1.00% Floor)   03/15/2024              (1,707     (1,384
Sirsi Corporation
(1) (3)
  Software & Tech Services   Term Loan   9.34% (L + 4.50%; 1.00% Floor)   03/15/2024     6,520,150       6,498,630       6,503,850  
Smartlinx Solutions, LLC
  Software & Tech Services   Revolver   10.62% (L + 5.75%; 1.00% Floor)   03/04/2026     519,484       516,909       516,886  
Smartlinx Solutions, LLC
(2)
  Software & Tech Services   Term Loan   10.91% (L + 5.75%; 1.00% Floor)   03/04/2026     491,897       483,947       491,897  
Smartlinx Solutions,
LLC
(1) (2) (3)
  Software & Tech Services   Term Loan   10.91% (L + 5.75%; 1.00% Floor)   03/04/2026     5,605,879       5,549,798       5,591,864  
 
See Notes to Unaudited Consolidated Financial Statements
 
14

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
Soladoc, LLC
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.07% (S + 5.25%; 0.75% Floor)   06/12/2028   $        $ (20,483   $ (53,003
Soladoc, LLC
(4) (5)
  Software & Tech Services   Revolver   10.07% (S + 5.25%; 0.75% Floor)   06/12/2028              (10,248     (19,140
Soladoc, LLC
(1) (3)
  Software & Tech Services   Term Loan   10.07% (S + 5.25%; 0.75% Floor)   06/12/2028     5,889,225       5,786,742       5,697,825  
SugarCRM, Inc.
(4) (5)
  Software & Tech Services   Revolver   11.34% (L + 6.50%; 1.00% Floor)   07/31/2024              (1,250     (3,878
SugarCRM, Inc.
(1) (2)
  Software & Tech Services   Term Loan   11.34% (L + 6.50%; 1.00% Floor)   07/31/2024     4,268,824       4,247,034       4,215,464  
Sundance Group Holdings, Inc.
(2)
  Software & Tech Services   Delayed Draw Term Loan   11.09% (S + 6.25%; 1.00% Floor)   07/02/2027     3,547,253       3,496,221       3,467,440  
Sundance Group Holdings, Inc.
(4)
  Software & Tech Services   Revolver   11.18% (S + 6.25%; 1.00% Floor)   07/02/2027     141,890       121,537       109,965  
Sundance Group Holdings, Inc.
  Software & Tech Services   Term Loan   %10.95% (S + 6.25%; 1.00% Floor)   07/02/2027     463,790       450,771       453,355  
Sundance Group Holdings, Inc.
(2) (3)
  Software & Tech Services   Term Loan   10.95% (S + 6.25%; 1.00% Floor)   07/02/2027     11,824,177       11,654,566       11,558,133  
Swiftpage, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.41% (S + 5.50%; 1.00% Floor)   06/13/2023              (184     (2,253
Swiftpage, Inc.
(3)
  Software & Tech Services   Term Loan   10.41% (S + 5.50%; 1.00% Floor)   06/13/2023     2,414,408       2,412,546       2,390,263  
Swiftpage, Inc.
(3)
  Software & Tech Services   Term Loan   10.41% (S + 5.50%; 1.00% Floor)   06/13/2023     222,253       222,009       220,030  
Sysnet North America,
Inc.
(1) (2) (3)
  Software & Tech Services   Term Loan   11.50% (P + 5.00%; 1.00% Floor)   12/01/2026     8,839,609       8,771,731       8,751,213  
Telcor Buyer, Inc.
(4) (5)
  Software & Tech Services   Revolver   9.64% (L + 4.50%; 1.00% Floor)   08/20/2027              (3,223     (8,723
Telcor Buyer, Inc.
(1) (3)
  Software & Tech Services   Term Loan   9.64% (L + 4.50%; 1.00% Floor)   08/20/2027     9,149,548       9,048,139       8,875,062  
Telesoft Holdings, LLC
(4)
  Software & Tech Services   Revolver   10.59% (L + 5.75%; 1.00% Floor)   12/16/2025     59,687       53,532       49,241  
Telesoft Holdings, LLC
(2) (3)
  Software & Tech Services   Term Loan   10.59% (L + 5.75%; 1.00% Floor)   12/16/2025     5,789,605       5,728,411       5,688,287  
TRGRP, Inc.
(4)
  Software & Tech Services   Revolver   11.50% (P + 3.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     90,555       89,767       90,555  
TRGRP, Inc.
(1)
  Software & Tech Services   Term Loan   12.05% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     1,133,019       1,129,907       1,133,019  
TRGRP, Inc.
(2) (3)
  Software & Tech Services   Term Loan   9.55% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     5,072,483       5,051,163       5,072,483  
TRGRP, Inc.
(3)
  Software & Tech Services   Term Loan   9.55% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     2,379,280       2,369,021       2,379,280  
Unanet, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   10.97% (S + 6.25%; 0.75% Floor)   12/08/2028              (36,005     (18,952
Unanet, Inc.
(4) (5)
  Software & Tech Services   Revolver   10.97% (S + 6.25%; 0.75% Floor)   12/08/2028              (25,270     (18,952
Unanet, Inc.
(2) (3)
  Software & Tech Services   Term Loan   10.97% (S + 6.25%; 0.75% Floor)   12/08/2028     12,003,044       11,774,955       11,822,998  
Ungerboeck Systems International, LLC
(2) (4)
  Software & Tech Services   Delayed Draw Term Loan   11.60% (L + 6.50%; 1.00% Floor)   04/30/2027     272,766       268,487       265,605  
Ungerboeck Systems International, LLC
(1)
  Software & Tech Services   Delayed Draw Term Loan   11.45% (L + 6.50%; 1.00% Floor)   04/30/2027     322,391       319,016       315,943  
Ungerboeck Systems International, LLC
(2)
  Software & Tech Services   Delayed Draw Term Loan   11.45% (L + 6.50%; 1.00% Floor)   04/30/2027     690,794       690,794       676,978  
Ungerboeck Systems International, LLC
(4)
  Software & Tech Services   Revolver   11.35% (L + 6.50%; 1.00% Floor)   04/30/2027     48,936       46,094       44,348  
Ungerboeck Systems International, LLC
(2)
  Software & Tech Services   Term Loan   11.47% (L + 6.50%; 1.00% Floor)   04/30/2027     136,383       133,937       133,655  
Ungerboeck Systems International, LLC
(2) (3)
  Software & Tech Services   Term Loan   11.45% (L + 6.50%; 1.00% Floor)   04/30/2027     2,717,277       2,688,857       2,662,931  
Vectra AI, Inc.
(1) (6)
  Software & Tech Services   Delayed Draw Term Loan   11.13% (S + 6.25%; 1.00% Floor)   03/02/2028     1,163,793       1,146,556       1,140,517  
Vectra AI, Inc.
(4) (5)
  Software & Tech Services   Revolver   11.20% (S + 6.25%; 1.00% Floor)   03/02/2028              (3,465     (4,655
Vectra AI, Inc.
(2) (3)
  Software & Tech Services   Term Loan   11.20% (S + 6.25%; 1.00% Floor)   03/02/2028     5,552,870       5,456,619       5,441,813  
Vehlo Purchaser, LLC
(2) (3)
  Software & Tech Services   Delayed Draw Term Loan   9.98% (S + 5.00%; 0.75% Floor)   05/24/2028     6,195,183       6,136,266       6,086,767  
Vehlo Purchaser, LLC
  Software & Tech Services   Revolver   9.88% (S + 5.00%; 0.75% Floor)   05/24/2028     1,239,037       1,223,011       1,217,353  
Vehlo Purchaser, LLC
(1) (2) (3)
  Software & Tech Services   Term Loan   10.05% (S + 5.00%; 0.75% Floor)   05/24/2028     22,302,658       22,014,205       21,912,362  
Velocity Purchaser Corporation
(4) (5)
  Software & Tech Services   Revolver   10.83% (S + 6.00%; 1.00% Floor)   12/01/2023              (445         
Velocity Purchaser Corporation
(1)
  Software & Tech Services   Term Loan   10.83% (S + 6.00%; 1.00% Floor)   12/01/2023     600,106       598,523       600,106  
Velocity Purchaser Corporation
(1)
  Software & Tech Services   Term Loan   10.83% (S + 6.00%; 1.00% Floor)   12/01/2023     2,412,446       2,407,294       2,412,446  
Velocity Purchaser Corporation
(1) (3)
  Software & Tech Services   Term Loan   10.83% (S + 6.00%; 1.00% Floor)   12/01/2023     4,765,411       4,743,707       4,765,411  
Veracross LLC
(1) (4)
  Software & Tech Services   Delayed Draw Term Loan   11.82% (S + 2.00%; 5.00% PIK; 1.00% Floor)   12/28/2027     1,401,817       1,367,117       1,364,269  
Veracross LLC
(4) (5)
  Software & Tech Services   Revolver   7.05% (S + 2.00%; 5.00% PIK; 1.00% Floor)   12/28/2027              (17,731     (25,032
Veracross LLC
(2)
  Software & Tech Services   Term Loan   7.05% (S + 2.00%; 5.00% PIK; 1.00% Floor)   12/28/2027     13,069,637       12,874,573       12,775,570  
Zendesk, Inc.
(4) (5)
  Software & Tech Services   Delayed Draw Term Loan   11.88% (S + 6.50%; 0.75% Floor)   11/22/2028              (31,404         
Zendesk, Inc.
(4) (5)
  Software & Tech Services   Revolver   11.88% (S + 6.50%; 0.75% Floor)   11/22/2028              (25,855     (13,726
Zendesk, Inc.
(2) (3)
  Software & Tech Services   Term Loan   11.88% (S + 3.50%; 3.50% PIK; 0.75% Floor)   11/22/2028     13,334,101       13,082,937       13,200,760  
Dillon Logistics, Inc.
(7)
  Transport & Logistics   Revolver   — (P + 6.00%; 1.00% Floor)   12/11/2023     856,909       774,692           
 
See Notes to Unaudited Consolidated Financial Statements
 
15

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
            Industry            
 
    Facility Type    
 
                      Interest                      
 
  Maturity  
 
Funded

  Par Amount  
   
        Cost        
   
  Fair Value  
 
Dillon Logistics,
Inc.
(7)
  Transport & Logistics   Term Loan   — (L + 7.00%; 1.00% Floor)   12/11/2023   $ 2,941,825     $ 2,546,794     $ 30,307  
           
 
 
   
 
 
 
Total U.S. 1st Lien/Senior Secured Debt
 
 
 
1,143,249,575
 
 
 
1,120,293,597
 
2nd Lien/Junior Secured Debt
- 2.26%
 
Conterra Ultra Broadband Holdings,
Inc.
(1) (3)
 
Digital Infrastructure &
Services
  Term Loan   13.18% (L + 8.50%; 1.00% Floor)   04/30/2027     6,537,710       6,479,700       6,521,366  
Brave Parent H
olding
s,
Inc.
(1)
  Software & Tech Services   Term Loan   12.34% (L + 7.50%)   04/17/2026     1,230,107       1,217,538       1,208,580  
Symplr Software,
Inc.
(1) (3)
  Software & Tech Services   Term Loan   12.65% (S + 7.88%; 0.75% Floor)   12/22/2028     3,130,634       3,084,789       2,770,611  
           
 
 
   
 
 
 
Total U.S. 2nd Lien/Junior Secured Debt
   
 
10,782,027
 
 
 
10,500,557
 
           
 
 
   
 
 
 
Total U.S. Corporate Debt
   
 
1,154,031,602
 
 
 
1,130,794,154
 
Canadian Corporate Debt
- 5.06%
 
1st Lien/Senior Secured Debt
- 5.06%
 
McNairn Holdings
Ltd.
(1) (8)
  Business Services   Term Loan   11.41% (S + 6.50%; 0.75% PIK; 1.00% Floor)   11/25/2025     738,337       729,318       730,953  
Syntax Sys
tems

Ltd
(1) (3) (8)
 
Digital Infrastructure &
Services
  Term Loan   10.59% (L + 5.75%; 0.75% Floor)   10/29/2028     8,751,331       8,679,873       8,357,521  
Syntax Systems
Ltd
(4) (8)
 
Digital Infrastructure &
Services
  Revolver   10.59% (L + 5.75%; 0.75% Floor)   10/29/2026     649,103       642,079       605,289  
Syntax Systems Ltd
(4) (5) (8)
 
Digital Infrastructure &
Services
  Delayed Draw Term Loan   10.59% (L + 5.75%; 0.75% Floor)   10/29/2028              (19,549     (109,536
Banneker V Acquisition,
Inc.
(1) (2) (3) (6) (8)
  Software & Tech Services   Term Loan   11.84% (S + 7.50%; 1.00% Floor)   12/04/2025     13,258,433       13,022,310       12,926,973  
Banneker V Acquisition,
Inc.
(4) (5) (8)
  Software & Tech Services   Revolver   11.84% (S + 7.50%; 1.00% Floor)   12/04/2025              (18,744     (22,417
Banneker V Acquisition,
Inc.
(3) (8)
  Software & Tech Services   Delayed Draw Term Loan   12.41% (S + 7.50%; 1.00% Floor)   12/04/2025     1,024,233       1,013,096       998,627  
           
 
 
   
 
 
 
Total Canadian 1st Lien/Senior Secured Debt
 
 
 
24,048,383
 
 
 
23,487,410
 
           
 
 
   
 
 
 
Total Canadian Corporate Debt
 
 
 
24,048,383
 
 
 
23,487,410
 
 
Portfolio Company
 
Class/Series
 
        Industry        
 
                                                    
 
Initial Acquisition Date
 (9)
 
      Shares      
   
        Cost        
   
   Fair Value   
 
U.S. Preferred Stock
-
2.03%
             
Ntiva Investments, LLC (MSP Global Holdings, Inc)
(10)
  Class A   Digital Infrastructure & Services     01/24/2022     333,937     $ 272,826     $ 296,732  
Bowline Topco
LLC
^^ (10) (11)
  LLC Units   Energy     08/09/2021     2,946,390                173,837  
SBS Ultimate Holdings, LP
(10)
  Class A   Healthcare & HCIT     09/18/2020     217,710       861,879           
Alphasense, Inc.
(8) (10)
  Series C   Software & Tech Services     06/01/2021     23,961       369,843       517,451  
Concerto Health AI Solutions, LLC
(10) (11)
  Series
B-1
  Software & Tech Services     12/23/2019     65,614       349,977       351,434  
Datarobot, Inc.
(10)
  Series E   Software & Tech Services     08/30/2019     38,190       289,278       317,586  
Datarobot, Inc.
(10)
  Series F   Software & Tech Services     10/27/2020     6,715       88,248       72,647  
Degreed, Inc.
(10)
  Series
C-1
  Software & Tech Services     06/25/2019     43,819       278,541       375,220  
Degreed, Inc.
(10)
  Series D   Software & Tech Services     04/30/2021     16,943       278,308       263,007  
Heap, Inc.
(10)
  Series C   Software & Tech Services     05/21/2019     189,617       696,352       1,033,815  
Heap, Inc.
(10)
  Series D   Software & Tech Services     11/24/2021     17,425       147,443       148,758  
Knockout
Intermed
iate Holdings I, Inc. (Kaseya, Inc.)
(10)
  Perpetual   Software & Tech Services     06/23/2022     1,345       1,311,760       1,428,318  
Netskope, Inc.
(10)
  Series G   Software & Tech Services     01/27/2020     36,144       302,536       382,208  
Phenom People, Inc.
(10)
  Series C   Software & Tech Services     01/08/2020     35,055       220,610       452,152  
Protoscale Rubrik, LLC
(10)
  Class B   Software & Tech Services     01/04/2019     25,397       598,212       685,504  
Swyft Parent Holdings
LP
(10) (11)
  LP Interests   Software & Tech Services     02/07/2022     850,470       758,389       865,539  
Symplr Software Intermediate Holdings, Inc.
(10)
  Series A   Software & Tech Services     11/30/2018     1,196       1,160,532       1,936,454  
Vectra AI, Inc
(10)
  Series F   Software & Tech Services     05/28/2021     17,064       131,095       110,279  
           
 
 
   
 
 
 
Total U.S. Preferred Stock
     
 
8,115,829
 
 
 
9,410,941
 
 
See Notes to Unaudited Consolidated Financial Statements
 
16

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
Class/Series
 
        Industry        
 
                                                    
 
Initial Acquisition Date
 (9)
 
      Shares      
   
        Cost        
   
   Fair Value   
 
U.S. Common Stock
- 1.90%
                                   
Global Radar Holdings,
LLC
(10) (11)
  Earn Out   Business Services       11/08/2022     125     $        $     
AEG Holding Co
mpan
y, Inc.
(10)
  Class A   Consumer Discretionary       11/20/2017     320       321,309       314,419  
Freddy’s Acquisition, LP (Freddy’s Frozen Custard, LLC)
(10)
  LP Interests   Consumer Non-Cyclical       03/03/2021     72,483       72,483       134,131  
8x8, Inc.
(8) (10) (12)
  Common Units   Digital Infrastructure & Services             7,886       170,890       32,885  
Avant Communications, LLC
(10) (11)
  Class A   Digital Infrastructure & Services       11/30/2021     236,307       236,307       308,501  
MSP Global Holdings,
Inc.
(10)
  Class A   Digital Infrastructure & Services       01/24/2022     333,937       61,110       77,736  
NEPCORE Parent Holdings, LLC
(10)
  Class A   Digital Infrastructure & Services       10/21/2021     98       97,884       93,292  
Nepcore Parent Holdings,
LLC (Coretelligent Intermediate,
LLC)
(10)
  LLC Units   Digital Infrastructure & Services       10/21/2021     396,513       439,931       337,007  
Race Hometown Purchaser, LLC
(10)
  Class A   Digital Infrastructure & Services       01/09/2023     705,827       705,827       705,309  
Thrive Parent, LLC
(10)
  Class L   Digital Infrastructure & Services       01/22/2021     100,219       263,195       418,515  
Advantage AVP Parent Holdings, L.P. (Medical Management Resource Group,
LLC)
(10)
  Class B   Healthcare & HCIT       09/30/2021     34,492       34,492       38,270  
American Outcomes Management,
L.P.
(10) (11)
  Class A   Healthcare & HCIT       02/17/2022     290,393       290,393       507,422  
Community Based Care Holdings, LP
(10)
  LP Interests   Healthcare & HCIT       01/03/2022     179       178,916       189,363  
GSV MedSuite Investments, LLC (Millin Purchaser, LLC)
(10)
  Class A   Healthcare & HCIT       03/31/2022     86,555       86,555       77,989  
Health
Platform
Group, Inc
(10)
  Earn Out   Healthcare & HCIT       10/31/2020     16,502                    
INH Group Holdings,
Inc.
(10)
  Class A   Healthcare & HCIT       01/31/2019     484,552       484,552       7,227  
RCFN Parent, LP (People’s Care)
(10)
  Class A   Healthcare & HCIT       06/18/2021     77       78,284       91,844  
REP Coinvest III AGP Blocker, L.P. (Agape Care Group)
(10)
  LP Interests   Healthcare & HCIT       10/14/2021     590,203       590,203       938,933  
Brightspot Holdco, LLC
(10)
  LLC Units   Software & Tech Services       11/16/2021     433,207       433,207       436,801  
GSV Vehlo Investments,
LLC (Vehlo Purchaser, LLC)
(10)
  Class A   Software & Tech Services       05/24/2022     150,297       150,297       160,591  
Human Security
(10)
  Common Shares   Software & Tech Services       07/29/2022     329,116       953,133       920,228  
Moon Topco, L.P. (Radiant Logic,
Inc.)
(10)
  Class A   Software & Tech Services       04/21/2021     3,600       35,999       51,351  
Mykaarma Acquisition
LLC
(10)
  Class A   Software & Tech Services       03/21/2022     257,031       257,031       283,338  
Ranger Lexipol Holdings, LLC
(10)
  Class A   Software & Tech Services       11/18/2021     433       355,837       417,885  
Ranger Lexipol Holdings, LLC
(10)
  Class B   Software & Tech Services       11/18/2021     433       77,371       166,703  
REP Coinvest III Tec, L.P. (American Safety Holdings Corp.)
(10)
  LP Interests   Software & Tech Services       06/18/2020     167,509       190,658       258,928  
Samsara Networks,
Inc.
(8) (10) (12)
  Class A   Software & Tech Services             33,451       369,998       659,654  
Stripe, Inc.
(10)
  Class B   Software & Tech Services       05/17/2021     4,158       166,854       83,202  
Swyft Parent Holdings LP
(10) (11)
  LP Interests   Software & Tech Services       02/07/2022     4,485       53,049       90,029  
REP Coinvest
III-A
Omni,
L.P. (Omni Logistics,
LLC)
(10)
  LP Interests   Transport & Logistics       02/05/2021     193,770       53,301       371,508  
REP RO Coinvest IV A Blocker (Road
One)
(10)
  Class A   Transport & Logistics       12/28/2022     66,441,840       664,418       664,418  
                           
 
 
   
 
 
 
Total U.S. Common Stock
                     
 
7,873,484
 
 
 
8,837,479
 
U.S. Warrants
- 0.19%
                                   
SBS Ultimate Holdings, LP, expire 09/18/2030
(10)
  Class A   Healthcare & HCIT       09/18/2020     17,419                    
Alphasense, Inc., expire 05/29/2027
(8) (10)
  Series B   Software & Tech Services       06/02/2020     40,394       35,185       574,052  
Degreed, Inc., expire 04/11/2028
(10)
  Series D   Software & Tech Services       04/11/2021     7,624                18,936  
Degreed, Inc., expire 05/31/2026
(10)
  Series C -1   Software & Tech Services       05/31/2019     26,294       46,823       118,877  
Degreed, Inc., expire 08/18/2029
(10)
  Common Shares   Software & Tech Services       08/18/2022     9,374                48,893  
ScyllaDB, Inc., expire 09/08/2032
(10)
  Series C-1   Software & Tech Services       09/08/2022     239,984       43,880       39,829  
Vectra AI, Inc., expire 03/18/2031
(10)
  Series F   Software & Tech Services       03/18/2021     35,156       58,189       83,150  
                           
 
 
   
 
 
 
Total U.S. Warrants
                     
 
184,077
 
 
 
883,737
 
United Kingdom Warrants
- 0.05%
                                   
GlobalWebIndex, Inc., expire 12/30/2027
(10)
  Preferred Units   Software & Tech Services       12/30/2020     8,832       159,859       $212,964  
                           
 
 
   
 
 
 
             
Total United Kingdom Warrants
                     
 
159,859
 
 
 
212,964
 
 
See Notes to Unaudited Consolidated Financial Statements
 
17

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of March 31, 2023 (continued)
(Unaudited)
 
Portfolio Company
 
Class/Series
             
  Shares   
   
Cost
   
   Fair Value   
 
Investment Companies
- 1.23%
                                   
Orangewood WWB Co-Invest,

L.P.
(10) (13)
  LP Interests                 829,314     $ 829,314     $ 995,177  
ORCP III Triton
Co-Investors,

L.P.
(10) (13)
  LP Interests                 341,592       98,394       420,500  
AB Equity Investors,
L.P.
(10) (13)
  LP Interests                 984,786       984,786       1,153,127  
Falcon
Co-Investment
Partners, L.P.
(10) (13)
  LP Interests                 812,734       812,734       813,547  
GHP E Aggregator,
LLC
(10) (13)
  LLC Units                 417,813       186,588       618,363  
GHP SPV 2,
L.P.
(8) (10) (13)
  LP Interests                 271,942       271,942       262,968  
Magenta Blocker Aggregator,
LP
(10) (13)
  Class A                 821,396       676,978       1,191,846  
Palms
Co-Investment
Partners, L.P.
(10) (13)
  LP Interests                 261,449       261,449       261,449  
                           
 
 
   
 
 
 
Total Investment Companies
                     
 
4,122,185
 
 
 
5,716,977
 
TOTAL INVESTMENTS - 254.06%
(14)
                     
$
1,198,535,419
 
 
$
1,179,343,662
 
                           
 
 
   
 
 
 
               
Portfolio Company
     
Industry
         
Shares
   
Cost
   
Fair Value
 
Cash Equivalents
- 11.77%
                                       
             
U.S. Investment Companies
-
11.77
%
                                   
Blackrock T
Fund I
(12) (15)
  Money Market   Money Market Portfolio   4.70%
(16)
        54,222,698     $ 54,222,698     $ 54,222,698  
State Street Institutional US Government Money Market Fund
(12) (15)
  Money Market   Money Market Portfolio   4.70%
(16)
        407,419       407,419       407,419  
                           
 
 
   
 
 
 
Total U.S. Investment Companies
                     
 
54,630,117
 
 
 
54,630,117
 
                           
 
 
   
 
 
 
Total Cash Equivalents
                     
 
54,630,117
 
 
 
54,630,117
 
               
LIABILITIES IN EXCESS OF OTHER ASSETS - (165.83%)
                                 
$
(769,782,315
                                   
 
 
 
NET ASSETS - 100.00%
                                 
$
464,191,464
 
                                   
 
 
 
 
(++)
 
Unless otherwise indicated, all securities represent
co-investments
made with the Fund’s affiliates in accordance with the terms of the exemptive relief received from the U.S. Securities and Exchange Commission. See Note 3 “Related Party Transactions”.
+
 
As of March 31, 2023, qualifying assets represented 96.52% of total assets. Under the 1940 Act we may not acquire any
non-qualifying
assets unless, at the time the acquisition is made, qualifying assets represent at least 70% of our total assets.
*
 
Unless otherwise indicated, all securities are valued using significant unobservable inputs, which are categorized as Level 3 assets under the definition of Financial Accounting Standards Board’s Accounting Standards Codification 820 fair value hierarchy.
#
 
Percentages are based on net assets.
^
 
Generally, the interest rate on floating interest rate investments is at benchmark rate plus spread. The borrower has an option to choose the benchmark rate, such as the London Interbank Offered Rate (“LIBOR”), Secured Overnight Financing Rate including adjustment, if any (“SOFR”) or the U.S. Prime rate. The spread may change based on the type of rate used. The terms in the Consolidated Schedule of Investments disclose the actual interest rate in effect as of the reporting period. LIBOR and SOFR loans are typically indexed to
30-day,
60-day,
90-day
or
180-day
rates (1M, 3M or 6M, respectively) at the borrower’s option.
LIBOR and SOFR loans may be subject to interest floors. As of March 31, 2023, rates for weekly 1M L, 3M L 6M L, 1M S, 3M S and 6M S are 4.86%, 5.19%, 5.31%, 4.80%, 4.91% and 4.90%, respectively. As of March 31, 2023, the U.S. Prime rate was 8.00%.
^^
 
Controlled affiliated investment. See Note 3 “Related Party Transactions”.
(1)
 
Position, or a portion thereof, has been segregated to collateralize ABPCI Direct Lending Fund CLO VI Ltd.
(2)
 
Position, or a portion thereof, has been segregated to collateralize ABPCIC Funding II, LLC.
(3)
 
Position, or a portion thereof, has been segregated to collateralize ABPCIC Funding III, LLC.
(4)
 
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The unfunded loan commitment may be subject to a commitment termination date, that may expire prior to the maturity date stated. See Note 6 “Commitments and Contingencies”.
(5)
 
The negative cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan. The negative fair value is the result of the capitalized discount on the loan.
(6)
 
This investment has multiple reference rates or alternate base rates. The
All-in
interest rate shown is the weighted average interest rate in effect at March 31, 2023.
(7)
 
The investment is on
non-accrual
status. See Note 2 “Significant Accounting Policies.”
(8)
 
Positions considered
non-qualified
assets therefore excluded from the qualifying assets calculation as noted in footnote + above.
(9)
 
Securities exempt from registration under the Securities Act of 1933, and may be deemed to be “restricted securities”. As of March 31, 2023, the aggregate fair value of these securities is $18,652,582 or 4.02% of the Fund’s net assets. The initial acquisition dates have been included for such securities.
(10)
 
Non-income
producing investment.
(11)
 
Position or portion thereof is held through a consolidated subsidiary.
(12)
 
Categorized as Level 1 assets under the definition of ASC 820 fair value hierarchy.
(13)
 
Excluded from the ASC 820 fair value hierarchy as fair value is measured using the net asset value per share practical expedient.
(14)
 
Aggregate gross unrealized appreciation for federal income tax purposes is $8,894,947; aggregate gross unrealized depreciation for federal income tax purposes is $28,086,704. Net unrealized depreciation is $19,191,757 based upon a tax cost basis of $1,198,535,419.
(15)
 
Included within ‘Cash and cash equivalents’ on the Consolidated Statements of Assets and Liabilities.
(16)
 
The rate shown is the annualized
seven-day
yield as of March 31, 2023.
 
L -   LIBOR
P -   Prime
PIK -  
Payment-In-Kind
S -   SOFR
 
See Notes to Unaudited Consolidated Financial Statements
 
18

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
Investments at Fair Value
—245.69% (++) + * # ^
 
 
U.S. Corporate Debt
—236.64%
 
 
1st Lien/Senior Secured Debt
—234.31%
 
 
AmerCareRoyal, LLC
(1)
  Business Services   Delayed Draw Term Loan   9.98% (S + 5.00%; 0.50% PIK; 1.00% Floor)   11/25/2025   $ 496,745     $ 489,122     $ 488,052  
AmerCareRoyal, LLC
(2)
  Business Services   Term Loan   9.98% (L + 5.00%; 0.50% PIK; 1.00% Floor)   11/25/2025     511,273       499,144       502,326  
AmerCareRoyal, LLC
(1)
  Business Services   Term Loan   9.98% (L + 5.00%; 0.50% PIK; 1.00% Floor)   11/25/2025     4,118,091       4,014,301       4,046,024  
Cerifi, LLC
(3) (4)
  Business Services   Revolver   10.07% (S + 5.75%; 1.00% Floor)   04/01/2027              (19,595     (33,234
Cerifi, LLC
(2) (5)
  Business Services   Term Loan   10.07% (S + 5.75%; 1.00% Floor)   03/31/2028     16,066,537       15,771,511       15,584,541  
Engage2Excel, Inc.
(3) (6)
  Business Services   Revolver   10.63% (L + 7.25%; 1.00% Floor)   03/07/2023     351,629       350,588       341,095  
Engage2Excel, Inc.
(1)
  Business Services   Term Loan   11.98% (L + 7.25%; 1.00% Floor)   03/07/2023     1,026,967       1,025,881       998,726  
Engage2Excel, Inc.
(1)
  Business Services   Term Loan   11.98% (L + 7.25%; 1.00% Floor)   03/07/2023     2,959,179       2,956,519       2,877,801  
Metametrics, Inc.
(3)
  Business Services   Revolver   9.77% (L + 5.00%; 1.00% Floor)   09/10/2025     130,237       124,316       122,097  
Metametrics, Inc.
(1) (2)
  Business Services   Term Loan   9.73% (L + 5.00%; 1.00% Floor)   09/10/2025     4,731,059       4,683,677       4,671,920  
MSM Acquisitions, Inc.
(3)
  Business Services   Delayed Draw Term Loan   10.75% (L + 6.00%; 1.00% Floor)   12/09/2026     368,247       355,038       240,389  
MSM Acquisitions, Inc.
(2)
  Business Services   Delayed Draw Term Loan   10.75% (L + 6.00%; 1.00% Floor)   12/09/2026     3,005,143       2,961,347       2,869,912  
MSM Acquisitions, Inc.
(3) (6)
  Business Services   Revolver   12.50% (P + 5.00%; 1.00% Floor)   12/09/2026     569,646       553,338       514,519  
MSM Acquisitions,
Inc.
(1) (2) (5)
  Business Services   Term Loan   10.75% (L + 6.00%; 1.00% Floor)   12/09/2026     8,212,239       8,108,554       7,842,688  
Rep Tec Intermediate Holdings, Inc.
(3)
  Business Services   Revolver   11.23% (L + 6.50%; 1.00% Floor)   12/01/2027     302,547       293,240       276,896  
Rep Tec Intermediate Holdings, Inc.
(1) (2) (5)
  Business Services   Term Loan   11.23% (L + 6.50%; 1.00% Floor)   12/01/2027     14,568,787       14,390,788       14,095,301  
Sako and Partners Lower Holdings LLC
(3)
  Business Services   Delayed Draw Term Loan   10.73% (S + 6.00%; 1.00% Floor)   09/15/2028     710,250       649,364       665,859  
Sako and Partners Lower Holdings LLC
(3)
  Business Services   Revolver   10.73% (S + 6.00%; 1.00% Floor)   09/15/2028     337,369       301,842       303,188  
Sako and Partners Lower Holdings LLC
(1) (2) (5)
  Business Services   Term Loan   10.73% (S + 6.00%; 1.00% Floor)   09/15/2028     14,915,247       14,488,923       14,505,078  
Valcourt Holdings II,
LLC
(1) (3)
  Business Services   Delayed Draw Term Loan   9.87% (S + 5.25%; 1.00% Floor)   01/07/2027     1,436,481       1,416,480       1,436,481  
Valcourt Holdings II, LLC
(2)
  Business Services   Term Loan   9.98% (S + 5.25%; 1.00% Floor)   01/07/2027     2,641,197       2,603,425       2,641,197  
Valcourt Holdings II,
LLC
(1) (2)
  Business Services   Term Loan   9.98% (S + 5.25%; 1.00% Floor)   01/07/2027     6,279,095       6,191,332       6,279,095  
Valcourt Holdings II, LLC
(2)
  Business Services   Term Loan   9.98% (S + 5.25%; 1.00% Floor)   01/07/2027     1,155,228       1,135,675       1,155,228  
AEG Holding Company,
Inc.
(1)
  Consumer Discretionary   Delayed Draw Term Loan   10.23% (L + 5.50%; 1.00% Floor)   11/20/2023     1,045,702       1,042,174       1,045,702  
AEG Holding Company,
Inc.
(3)
  Consumer Discretionary   Revolver   9.89% (L + 5.50%; 1.00% Floor)   11/20/2023     446,746       442,684       446,746  
AEG Holding Company,
Inc.
(1)
  Consumer Discretionary   Term Loan   10.23% (L + 5.50%; 1.00% Floor)   11/20/2023     5,512,963       5,493,673       5,512,963  
AEG Holding Company,
Inc.
(5)
  Consumer Discretionary   Term Loan   10.23% (L + 5.50%; 1.00% Floor)   11/20/2023     1,819,685       1,811,922       1,819,685  
Ampler QSR Holdings,
LLC
(2) (5)
  Consumer Non-Cyclical   Term Loan   10.60% (L + 5.875%; 1.00% Floor)   07/21/2027     12,346,801       12,157,380       11,451,658  
Blink Holdings, Inc.
  Consumer Non-Cyclical   Delayed Draw Term Loan   12.73% (L + 5.50%; 2.50% PIK; 1.00% Floor)   11/08/2024     906,057       902,381       776,944  
Blink Holdings, Inc.
(1)
  Consumer Non-Cyclical   Delayed Draw Term Loan   12.73% (L + 5.50%; 2.50% PIK; 1.00% Floor)   11/08/2024     1,129,978       1,125,457       968,956  
Blink Holdings, Inc.
(1)
  Consumer Non-Cyclical   Term Loan   12.73% (L + 5.50%; 2.50% PIK; 1.00% Floor)   11/08/2024     1,579,576       1,573,226       1,354,486  
Freddy’s Frozen Custard, L.L.C
(3) (4)
  Consumer Non-Cyclical   Revolver   9.73% (L + 5.00%; 1.00% Floor)   03/03/2027              (3,622     (4,123
Freddy’s Frozen Custard, L.L.C
(2) (5)
  Consumer Non-Cyclical   Term Loan   9.73% (L + 5.00%; 1.00% Floor)   03/03/2027     4,856,991       4,814,117       4,808,421  
Krispy Krunchy Foods, L.L.C
(2)
  Consumer Non-Cyclical   Term Loan   9.17% (S + 4.75%; 1.00% Floor)   11/17/2027     9,419,615       9,264,858       9,066,379  
Mathnasium LLC
(3)
  Consumer Non-Cyclical   Revolver   10.13% (L + 5.00%; 0.75% Floor)   11/15/2027     87,043       76,360       72,355  
Mathnasium LLC
(1) (2)
  Consumer Non-Cyclical   Term Loan   10.13% (L + 5.00%; 0.75% Floor)   11/15/2027     5,399,401       5,311,094       5,277,914  
MMP Intermediate, LLC
(3) (4)
  Consumer Non-Cyclical   Revolver   10.13% (L + 5.75%; 1.00% Floor)   02/15/2027              (9,184     (19,351
MMP Intermediate, LLC
(1) (2)
  Consumer Non-Cyclical   Term Loan   10.13% (L + 5.75%; 1.00% Floor)   02/15/2027     8,210,266       8,070,540       7,922,907  
PF Growth Partners, LLC
(1)
  Consumer Non-Cyclical   Term Loan   9.32% (S + 5.00%; 1.00% Floor)   07/11/2025     236,681       230,929       227,214  
PF Growth Partners, LLC
(1)
  Consumer Non-Cyclical   Term Loan   9.48% (S + 5.00%; 1.00% Floor)   07/11/2025     117,139       114,293       112,454  
PF Growth Partners, LLC
(1)
  Consumer Non-Cyclical   Term Loan   9.48% (S + 5.00%; 1.00% Floor)   07/11/2025     1,970,938       1,961,608       1,892,101  
TBG Food Acquisition
Corp
(3) (4)
  Consumer Non-Cyclical   Delayed Draw Term Loan   10.39% (L + 6.00%; 0.75% Floor)   12/25/2027              (8,824     (84,488
TBG Food Acquisition
Corp
(3) (4)
  Consumer Non-Cyclical   Revolver   10.39% (L + 6.00%; 0.75% Floor)   12/25/2027              (2,206     (21,122
TBG Food Acquisition
Corp
(1) (2)
  Consumer Non-Cyclical   Term Loan   10.39% (L + 6.00%; 0.75% Floor)   12/25/2027     6,534,645       6,480,001       6,011,873  
5 Bars, LLC
(3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   8.99% (L + 4.75%; 1.00% Floor)   09/27/2024     603,543       585,333       594,921  
5 Bars, LLC
(3) (4)
  Digital Infrastructure & Services   Revolver   9.14% (L + 4.75%; 1.00% Floor)   09/27/2024              (3,414     (1,617
5 Bars, LLC
(5)
  Digital Infrastructure & Services   Term Loan   9.14% (L + 4.75%; 1.00% Floor)   09/27/2024     4,742,121       4,715,064       4,730,266  
 
See Notes to Consolidated Financial Statements
 
19

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
Airwavz Solutions,
Inc
(3) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   9.23% (S + 4.50%; 1.00% Floor)   03/31/2027   $        $ (27,846   $ (40,796
Airwavz Solutions,
Inc
(3) (4)
  Digital Infrastructure & Services   Revolver   9.23% (S + 4.50%; 1.00% Floor)   03/31/2027              (9,752     (13,055
Airwavz Solutions, Inc
(5)
  Digital Infrastructure & Services   Term Loan   9.23% (S + 4.50%; 1.00% Floor)   03/31/2027     5,221,919       5,143,907       5,117,480  
Avant Communications,
LLC
(3) (4)
  Digital Infrastructure & Services   Revolver   10.23% (S + 5.50%; 1.00% Floor)   11/30/2026              (8,944         
Avant Communications,
LLC
(1) (2)
  Digital Infrastructure & Services   Term Loan   10.23% (S + 5.50%; 1.00% Floor)   11/30/2026     11,226,016       11,037,593       11,226,016  
Bridgepointe Technologies, LLC
(1) (3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.33% (S + 6.50%; 1.00% Floor)   12/31/2027     2,867,063       2,762,979       2,730,229  
Bridgepointe Technologies, LLC
(1) (2) (6)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.48% (S + 6.50%; 1.00% Floor)   12/31/2027     3,887,472       3,843,407       3,751,411  
Bridgepointe Technologies, LLC
(5)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.48% (S + 6.50%; 1.00% Floor)   12/31/2027     2,765,645       2,743,404       2,661,933  
Bridgepointe Technologies, LLC
(3) (4)
  Digital Infrastructure & Services   Revolver   10.48% (S + 6.50%; 1.00% Floor)   12/31/2027              (13,012     (29,156
Bridgepointe Technologies, LLC
(1) (2)
  Digital Infrastructure & Services   Term Loan   10.33% (S + 6.50%; 1.00% Floor)   12/31/2027     2,294,250       2,203,018       2,208,215  
Bridgepointe Technologies, LLC
(1) (2)
  Digital Infrastructure & Services   Term Loan   10.48% (S + 6.50%; 1.00% Floor)   12/31/2027     4,753,445       4,671,568       4,575,191  
Coretelligent Intermediate LLC
(2) (3)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.23% (L + 5.50%; 1.00% Floor)   10/21/2027     1,918,917       1,894,363       1,824,177  
Coretelligent Intermediate LLC
(3)
  Digital Infrastructure & Services   Revolver   12.00% (P + 4.50%; 1.00% Floor)   10/21/2027     126,642       111,317       91,816  
Coretelligent Intermediate LLC
(1) (2) (5)
  Digital Infrastructure & Services   Term Loan   10.23% (L + 5.50%; 1.00% Floor)   10/21/2027     7,948,819       7,852,631       7,730,226  
EvolveIP, LLC
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.54% (S + 5.50%; 1.00% Floor)   06/07/2025     111,106       110,897       108,051  
EvolveIP, LLC
(3)
  Digital Infrastructure & Services   Revolver   10.23% (S + 5.50%; 1.00% Floor)   06/07/2025     148,331       147,270       132,742  
EvolveIP, LLC
(1)
  Digital Infrastructure & Services   Term Loan   10.54% (S + 5.50%; 1.00% Floor)   06/07/2025     6,434,309       6,420,987       6,257,365  
Fatbeam, LLC
(3) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.14% (L + 5.75%; 1.00% Floor)   02/22/2026              (23,079     (8,048
Fatbeam, LLC
  Digital Infrastructure & Services   Revolver   9.97% (L + 5.75%; 1.00% Floor)   02/22/2026     643,849       634,618       640,630  
Fatbeam, LLC
(2) (5)
  Digital Infrastructure & Services   Term Loan   10.14% (L + 5.75%; 1.00% Floor)   02/22/2026     6,438,490       6,345,468       6,406,298  
Firstdigital Communications LLC
(3)
  Digital Infrastructure & Services   Revolver   8.69% (L + 4.25%; 0.75% Floor)   12/17/2026     412,549       387,223       345,113  
Firstdigital Communications LLC
(2) (5)
  Digital Infrastructure & Services   Term Loan   8.69% (L + 4.25%; 0.75% Floor)   12/17/2026     13,645,840       13,428,040       13,065,892  
FirstLight Holdco, Inc.
(1) (2)
  Digital Infrastructure & Services   Term Loan   8.38% (L + 4.00%; 1.00% Floor)   07/23/2025     6,195,183       6,042,729       5,947,376  
Greenlight Intermediate II,
Inc.
(3) (4)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.05% (S + 5.50%; 0.75% Floor)   06/01/2028              (66,688     (50,266
Greenlight Intermediate II,
Inc.
(1) (2)
  Digital Infrastructure & Services   Term Loan   10.05% (S + 5.50%; 0.75% Floor)   06/01/2028     5,331,605       5,230,201       5,238,302  
MBS Holdings, Inc.
(3) (4)
  Digital Infrastructure & Services   Revolver   10.13% (L + 5.75%; 1.00% Floor)   04/16/2027              (14,092     (38,967
MBS Holdings, Inc.
(1) (2) (5)
  Digital Infrastructure & Services   Term Loan   10.13% (L + 5.75%; 1.00% Floor)   04/16/2027     10,363,212       10,213,299       9,948,684  
MSP Global Holdings, Inc.
(3) (5)
  Digital Infrastructure & Services   Delayed Draw Term Loan   8.40% (S + 5.25%; 1.00% Floor)   01/25/2027     614,779       593,150       572,537  
MSP Global Holdings, Inc.
(3) (4)
  Digital Infrastructure & Services   Revolver   8.40% (S + 5.25%; 1.00% Floor)   01/25/2027              (12,111     (29,608
MSP Global Holdings, Inc.
(2) (5)
  Digital Infrastructure & Services   Term Loan   8.40% (S + 5.25%; 1.00% Floor)   01/25/2027     7,871,107       7,755,826       7,595,618  
NI Topco, Inc
(1)
  Digital Infrastructure & Services   Term Loan   10.48% (L + 5.75%; 0.75% Floor)   12/28/2028     1,230,554       1,204,841       1,190,561  
NI Topco, Inc
(2) (5)
  Digital Infrastructure & Services   Term Loan   10.48% (L + 5.75%; 0.75% Floor)   12/28/2028     6,639,365       6,507,375       6,423,586  
Single Digits, Inc.
(2)
  Digital Infrastructure & Services   Delayed Draw Term Loan   11.73% (L + 6.00%; 0.50% PIK; 1.00% Floor)   12/21/2023     599,248       597,286       507,863  
Single Digits, Inc.
(3) (4)
  Digital Infrastructure & Services   Revolver   11.23% (L + 6.00%; 0.50% PIK; 1.00% Floor)   12/21/2023              (821     (63,463
Single Digits, Inc.
(1)
  Digital Infrastructure & Services   Term Loan   11.23% (L + 6.00%; 0.50% PIK; 1.00% Floor)   12/21/2023     3,208,390       3,196,684       2,719,110  
Stratus Networks, Inc.
(3) (7)
  Digital Infrastructure & Services   Delayed Draw Term Loan   8.65% (L + 5.25%; 1.00% Floor)   12/15/2027     330,033       294,377       270,627  
Stratus Networks, Inc.
(3) (7)
  Digital Infrastructure & Services   Revolver   9.64% (L + 5.25%; 1.00% Floor)   12/15/2027     976,896       960,427       952,144  
 
See Notes to Consolidated Financial Statements
 
20

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
Stratus Networks, Inc.
(2) (7)
  Digital Infrastructure & Services   Term Loan   9.64% (L + 5.25%; 1.00% Floor)   12/15/2027   $ 7,920,781     $ 7,785,668     $ 7,722,762  
Thrive Buyer, Inc.
(1) (2)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.73% (L + 6.00%; 1.00% Floor)   01/22/2027     8,257,588       8,132,628       8,133,724  
Thrive Buyer, Inc.
(3)
  Digital Infrastructure & Services   Revolver   12.50% (P + 5.00%; 2.00% Floor)   01/22/2027     147,963       131,922       131,317  
Thrive Buyer, Inc.
(1) (2) (5)
  Digital Infrastructure & Services   Term Loan   10.73% (L + 6.00%; 1.00% Floor)   01/22/2027     11,765,473       11,599,744       11,588,991  
Towerco IV Holdings, LLC
(1) (2) (3) (6)
  Digital Infrastructure & Services   Delayed Draw Term Loan   8.69% (S + 4.25%; 1.00% Floor)   04/23/2026     18,094,038       17,893,436       17,776,414  
Transtelco Holding, Inc.
(2)
  Digital Infrastructure & Services   Term Loan   9.98% (L + 5.25%; 0.50% Floor)   03/26/2026     4,708,605       4,683,094       4,508,489  
Transtelco Holding,
Inc.
(1) (2) (5)
  Digital Infrastructure & Services   Term Loan   10.48% (L + 5.75%; 0.50% Floor)   03/26/2026     4,708,605       4,683,985       4,567,347  
Accelerate Resources Operating, LLC
(3) (4)
  Energy   Revolver   9.88% (L + 5.50%; 1.00% Floor)   02/24/2026              (4,437         
Accelerate Resources Operating, LLC
(1)
  Energy   Term Loan   9.88% (L + 5.50%; 1.00% Floor)   02/24/2026     3,684,022       3,644,714       3,684,022  
Foundation Risk Partners, Corp.
(3)
  Financials   Delayed Draw Term Loan   10.68% (S + 6.00%; 0.75% Floor)   10/30/2028     1,889,450       1,855,507       1,841,927  
Foundation Risk Partners, Corp.
(5)
  Financials   Delayed Draw Term Loan   10.68% (S + 6.00%; 0.75% Floor)   10/29/2028     2,122,119       2,108,360       2,084,982  
Foundation Risk Partners, Corp.
(3)
  Financials   Revolver   10.32% (S + 6.00%; 0.75% Floor)   10/29/2027     427,437       417,074       409,271  
Foundation Risk Partners, Corp.
(2)
  Financials   Term Loan   10.68% (S + 6.00%; 0.75% Floor)   10/30/2028     787,291       776,726       773,513  
Foundation Risk Partners, Corp.
(1) (2) (5)
  Financials   Term Loan   10.68% (S + 6.00%; 0.75% Floor)   10/29/2028     9,757,328       9,656,553       9,586,574  
Galway Borrower, LLC
(3) (4)
  Financials   Delayed Draw Term Loan   9.98% (L + 5.25%; 0.75% Floor)   09/29/2028              (324     (1,274
Galway Borrower, LLC
(3) (4)
  Financials   Revolver   9.98% (L + 5.25%; 0.75% Floor)   09/30/2027              (4,314     (11,492
Galway Borrower, LLC
(1) (2)
  Financials   Term Loan   9.98% (L + 5.25%; 0.75% Floor)   09/29/2028     4,251,002       4,193,362       4,070,335  
Higginbotham Insurance Agency, Inc.
(2) (3)
  Financials   Delayed Draw Term Loan   9.63% (L + 5.25%; 0.75% Floor)   11/25/2026     1,418,215       1,400,872       1,376,500  
Higginbotham Insurance Agency, Inc.
(1) (2) (5)
  Financials   Term Loan   9.63% (L + 5.25%; 0.75% Floor)   11/25/2026     8,043,274       7,963,283       7,922,625  
Peter C. Foy & Associates Insurance Services, LLC
(3) (5)
  Financials   Delayed Draw Term Loan   11.12% (S + 6.00%; 0.75% Floor)   11/01/2028     1,094,089       1,075,743       1,037,605  
Peter C. Foy & Associates Insurance Services, LLC
(1) (5)
  Financials   Delayed Draw Term Loan   11.12% (S + 6.00%; 0.75% Floor)   11/01/2028     5,929,510       5,878,970       5,662,682  
Peter C. Foy & Associates Insurance Services, LLC
(1)
  Financials   Term Loan   11.12% (S + 6.00%; 0.75% Floor)   11/01/2028     502,267       495,352       479,665  
RSC Acquisition, Inc.
  Financials   Delayed Draw Term Loan   10.05% (S + 5.50%; 0.75% Floor)   11/02/2026     1,858,816       1,847,931       1,798,405  
RSC Acquisition, Inc.
(3)
  Financials   Delayed Draw Term Loan   10.78% (S + 5.50%; 0.75% Floor)   10/30/2026     208,293       163,003       39,176  
Wealth Enhancement Group, LLC
(1) (8)
  Financials   Delayed Draw Term Loan   9.41% (S + 6.00%; 1.00% Floor)   10/04/2027     6,294,610       6,279,281       6,184,455  
Wealth Enhancement Group, LLC
(3) (8)
  Financials   Delayed Draw Term Loan   10.31% (S + 6.00%; 1.00% Floor)   10/04/2027     644,865       641,740       624,421  
Wealth Enhancement Group, LLC
(3) (4) (8)
  Financials   Revolver   9.41% (S + 6.00%; 1.00% Floor)   10/04/2027              (1,587     (8,004
AAH Topco, LLC
(1) (2) (3) (5)
  Healthcare & HCIT   Delayed Draw Term Loan   9.79% (L + 5.50%; 0.75% Floor)   12/22/2027     3,495,723       3,353,967       3,262,208  
AAH Topco, LLC
(3) (4)
  Healthcare & HCIT   Revolver   9.89% (L + 5.50%; 0.75% Floor)   12/22/2027              (13,145     (31,491
AAH Topco, LLC
(1) (2) (5)
  Healthcare & HCIT   Term Loan   9.89% (L + 5.50%; 0.75% Floor)   12/22/2027     6,485,381       6,369,535       6,225,966  
American Physician Partners, LLC
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   14.67% (S + 6.75%; 3.50% PIK; 1.00% Floor)   02/15/2023     210,956       207,763       198,310  
American Physician Partners, LLC
(1) (2)
  Healthcare & HCIT   Delayed Draw Term Loan   14.67% (S + 6.75%; 3.50% PIK; 1.00% Floor)   02/15/2023     1,044,619       1,033,760       885,314  
American Physician Partners, LLC
(3)
  Healthcare & HCIT   Revolver   14.67% (S + 6.75%; 3.50% PIK; 1.00% Floor)   02/15/2023     346,322       344,287       278,612  
American Physician Partners, LLC
  Healthcare & HCIT   Term Loan   14.67% (S + 6.75%; 3.50% PIK; 1.00% Floor)   02/15/2023     5,569,954       5,360,739       4,720,536  
American Physician Partners, LLC
(1) (2)
  Healthcare & HCIT   Term Loan   14.67% (S + 6.75%; 3.50% PIK; 1.00% Floor)   02/15/2023     2,223,081       2,143,812       1,884,061  
American Physician Partners, LLC
(2)
  Healthcare & HCIT   Term Loan   14.67% (S + 6.75%; 3.50% PIK; 1.00% Floor)   02/15/2023     1,197,659       1,156,370       1,015,016  
Analogic Corporation
(3)
  Healthcare & HCIT   Revolver   9.66% (L + 5.25%; 1.00% Floor)   06/22/2023     189,444       189,049       181,958  
Analogic Corporation
(1) (5)
  Healthcare & HCIT   Term Loan   9.66% (L + 5.25%; 1.00% Floor)   06/22/2024     2,074,722       2,063,433       2,002,107  
AOM Acquisition,
LLC.
(3) (4)
  Healthcare & HCIT   Revolver   9.48% (S + 4.75%; 1.00% Floor)   02/18/2027              (20,267     (9,140
AOM Acquisition,
LLC.
(1) (2)
  Healthcare & HCIT   Term Loan   9.48% (S + 4.75%; 1.00% Floor)   02/18/2027     7,052,170       6,932,469       6,999,279  
BAART Programs,
Inc.
(1) (3) (9)
  Healthcare & HCIT   Delayed Draw Term Loan   9.73% (L + 5.00%; 1.00% Floor)   06/11/2027     3,913,117       3,859,734       3,596,122  
BAART Programs,
Inc.
(1) (2) (9)
  Healthcare & HCIT   Term Loan   9.73% (L + 5.00%; 1.00% Floor)   06/11/2027     4,721,880       4,688,869       4,497,591  
 
See Notes to Consolidated Financial Statements
 
21

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
BV EMS Buyer, Inc.
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.18% (S + 5.75%; 1.00% Floor)   11/23/2027   $ 764,792     $ 703,741     $ 641,249  
BV EMS Buyer, Inc.
(2)
  Healthcare & HCIT   Term Loan   10.17% (S + 5.75%; 1.00% Floor)   11/23/2027     3,520,986       3,420,849       3,397,752  
Caregiver 2, Inc.
(2)
  Healthcare & HCIT   Delayed Draw Term Loan   10.01% (L + 5.25%; 1.00% Floor)   07/24/2025     1,558,643       1,537,782       1,469,021  
Caregiver 2, Inc.
(5)
  Healthcare & HCIT   Term Loan   10.01% (L + 5.25%; 1.00% Floor)   07/24/2025     4,672,010       4,621,799       4,403,370  
Caregiver 2, Inc.
(5)
  Healthcare & HCIT   Term Loan   10.01% (L + 5.25%; 1.00% Floor)   07/24/2025     670,584       663,377       632,026  
Caregiver 2, Inc.
(2)
  Healthcare & HCIT   Term Loan   9.69% (L + 5.25%; 1.00% Floor)   07/24/2025     640,028       630,459       603,227  
Choice Health At Home, LLC,
(1) (3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.14% (L + 6.00%; 1.00% Floor)   12/29/2026     988,121       968,239       895,779  
Choice Health At Home,
LLC,
(1) (2)
  Healthcare & HCIT   Term Loan   10.14% (L + 6.00%; 1.00% Floor)   12/29/2026     2,677,708       2,644,479       2,557,211  
Coding Solutions Acquisition,
In
c
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   9.82% (S + 5.50%; 0.75% Floor)   05/11/2028           (15,076     (62,111
Coding Solutions Acquisition,
Inc
(3)
  Healthcare & HCIT   Revolver   9.82% (S + 5.50%; 0.75% Floor)   05/11/2028     159,072       145,189       121,292  
Coding Solutions Acquisition, I
nc
(2) (5)
  Healthcare & HCIT   Term Loan   9.82% (S + 5.50%; 0.75% Floor)   05/11/2028     5,516,636       5,417,625       5,254,596  
Community Based Care
Acquisition, Inc.
(2) (3)
  Healthcare & HCIT   Delayed Draw Term Loan   9.93% (S + 5.25%; 1.00% Floor)   09/16/2027     2,034,120       2,003,449       1,948,384  
Community Based Care
Acquisition, Inc.
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   9.93% (S + 5.75%; 1.00% Floor)   09/16/2027           (55,320     (87,363
Community Based Care
Acquisition, Inc.
(3) (4)
  Healthcare & HCIT   Revolver   9.93% (S + 5.25%; 1.00% Floor)   09/16/2027           (13,669     (34,553
Community Based Care
Acquisition, Inc.
(1) (2)
  Healthcare & HCIT   Term Loan   9.93% (S + 5.25%; 1.00% Floor)   09/16/2027     5,288,695       5,203,277       5,077,147  
Delaware Valley Management Holdings, Inc.
(10)
  Healthcare & HCIT   Delayed Draw Term Loan   — (L + 6.25%; 1.00% Floor)   03/21/2024     368,816       336,057       236,964  
Delaware Valley Management Holdings, Inc.
(3) (4) (10)
  Healthcare & HCIT   Delayed Draw Term Loan   — (L + 6.25%; 1.00% Floor)   03/21/2024     65,913       58,267       (178,955
Delaware Valley Management Holdings, Inc.
(10)
  Healthcare & HCIT   Revolver   — (L + 6.25%; 1.00% Floor)   03/21/2024     537,691       534,876       345,466  
Delaware Valley Management Holdings, Inc.
(10)
  Healthcare & HCIT   Term Loan   — (L + 6.25%; 1.00% Floor)   03/21/2024     3,457,825       3,438,961       2,221,653  
FH MD Buyer, Inc.
(1) (2)
  Healthcare & HCIT   Term Loan   9.38% (L + 5.00%; 0.75% Floor)   07/22/2028     5,465,408       5,417,025       5,246,792  
GHA Buyer, Inc.
(2)
  Healthcare & HCIT   Delayed Draw Term Loan   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     810,317       801,655       775,879  
GHA Buyer, Inc.
(3) (4)
  Healthcare & HCIT   Revolver   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026           (4,821     (40,421
GHA Buyer, Inc.
(1)
  Healthcare & HCIT   Term Loan   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     1,955,034       1,947,826       1,871,945  
GHA Buyer, Inc.
(1) (5)
  Healthcare & HCIT   Term Loan   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     5,347,734       5,290,225       5,120,455  
GHA Buyer, Inc.
(1)
  Healthcare & HCIT   Term Loan   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     725,344       714,335       694,517  
GHA Buyer, Inc.
(5)
  Healthcare & HCIT   Term Loan   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     4,630,385       4,575,902       4,433,594  
GHA Buyer, Inc.
(1)
  Healthcare & HCIT   Term Loan   12.98% (S + 4.50%; 3.75% PIK; 1.00% Floor)   06/24/2026     558,835       552,492       535,085  
Honor HN Buyer, Inc
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.48% (S + 6.00%; 1.00% Floor)   10/15/2027           (22,762      
Honor HN Buyer, Inc
(2) (3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.48% (S + 5.75%; 1.00% Floor)   10/15/2027     762,672       743,223       758,541  
Honor HN Buyer, Inc
(3) (4)
  Healthcare & HCIT   Revolver   10.48% (S + 5.75%; 1.00% Floor)   10/15/2027           (4,878     (2,281
Honor HN Buyer, Inc
(1) (2)
  Healthcare & HCIT   Term Loan   10.48% (S + 5.75%; 1.00% Floor)   10/15/2027     2,616,861       2,574,759       2,597,235  
Medbridge Holdings,
LLC
(3) (4)
  Healthcare & HCIT   Revolver   10.73% (S + 6.00%; 1.00% Floor)   12/23/2026           (18,403     (30,965
Medbridge Holdings, LLC
(1)
  Healthcare & HCIT   Term Loan   10.73% (S + 6.00%; 1.00% Floor)   12/23/2026     974,356       957,337       952,433  
Medbridge Holdings,
LLC
(1) (2)
  Healthcare & HCIT   Term Loan   10.73% (S + 6.00%; 1.00% Floor)   12/23/2026     15,367,872       15,156,980       15,022,094  
Medical Management Resource Group, LLC
(1)
  Healthcare & HCIT   Delayed Draw Term Loan   9.83% (L + 5.75%; 0.75% Floor)   09/30/2027     1,574,165       1,530,370       1,515,134  
Medical Management Resource Group,
LLC
(3) (4)
  Healthcare & HCIT   Revolver   10.16% (L + 5.75%; 0.75% Floor)   09/30/2026           (4,784     (11,866
Medical Management Resource Group, LLC
(2)
  Healthcare & HCIT   Term Loan   10.16% (L + 5.75%; 0.75% Floor)   09/30/2027     3,812,010       3,751,190       3,669,060  
Medsuite Purchaser,
LLC
(3) (4) (11)
  Healthcare & HCIT   Delayed Draw Term Loan   9.48% (S + 4.75%; 1.00% Floor)   10/22/2026           (41,080      
Medsuite Purchaser,
LLC
(3) (4) (11)
  Healthcare & HCIT   Revolver   9.48% (S + 4.75%; 1.00% Floor)   10/22/2026           (7,832     (5,103
Medsuite Purchaser,
LLC
(1) (2) (11)
  Healthcare & HCIT   Term Loan   9.48% (S + 4.75%; 1.00% Floor)   10/22/2026     4,782,533       4,727,484       4,746,664  
OMH-HealthEdge
Holdings,
LLC
(3) (4)
  Healthcare & HCIT   Revolver   10.03% (L + 5.25%; 1.00% Floor)   10/24/2024           (3,799     (1,147
OMH-HealthEdge
Holdings,
LLC
(2)
  Healthcare & HCIT   Term Loan   10.03% (L + 5.25%; 1.00% Floor)   10/24/2025     2,121,853       2,092,279       2,116,548  
OMH-HealthEdge
Holdings,
LLC
(2)
  Healthcare & HCIT   Term Loan   10.03% (L + 5.25%; 1.00% Floor)   10/24/2025     963,638       946,724       961,229  
 
See Notes to Consolidated Financial Statements
 
22

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
OMH-HealthEdge
Holdings, LLC
(1)
  Healthcare & HCIT   Term Loan   10.03% (L + 5.25%; 1.00% Floor)   10/24/2025   $ 3,661,451     $ 3,618,231     $ 3,652,297  
Pace Health Companies, LLC
(3) (4)
  Healthcare & HCIT   Revolver   9.23% (L + 4.50%; 1.00% Floor)   08/02/2024              (2,053     (1,542
Pace Health Companies, LLC
(1)
  Healthcare & HCIT   Term Loan   9.23% (L + 4.50%; 1.00% Floor)   08/02/2024     5,140,906       5,122,407       5,128,053  
Pinnacle Dermatology Management, LLC
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.55% (S + 5.75%; 0.75% Floor)   12/08/2028     462,795       449,342       421,791  
Pinnacle Dermatology Management, LLC
(3) (6)
  Healthcare & HCIT   Revolver   8.74% (L + 4.00%; 0.75% Floor)   12/08/2026     153,627       142,959       146,906  
Pinnacle Dermatology Management,
LLC
(1) (2) (5)
  Healthcare & HCIT   Term Loan   9.50% (L + 5.75%; 0.75% Floor)   12/08/2028     5,608,718       5,494,471       5,356,325  
Pinnacle Treatment Centers, Inc.
(2)
  Healthcare & HCIT   Delayed Draw Term Loan   10.57% (L + 6.50%; 1.00% Floor)   01/02/2026     343,635       342,065       335,904  
Pinnacle Treatment Centers, Inc.
(3) (4)
  Healthcare & HCIT   Revolver   10.57% (L + 6.50%; 1.00% Floor)   01/02/2026              (1,223     (6,591
Pinnacle Treatment Centers, Inc.
(5)
  Healthcare & HCIT   Term Loan   10.57% (L + 6.50%; 1.00% Floor)   01/02/2026     286,781       280,374       280,329  
Pinnacle Treatment Centers, Inc.
  Healthcare & HCIT   Term Loan   10.57% (L + 6.50%; 1.00% Floor)   01/02/2026     147,916       147,916       144,588  
Pinnacle Treatment Centers, Inc.
(2) (5)
  Healthcare & HCIT   Term Loan   10.57% (L + 6.50%; 1.00% Floor)   01/02/2026     4,086,076       4,086,076       3,994,140  
Priority Ondemand Midco 2,L.P
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.26% (S + 5.50%; 1.00% Floor)   07/17/2028              (22,041     (30,472
Priority Ondemand Midco 2,L.P
(1) (2)
  Healthcare & HCIT   Term Loan   10.26% (S + 5.50%; 1.00% Floor)   07/17/2028     7,617,883       7,493,551       7,465,525  
RCP Encore Acquisition, Inc.
(10)
  Healthcare & HCIT   Term Loan   — (L + 5.00%; 1.00% Floor)   06/07/2025     3,328,678       3,230,584       33,287  
Redwood Family Care Network, Inc.
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.23% (S + 5.50%; 1.00% Floor)   06/18/2026     681,697       590,071       573,016  
Redwood Family Care Network, Inc.
(1)
  Healthcare & HCIT   Delayed Draw Term Loan   10.23% (S + 5.50%; 1.00% Floor)   06/18/2026     5,829,798       5,748,005       5,684,053  
Redwood Family Care Network, Inc.
(3) (4)
  Healthcare & HCIT   Revolver   10.23% (S + 5.50%; 1.00% Floor)   06/18/2026              (8,245     (14,718
Redwood Family Care Network, Inc.
(5)
  Healthcare & HCIT   Term Loan   10.23% (S + 5.50%; 1.00% Floor)   06/18/2026     6,668,555       6,575,155       6,501,841  
Salisbury House, LLC
(3)
  Healthcare & HCIT   Revolver   9.24% (S + 5.00%; 1.00% Floor)   08/30/2025     179,337       173,206       162,524  
Salisbury House, LLC
(1) (2)
  Healthcare & HCIT   Term Loan   10.20% (S + 5.50%; 1.00% Floor)   08/30/2025     3,934,410       3,874,710       3,786,869  
Salisbury House, LLC
(1)
  Healthcare & HCIT   Term Loan   10.20% (S + 5.50%; 1.00% Floor)   08/30/2025     1,237,525       1,215,852       1,191,118  
Salisbury House, LLC
(1)
  Healthcare & HCIT   Term Loan   10.20% (S + 5.50%; 1.00% Floor)   08/30/2025     1,137,143       1,125,353       1,094,500  
Sandstone Care Holdings, LLC
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   9.69% (S + 5.50%; 1.00% Floor)   06/28/2028              (10,812     (26,502
Sandstone Care Holdings, LLC
(3)
  Healthcare & HCIT   Revolver   9.69% (S + 5.50%; 1.00% Floor)   06/28/2028     235,569       220,425       208,773  
Sandstone Care Holdings, LLC
(1) (5)
  Healthcare & HCIT   Term Loan   9.69% (S + 5.50%; 1.00% Floor)   06/28/2028     4,687,823       4,591,008       4,535,469  
SCA Buyer, LLC
(3)
  Healthcare & HCIT   Revolver   11.38% (S + 6.50%; 1.00% Floor)   01/20/2026     386,309       380,329       360,555  
SCA Buyer, LLC
(2)
  Healthcare & HCIT   Term Loan   11.38% (S + 6.50%; 1.00% Floor)   01/20/2026     3,795,490       3,759,075       3,643,671  
SIS Purchaser, Inc.
(3) (4)
  Healthcare & HCIT   Revolver   10.39% (L + 6.00%; 1.00% Floor)   10/15/2026              (12,996     (37,893
SIS Purchaser, Inc.
(2)
  Healthcare & HCIT   Term Loan   10.39% (L + 6.00%; 1.00% Floor)   10/15/2026     2,405,941       2,374,979       2,327,748  
SIS Purchaser, Inc.
(1) (2) (5)
  Healthcare & HCIT   Term Loan   10.39% (L + 6.00%; 1.00% Floor)   10/15/2026     12,568,947       12,422,981       12,160,456  
Smile Brands, Inc.
(5)
  Healthcare & HCIT   Delayed Draw Term Loan   7.87% (L + 4.50%; 0.75% Floor)   10/12/2025     482,953       481,469       445,524  
Smile Brands, Inc.
(3)
  Healthcare & HCIT   Revolver   11.00% (P + 3.50%; 0.75% Floor)   10/12/2025     88,025       87,613       68,277  
Smile Brands, Inc.
(1)
  Healthcare & HCIT   Term Loan   7.87% (L + 4.50%; 0.75% Floor)   10/12/2025     1,590,621       1,585,335       1,467,348  
Spark DSO LLC
(3) (4)
  Healthcare & HCIT   Revolver   9.99% (L + 6.25%; 1.00% Floor)   04/20/2026              (13,111     (38,702
Spark DSO LLC
(1) (2) (5)
  Healthcare & HCIT   Term Loan   9.99% (L + 6.25%; 1.00% Floor)   04/19/2026     7,274,395       7,188,032       7,019,791  
The Center for Orthopedic and Research Excellence, Inc.
(3)
  Healthcare & HCIT   Delayed Draw Term Loan   10.18% (S + 5.50%; 1.00% Floor)   08/15/2025     456,510       441,385       430,864  
The Center for Orthopedic and Research Excellence, Inc.
(2) (6)
  Healthcare & HCIT   Delayed Draw Term Loan   10.18% (S + 6.00%; 1.00% Floor)   08/15/2025     1,735,098       1,716,275       1,700,396  
The Center for Orthopedic and Research Excellence, Inc.
(1) (2)
  Healthcare & HCIT   Delayed Draw Term Loan   10.24% (S + 6.00%; 1.00% Floor)   08/15/2025     1,141,583       1,137,251       1,113,044  
The Center for Orthopedic and Research Excellence, Inc.
(3)
  Healthcare & HCIT   Revolver   10.56% (S + 6.00%; 1.00% Floor)   08/15/2025     552,426       546,948       535,162  
The Center for Orthopedic and Research Excellence, Inc.
(2)
  Healthcare & HCIT   Term Loan   10.41% (S + 6.00%; 1.00% Floor)   08/15/2025     3,232,332       3,186,733       3,151,523  
The Center for Orthopedic and Research Excellence, Inc.
(1) (5)
  Healthcare & HCIT   Term Loan   10.24% (S + 6.00%; 1.00% Floor)   08/15/2025     4,843,650       4,802,458       4,722,559  
West Dermatology
(3) (4)
  Healthcare & HCIT   Delayed Draw Term Loan   10.17% (S + 5.75%; 1.00% Floor)   03/17/2028              (33,915     (522,447
West Dermatology
(3) (4)
  Healthcare & HCIT   Revolver   10.17% (S + 5.75%; 1.00% Floor)   03/17/2028              (22,620     (186,588
West Dermatology
(1) (2) (5)
  Healthcare & HCIT   Term Loan   10.17% (S + 5.75%; 1.00% Floor)   03/17/2028     12,594,247       12,365,225       10,705,110  
Activ Software Holdings, LLC
(3) (4)
  Software & Tech Services   Revolver   11.79% (L + 6.25%; 1.00% Floor)   05/04/2027              (9,501     (21,087
Activ Software Holdings, LLC
(1) (2) (5)
  Software & Tech Services   Term Loan   11.79% (L + 6.25%; 1.00% Floor)   05/04/2027     7,988,807       7,871,886       7,729,171  
Admiral Buyer, Inc
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.08% (S + 5.50%; 0.75% Floor)   05/08/2028              (14,110     (15,770
 
See Notes to Consolidated Financial Statements
 
23

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Admiral Buyer, Inc
(3) (4)
  Software & Tech Services   Revolver   10.08% (S + 5.50%; 0.75% Floor)   05/08/2028   $        $ (10,084   $ (11,264
Admiral Buyer, Inc
(1)
  Software & Tech Services   Term Loan   10.08% (S + 5.50%; 0.75% Floor)   05/08/2028     5,842,640       5,738,028       5,725,787  
AMI US Holdings, Inc.
(3) (4)
  Software & Tech Services   Revolver   9.63% (L + 5.25%)   04/01/2024              (5,893         
AMI US Holdings, Inc.
(1)
  Software & Tech Services   Term Loan   9.63% (L + 5.25%; 1.00% Floor)   04/01/2025     8,007,035       7,938,572       8,007,035  
Avalara, Inc.
(3) (4)
  Software & Tech Services   Revolver   11.83% (S + 7.25%; 0.75% Floor)   10/19/2028              (25,767     (26,634
Avalara, Inc.
(2) (5)
  Software & Tech Services   Term Loan   11.83% (S + 7.25%; 0.75% Floor)   10/19/2028     10,653,748       10,396,078       10,387,404  
Avetta, LLC
(3) (4)
  Software & Tech Services   Revolver   10.16% (L + 5.75%; 1.00% Floor)   04/10/2024              (2,142     (2,472
Avetta, LLC
(2)
  Software & Tech Services   Term Loan   10.16% (L + 5.75%; 1.00% Floor)   04/10/2024     6,768,472       6,704,614       6,734,630  
Avetta, LLC
(1)
  Software & Tech Services   Term Loan   10.16% (L + 5.75%; 1.00% Floor)   04/10/2024     4,196,029       4,171,041       4,175,049  
Avetta, LLC
(1) (5)
  Software & Tech Services   Term Loan   10.16% (L + 5.75%; 1.00% Floor)   04/10/2024     3,187,003       3,161,068       3,171,068  
Bonterra, LLC
(3) (4) (12)
  Software & Tech Services   Delayed Draw Term Loan   10.98% (L + 6.25%; 0.75% Floor)   09/08/2027              (17,010     (68,655
Bonterra, LLC
(3) (12)
  Software & Tech Services   Revolver   10.98% (L + 6.25%; 0.75% Floor)   09/08/2027     428,359       414,759       390,927  
Bonterra, LLC
(1) (2) (5) (12)
  Software & Tech Services   Term Loan   10.98% (L + 6.25%; 0.75% Floor)   09/08/2027     15,595,728       15,416,612       15,088,867  
Brightspot Buyer, Inc
(3) (4)
  Software & Tech Services   Revolver   10.18% (S + 5.50%; 0.75% Floor)   11/16/2027              (11,138     (20,409
Brightspot Buyer, Inc
(2)
  Software & Tech Services   Term Loan   10.18% (S + 5.50%; 0.75% Floor)   11/16/2027     5,215,571       5,130,177       5,059,104  
BSI2 Hold Nettle, LLC
(3) (4)
  Software & Tech Services   Revolver   9.54% (S + 4.75%; 0.75% Floor)   06/30/2028              (8,123     (10,306
BSI2 Hold Nettle, LLC
(2) (5)
  Software & Tech Services   Term Loan   9.54% (S + 4.75%; 0.75% Floor)   06/30/2028     4,699,602       4,634,781       4,617,359  
BusinesSolver.com, Inc.
(3)
  Software & Tech Services   Delayed Draw Term Loan   9.88% (L + 5.50%; 0.75% Floor)   12/01/2027     169,881       160,968       120,219  
BusinesSolver.com, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.23% (L + 5.50%; 0.75% Floor)   12/01/2027     7,324,613       7,264,046       7,104,875  
Certify, Inc
  Software & Tech Services   Delayed Draw Term Loan   9.89% (L + 5.50%; 1.00% Floor)   02/28/2024     399,689       397,724       396,692  
Certify, Inc
(5)
  Software & Tech Services   Delayed Draw Term Loan   9.89% (L + 5.50%; 1.00% Floor)   02/28/2024     479,627       477,590       476,030  
Certify, Inc
(3)
  Software & Tech Services   Revolver   9.89% (L + 5.50%; 1.00% Floor)   02/28/2024     39,969       39,838       38,770  
Certify, Inc
(1) (2) (5)
  Software & Tech Services   Term Loan   9.89% (L + 5.50%; 1.00% Floor)   02/28/2024     3,916,954       3,897,691       3,887,577  
Community Brands Parentco, LLC
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.17% (S + 5.75%; 0.75% Floor)   02/24/2028              (7,196     (27,118
Community Brands Parentco, LLC
(3) (4)
  Software & Tech Services   Revolver   10.17% (S + 5.75%; 0.75% Floor)   02/24/2028              (7,201     (17,731
Community Brands Parentco, LLC
(1) (2)
  Software & Tech Services   Term Loan   10.17% (S + 5.75%; 0.75% Floor)   02/24/2028     7,039,335       6,915,224       6,740,163  
Datacor, Inc.
(3)
  Software & Tech Services   Delayed Draw Term Loan   10.09% (S + 5.75%; 1.00% Floor)   12/29/2025     1,113,561       1,084,969       1,100,835  
Datacor, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.33% (S + 5.75%; 1.00% Floor)   12/29/2025              (7,696     (9,658
Datacor, Inc.
(1) (2) (5)
  Software & Tech Services   Term Loan   10.33% (S + 5.75%; 1.00% Floor)   12/29/2025     13,841,011       13,618,560       13,633,396  
Degreed, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.92% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026              (4,052     (34,785
Degreed, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.92% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026              (11,955     (26,433
Degreed, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.92% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026              (1,544     (12,534
Degreed, Inc.
(2)
  Software & Tech Services   Term Loan   10.92% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026     2,793,161       2,776,565       2,709,367  
Degreed, Inc.
(1) (5)
  Software & Tech Services   Term Loan   10.92% (S + 5.50%; 1.00% PIK; 1.00% Floor)   05/29/2026     5,172,233       5,138,480       5,017,066  
Dispatch Track, LLC
(3) (4)
  Software & Tech Services   Revolver   8.86% (L + 4.50%; 1.00% Floor)   12/17/2026              (1,812     (3,019
Dispatch Track, LLC
(1) (2)
  Software & Tech Services   Term Loan   8.86% (L + 4.50%; 1.00% Floor)   12/17/2026     9,849,936       9,777,608       9,751,437  
Drilling Info Holdings, Inc.
(1)
  Software & Tech Services   Term Loan   8.63% (L + 4.25%)   07/30/2025     3,292,167       3,285,890       3,226,324  
EET Buyer, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.26% (L + 5.25%; 0.75% Floor)   11/08/2027              (11,261     (13,816
EET Buyer, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.26% (L + 5.25%; 0.75% Floor)   11/08/2027     6,856,127       6,744,365       6,719,005  
Exterro, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.27% (L + 5.50%; 1.00% Floor)   05/31/2024              (1,197     (1,238
Exterro, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.27% (L + 5.50%; 1.00% Floor)   05/31/2024     6,237,900       6,184,219       6,206,710  
Exterro, Inc.
(1) (2)
  Software & Tech Services   Term Loan   10.27% (L + 5.50%; 1.00% Floor)   05/31/2024     5,809,123       5,752,695       5,780,077  
Exterro, Inc.
(1)
  Software & Tech Services   Term Loan   10.27% (L + 5.50%; 1.00% Floor)   05/31/2024     2,793,450       2,779,059       2,779,483  
Faithlife, LLC
(1) (2)
  Software & Tech Services   Delayed Draw Term Loan   10.68% (S + 6.00%; 1.00% Floor)   09/18/2025     708,304       700,650       708,304  
Faithlife, LLC
(3) (4)
  Software & Tech Services   Revolver   10.68% (S + 6.00%; 1.00% Floor)   09/18/2025              (3,059         
Faithlife, LLC
(1) (2)
  Software & Tech Services   Term Loan   10.68% (S + 6.00%; 1.00% Floor)   09/18/2025     304,180       300,827       304,180  
Fusion Holding Corp
(3) (4)
  Software & Tech Services   Revolver   10.78% (S + 6.25%; 0.75% Floor)   09/15/2027              (29,257     (34,480
Fusion Holding Corp
(1) (2) (5)
  Software & Tech Services   Term Loan   10.78% (S + 6.25%; 0.75% Floor)   09/15/2029     16,895,061       16,530,288       16,472,685  
Fusion Risk Management Inc
(3) (4)
  Software & Tech Services   Revolver   11.40% (S + 6.50%; 1.00% Floor)   08/30/2028              (18,154     (29,850
Fusion Risk Management Inc
(1) (5)
  Software & Tech Services   Term Loan   11.40% (S + 6.50%; 1.00% Floor)   08/30/2028     8,610,210       8,428,666       8,308,852  
Genesis Acquisition Co.
(5)
  Software & Tech Services   Revolver   8.48% (L + 3.75%)   07/31/2024     202,400       201,292       196,834  
Genesis Acquisition Co.
(1) (2)
  Software & Tech Services   Term Loan   7.92% (L + 3.75%)   07/31/2024     1,360,788       1,352,870       1,323,367  
Greenhouse Software, Inc.
(3) (4)
  Software & Tech Services   Revolver   11.58% (S + 7.00%; 1.00% Floor)   09/01/2028              (19,492     (30,806
Greenhouse Software, Inc.
(3) (4)
  Software & Tech Services   Revolver   11.58% (S + 7.00%; 1.00% Floor)   09/01/2028              (14,303     (15,112
Greenhouse Software, Inc.
(2) (5)
  Software & Tech Services   Term Loan   11.58% (S + 7.00%; 1.00% Floor)   09/01/2028     12,376,845       12,179,502       12,067,424  
Greenhouse Software,
Inc.
(1) (2) (5)
  Software & Tech Services   Term Loan   11.58% (S + 7.00%; 1.00% Floor)   09/01/2028     14,507,975       14,164,695       14,145,275  
Gryphon-Redwood Acquisition LLC
(3)
(4)
  Software & Tech Services   Delayed Draw Term Loan   14.58% (S + 4.00%; 6.00% PIK; 1.00% Floor)   09/16/2028              (26,449     (35,685
 
See Notes to Consolidated Financial Statements
 
24

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Gryphon-Redwood Acquisition LLC
(1)
  Software & Tech Services   Term Loan   14.58% (S + 4.00%; 6.00% PIK; 1.00% Floor)   09/16/2028   $ 3,521,435     $ 3,463,723     $ 3,442,202  
GS AcquisitionCo, Inc.
(3) (4)
  Software & Tech Services   Revolver   9.92% (L + 5.75%; 1.00% Floor)   05/22/2026              (1,923     (18,268
GS AcquisitionCo,
Inc.
(1) (2) (5) (6)
  Software & Tech Services   Term Loan   9.92% (L + 5.75%; 1.00% Floor)   05/22/2026     9,479,087       9,448,353       9,099,923  
Iodine Software, LLC
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   11.42% (S + 7.00%; 1.00% Floor)   05/19/2027              (41,099     (25,771
Iodine Software, LLC
(2) (5)
  Software & Tech Services   Delayed Draw Term Loan   11.42% (S + 7.00%; 1.00% Floor)   05/19/2027     7,956,211       7,838,340       7,797,087  
Iodine Software, LLC
(3) (4)
  Software & Tech Services   Revolver   11.42% (S + 7.00%; 1.00% Floor)   05/19/2027              (16,085     (21,781
Iodine Software, LLC
(1) (2)
  Software & Tech Services   Term Loan   11.42% (S + 7.00%; 1.00% Floor)   05/19/2027     5,281,749       5,203,738       5,176,114  
Kaseya Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.33% (S + 5.75%; 0.75% Floor)   06/25/2029              (8,852     (19,103
Kaseya Inc.
(3) (4)
  Software & Tech Services   Revolver   10.33% (S + 5.75%; 0.75% Floor)   06/25/2029              (4,425     (23,879
Kaseya Inc.
(1) (2)
  Software & Tech Services   Term Loan   10.33% (S + 5.75%; 0.75% Floor)   06/25/2029     10,506,804       10,360,743       10,112,799  
Mavenlink, Inc.
(3)
  Software & Tech Services   Revolver   9.89% (L + 5.75%; 0.75% Floor)   06/03/2027     357,963       328,924       308,743  
Mavenlink, Inc.
(1) (2) (5)
  Software & Tech Services   Term Loan   9.14% (L + 5.75%; 0.75% Floor)   06/03/2027     15,034,451       14,790,523       14,621,004  
Moon Buyer, Inc.
  Software & Tech Services   Delayed Draw Term Loan   9.49% (L + 4.75%; 1.00% Floor)   04/21/2027     581,896       578,330       580,442  
Moon Buyer, Inc.
(3) (4)
  Software & Tech Services   Revolver   9.48% (L + 4.75%; 1.00% Floor)   04/21/2027              (12,657     (2,909
Moon Buyer, Inc.
(1) (2) (5)
  Software & Tech Services   Term Loan   9.48% (L + 4.75%; 1.00% Floor)   04/21/2027     6,304,848       6,236,280       6,289,086  
Mykaarma Acquisition LLC
(3) (4)
  Software & Tech Services   Revolver   10.88% (S + 3.00%; 3.75% PIK; 1.00% Floor)   03/21/2028              (10,357     (16,313
Mykaarma Acquisition LLC
(2) (5)
  Software & Tech Services   Term Loan   10.88% (S + 3.00%; 3.75% PIK; 1.00% Floor)   03/21/2028     6,103,707       5,997,612       5,935,855  
Navigate360, LLC
(2)
  Software & Tech Services   Delayed Draw Term Loan   10.33% (S + 6.00%; 1.00% Floor)   03/17/2027     1,808,174       1,786,326       1,772,010  
Navigate360, LLC
(3) (4)
  Software & Tech Services   Revolver   10.33% (S + 6.00%; 1.00% Floor)   03/17/2027              (10,211     (12,085
Navigate360, LLC
(2)
  Software & Tech Services   Term Loan   10.33% (S + 6.00%; 1.00% Floor)   03/17/2027     2,265,796       2,221,961       2,220,480  
Navigate360, LLC
(5)
  Software & Tech Services   Term Loan   10.33% (S + 6.00%; 1.00% Floor)   03/17/2027     4,197,924       4,125,548       4,113,965  
Netwrix Corporation And Concept Searching Inc.
(3)
  Software & Tech Services   Delayed Draw Term Loan   9.70% (S + 5.00%; 0.75% Floor)   06/11/2029     548,139       543,652       521,729  
Netwrix Corporation And Concept Searching
Inc.
(3) (4)
  Software & Tech Services   Revolver   9.70% (S + 5.00%; 0.75% Floor)   06/11/2029              (2,349     (7,748
Netwrix Corporation And Concept Searching
Inc.
(1) (2)
  Software & Tech Services   Term Loan   9.70% (S + 5.00%; 0.75% Floor)   06/11/2029     9,204,116       9,181,651       9,112,075  
Ping Identity
Corporation
(3) (4)
  Software & Tech Services   Revolver   11.32% (S + 7.00%; 0.75% Floor)   10/17/2028              (29,103     (30,084
Ping Identity
Corporation
(1) (2) (5)
  Software & Tech Services   Term Loan   11.32% (S + 7.00%; 0.75% Floor)   10/17/2029     12,033,445       11,741,078       11,732,609  
Ranger Buyer, Inc.
(3) (4)
  Software & Tech Services   Revolver   9.88% (L + 5.50%; 0.75% Floor)   11/18/2027              (19,742     (29,981
Ranger Buyer, Inc.
(1) (2) (5)
  Software & Tech Services   Term Loan   9.88% (L + 5.50%; 0.75% Floor)   11/17/2028     14,282,859       14,033,779       13,925,788  
Sauce Labs, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.31% (S + 5.50%; 0.50% PIK; 1.00% Floor)   08/16/2027              (21,889     (35,512
Sauce Labs, Inc.
(5)
  Software & Tech Services   Delayed Draw Term Loan   10.31% (S + 5.50%; 0.50% PIK; 1.00% Floor)   08/16/2027     1,925,189       1,895,279       1,877,059  
Sauce Labs, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.31% (S + 5.50%; 1.00% Floor)   08/16/2027              (19,953     (32,046
Sauce Labs, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.31% (S + 5.50%; 0.50% PIK; 1.00% Floor)   08/16/2027     7,504,362       7,377,979       7,316,753  
Saviynt, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   11.42% (S + 7.00%; 1.00% Floor)   12/22/2027              (151,721     (152,450
Saviynt, Inc.
(3) (4)
  Software & Tech Services   Revolver   11.42% (S + 7.00%; 1.00% Floor)   12/22/2027              (15,172     (15,245
Saviynt, Inc.
(2) (5)
  Software & Tech Services   Term Loan   11.42% (S + 7.00%; 1.00% Floor)   12/22/2027     18,293,942       17,838,779       17,836,593  
ScyllaDB, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.82% (S + 6.50%; 1.00% Floor)   09/08/2027              (3,101     (8,260
ScyllaDB, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.82% (S + 6.50%; 1.00% Floor)   09/08/2027              (2,481     (4,626
ScyllaDB, Inc.
(5)
  Software & Tech Services   Term Loan   10.82% (S + 6.50%; 1.00% Floor)   09/08/2027     2,643,348       2,577,310       2,597,089  
Securonix, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.10% (S + 6.50%; 0.75% Floor)   04/05/2028              (23,716     (69,225
Securonix, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.10% (S + 6.50%; 0.75% Floor)   04/05/2028     8,546,314       8,414,561       8,161,730  
Sirsi Corporation
(3) (4)
  Software & Tech Services   Revolver   8.88% (L + 4.50%; 1.00% Floor)   03/15/2024              (2,145     (2,769
Sirsi Corporation
(1) (2)
  Software & Tech Services   Term Loan   8.88% (L + 4.50%; 1.00% Floor)   03/15/2024     6,591,250       6,563,978       6,558,294  
Smartlinx Solutions, LLC
(3)
  Software & Tech Services   Revolver   10.48% (L + 5.75%; 1.00% Floor)   03/04/2026     129,871       127,080       114,286  
Smartlinx Solutions, LLC
  Software & Tech Services   Term Loan   10.48% (L + 5.75%; 1.00% Floor)   03/04/2026     493,137       484,961       478,342  
Smartlinx Solutions, LLC
(1) (2) (5)
  Software & Tech Services   Term Loan   10.48% (L + 5.75%; 1.00% Floor)   03/04/2026     5,620,327       5,559,389       5,451,717  
Soladoc, LLC
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.07% (S + 5.25%; 0.75% Floor)   06/12/2028              (21,438     (53,003
Soladoc, LLC
(3) (4)
  Software & Tech Services   Revolver   10.07% (S + 5.25%; 0.75% Floor)   06/12/2028              (10,724     (19,140
Soladoc, LLC
(1) (2)
  Software & Tech Services   Term Loan   10.07% (S + 5.25%; 0.75% Floor)   06/12/2028     5,889,225       5,781,986       5,697,825  
SugarCRM, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.88% (L + 6.50%; 1.00% Floor)   07/31/2024              (1,483     (4,654
SugarCRM, Inc.
(1) (5)
  Software & Tech Services   Term Loan   10.88% (L + 6.50%; 1.00% Floor)   07/31/2024     4,268,824       4,243,198       4,204,792  
Sundance Group Holdings, Inc.
(5)
  Software & Tech Services   Delayed Draw Term Loan   10.75% (S + 6.25%; 1.00% Floor)   07/02/2027     3,547,253       3,493,454       3,449,704  
Sundance Group Holdings, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.75% (S + 6.25%; 1.00% Floor)   07/02/2027              (21,522     (39,020
 
See Notes to Consolidated Financial Statements
 
25

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Sundance Group Holdings, Inc.
(2) (5)
 
Software & Tech Services
 
Term Loan
 
10.75% (S + 6.25%; 1.00% Floor)
 
07/02/2027
 
$
11,824,177
 
 
$
11,644,830
 
 
$
11,499,012
 
Sundance Group Holdings, Inc.
 
Software & Tech Services
 
Term Loan
 
10.93% (S + 6.25%; 1.00% Floor)
 
07/02/2027
 
 
463,790
 
 
 
450,131
 
 
 
451,036
 
Swiftpage, Inc.
(3) (4)
 
Software & Tech Services
 
Revolver
 
10.92% (S + 6.50%; 1.00% Floor)
 
06/13/2023
 
 
  
 
 
 
(414
 
 
(9,576
Swiftpage, Inc.
(2)
  Software & Tech Services   Term Loan   10.92% (S + 6.50%; 1.00% Floor)   06/13/2023     222,833       222,285       213,363  
Swiftpage, Inc.
(2)
  Software & Tech Services   Term Loan   10.92% (S + 6.50%; 1.00% Floor)   06/13/2023     2,420,745       2,416,550       2,317,863  
Sysnet North America, Inc.
(1) (2) (5)
  Software & Tech Services   Term Loan   11.50% (L + 5.00%; 1.00% Floor)   12/01/2026     8,862,217       8,790,246       8,552,039  
Telcor Buyer, Inc.
(3) (4)
  Software & Tech Services   Revolver   9.64% (L + 4.50%; 1.00% Floor)   08/20/2027              (3,400     (7,996
Telcor Buyer, Inc.
(1) (2)
  Software & Tech Services   Term Loan   9.64% (L + 4.50%; 1.00% Floor)   08/20/2027     9,304,625       9,195,815       9,048,748  
Telesoft Holdings, LLC
(3)
  Software & Tech Services   Revolver   10.14% (L + 5.75%; 1.00% Floor)   12/16/2025     49,739       43,024       36,309  
Telesoft Holdings,
LLC
(2) (5)
  Software & Tech Services   Term Loan   10.13% (L + 5.75%; 1.00% Floor)   12/16/2025     5,804,526       5,737,622       5,673,924  
TRGRP, Inc.
(3) (4)
  Software & Tech Services   Revolver   11.73% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023              (1,126         
TRGRP, Inc.
(2) (5)
  Software & Tech Services   Term Loan   11.73% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     5,052,223       5,025,591       5,052,223  
TRGRP, Inc.
(2)
  Software & Tech Services   Term Loan   11.73% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     2,370,051       2,355,364       2,370,051  
TRGRP, Inc.
(1)
  Software & Tech Services   Term Loan   11.73% (L + 4.50%; 2.50% PIK; 1.00% Floor)   11/01/2023     1,128,534       1,124,106       1,128,534  
Unanet, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.97% (S + 6.25%; 0.75% Floor)   12/08/2028              (37,535     (37,904
Unanet, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.97% (S + 6.25%; 0.75% Floor)   12/08/2028              (25,270     (25,270
Unanet, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.97% (S + 6.25%; 0.75% Floor)   12/08/2028     12,003,044       11,764,925       11,762,983  
Ungerboeck Systems International, LLC
(3)
  Software & Tech Services   Delayed Draw Term Loan   11.22% (L + 6.50%; 1.00% Floor)   04/30/2027     272,766       268,398       267,992  
Ungerboeck Systems International, LLC
(5)
  Software & Tech Services   Delayed Draw Term Loan   11.23% (L + 6.50%; 1.00% Floor)   04/30/2027     690,794       690,794       676,978  
Ungerboeck Systems International, LLC
(1)
  Software & Tech Services   Delayed Draw Term Loan   11.23% (L + 6.50%; 1.00% Floor)   04/30/2027     322,391       318,814       315,943  
Ungerboeck Systems International,
LLC
(3) (4)
  Software & Tech Services   Revolver   11.23% (L + 6.50%; 1.00% Floor)   04/30/2027              (3,012     (4,588
Ungerboeck Systems International, LLC
  Software & Tech Services   Term Loan   11.28% (L + 6.50%; 1.00% Floor)   04/30/2027     136,383       133,886       133,655  
Ungerboeck Systems International,
LLC
(2) (5)
  Software & Tech Services   Term Loan   11.23% (L + 6.50%; 1.00% Floor)   04/30/2027     2,717,277       2,687,154       2,662,931  
Vectra AI, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   10.49% (L + 5.75%; 1.00% Floor)   03/18/2026              (18,778     (34,914
Vectra AI, Inc.
(3) (4)
  Software & Tech Services   Revolver   10.49% (L + 5.75%; 1.00% Floor)   03/18/2026              (3,756     (6,983
Vectra AI, Inc.
(2) (5)
  Software & Tech Services   Term Loan   10.49% (L + 5.75%; 1.00% Floor)   03/18/2026     3,258,620       3,204,291       3,160,862  
Vehlo Purchaser,
LLC
(2) (5)
  Software & Tech Services   Delayed Draw Term Loan   9.98% (S + 5.00%; 0.75% Floor)   05/24/2028     6,195,183       6,133,560       6,148,719  
Vehlo Purchaser,
LLC
(3) (4)
  Software & Tech Services   Revolver   9.69% (S + 5.00%; 0.75% Floor)   05/24/2028              (16,782     (18,586
Vehlo Purchaser,
LLC
(1) (2) (5)
  Software & Tech Services   Term Loan   9.69% (S + 5.00%; 0.75% Floor)   05/24/2028     22,302,658       22,000,883       21,968,118  
Velocity Purchaser Corporation
(3) (4)
  Software & Tech Services   Revolver   10.24% (S + 6.00%; 1.00% Floor)   12/01/2023              (611     (483
Velocity Purchaser Corporation
(1)
  Software & Tech Services   Term Loan   10.24% (S + 6.00%; 1.00% Floor)   12/01/2023     2,412,446       2,405,375       2,406,415  
Velocity Purchaser Corporation
(1) (2)
  Software & Tech Services   Term Loan   10.24% (S + 6.00%; 1.00% Floor)   12/01/2023     4,765,411       4,735,630       4,753,497  
Velocity Purchaser Corporation
(1)
  Software & Tech Services   Term Loan   10.24% (S + 6.00%; 1.00% Floor)   12/01/2023     600,106       597,933       598,605  
Veracross LLC
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   11.23% (S + 2.00%; 5.00% PIK; 1.00% Floor)   12/28/2027              (13,965     (37,549
Veracross LLC
(3) (4)
  Software & Tech Services   Revolver   11.23% (S + 2.00%; 5.00% PIK; 1.00% Floor)   12/28/2027              (18,636     (36,158
Veracross LLC
(5)
  Software & Tech Services   Term Loan   11.23% (S + 2.00%; 5.00% PIK; 1.00% Floor)   12/28/2027     12,906,513       12,701,489       12,487,052  
Zendesk, Inc.
(3) (4)
  Software & Tech Services   Delayed Draw Term Loan   11.04% (S + 6.50%; 0.75% Floor)   11/22/2028              (32,741     (33,335
Zendesk, Inc.
(3) (4)
  Software & Tech Services   Revolver   11.04% (S + 6.50%; 0.75% Floor)   11/22/2028              (26,961     (27,453
Zendesk, Inc.
(2) (5)
  Software & Tech Services   Term Loan   11.04% (S + 6.50%; 0.75% Floor)   11/22/2028     13,334,101       13,072,194       13,067,419  
Dillon
Log
istics, Inc.
(10)
  Transport & Logistics   Revolver   — (P + 6.00%; 1.00% Floor)
12/11/2023     834,642       750,748       54,586  
Dillon Logistics,
Inc
.
(10)
  Transport & Logistics   Term Loan   — (L + 7.00%; 1.00% Floor) 12/11/2023     3,079,544       2,673,820       201,402  
                           
 
 
   
 
 
 
Total U.S. 1st Lien/Senior Secured Debt
             
 
1,097,596,835
 
 
 
1,070,520,769
 
 
2nd Lien/Junior Secured Debt
—2.33%
 
Conterra Ultra Broadband Holdings, Inc.
(1) (2)
  Digital Infrastructure & Services   Term Loan   13.01% (L + 8.50%; 1.00% Floor)   04/30/2027     6,537,710       6,476,655       6,521,366  
Brave Parent Holdings, Inc.
(1)
  Software & Tech Services   Term Loan   11.88% (L + 7.50%)   04/17/2026     1,230,107       1,216,529       1,199,354  
Symplr Software,
Inc.
(1) (2)
  Software & Tech Services   Term Loan   12.07% (S + 7.88%; 0.75% Floor)   12/22/2028     3,130,634       3,083,175       2,919,316  
                           
 
 
   
 
 
 
Total U.S. 2nd Lien/Junior Secured Debt
             
 
10,776,359
 
 
 
10,640,036
 
     
 
 
   
 
 
 
Total U.S. Corporate Debt
             
 
1,108,373,194
 
 
 
1,081,160,805
 
 
See Notes to Consolidated Financial Statements
 
26

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
            Industry            
 
        Facility Type        
 
                        Interest                    
 
  Maturity  
 
Funded

  Par Amount  
 
 
      Cost      
 
 
  Fair Value  
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
C
anadian Corporate Debt - 
3.87
%
1st Lien/Senior Secured Debt -
3.87%
McNairn Holdings
Ltd.
(1) (13)
  Business Services   Term Loan   9.98% (L + 5.00%; 0.50% PIK; 1.00% Floor)   11/25/2025   $ 739,507     $ 730,174     $ 726,566  
Syntax Systems
Ltd
(1) (2) (13)
  Digital Infrastructure & Services   Term Loan   10.13% (L + 5.75%; 0.75% Floor)   10/29/2028     8,773,543       8,699,024       8,334,866  
Syntax Systems
Ltd
(3) (13)
  Digital Infrastructure & Services   Revolver   10.04% (L + 5.75%; 0.75% Floor)   10/29/2026     649,103       641,599       600,420  
Syntax Systems
Ltd
(3) (4) (13)
  Digital Infrastructure & Services   Delayed Draw Term Loan   10.13% (L + 5.50%; 0.75% Floor)   10/29/2028              (20,396     (121,707
Banneker V Acquisition, Inc.
(2) (5) (13)
  Software & Tech Services   Term Loan   10.39% (L + 6.00%; 1.00% Floor)   12/04/2025     7,105,235       7,011,398       7,105,235  
Banneker V Acquisition, Inc.
(3) (4) (13)
  Software & Tech Services   Revolver   10.39% (L + 6.00%; 1.00% Floor)   12/04/2025              (3,068         
Banneker V Acquisition, Inc.
(2) (13)
  Software & Tech Services   Delayed Draw Term Loan   10.39% (L + 6.00%; 1.00% Floor)   12/04/2025     1,024,233       1,012,076       1,024,233  
                           
 
 
   
 
 
 
Total Canadian 1st Lien/Senior Secured Debt
             
 
18,070,807
 
 
 
17,669,613
 
                           
 
 
   
 
 
 
Total Canadian Corporate Debt
             
 
18,070,807
 
 
 
17,669,613
 
 
Portfolio Company
 
        Class/Series        
 
            Industry            
 
 
 
    Initial Acquisition Date 
(14)
   
 
      Shares      
 
 
      Cost      
 
 
  Fair Value  
 
U.S. Preferred Stock—2.02%
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
U
.S. Preferred Stock - 
2.02%
                               
Ntiva Investments, LLC (MSP Global Holdings, Inc)
(15)
  Class A   Digital Infrastructure & Services       01/24/2022     333,937     $ 272,826     $ 234,701  
Bowline Topco
LLC
^^(15) (16)
  LLC Units   Energy       08/09/2021     2,946,390                173,837  
SBS Ultimate Holdings, LP
(15)
  Class A   Healthcare & HCIT       09/18/2020     217,710       861,878       266  
Alphasense, Inc.
(13) (15)
  Series C   Software & Tech Services       06/01/2021     23,961       369,843       474,027  
Concerto Health AI Solutions, LLC
(15) (16)
  Series B-1   Software & Tech Services       12/23/2019     65,614       349,977       351,172  
Datarobot, Inc.
(15)
  Series F   Software & Tech Services       10/27/2020     6,715       88,248       80,863  
Datarobot, Inc.
(15)
  Series E   Software & Tech Services       08/30/2019     38,190       289,278       364,025  
Degreed, Inc.
(15)
  Series D   Software & Tech Services       04/30/2021     16,943       278,308       260,465  
Degreed, Inc.
(15)
  Series C-1   Software & Tech Services       06/25/2019     43,819       278,541       358,800  
Heap, Inc.
(15)
  Series D   Software & Tech Services       11/24/2021     17,425       147,443       148,351  
Heap, Inc.
(15)
  Series C   Software & Tech Services       05/21/2019     189,617       696,351       1,032,478  
Knockout Intermediate Holdings I, Inc. (Kaseya, Inc.)
(15)
  Perpetual   Software & Tech Services       06/23/2022     1,345       1,311,760       1,377,730  
Netskope, Inc.
(15)
  Series G   Software & Tech Services       01/27/2020     36,144       302,536       377,701  
Phenom People, Inc.
(15)
  Series C   Software & Tech Services       01/08/2020     35,055       220,610       444,061  
Protoscale Rubrik, LLC
(15)
  Class B   Software & Tech Services       01/04/2019     25,397       598,212       687,828  
Swyft Parent Holdings LP
(15) (16)
  LP Interests   Software & Tech Services       02/07/2022     850,470       811,438       840,825  
Symplr Software Intermediate Holdings, Inc.
(15)
  Series A   Software & Tech Services       11/30/2018     1,196       1,160,532       1,901,763  
Vectra AI, Inc
(15)
  Series F   Software & Tech Services       05/28/2021     17,064       131,095       109,329  
                           
 
 
   
 
 
 
Total U.S. Preferred Stock
                 
 
8,168,876
 
 
 
9,218,222
 
 
U.S. Common Stock - 
1.71%
 
Global Radar Holdings, LLC
(15) (16)
  Earn Out   Business Services       11/08/2022     125     $        $ 2,179  
AEG Holding Company, Inc.
(15)
  Class A   Consumer Discretionary       11/20/2017     320       321,309       338,179  
Freddy’s Acquisition, LP (Freddy’s Frozen Custard, LLC)
(15)
  LP Interests   Consumer Non-Cyclical       03/03/2021     72,483       72,483       122,100  
8x8, Inc.
(13) (15) (17)
  Common Units   Digital Infrastructure & Services             7,886       170,890       34,068  
Avant Communications, LLC
(15) (16)
  Class A   Digital Infrastructure & Services       11/30/2021     236,307       236,307       300,030  
NEPCORE Parent Holdings, LLC
(15)
  Class A   Digital Infrastructure & Services       10/21/2021     95       95,249       74,585  
 
See Notes to Consolidated Financial Statements
 
27

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
Class/Series
 
 
        Industry        
 
                                
 
Initial Acquisition Date 
(14)
 
Shares
 
 
Cost
 
 
Fair
Value
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Nepcore Parent Holdings, LLC (Coretelligent Intermediate, LLC)
(15)
  LLC Units   Digital Infrastructure & Services       10/21/2021     396,513       439,932     $ 332,454  
Ntiva Investments, LLC (MSP Global Holdings, Inc)
(15)
  Class A   Digital Infrastructure & Services       01/24/2022     333,937       61,111       52,571  
Thrive Parent, LLC
(15)
  Class L   Digital Infrastructure & Services       01/22/2021     100,219       263,195       406,456  
Advantage AVP Parent Holdings, L.P. (Medical Management Resource Group, LLC)
(15)
  Class B   Healthcare & HCIT       09/30/2021     34,492       34,492       38,533  
American Outcomes Management,
L.P.
(15) (16)
  Class A   Healthcare & HCIT       02/17/2022     290,393       290,393       515,299  
Community Based Care Holdings, LP
(15)
  LP Interests   Healthcare & HCIT       01/03/2022     179       178,916       191,113  
GSV MedSuite Investments, LLC (Millin Purchaser, LLC)
(15)
  Class A   Healthcare & HCIT       03/31/2022     86,555       86,555       81,204  
Health Platform Group, Inc
(15)
  Earn Out   Healthcare & HCIT       10/31/2020     16,502                    
INH Group Holdings, Inc.
(15)
  Class A   Healthcare & HCIT       01/31/2019     484,552       484,552       6,249  
RCFN Parent, LP (People’s Care)
(15)
  Class A   Healthcare & HCIT       06/18/2021     77       78,284       83,644  
REP Coinvest III AGP Blocker, L.P. (Agape Care Group)
(15)
  LP Interests   Healthcare & HCIT       10/14/2021     590,203       590,203       830,544  
Brightspot Holdco, LLC
(15)
  LLC Units   Software & Tech Services       11/16/2021     433,207       433,207       427,682  
GSV Vehlo Investments, LLC (Vehlo Purchaser, LLC)
(15)
  Class A   Software & Tech Services       05/24/2022     150,297       150,297       162,814  
Human Security
(15)
  Common Shares   Software & Tech Services       07/29/2022     339,568       953,134       953,127  
Moon Topco, L.P. (Radiant Logic, Inc.)
(15)
  Class A   Software & Tech Services       04/21/2021     3,600       35,999       55,819  
Mykaarma Acquisition LLC
(15)
  Class A   Software & Tech Services       03/21/2022     257,031       257,031       277,758  
Ranger Lexipol Holdings, LLC
(15)
  Class B   Software & Tech Services       11/18/2021     433                175,219  
Ranger Lexipol Holdings, LLC
(15)
  Class A   Software & Tech Services       11/18/2021     433       433,207       404,565  
REP Coinvest III Tec, L.P. (American Safety Holdings Corp.)
(15)
  LP Interests   Software & Tech Services       06/18/2020     167,509       190,658       253,338  
Samsara Networks, Inc.
(13) (15) (17)
  Class A   Software & Tech Services           33,451       369,998       415,796  
Stripe, Inc.
(15)
  Class B   Software & Tech Services       05/17/2021     4,158       166,854       123,181  
Swyft Parent Holdings LP
(15) (16)
  LP Interests   Software & Tech Services       02/07/2022     4,485                76,262  
REP Coinvest
III-A
Omni, L.P. (Omni Logistics, LLC)
(15)
  LP Interests   Transport & Logistics       02/05/2021     193,770       120,614       471,569  
REP RO Coinvest IV A Blocker
(Road One)
(15)
  Class A   Transport & Logistics       12/28/2022     66,441,840       664,418       664,418  
                           
 
 
   
 
 
 
Total U.S. Common Stock
                         
 
7,179,288
 
 
 
7,870,756
 
 
U.S. Warrants - 
0.17%
 
SBS Ultimate Holdings, LP, expire
09/18/2030
(
15
)
  Class A   Healthcare & HCIT       09/18/2020     17,419                    
Alphasense, Inc., expire 05/29/2027
(1
3
) (
15
)
  Series B   Software & Tech Services       06/02/2020     40,394       35,185       480,369  
Degreed, Inc., expire 04/11/2028
(1
5
)
  Series D   Software & Tech Services       04/11/2021     7,624                17,163  
Degreed, Inc., expire 05/31/2026
(1
5
)
  Series C -1   Software & Tech Services       05/31/2019     26,294       46,823       109,950  
Degreed, Inc., expire 08/18/2029
(1
5
)
  Common Shares   Software & Tech Services       08/18/2022     9,374                45,483  
ScyllaDB, Inc., expire 09/08/2032
(1
5
)
  Series C-1   Software & Tech Services       09/08/2022     239,984       43,880       44,046  
Vectra AI, Inc., expire 03/18/2031
(1
5
)
  Series F   Software & Tech Services       03/18/2021     35,156       58,189       79,903  
                           
 
 
   
 
 
 
Total U.S. Warrants
                         
 
184,077
 
 
 
776,914
 
United Kingdom Warrants - 
0.05%
 
GlobalWebIndex, Inc., expire 12/30/2027
(
15
)
  Preferred Units   Software & Tech Services             8,832       159,859       217,181  
                           
 
 
   
 
 
 
Total United Kingdom Warrants
                         
 
159,859
 
 
 
217,181
 

Portfolio Company
 
Class/Series
 
        
 
                                
 
 
 
Shares
 
 
Cost
 
 
Fair Value
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
U.S. Investment Companies
- 1.22%
 
 
 
Orangewood WWB
Co-Invest,
L.P.
(15) (18)
 
LP Interests
 
 
 
 
 
829,314
 
 
$
829,314
 
 
$
829,314
 
ORCP III Triton
Co-Investors,
L.P.
(15) (18)
 
LP Interests
 
 
 
 
 
341,592
 
 
 
98,394
 
 
 
420,500
 
AB Equity Investors, L.P.
(15) (18)
 
LP Interests
 
 
 
 
 
984,786
 
 
 
984,786
 
 
 
1,307,429
 
 
See Notes to Consolidated Financial Statements
 
28

Table of Contents
AB Private Credit Investors Corporation
Consolidated Schedule of Investments as of December 31, 2022 (continued)
 
Portfolio Company
 
Class/Series
 
        
 
                                
 
 
 
Shares
 
 
Cost
 
 
Fair Value
 
Falcon
Co-Investment
Partners, L.P.
(15) (18)
  LP Interests                 812,734       812,734    
$
813,547  
GHP E Aggregator, LLC
(15) (18)
  LLC Units                 417,813       186,588       614,185  
GHP SPV 2, L.P.
(13) (15) (18)
  LP Interests                 244,920       244,920       230,225  
Magenta Blocker Aggregator, LP
(15) (18)
  Class A                 821,396       676,978       1,126,955  
Palms
Co-Investment
Partners, L.P.
(15) (18)
  LP Interests                 261,449       261,449       261,449  
                           
 
 
   
 
 
 
Total U.S. Investment Companies
                         
 
4,095,163
 
 
 
5,603,604
 
     
TOTAL INVESTMENTS - 
245.69%
(
19
)
 
 
$
 1,146,231,264
 
 
$
 1,122,517,095
 
     
 
 
   
 
 
 
               
Portfolio Company
     
Industry
         
Shares
   
Cost
   
Fair Value
 
Cash Equivalents - 
6.34%
 
U.S. Investment Companies - 
6.34%
 
Blackrock T Fund I
(17) (20)
  Money Market   Money Market Portfolio   4.03%
(
21
)
        14,121,193     $ 14,121,193     $ 14,121,193  
State Street Institutional US Government Money Market Fund
(17) (20)
  Money Market   Money Market Portfolio   4.12%
(
21
)
        14,850,792       14,850,792       14,850,792  
                           
 
 
   
 
 
 
Total U.S. Investment Companies
 
 
 
28,971,985
 
 
 
28,971,985
 
     
 
 
   
 
 
 
Total Cash Equivalents
 
 
 
28,971,985
 
 
 
28,971,985
 
LIABILITIES IN EXCESS OF OTHER ASSETS - 
(152.03%)
 
 
$
(694,610,587
NET ASSETS - 
100.00%
 
 
$
456,878,493
 
                                   
 
 
 
 
(++)
 
Unless otherwise indicated, all securities represent
co-investments
made with the Fund’s affiliates in accordance with the terms of the exemptive relief received from the U.S. Securities and Exchange Commission. See Note 3 “Related Party Transactions”.
+
 
As of December 31, 2022, qualifying assets represented 96.90% of total assets. Under the 1940 Act we may not acquire any
non-qualifying
assets unless, at the time the acquisition is made, qualifying assets represent at least 70% of our total assets.
*
 
Unless otherwise indicated, all securities are valued using significant unobservable inputs, which are categorized as Level 3 assets under the definition of Financial Accounting Standards Board’s Accounting Standards Codification 820 fair value hierarchy.
#
 
Percentages are based on net assets.
^
 
Generally, the interest rate on floating interest rate investments is at benchmark rate plus spread. The borrower has an option to choose the benchmark rate, such as the London Interbank Offered Rate (“LIBOR”), Secured Overnight Financing Rate including adjustment, if any (“SOFR”) or the U.S. Prime rate. The spread may change based on the type of rate used. The terms in the Consolidated Schedule of Investments disclose the actual interest rate in effect as of the reporting period. LIBOR and SOFR loans are typically indexed to
30-day,
60-day,
90-day
or
180-day
rates (1M, 3M or 6M, respectively) at the borrower’s option.
LIBOR and SOFR loans may be subject to interest floors. As of December 31, 2022, rates for weekly 1M L, 3M L 6M L, 1M S, 3M S and 6M S are 4.39%, 4.73%, 5.15%, 4.42%, 4.73% and 4.98%, respectively. As of December 31, 2022, the U.S. Prime rate was 7.50%.
^^
 
As defined in the Investment Company Act, the investment is deemed to be a “controlled affiliated person” of the Fund because the Fund owns, either directly or indirectly, 25% or more of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company. See Note 3 “Related Party Transactions”.
(1)
 
Position, or a portion thereof, has been segregated to collateralize ABPCI Direct Lending Fund CLO VI Ltd.
(2)
 
Position, or a portion thereof, has been segregated to collateralize ABPCIC Funding III, LLC.
(3)
 
Position or portion thereof is an unfunded loan commitment, and no interest is being earned on the unfunded portion. The unfunded loan commitment may be subject to a commitment termination date, that may expire prior to the maturity date stated. See Note 6 “Commitments and Contingencies”.
(4)
 
The negative cost is the result of the capitalized discount being greater than the principal amount outstanding on the loan. The negative fair value is the result of the capitalized discount on the loan.
(5)
 
Position, or a portion thereof, has been segregated to collateralize ABPCIC Funding II, LLC.
(6)
 
This investment has multiple reference rates or alternate base rates. The
All-in
interest rate shown is the weighted average interest rate in effect at March 31, 2023.
(7)
 
Saturn Borrower Inc. has been renamed to Stratus Networks, Inc. in 2022.
(8)
 
TA/WEG Holdings, LLC has been renamed to Wealth Enhancement Group, LLC in 2022.
(
9
)
 
MedMark Services, Inc. has been renamed to BAART Programs, Inc. in 2022.
(1
0
)
 
The investment is on
non-accrual
status. See Note 2 “Significant Accounting Policies.”
(1
1
)
 
Millin Purchaser LLC. has been renamed to Medsuite Purchaser, LLC in 2022.
(12)
 
Cybergrants Holdings, LLC has been renamed to Bonterra LLC in 2022.
(13)
 
Positions considered
non-qualified
assets therefore excluded from the qualifying assets calculation as noted in footnote + above.
(
14
)
 
Securities exempt from registration under the Securities Act of 1933, and may be deemed to be “restricted securities”. As of December 31, 2022, the aggregate fair value of these securities is $17,633,209 or 3.86% of the Fund’s net assets. The initial acquisition dates have been included for such securities.
(15)
 
Non-income
producing investment.
(16)
 
Position or portion thereof is held through a consolidated subsidiary.
(17)
 
Categorized as Level 1 assets under the definition of ASC 820 fair value hierarchy.
(18)
 
Excluded from the ASC 820 fair value hierarchy as fair value is measured using the net asset value per share practical expedient.
(
19
)
 
Aggregate gross unrealized appreciation for federal income tax purposes is $7,142,498; aggregate gross unrealized depreciation for federal income tax purposes is $30,898,346. Net unrealized depreciation is $23,755,848 based upon a tax cost basis of $1,146,272,943.
(
20
)
 
Included within ‘Cash and cash equivalents’ on the Consolidated Statements of Assets and Liabilities.
(
21
)
 
The rate shown is the annualized
seven-day
yield as of December 31, 2022.
 
L   -    LIBOR
P   -    Prime
PIK   -   
Payment-In-Kind
S   -    SOFR
 
See Notes to Consolidated Financial Statements
 
29

Table of Contents
AB Private Credit Investors Corporation
Notes to Unaudited Consolidated Financial Statements
March 31, 2023
1. Organization
AB Private Credit Investors Corporation (the “Fund,” “we,” “our,” and “us”), an externally managed,
non-diversified,
closed-end,
management investment company that elected to be regulated as a business development company (“BDC”) under the Investment Company Act of 1940, as amended (the “1940 Act”), was incorporated under the laws of the state of Maryland on February 6, 2015. The Fund was formed to invest in primary-issue middle-market credit opportunities that are directly sourced and privately negotiated. AB Private Credit Investors LLC serves as the Fund’s external investment adviser (the “Adviser”).
Prior to 2017, there were no significant operations other than the sale and issuance of 100 shares of common stock of the Fund, par value $0.01 (“Shares”), on June 27, 2016, at an aggregate purchase price of $1,000 ($10.00 per Share) to the Adviser. The sale of Shares was approved by the unanimous consent of the Fund’s Board of Directors (the “Board”). In addition, prior to commencing operations in 2017, on May 26, 2017, the Fund issued and sold an additional 2,400 Shares at an aggregate purchase price of $24,000 ($10.00 per Share) to the Adviser. That sale was also approved by the unanimous consent of the Fund’s Board.
The Fund is conducting private offerings (each a “Private Offering”) of its common stock to investors in reliance on an exemption from the registration requirements of the Securities Act of 1933, as amended (the “Securities Act”). At the closing of any Private Offering, each investor will make a capital commitment (a “Capital Commitment”) to purchase Shares pursuant to a subscription agreement entered into with the Fund. All investors will be committed to the Fund for at least three years from the date of their initial Capital Commitment, subject to the terms described in the Fund’s Private Placement Memorandum. Investors will be required to fund drawdowns to purchase Shares up to the amount of their respective Capital Commitment on an
as-needed
basis each time the Fund delivers a capital draw-down notice to its investors.
On September 29, 2017, the Fund completed the initial closing (“Initial Closing”) of its Private Offering after entering into subscription agreements (collectively, the “Subscription Agreements”) with several investors, providing for the private placement of Shares. As of March 31, 2023, the Fund had total Capital Commitments of $594,505,663, of which 17%
or $99,216,798 is unfunded. Capital Commitments may be drawn down by the Fund on a pro rata basis, as needed (including
follow-on
investments), for paying the Fund’s expenses, including fees under the Amended and Restated Advisory Agreement (as defined below), and/or maintaining a reserve account for the payment of future expenses or liabilities.
There were no operating activities from February 6, 2015 to November 15, 2017. As described above, the Fund completed its Initial Closing on September 29, 2017, and commenced operations on November 15, 2017 by issuing its first capital call on December 1, 2017. The Fund’s fiscal year ends on December 31.
On June 14, 2019, the Adviser established ABPCI Direct Lending Fund CLO VI Ltd (“CLO VI”), an exempted company incorporated with limited liability under the laws of the Cayman Islands. CLO VI is 100% owned by the Fund and is consolidated in the Fund’s consolidated financial statements. CLO VI issued Class B, Class C and Subordinated Notes to the Fund through AB PCI Direct Lending Fund CLO VI Depositor LLC, a wholly-owned subsidiary of the Fund established on August 9, 2019.
On February 7, 2020, the Fund and an affiliate of Abbott Capital Management, LLC (“Abbott”) became members of, ABPCIC Equity Holdings, LLC (“ABPCICE”), a Delaware limited liability company and a special purpose vehicle designed to invest in private equity investments sourced by Abbott. The Fund is the managing member and owns 100% of the Class L Units and 93% of the Class A Units of ABPCICE. As a result, the Fund consolidates ABPCICE in its consolidated financial statements and records a
non-controlling
interest of the equity interests in ABPCICE not held by the Fund.
On July 30, 2020, February 11, 2021 and January 13, 2023, the Adviser established ABPCIC Funding II LLC (“ABPCIC Funding II”), ABPCIC Funding III LLC (“ABPCIC Funding III”) and ABPCIC Funding IV LLC (“ABPCIC Funding IV”), respectively, Delaware limited liability companies. ABPCIC Funding II, ABPCIC Funding III and ABPCIC Funding IV
are 100%
owned by the Fund and are consolidated in the Fund’s consolidated financial statements commencing from the date of their formation.
On January 5, 2023, the Adviser established ABPCIC Direct Lending Fund CLO XIII LTD (“CLO XIII”), a Delaware limited liability company. CLO VIII is
100% owned by the Fund
 
and is consolidated in the Fund’s consolidated financial statements commencing from the date of
its
formation.
The Adviser has established certain consolidated subsidiaries that are subject to U.S. federal and state corporate level income taxes to hold certain equity or equity-like investments in portfolio companies.
 
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0

Table of Contents
2. Significant Accounting Policies
The Fund is an investment company under accounting principles generally accepted in the United States of America (“GAAP”) and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) 946,
Financial Services – Investment Companies.
The Fund has prepared the consolidated financial statements and related financial information pursuant to the requirements for reporting on Form
10-Q
and Articles 6 and 10 of Regulation
S-X.
Accordingly, we have not included in this quarterly report all of the information and notes required by GAAP for annual financial statements. In the opinion of management, the unaudited financial information for the interim period presented in this report reflects all normal and recurring adjustments necessary for a fair statement of financial position and results from operations. Operating results for interim periods are not necessarily indicative of operating results for an entire year.
The functional currency of the Fund is U.S. dollars and these consolidated financial statements have been prepared in that currency.
Consolidation
The Fund will generally consolidate any wholly or substantially owned subsidiary when the design and purpose of the subsidiary is to act as an extension of the Fund’s investment operations and to facilitate the execution of the Fund’s investment strategy. Accordingly, the Fund consolidated the results of its wholly or substantially owned subsidiaries in its consolidated financial statements. The portion of net assets that is attributable to
non-controlling
interest in ABPCICE is presented as
“Non-Controlling
Interest in ABPCIC Equity Holdings, LLC”, a component of total equity, on the Fund’s consolidated statements of assets and liabilities. All intercompany balances and transactions have been eliminated in consolidation.
Reclassifications
Certain prior period amounts have been reclassified to conform to the current presentation, with no significant effect on our financial condition, results of operations or cash flows.
Valuation of Investment Companies
Investments in investment companies are valued at fair value. Fair values are generally determined utilizing the net asset value (“NAV”) supplied by, or on behalf of, management of each investment company, which is net of management and incentive fees or allocations charged by the investment company and is in accordance with the “practical expedient”, as defined by ASC 820. NAVs received by, or on behalf of, management of each investment company are based on the fair value of the investment company’s underlying investments in accordance with policies established by management of each investment company, as described in each of their financial statements and offering memorandum.
Cash and Cash Equivalents
Cash consists of demand deposits and money market accounts. Cash is carried at cost, which approximates fair value. The Fund maintains deposits of its cash with financial institutions, and, at times, cash held in bank accounts may exceed the Federal Deposit Insurance Corporation insured limit. The Fund considers all highly liquid investments, with original maturities of less than ninety days and money market mutual funds as cash equivalents.
Revenue Recognition
Investment transactions are recorded on a trade-date basis. Interest income is recognized on an accrual basis. Interest income on debt instruments is accrued and recognized for those issuers who are currently paying in full or expected to pay in full. For those issuers who are in default or expected to default, interest is not accrued and is only recognized when received. Generally, when interest and/or principal payments on a loan become past due, or if the Fund otherwise does not expect the borrower to be able to service its debt and other obligations, the Fund will place the loan on
non-accrual
status and will cease recognizing interest income on that loan for financial reporting purposes until all principal and interest have been brought current through payment or due to restructuring such that the interest income is deemed to be collectible. The Fund generally restores
non-accrual
loans to accrual status when past due principal and interest is paid and, in the management’s judgment, is likely to remain current. Interest income and expense include discounts accreted and premiums amortized on certain debt instruments as determined in good faith by the Adviser and calculated using the effective interest method. Loan origination fees, original issue discounts and market discounts or premiums are capitalized as part of the underlying cost of the investments and accreted or amortized over the life of the investment as interest income.
Realized gains and losses on investment transactions are determined on the specific identification method.
 
3
1

Certain investments in debt securities may contain a contractual
payment-in-kind
(“PIK”) interest provision. The PIK provisions generally feature the obligation, or the option, at each interest payment date of making interest payments in (i) cash, (ii) additional debt or (iii) a combination of cash and additional debt. PIK interest, computed at the contractual rate specified in the investment’s credit agreement, is accrued as interest income and recorded as interest receivable up to the interest payment date. On the interest payment date, the accrued interest receivable attributable to PIK is added to the principal balance of the investment. When additional debt is received on the interest payment date, it typically has the same terms, including maturity dates and interest rates, as the original loan. PIK interest generally becomes due on the investment’s maturity date or call date.
The Fund may earn various fees during the life of the loans. Such fees include, but are not limited to, syndication, commitment, administration, prepayment and amendment fees, some of which are paid to the Fund on an ongoing basis. These fees and any other income are recognized as earned. Upon prepayment of a loan or debt security, any prepayment premiums, unamortized upfront loan origination fees and unamortized discounts are recorded as interest income.
Costs associated with entering into an investment are included in the cost of the investment, and any costs incurred relating to an unconsummated investment are expensed.
Distributions received from an equity interest, limited liability company or a limited partnership investment are evaluated to determine if the distribution should be recorded as dividend income or a return of capital.
Non-Accrual
Investments
Investments are placed on
non-accrual
status when it is probable that principal, interest or dividends will not be collected according to the contractual terms. Accrued interest or dividends generally are reversed when an investment is placed on
non-accrual
status. Interest or dividend payments received on
non-accrual
investments may be recognized as income or applied to principal depending upon management’s judgment.
Non-accrual
investments are restored to accrual status when past due principal and interest or dividends are paid and, in management’s judgment, principal and interest or dividend payments are likely to remain current. The Fund may make exceptions to this treatment if an investment has sufficient collateral value and is in the process of collection. As of March 31, 2023, the Fund had certain investments held in four portfolio companies on
non-accrual
status, which represented 1.89% and 1.00% of the total investments (excluding investments in cash equivalents, if any) at amortized cost and at fair value. As of December 31, 2022, the Fund had certain investments held in three portfolio companies on
non-accrual
status, which represented 0.96% and 0.26% of the total investments (excluding investments in cash equivalents, if any) at amortized cost and at fair value.
Credit Facility Related Costs, Expenses and Deferred Financing Costs
The Revolving Credit Facilities (as defined in Note 4) are recorded at carrying value, which approximates fair value. Interest expense and unused commitment fees on the Revolving Credit Facilities are recorded on an accrual basis. Unused commitment fees are included in interest and borrowing expenses in the consolidated statements of operations. Deferred financing costs include capitalized expenses related to the closing of the Revolving Credit Facilities. Amortization of deferred financing costs is computed on the straight-line basis over the contractual term. The amortization of such costs is included in interest and borrowing expenses in the consolidated statements of operations, with any unamortized amounts included in deferred financing costs on the consolidated statements of assets and liabilities.
Notes Payable Related Costs, Expenses and Unamortized Debt Issuance Costs
The Notes (as defined in Note 4) are recorded at carrying value. Interest expense on notes payable is recorded on an accrual basis. Debt issuance costs relating to notes payable are amortized on a straight-line basis over the contractual term and included in interest and borrowing expenses in the consolidated statements of operations. The unamortized debt issuance costs are included as a direct reduction of the carrying value of the notes payable (i.e. a contra liability).
Upon early termination or partial principal pay down of the Notes, the unamortized costs related to the Notes are accelerated into interest and borrowing expenses on the Fund’s consolidated statements of operations.    
Secured Borrowings
The Fund may finance the purchase of certain investments through
sale/buy-back
agreements. In a
sale/buy-back
agreement, the Fund enters into a trade to sell an investment and contemporaneously enters into a trade to buy the same investment back on a specified date in the future with the same counterparty. The Fund uses
sale/buy-back
agreements as a short-term financing alternative to its existing Revolving Credit Facilities. The Fund accounts for its
sale/buy-back
agreements (the “Secured Borrowings”) as secured borrowings and continues to present the investment as an asset and the obligation to return the cash received as a liability within secured borrowings on the consolidated statements of assets and liabilities. Interest income earned on investments pledged under
sale/buy-back
agreements and financing charges associated with the
sale/buy-back
agreements are included within interest income and interest and borrowing expenses, respectively, on the consolidated statements of operations. Accrued interest receivable on investments and accrued financing charges on the
sale/buy-back
agreements are included within interest receivable and interest and borrowing expenses payable, respectively, on the consolidated statements of assets and liabilities.
 
3
2

Income Taxes
ASC 740, “Accounting for Uncertainty in Income Taxes” (“ASC 740”) provides guidance on the accounting for and disclosure of uncertainty in tax positions. ASC 740 requires the evaluation of tax positions taken or expected to be taken in the course of preparing the Fund’s tax returns to determine whether the tax positions are
“more-likely-than-not”
of being sustained by the applicable tax authority. Tax positions deemed to meet the
more-likely-than-not
threshold are recorded as a tax benefit or expense in the current year. Based on its analysis of its tax position for all open tax years (the current and prior two years), the Fund has concluded that it does not have any uncertain tax positions that met the recognition or measurement criteria of ASC 740. Such open tax years remain subject to examination and adjustment by tax authorities.
The Fund has elected to be treated and intends to continue to be treated for federal income tax purposes as a regulated investment company (“RIC”) under Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”). So long as the Fund is able to maintain its status as a RIC, it intends not to be subject to U.S. federal income tax on the portion of its taxable income and gains distributed to stockholders, if any. To qualify for RIC tax treatment, the Fund is required to distribute at least 90% of its investment company taxable income annually, meet diversification and income requirements quarterly, meet gross income requirements annually and file Form
1120-RIC,
as provided by the Code. In order for the Fund not to be subject to U.S. federal excise taxes, it must distribute annually an amount at least equal to the sum of (i) 98% of its net ordinary income (taking into account certain deferrals and elections) for the calendar year, (ii) 98.2% of its capital gains in excess of capital losses for the
one-year
period ending on October 31 of the calendar year and (iii) any net ordinary income and capital gains in excess of capital losses for preceding years that were not distributed during such years. The Fund, at its discretion, may carry forward taxable income in excess of calendar year dividends and pay a 4% nondeductible U.S. federal excise tax on this income. The Fund will accrue excise tax on estimated undistributed taxable income as required. As of March 31, 2023, and December 31, 2022, $0 and $0, respectively, of accrued excise taxes remained payable. For the three months ended March 31, 2023 and 2022, the Fund accrued income taxes of $17,301 and $308,827, respectively. As of March 31, 2023 and December 31, 2022, $1,321,219 and $1,303,918, respectively, of accrued income taxes remained payable.
The Fund may be subject to taxes imposed by countries in which the Fund invests. Such taxes are generally based on income and/or capital gains earned or repatriated. Taxes are accrued and applied to net investment income, net realized gains and net unrealized gain (loss) as such income and/or gains are earned.
The Fund remains subject to examination by U.S. federal and state jurisdictions, as well as international jurisdictions, and upon completion of these examinations (if undertaken by the taxing jurisdiction) tax adjustments may be necessary and retroactive to all open tax years.
Certain of the Fund’s consolidated subsidiaries are subject to U.S. federal and state corporate-level income taxes.
Use of Estimates
The preparation of the consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and the disclosure of contingent assets and liabilities, if any, at the date of the consolidated financial statements, and the reported amounts of revenues and expenses recorded during the reporting period. Actual results could differ from those estimates and such differences could be material.
Distributions
Distributions from net investment income and net realized capital gains are determined in accordance with U.S. federal income tax regulations, which may differ from those amounts determined in accordance with GAAP. The Fund may pay distributions in excess of its taxable net investment income. This excess would be a
tax-free
return of capital in the period and reduce the stockholder’s tax basis in its Shares. These book/tax differences are either temporary or permanent in nature. To the extent these differences are permanent they are charged or credited to
paid-in
capital in excess of par or distributable earnings, as appropriate, in the period that the differences arise. Temporary and permanent differences are primarily attributable to differences in the tax treatment of certain loans and the tax characterization of income and
non-deductible
expenses. These differences are generally determined in conjunction with the preparation of the Fund’s annual RIC tax return. Distributions to common stockholders are recorded on the
ex-dividend
date. The amount to be paid out as a distribution is determined by the Board each quarter and is generally based upon the earnings estimated by the Adviser. The Fund may pay distributions to its stockholders in a year in excess of its net ordinary income and capital gains for that year and, accordingly, a portion of such distributions may constitute a return of capital for U.S. federal income tax purposes.
 
3
3

The Fund intends to timely distribute to its stockholders substantially all of its annual taxable income for each year, except that the Fund may retain certain net capital gains for reinvestment and, depending upon the level of the Fund’s taxable income earned in a year, the Fund may choose to carry forward taxable income for distribution in the following year and pay any applicable U.S. federal excise tax. The specific tax characteristics of the Fund’s distributions will be reported to stockholders after the end of the calendar year. All distributions will be subject to available funds, and no assurance can be given that the Fund will be able to declare such distributions in future periods.
The Fund has adopted a dividend reinvestment plan that provides for stockholders to receive dividends or other distributions declared by the Board in cash unless a stockholder elects to “opt in” to the dividend reinvestment plan. As a result, if the Board declares a cash distribution, then the stockholders who have “opted in” to the dividend reinvestment plan will have their cash distributions automatically reinvested in additional Shares, rather than receiving the cash distribution.
3. Related Party Transactions
Advisory Agreement
On November 13, 2019, the Fund entered into the amended and restated advisory agreement (the “Amended and Restated Advisory Agreement”), replacing the advisory agreement the Fund entered into with the Adviser on July 27, 2017 (the “Advisory Agreement”), pursuant to which the Fund will pay the Adviser, quarterly in arrears, a base management fee calculated at an annual rate of 1.50%. The base management fee is calculated based on a percentage of the average outstanding assets of the Fund (which equals the gross value of equity and debt instruments, including investments made utilizing leverage), excluding cash and cash equivalents, during such fiscal quarter. The average outstanding assets is calculated by taking the average of the amount of assets of the Fund at the beginning and end of each month that occurs during the calculation period. The base management fee is calculated and paid quarterly in arrears but will be accrued monthly by the Fund over the fiscal quarter for which such base management fee is paid.
On March 24, 2022, the Fund entered into the second amended and restated investment advisory
agree
ment (the “Second Amended and Restated Advisory Agreement”), replacing the Amended and Restated Advisory Agreement pursuant to which effective March 24, 2022 the base management fee shall be calculated at an annual rate of 1.375%. On March 24, 2022, the Fund and the Adviser also entered into a fee waiver letter pursuant to which the Adviser has agreed to waive a portion of the management fee in excess of the base management fee calculated at the reduced annual rate of 1.375% for the period January 1, 2022 through March 24, 2022.
For the three months ended March 31, 2023, the Fund incurred a management fee of $3,938,904. For the three months ended March 31, 2022, the Fund incurred a management fee of $3,402,792, of which $283,566 was voluntarily waived by the Adviser. As of March 31, 2023, and December 31, 2022, $3,938,904 and $3,778,123, respectively, of accrued management fee remained payable.
The Fund will also pay the Adviser an incentive fee that provides the Adviser with a share of the income that the Adviser generates for the Fund. The incentive fee will consist of an income-based incentive fee component and a capital-gains component, which are largely independent of each other, with the result that one component may be payable even if the other is not.
Income-Based Incentive Fee: The income-based incentive fee is calculated and payable quarterly in arrears based on the Fund’s net investment income prior to any deductions with respect to such income-based incentive fees and capital gains incentive fees
(“Pre-incentive
Fee Net Investment Income” or “PIFNII”) for the quarter, as further described below. PIFNII means interest income, dividend income and any other income (including any other fees, such as commitment, origination, structuring, diligence, managerial and consulting fees or other fees the Fund receives from portfolio companies) that the Fund accrues during the fiscal quarter, minus the Fund’s operating expenses for the quarter (including the base management fee, expenses payable under the administration agreement (the “Administration Agreement”) we have entered into with State Street Bank and Trust (the “Administrator”), and any interest expense and dividends paid on any issued and outstanding indebtedness or preferred stock, respectively, but excluding, for avoidance of doubt, the income-based incentive fee, as well as the capital gains incentive fee (described below), accrued under GAAP). PIFNII also includes, in the case of investments with a deferred interest feature (such as original issue discount, debt instruments with
pay-in-kind
interest and
zero-coupon
securities), accrued income that the Fund has not yet received in cash. The Adviser is not under any obligation to reimburse the Fund for any part of the income-based incentive fees it received that was based on accrued interest that the Fund never actually received.
PIFNII does not include any realized capital gains, realized capital losses or unrealized capital appreciation or depreciation. Because of the structure of the income-based incentive fee, it is possible that the Fund may accrue such income-based incentive fee in a quarter where the Fund incurs a net loss. For example, if the Fund receives PIFNII in excess of a hurdle rate (as defined below) for a quarter, the Fund will accrue the applicable income-based incentive fee even if the Fund has incurred a realized and/or unrealized capital loss in that quarter. However, cash payment of the income-based incentive fee may be deferred in this situation, subject to the restrictions detailed at the end of this section.
 
3
4

PIFNII, expressed as a rate of return on the average value of the Fund’s net assets (defined as total assets, less indebtedness and before taking into account any incentive fees payable during the period) as of the first day of each month during the course of the immediately preceding calendar quarter, will be compared to various “hurdle rates,” with the income-based incentive fee rate of return increasing at each hurdle rate.
Description of Quarterly Incentive Fee Calculations
The Fund pays the Adviser an income-based incentive fee with respect to PIFNII in each calendar quarter as follows:
 
   
No income-based incentive fee in any calendar quarter in which PIFNII does not exceed 1.5% per quarter (6% per annum), the “6% Hurdle Rate”;
 
   
100% of PIFNII with respect to that portion of such PIFNII, if any, that exceeds the 6% Hurdle Rate but is less than 1.67% in any calendar quarter (the “6%
Catch-up
Cap”), approximately 6.67% per annum. This portion of PIFNII (which exceeds the 6% Hurdle Rate but is less than the 6%
Catch-up
Cap) is referred to as the “6%
Catch-up.”
The 6%
Catch-up
is meant to provide the Adviser with 10.0% of the PIFNII as if hurdle rate did not apply if this net investment income exceeded 1.67% but was less than 1.94% in any calendar quarter; and
 
   
10.0% of the amount of PIFNII, if any, that exceeds the 6%
Catch-up
Cap, but is less than 1.94% (the “7% Hurdle Rate”), approximately 7.78% per annum. The 7% Hurdle Rate is meant to limit the Adviser to 10% of the PIFNII until the amount of PIFNII exceeds 1.94%, approximately 7.78% per annum; and
 
   
100% of PIFNII with respect to that portion of such PIFNII, if any, that exceeds the 7% Hurdle Rate but is less than 2.06% in any calendar quarter (the “7%
Catch-up
Cap”), approximately 8.24% per annum. This portion of PIFNII (which exceeds the 7% Hurdle Rate but is less than the 7%
Catch-up
Cap) is referred to as the “7%
Catch-up.”
The 7%
Catch-up
is meant to provide the Adviser with 15.0% of the PIFNII as if a hurdle rate did not apply if this net investment income exceeded 2.06% but was less than 2.35% in any calendar quarter; and
 
   
15.0% of the amount of PIFNII, if any, that exceeds the 7%
Catch-up
Cap, but is less than 2.35% (the “8% Hurdle Rate”, approximately 9.41% per annum). The 8% Hurdle Rate is meant to limit the Adviser to 15% of the PIFNII until the amount of PIFNII exceeds 2.35%, approximately 9.41% per annum; and
 
   
100% of PIFNII with respect to that portion of such PIFNII, if any, that exceeds the 8% Hurdle Rate but is less than 2.50% in any calendar quarter (the “8%
Catch-up
Cap”), approximately 10% per annum. This portion of PIFNII (which exceeds the 8% Hurdle Rate but is less than the 8%
Catch-up
cap) is referred to as the “8%
Catch-up”.
The 8%
Catch-up
is meant to provide the Adviser with 20.0% of the PIFNII as if a hurdle rate did not apply if this net investment income exceeded 2.50% in any calendar quarter; and
 
   
20.0% of the amount of PIFNII, if any, that exceeds 2.50% in any calendar quarter.
For the three months ended March 31, 2023 and March 31, 2022, the Fund incurred income – based incentive fees of $2,754,604 and $1,931,939, respectively. As of March 31, 2023 and December 31, 2022, $2,754,604, and $2,534,935, respectively, of accrued income-based incentive fees remained payable.
The capital gains fee shall be determined and payable in arrears as of the end of each calendar year (or upon termination of this Agreement as set forth below), and will equal 20.0% of the Fund’s aggregate cumulative realized capital gains, if any, from the date of the Fund’s election to be regulated as a BDC through the end of each calendar year, computed net of all aggregate cumulative realized capital losses and aggregate cumulative unrealized capital depreciation, less the aggregate amount of any previously paid capital gain Incentive Fees, with respect to each of the investments in the Company’s portfolio. The Company’s “aggregate cumulative realized capital gains” will not include any unrealized appreciation. The capital gains fee is not subject to any minimum return to stockholders. If such amount is negative, then no Capital Gains Fee will be payable for such year. In the event that this Agreement shall terminate as of a date that is not a calendar year end, the termination date shall be treated as though it were a calendar year end for purposes of calculating and paying a Capital Gains Fee.
While the capital gains fee to be paid is determined above, GAAP requires such fee to be accrued as if the Fund were to be terminated and liquidated at period end hypothetical liquidation. There
was no capital gains incentive fee under GAAP recognized for the three months ended March 31, 2023. For the three months
ended
March 31, 2022, the Fund reduced the previously recognized capital gains incentive fee under GAAP by $(546,733), which was not realized. As of March 31, 2023 and December 31, 2022, $0 and $0, respectively, of capital gains incentive fee remained payable.
 
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5

The amount of capital gains incentive fee expense related to a hypothetical liquidation of the portfolio (and assuming no other changes in realized or unrealized gains and losses) would only become payable to the Adviser in the event of a complete liquidation of the Fund’s portfolio as of period end and the termination of the Amended and Restated Advisory Agreement on such date. Also, it should be noted that the capital gains incentive fee expense fluctuates with the Fund’s overall investment results.
The Fund will defer cash payment of any income-based incentive fee and/or any capital gains incentive fee otherwise earned by the Adviser if during the most recent four full fiscal quarter periods ending on or prior to the date such payment is to be made, the sum of (a) the PIFNII, and (b) the realized capital gain / loss and (c) unrealized capital appreciation/ depreciation expressed as a rate of return on the value of our net assets, is less than 6.0%. Any such deferred fees are carried over for payment in subsequent calculation periods to the extent such payment is payable under the Amended and Restated Advisory Agreement.
Administration Agreement and Expense Reimbursement Agreement
We have entered into the Administration Agreement with the Administrator and a separate expense reimbursement agreement with the Adviser (the “Expense Reimbursement Agreement”) under which any allocable portion of the cost of our Chief Compliance Officer and Chief Financial Officer and their respective staffs will be reimbursed by the Fund. Under the Administration Agreement, the Administrator will be responsible for providing us with clerical, bookkeeping, recordkeeping and other administrative services. We will reimburse the Adviser an amount equal to our allocable portion (subject to the review of our Board) of its overhead resulting from its obligations under the Expense Reimbursement Agreement, including the allocable portion of the cost of our Chief Compliance Officer and Chief Financial Officer and their respective staffs.
Expense Support and Conditional Reimbursement Agreement
On September 29, 2017, the Fund and the Adviser entered into an agreement (the “Expense Support and Conditional Reimbursement Agreement”) to limit certain of the Fund’s Operating Expenses, as defined below, to no more than 1.5% of the Fund’s average quarterly gross assets. To achieve this percentage limitation, the Adviser has agreed to reimburse the Fund for certain Operating Expenses on a quarterly basis (any such payment by the Adviser, an “Expense Payment”) and the Fund has agreed to later repay such amounts (any such payment by the Fund, a “Reimbursement Payment”), pursuant to the terms of the Expense Support and Conditional Reimbursement Agreement. The actual percentage of Operating Expenses paid by the Fund in any quarter after deducting any Expense Payment, as a percentage of the Fund’s average quarterly gross assets, is referred to as the “Percentage Limit.”
Any Expense Payment by the Adviser pursuant to the Expense Support and Conditional Reimbursement Agreement will be subject to repayment by the Fund on a quarterly basis within the three years following the fiscal quarter of the Fund in which the Operating Expenses were paid or absorbed, if the total Operating Expenses for the current quarter, including Reimbursement Payments, expressed as a percentage of the Fund’s average gross assets during such quarter is less than the then-current Percentage Limit, if any, and the Percentage Limit that was in effect at the time when the Adviser reimbursed the Operating Expenses that are the subject of the repayment, subject to certain provisions of the Expense Support and Conditional Reimbursement Agreement, as described below. For purposes of the Expense Support and Conditional Reimbursement Agreement, “Operating Expenses” means the Fund’s Total Operating Expenses (as defined below), excluding base management fees, incentive fees, distribution and stockholder servicing fees, financing fees and costs, interest expense, brokerage commissions and extraordinary expenses and “Total Operating Expenses” means all of the Fund’s operating costs and expenses incurred, as determined in accordance with generally accepted accounting principles for investment companies.
However, no Reimbursement Payment for any quarter will be made if: (1) the Effective Rate of Distributions Per Share (as defined below) declared by the Fund at the time of such Reimbursement Payment is less than or equal to the Effective Rate of Distributions Per Share at the time the Expense Payment was made to which such Reimbursement Payment relates, or (2) the Fund’s Operating Expense Ratio at the time of such Reimbursement Payment is greater than or equal to the Operating Expense Ratio (as defined below) at the time the Expense Payment was made to which such Reimbursement Payment relates. For purposes of the Expense Support and Conditional Reimbursement Agreement, “Effective Rate of Distributions Per Share” means the annualized rate (based on a
365-
day year) of regular cash distributions per Share exclusive of returns of capital, distribution rate reductions due to distribution and stockholder fees, and declared special dividends or special distributions, if any. The “Operating Expense Ratio” is calculated by dividing Operating Expenses in any quarter by the Fund’s average net assets in such quarter.
The specific amount of expenses paid by the Adviser, if any, will be determined at the end of each quarter. The Fund or the Adviser may terminate the Expense Support and Conditional Reimbursement Agreement at any time, with or without notice. The Expense Support and Conditional Reimbursement Agreement will automatically terminate in the event of (a) the termination of the Amended and Restated Advisory Agreement, or (b) the Board of the Fund making a determination to dissolve or liquidate the Fund. Upon termination of the Expense Support and Conditional Reimbursement Agreement, the Fund will be required to fund any Expense Payments, subject to the aforementioned requirements per the Expense Support and Conditional Reimbursement Agreement, that have not been reimbursed by the Fund to the Adviser.
 
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Table of Contents
Transfer Agency Agreement
On September 26, 2017, the Fund and Alliance Bernstein Investor Services, Inc. (“ABIS”), an affiliate of the Fund, entered into an agreement pursuant to which ABIS will provide transfer agent services to the Fund. The Fund bears the expenses related to the agreement with ABIS.
For the three months ended March 31, 2023 and March 31, 2022, the Fund accrued $35,272 and $25,676, respectively, in transfer agent fees. As of March 31, 2023 and December 31, 2022, $35,272 and $34,224, respectively, of accrued transfer agent fees remained payable.
Co-investment
Activity
The Fund may be prohibited under the 1940 Act from participating in certain transactions with its affiliates without prior approval of the directors who are not interested persons, and in some cases, the prior approval of the SEC. The Fund, the Adviser and certain of their affiliates have been granted exemptive relief by the SEC for the Fund to
co-invest
with other funds managed by the Adviser or its affiliates in a manner consistent with the Fund’s investment objective, positions, policies, strategies and restrictions as well as regulatory requirements and other pertinent factors. Pursuant to such exemptive relief, the Fund generally is permitted to
co-invest
with certain of its affiliates if a “required majority” (as defined in Section 57(o) of the 1940 Act) of the Board make certain conclusions in connection with a
co-investment
transaction, including that (1) the terms of the transaction, including the consideration to be paid, are reasonable and fair to the Fund and its shareholders and do not involve overreaching of the Fund or its shareholders on the part of any person concerned, (2) the transaction is consistent with the interests of the Fund’s shareholders and is consistent with its investment objective and strategies, (3) the investment by its affiliates would not disadvantage the Fund, and the Fund’s participation would not be on a basis different from or less advantageous than that on which its affiliates are investing and (4) the proposed investment by the Fund would not benefit the Adviser or its affiliates or any affiliated person of any of them (other than the parties to the transaction), except to the extent permitted by the exemptive relief and applicable law, including the limitations set forth in Section 57(k) of the 1940 Act. As a result of exemptive relief, there could be significant overlap in the Fund’s investment portfolio and the investment portfolio of other funds managed by the Adviser or its affiliates that could avail themselves of the exemptive relief and that have an investment objective similar to the Fund’s.
 
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Table of Contents
Affiliates
As defined in the Investment Company Act, the investment is deemed to be a “controlled affiliated person” of the Fund because the Fund owns, either directly or indirectly, 25% or more of the portfolio company’s outstanding voting securities or has the power to exercise control over management or policies of such portfolio company. The table below presents the Fund’s affiliated investments:
 
    
Beginning
Fair Value
Balance
    
Gross
Additions
(1)
    
Gross
Reductions
(2)
   
Net Realized
Gain/Loss
    
Net Change in
Unrealized
Appreciation
(Depreciation)
   
Ending Fair
Value
Balance
    
Dividend,
Interest, PIK
and Other
Income
 
For the Three Months Ended March 31, 2023
 
                                                   
Controlled Affiliates
                                                            
Bowline Topco LLC
   $ 173,837      $         $        $         $        $ 173,837      $     
    
 
 
    
 
 
    
 
 
   
 
 
    
 
 
   
 
 
    
 
 
 
     $ 173,837      $         $        $         $        $ 173,837      $     
For the Three Months Ended March 31, 2022
 
                                                   
Controlled Affiliates
                                                            
Bowline Energy, LLC
   $ 3,501,384      $ 3,051      $ (60,128   $         $ (3,051   $ 3,441,256      $ 65,388  
Bowline Topco LLC
     2,600,575                                     1,223,806       3,824,381            
    
 
 
    
 
 
    
 
 
   
 
 
    
 
 
   
 
 
    
 
 
 
     $ 6,101,959      $ 3,051      $ (60,128 )   $         $ 1,220,755     $ 7,265,637      $ 65,388  
 
(1)
Gross additions may include increases in the cost basis of investments resulting from new portfolio investments, PIK, the accretion of discounts, the exchange of one or more existing securities for one or more new securities and the movement of an existing portfolio company into this category from a different category.
(2)
Gross reductions may include decreases in the cost basis of investments resulting from principal collections related to investment repayments or sales, the exchange of one or more existing securities for one or more new securities and the movement of an existing portfolio company out of this category into a different category.
4. Borrowings
Credit Facilities
HSBC Credit Facility
On July 8, 2021, the Fund entered into Joinder and Third Amendment to Revolving Credit Agreement (the “HSBC Joinder”), with HSBC as administrative agent and a lender, and each of the parties listed thereto, pursuant to which the Fund became party to a subscription financing facility (the “2021 HSBC Credit Facility”) evidenced by Revolving Credit Agreement, dated as of June 14, 2019 (as amended, restated, supplemented or otherwise modified from time to time, the “2021 HSBC Credit Agreement”), by and among AB-Abbott Private Equity Investors 2019 (Delaware) Fund L.P., AB-Abbott Private Equity Investors 2020 (Delaware) Fund L.P., AB-Abbott Private Equity Solutions 2021 (Delaware) Fund L.P., AB Private Credit Investors Middle Market Direct Lending Fund L.P., AB-Abbott Private Equity Solutions 2022 (Delaware), affiliates of the Fund, the banks and financial institutions from time to time party thereto as lenders, and HSBC as administrative agent.” The Fund Group Facility Sublimit (as defined in the 2021 HSBC Credit Agreement) applicable to the Fund under the 2021 HSBC Credit Facility is $
50 million. Borrowings under the 2021 HSBC Credit Facility bear interest at a rate per annum equal to (i) with respect to SOFR Loans, Adjusted Term SOFR (as defined in the 2021 HSBC Credit Agreement) plus the Applicable Margin (as defined in the 2021 HSBC Credit Agreement) for the applicable Interest Period (as defined in the 2021 HSBC Credit Agreement) and (ii) with respect to Reference Rate Loans (as defined in the 2021 HSBC Credit Agreement), the Reference Rate (as defined in the 2021 HSBC Credit Agreement) in effect from day to day. The Fund will also pay an unused commitment fee of 0.35%.
Proceeds under the 2021 HSBC Credit Agreement may be used for any purpose permitted under the Fund’s organizational documents, including general corporate purposes such as the making of investments. The 2021 HSBC Credit Agreement contains certain customary covenants and events of default, with customary cure and notice provisions. As of March 31, 2023, the Fund is in compliance with these covenants. The Fund’s obligations under the 2021 HSBC Credit Agreement are secured by the Capital Commitments and capital contributions.
 
 
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8

On June 10, 2022, the Fund entered into amendment no. 6 to the 2021 HSBC Credit Agreement. The 2021 HSBC Credit Agreement Amendment no. 6 (i) extended the maturity date of the 2021 HSBC Credit Facility from June 10, 2022 to June 9, 2023 and (ii) reduced the Fund’s sublimit commitment from $50,000,000 to $33,000,000.
On November 10, 2022, the Fund entered into amendment no. 7 to the 2021 HSBC Credit Agreement. The 2021 HSBC Credit Agreement Amendment no. 7 (i) temporarily increased the 2021 HSBC Credit Facility’s maximum commitment from $135,000,000 to $200,000,000 until March 31, 2023 (the “Temporary Increase Maturity Date”) and (ii) temporarily increased the Fund’s sublimit commitment from $33,000,000 to $50,000,000 until the Temporary Increase Maturity Date.
On March 30, 2023, the Fund entered into amendment no. 8 to the 2021 HSBC Credit Agreement. The 2021 HSBC Credit Agreement Amendment no. 8 extended the
Temporary
Increase Maturity Date from March 31, 2023 until June 9, 2023.
Synovus Credit Facility
On October 15, 2020, ABPCIC Funding II entered into a revolving credit facility (the “Synovus Credit Facility”) with Synovus Bank, Specialty Finance Division (“Synovus”), as facility agent, and U.S. Bank, National Association (“U.S. Bank”), as collateral agent (in such capacity, the “Synovus Collateral Agent”), collateral custodian (in such capacity, the “Synovus Collateral Custodian”) and securities intermediary (in such capacity, the “Synovus Securities Intermediary”). On April 16, 2021, pursuant to an amendment to the loan financing and servicing agreement (the “Synovus Loan Agreement”), the Fund increased the commitment of the existing lender by $20,000,000 from $100,000,000 to $120,000,000 and added WebBank as an additional lender with a commitment of $30,000,000.
On December 31, 2021, pursuant to an amendment to the Synovus Loan Agreement, ABPCIC Funding II added Axos Bank as an additional lender with a commitment of $50,000,000.
The Synovus Credit Facility provides for borrowings in an aggregate amount up to $200,000,000. Borrowings under the
Synovus Credit Facility bear interest based on an annual adjusted SOFR for the relevant interest period, plus an applicable spread. Interest is payable quarterly in arrears. Any amounts borrowed under the Synovus Credit Facility will mature, and all accrued and unpaid interest thereunder will be due and payable, on the
earlier of (i) October 15, 2025 (or such later date mutually agreed to by ABPCIC Funding II and Synovus) or (ii) upon certain events which result in accelerated maturity under the agreements establishing the Synovus Credit Facility. Borrowing under the Synovus Credit Facility is subject to certain restrictions contained in the 1940 Act.
 
39


Borrowings under the Synovus Credit Facility are secured by all of the assets held by ABPCIC Funding II. Pursuant to the agreements establishing the Synovus Credit Facility, the Adviser will perform certain duties with respect to the purchase and management of the assets securing the Synovus Credit Facility. The Adviser will not receive a fee for these services so long as the Adviser or an affiliate thereof continues providing such services. ABPCIC Funding II will reimburse all reasonable expenses, disbursements and advances incurred or made by the Adviser in the performance of its obligations relating to the Synovus Credit Facility.
All of the collateral pledged to the lenders by ABPCIC Funding II under the Synovus Credit Facility is held in the custody of the Synovus Collateral Custodian or the Synovus Securities Intermediary. The Synovus Collateral Custodian will maintain and perform certain custodial services with respect to the collateral pledged to support the Synovus Credit Facility. As compensation for the services rendered by U.S. Bank in its capacities as Synovus Collateral Custodian and Synovus Collateral Agent, ABPCIC Funding II will pay U.S. Bank, on a quarterly basis, customary fee amounts and reimburse U.S. Bank for its reasonable
out-of-pocket
expenses. The Synovus Credit Facility contains certain customary covenants and events of default, with customary cure and notice provisions. As of March 31, 2023, the Fund is in compliance with these covenants.
Natixis Credit Facility
On March 24, 2021, ABPCIC Funding III entered into a warehouse financing transaction (the “Natixis Credit Facility,” and together with the 2021 HSBC Credit Facility and the Synovus Credit Facility, the “Revolving Credit Facilities”) with Natixis, New York Branch, as administrative agent (in such capacity, the “Natixis Administrative Agent”) and U.S. Bank, as collateral agent (in such capacity, the “Natixis Collateral Agent”), collateral administrator (in such capacity, the “Natixis Collateral Administrator”) and custodian (in such capacity, the “Natixis Custodian”). In connection with the Natixis Credit Facility, ABPCIC Funding III entered into, among other agreements, (i) the credit agreement (the “Natixis Credit Agreement”) among ABPCIC Funding III, the lenders referred to therein, the Natixis Administrative Agent, the Natixis Collateral Agent, the Natixis Collateral Administrator and the Natixis Custodian, (ii) the account control agreement (the “Natixis Account Control Agreement”) among ABPCIC Funding III, as debtor, the Natixis Collateral Agent, as secured party, and U.S. Bank National Association, as securities intermediary (in such capacity, the “Natixis Securities Intermediary”), (iii) the collateral management agreement (the “Natixis Collateral Management Agreement”), between ABPCIC Funding III and the Adviser, as collateral manager (in such capacity, the “Natixis Collateral Manager”), (iv) the collateral administration agreement (the “Natixis Collateral Administration Agreement”), among ABPCIC Funding III, the Natixis Collateral Manager and the Natixis Collateral Administrator and (v) the master loan sale and contribution agreement between ABPCIC Funding III and the Fund.
On July 1, 2021, ABPCIC Funding III entered into an amendment to the Natixis Credit Agreement providing for, among other things, an upsize of the aggregate principal amount of the commitments under the Natixis Credit Agreement from $100,000,000 to $150,000,000. On November 5, 2021, pursuant to an amendment to Natixis Credit Agreement, the Fund increased the commitment of the existing lender by $75,000,000 from $150,000,000 to $225,000,000. On March 4, 2022, pursuant to Amendment No 4 to the Natixis Credit Agreement, ABPCIC Funding III increased the commitment by $25,000,000 from $225,000,000 to $250,000,000. On May 27, 2022, pursuant to Amendment No. 5 to the Natixis Credit Agreement, ABPCIC Funding III increased the commitment by $50,000,000 from $250,000,000 to $300,000,000. On September 30, 2022, pursuant to Amendment No. 6 to the Natixis Credit Agreement, the Reinvestment Period (as defined in the Natixis Credit Agreement) outside date was extended from 18 months after the Closing Date (as defined in the Natixis Credit Agreement) to 24 months after the Closing Date.
The Natixis Credit Facility provides for borrowings in an aggregate amount up to $300,000,000. Borrowings under the Natixis Credit Agreement will bear interest based on an annual adjusted SOFR for the relevant interest period plus an applicable spread. Interest is payable quarterly in arrears. Any amounts borrowed under the Natixis Credit Agreement will mature, and all accrued and unpaid interest thereunder will be due and payable, on the earlier of (i)
 maturity date
 March 24, 2031 (or such later date mutually agreed to by ABPCIC Funding III and the Natixis Administrative Agent) or (ii) upon certain other events which result in accelerated maturity under the Natixis Credit Facility. Borrowing under the Natixis Credit Facility is subject to certain restrictions contained in the 1940 Act.
Borrowings under the Natixis Credit Agreement are secured by all of the assets held by ABPCIC Funding III. Pursuant to the Natixis Collateral Management Agreement, the Natixis Collateral Manager will perform certain duties with respect to the purchase and management of the assets securing the Natixis Credit Facility. The Natixis Collateral Manager will not receive a fee for these services so long as the Adviser or an affiliate thereof continues providing such services. ABPCIC Funding III will reimburse the expenses incurred by the Natixis Collateral Manager in the performance of its obligations under the Natixis Collateral Management Agreement other than any ordinary overhead expenses, which shall not be reimbursed. ABPCIC Funding III has made customary representations and warranties under the Natixis Collateral Management Agreement and is required to comply with various covenants, reporting requirements and other customary requirements for similar credit facilities. As of March 31, 2023, the Fund is in compliance with these covenants.
 
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Table of Contents
All of the collateral pledged to the lenders by ABPCIC Funding III under the Natixis Credit Agreement is held in the custody of the Natixis Custodian under the Natixis Account Control Agreement. The Natixis Collateral Administrator will maintain and perform certain collateral administration services with respect to the collateral pursuant to the Natixis Collateral Administration Agreement. As compensation for the services rendered by the Natixis Collateral Administrator, ABPCIC Funding III will pay the Natixis Collateral Administrator, on a quarterly basis, customary fee amounts and reimburse the Natixis Collateral Administrator for its reasonable
out-of-pocket
expenses. The Natixis Collateral Administration Agreement and the obligations of the Natixis Collateral Administrator will continue until the earlier of (i) the liquidation of the collateral and the final distribution of the proceeds of such liquidation, (ii) the date on which all obligations have been paid in full or (iii) the termination of the Natixis Collateral Management Agreement.
The reinvestment period of ABPCIC Funding III has expired on March 24, 2023. On May 3, 2023, CLO XIII completed a $
395,000,000
term debt securitization. ABPCIC Funding III merged with CLO XIII as part of the transaction closing.
The Fund’s outstanding borrowings through the Revolving Credit Facilities as of March 31, 2023 were as follows:
 
    
Aggregate Borrowing

Amount Committed
    
Outstanding

Borrowing
    
Amount

Available
    
Carrying

Value
 
HSBC
   $ 50,000,000      $ 28,000,000      $ 22,000,000      $ 28,000,000  
Synovus
     200,000,000        192,000,000        8,000,000        192,000,000  
Natixis
     300,000,000        300,000,000                  300,000,000  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
   $ 550,000,000      $ 520,000,000      $ 30,000,000      $ 520,000,000  
    
 
 
    
 
 
    
 
 
    
 
 
 
The Fund’s outstanding borrowings through the Revolving Credit Facilities as of December 31, 2022 were as follows:
 
    
Aggregate Borrowing

Amount Committed
    
Outstanding

Borrowing
    
Amount

Available
    
Carrying

Value
 
HSBC
   $ 50,000,000      $         $ 50,000,000      $     
Synovus
     200,000,000        180,000,000        20,000,000        180,000,000  
Natixis
     300,000,000        268,000,000        32,000,000        268,000,000  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
   $ 550,000,000      $ 448,000,000      $ 102,000,000      $ 448,000,000  
    
 
 
    
 
 
    
 
 
    
 
 
 
As of March 31, 2023 and December 31, 2022, deferred financing costs were $546,904 and $1,146,619, respectively, which remain to be amortized, and are reflected on the consolidated statements of assets and liabilities.
Collateralized Loan Obligations
On August 9, 2019, CLO VI (the “Issuer”) and ABPCI Direct Lending Fund CLO VI LLC, a limited liability company organized under the laws of the State of Delaware (the
“Co-Issuer,”
and together with the Issuer, the
“Co-Issuers”),
each a newly formed special purpose vehicle, completed a $300,500,000 term debt securitization (the “CLO Transaction”). The stated reinvestment date was August 9, 2022.
The CLO VI indenture was refinanced under terms of the first supplemental indenture dated April 28, 2022 among the Issuer and U.S. Bank National Association, as trustee. As a result of the refinancing, the outstanding notes under the indenture dated August 9, 2019 in the amount of $300,500,000 were paid off, and the unamortized debt discount and debt issuance costs were accelerated into interest and borrowing expenses on the consolidated statements of operations. The Issuer issued new notes as listed below.
 
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Table of Contents
The CLO Transaction was executed through a private placement and the notes offered (the “Notes”) that remain outstanding as of March 31, 2023 and December 31, 2022 were as follows:
 
                                                                                        
    
March 31, 2023
 
    
Principal
Amount
    
Interest Rate
   
Carrying
Value
(1)
 
Class A-1-R
Senior Secured Floating Rate Note
(“Class A-1-R”)
  
$
98,250,000
 
  
 
S + 1.83
 
$
97,415,995
 
Class A-1-L
Senior Secured Floating Rate Note
(“Class A-1-L”)
  
$
75,000,000
 
  
 
S + 1.83
 
$
74,665,817
 
Class A-1-F
Senior Secured Fixed Rate Note
(“Class A-1-F”)
  
$
30,000,000
 
  
 
4.305
 
$
29,866,327
 
Class A-2-R
Senior Secured Deferrable Floating Rate
(“Class A-2-R”)
  
$
43,500,000
 
  
 
S + 2.25
 
$
43,306,196
 
Class B-R
Senior Secured Deferrable Floating Rate
(“Class B-R”)
  
$
19,250,000
 
  
 
S + 3.10
 
$
—  
Class C-R
Secured Deferrable Floating Rate Note
(“Class C-R”)
  
$
20,125,000
 
  
 
S + 4.15
 
$
—  
Subordinated Notes
  
$
61,320,000
 
  
 
N/A
 
 
$
—  
 
*
Class
B-R,
Class C-R
and Subordinated Notes are held by the Fund and have been eliminated in consolidation.
(1)
Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $396,378 and $1,099,287, respectively, as of March 31, 2023 and are reflected on the consolidated statements of assets and liabilities.
 
                                                                                        
    
December 31, 2022
 
    
Principal
Amount
    
Interest Rate
   
Carrying
Value
(1)
 
Class A-1-R
Senior Secured Floating Rate Note
(“Class A-1-R”)
  
$
98,250,000
 
  
 
S + 1.83
 
$
97,345,789
 
Class A-1-L
Senior Secured Floating Rate Note
(“Class A-1-L”)
  
$
75,000,000
 
  
 
S + 1.83
 
$
74,626,138
 
Class A-1-F
Senior Secured Fixed Rate Note
(“Class A-1-F”)
  
$
30,000,000
 
  
 
4.305
 
$
29,850,455
 
Class A-2-R
Senior Secured Deferrable Floating Rate
(“Class A-2-R”)
  
$
43,500,000
 
  
 
S + 2.25
 
$
43,283,185
 
Class B-R
Senior Secured Deferrable Floating Rate
(“Class B-R”)
  
$
19,250,000
 
  
 
S + 3.10
 
$
—  
Class C-R
Secured Deferrable Floating Rate Note
(“Class C-R”)
  
$
20,125,000
 
  
 
S + 4.15
 
$
—  
Subordinated Notes
  
$
61,320,000
 
  
 
N/A
 
 
$
—  
 
*
Class
B-R,
Class C-R
and Subordinated Notes are held by the Fund and have been eliminated in consolidation.
(1)
Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $414,624 and $1,229,809, respectively, as of December 31, 2022 and are reflected on the consolidated statements of assets and liabilities.
The CLO VI indenture provides that the holders of the Notes are to receive quarterly interest payments, in arrears, on the 27th day in January, April, July and October of each year, commencing in July 2022. The Notes will mature on April 27, 2034.
The Notes are the secured obligations of the
Co-Issuers,
and the indenture governing the Notes includes customary covenants and events of default. The Notes have not been, and will not be, registered under the Securities Act or any state securities or “blue sky” laws and may not be offered or sold in the United States absent registration with the Securities and Exchange Commission or an applicable exemption from registration.
The Adviser serves as collateral manager to the Issuer pursuant to a collateral management agreement between the Adviser and the Issuer (the “CLO Collateral Management Agreement”). For so long as the Adviser serves as collateral manager to the Issuer, the Adviser will elect to irrevocably waive any base management fee or subordinated interest to which it may be entitled under the CLO Collateral Management Agreement. For the three months ended March 31, 2023, the Fund did not incur any collateral management fees. For the three months ended March 31, 2022, the Fund incurred collateral management fees of $456,498, which was voluntarily waived by the Adviser. Pursuant to a new CLO notes issuance, a collateral management fee is no longer charged as long as the Adviser serves as a collateral manager.
 
4
2

Table of Contents
Secured Borrowings
From time to time, the Fund may engage in
sale/buy-back
agreements, with Macquarie US Trading LLC (the “Macquarie Sale/Buy Back”), which are a type of secured borrowing. The amount, interest rate and terms of these agreements will be individually negotiated on a
transaction-by-transaction
basis. Each borrowing is secured by an interest in an underlying asset which is participated or assigned to the
sale/buy-back
counterparty for the duration of the agreement.
Secured Borrowings outstanding as of March 31, 2023, were as follows:
 
Loan Name
 
Trade Date
 
 
Maturity Date
 
bps Daily Rate
 
 
Amount
 
Coupa Software Incorporated
    2/28/2023     25 days or less from trade date     2.34     $ 8,768,765  
                       
 
 
 
                        $ 8,768,765  
                       
 
 
 
Secured Borrowings outstanding as of December 31, 2022, were as follows:
 
Loan Name
  Trade Date    
Maturity Date
  bps Daily Rate     Amount  
Saviynt, Inc.
    12/22/2022     90 days or less from trade date     2.27     $ 5,917,275  
                       
 
 
 
                        $ 5,917,275  
                       
 
 
 
As of March 31, 2023 and December 31, 2022 total outstanding borrowings, net of unamortized discount and debt issuance costs, under the Revolving Credit Facilities, Notes, and Secured Borrowings were $774,023,100 and $699,022,842, respectively.
Interest Expense on Borrowings
For the three months ended March 31, 2023 and March 31, 2022, the components of interest and other debt expenses related to the borrowings were as follows:
 
    
For the three months ended
 
    
March 31, 2023
   
March 31, 2022
 
Interest and borrowing expenses
   $ 12,921,645     $ 3,844,607  
Commitment fees
     86,532       131,416  
Amortization of discount, debt issuance and deferred financing costs
     773,483       1,164,762  
    
 
 
   
 
 
 
Total
   $ 13,781,660     $ 5,140,785  
    
 
 
   
 
 
 
Weighted average interest rate
(1)
     7.23     2.65
Average outstanding balance
   $ 724,943,300     $ 587,636,262  
 
(1)
Calculated as the amount of the stated interest and borrowing expenses divided by average borrowings during the period.
5. Fair Value Measurement
In accordance with ASC 820, fair value is defined as the price that the Fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. ASC 820 also establishes a framework for measuring fair value and a three-level hierarchy for fair value measurements based upon the transparency of inputs to the valuation of an asset or liability. Inputs may be observable or unobservable and refer broadly to the assumptions that market participants would use in pricing the asset or liability as of the reporting date.
Observable inputs reflect the assumptions market participants would use in pricing the asset or liability based on market data obtained from sources independent of the Fund. Unobservable inputs reflect the Fund’s own assumptions about the assumptions that market participants would use in pricing the asset or liability developed based on the best information available in the circumstances. Each investment is assigned a level based upon the observability of the inputs which are significant to the overall valuation.
The three-tier hierarchy of inputs is summarized below:
 
   
Level 1 – Quoted prices in active markets for identical investments.
 
   
Level 2 – Other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).
 
   
Level 3 – Significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments at the reporting date).
The level in the fair value hierarchy within which the fair value measurement is categorized in its entirety is determined on the basis of the lowest level input that is significant to the fair value measurement in its entirety. For this purpose, the significance of an input is assessed against the fair value measurement in its entirety. If a fair value measurement uses observable inputs that require significant adjustment based on unobservable inputs, that measurement is a Level 3 measurement. If a fair value measurement uses price data vendors or observable market price quotations, that measurement is usually a Level 2 measurement. Assessing the significance of a particular input to the fair value measurement in its entirety requires judgment, considering factors specific to the asset or liability.
 
4
3

Table of Contents
The determination of what constitutes “observable” requires significant judgment by the Fund. The Fund considers observable data to be that market data that is readily available, regularly distributed or updated, reliable and verifiable, not proprietary, and provided by independent sources that are actively involved in the relevant market.
For certain investments, the Fund uses the net asset value of these investments as a practical expedient to determine their fair value. Due to the uncertainty inherent in valuing such positions, their estimated values could differ significantly from the values that could have been used had a ready market for such positions existed.
Valuation of Investments
Pursuant to the amended SEC Rule
2a-5
of the 1940 Act, the Board designated the Adviser as the Fund’s “valuation designee.” In this capacity, the Adviser is responsible, among other things, for making all fair value determinations relating to the Fund’s portfolio investments, subject to the Board’s oversight. Investments are valued at fair value as determined in good faith by our Adviser, as valuation designee, based on input of management, the audit committee and independent valuation firms that have been engaged to assist in the valuation of each portfolio investment without a readily available market quotation under a valuation policy. The Adviser principally carries out its fair value responsibilities through its Valuation
Sub-Committee.
This valuation process is conducted at the end of each fiscal quarter.
The fair values of loan investments based upon pricing data vendors or observable market price quotations are generally categorized as Level 2; however, those priced using models with significant unobservable inputs are categorized as Level 3.
In determining the fair value of the Fund’s Level 3 debt and equity positions, the Adviser and the independent valuation firms use the following factors where relevant: loan to value (“LTV”) based on an enterprise value determined using the original purchase price, public equity comparable, recent M&A transaction, and a discounted cash flow (“DCF”) analysis, and yields from comparable loans, comparable high yield bonds, high yield indexes and loan indexes (“comparable yields”).
Due to the inherent uncertainty of valuations, however, estimated fair values may differ from the values that would have been used had a readily available market for the securities existed and the differences could be material.
The following tables summarize the valuation of the Fund’s investments as of March 31, 2023:
 
Assets*
  
Level 1
    
Level 2
    
Level 3
    
Total
 
Cash Equivalents
                                   
Investment Companies
   $ 54,630,117      $         $         $ 54,630,117  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total Cash Equivalents
   $ 54,630,117      $         $         $ 54,630,117  
    
 
 
    
 
 
    
 
 
    
 
 
 
         
Assets*
  
Level 1
    
Level 2
    
Level 3
    
Total
 
1st Lien/Senior Secured Debt
   $         $         $  1,143,781,007      $  1,143,781,007  
2nd Lien/Junior Secured Debt
                         10,500,557        10,500,557  
Preferred Stock
                         9,410,941        9,410,941  
Common Stock
     692,539                  8,144,940        8,837,479  
Warrants
                         1,096,701        1,096,701  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
   $ 692,539      $         $ 1,172,934,146      $ 1,173,626,685  
    
 
 
    
 
 
    
 
 
    
 
 
 
Investments valued at NAV as a practical expedient
#
                                5,716,977  
                               
 
 
 
Total assets
#
                              $ 1,179,343,662  
                               
 
 
 
 
*
See consolidated schedule of investments for industry classifications.
The following table summarizes the valuation of the Fund’s investments as of December 31, 2022:
 
Assets*
  
Level 1
    
Level 2
    
Level 3
    
Total
 
Cash Equivalents
                                   
Investment Companies
   $ 28,971,985      $         $         $ 28,971,985  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
Cash Equivalents
   $ 28,971,985      $         $         $ 28,971,985  
    
 
 
    
 
 
    
 
 
    
 
 
 
         
Assets*
  
Level 1
    
Level 2
    
Level 3
    
Total
 
1st Lien/Senior Secured Debt
   $         $         $ 1,088,190,382      $ 1,088,190,382  
2nd Lien/Junior Secured Debt
                         10,640,036        10,640,036  
Preferred Stock
                         9,218,222        9,218,222  
Common Stock
     449,864                  7,420,892        7,870,756  
Warrants
                      994,095        994,095  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
   $ 449,864      $         $ 1,116,463,627      $ 1,116,913,491  
    
 
 
    
 
 
    
 
 
    
 
 
 
Investments valued at NAV as a practical expedient
#
                                5,603,604  
                               
 
 
 
Total assets
#
                              $ 1,122,517,095  
                               
 
 
 
 
*
See consolidated schedule of investments for industry classifications.
#
Certain investments that are measured at fair value using NAV have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amount presented in the consolidated statements of assets and liabilities.
 
4
4

The following is a reconciliation of Level 3 assets for the three months ended March 31, 2023:
 
 
 
1st

Lien/Senior
Secured

Debt
 
 
2nd

Lien/Junior

Secured Debt
 
 
Preferred

Stock
 
 
Common

Stock
 
 
Warrants
 
 
Total
 
Balance as of January 1, 2023
  $ 1,088,190,382     $ 10,640,036     $ 9,218,222     $ 7,420,892     $ 994,095     $ 1,116,463,627  
Purchases (including PIK)
    64,396,126                      725,512                65,121,638  
Sales and principal payments
    (14,144,514              (53,047     (36,769 )              (14,234,330
Realized Gain (Loss)
                            5,453                5,453  
Net Amortization of Premium/Discount
    1,378,704       5,668                                  1,384,372  
Transfers In
                                                     
Transfers Out
                                                     
Net Change in Unrealized Appreciation (Depreciation)
    3,960,309       (145,147     245,766       29,852       102,606       4,193,386  
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Balance as of March 31, 2023
  $  1,143,781,007     $  10,500,557     $  9,410,941     $  8,144,940     $  1,096,701     $  1,172,934,146  
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Change in Unrealized Appreciation (Depreciation) for Investments Still Held
  $ 4,080,070     $ (145,148   $ 246,034     $ 32,030     $ 102,606     $ 4,315,592  
For the three months ended March 31, 2023, there were no transfers into or out of Level 3.
The following is a reconciliation of Level 3 assets for the year ended December 31, 2022:
 
 
 
1st

Lien/Senior

Secured

Debt
 
 
2nd

Lien/Junior

Secured Debt
 
 
Preferred

Stock
 
 
Common

Stock
 
 
Warrants
 
 
Total
 
Balance as of January 1, 2022
  $ 859,412,243     $ 10,677,299     $ 12,563,914     $ 4,695,735     $ 1,111,543     $ 888,460,734  
Purchases (including PIK)
    447,434,086       220,045       2,396,024       2,683,623       43,880       452,777,658  
Sales and principal payments
    (196,946,622              (8,919,847 )     (159,711 )     (299,962     (206,326,142
Realized Gain (Loss)
    (19,544              5,415,842       (46 )     275,999       5,672,251  
Net Amortization of Premium/Discount
    6,629,933       21,713                               6,651,646  
Transfers In
                      426,294                426,294  
Transfers Out
                      (802,902 )              (802,902
Net Change in Unrealized Appreciation
(Depreciation)
    (28,319,714     (279,021     (2,237,711 )     577,899       (137,365     (30,395,912
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Balance as of December 31, 2022
  $  1,088,190,382     $  10,640,036     $  9,218,222     $ 7,420,892     $ 994,095     $  1,116,463,627  
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
   
 
 
 
Change in Unrealized Appreciation (Depreciation)
 
for
Investments Still Held
  $ (25,834,883   $ (279,021   $ (2,018,945 )   $ 577,899     $ 89,851     $ (27,465,099

4
5

For the year ended December 31, 2022, amounts of $426,294 of Common Stock were transferred into Level 3 from Investments valued at net asset value as a practical expedient due to the decreased transparency of the price inputs used in the valuation of these positions. Further amounts of $802,902 of Common Stock were transferred out of Level 3 as these positions are now valued using their net asset values as a practical expedient and therefore are excluded from levels 1, 2 or 3.
The following tables present the ranges of significant unobservable inputs used to value the Fund’s Level 3 investments as of March 31, 2023 and December 31, 2022, respectively. These ranges represent the significant unobservable inputs that were used in the valuation of each type of investment. These inputs are not representative of the inputs that could have been used in the valuation of any one investment. Accordingly, the ranges of inputs presented below do not represent uncertainty in, or possible ranges of, fair value measurements of the Fund’s Level 3 investments.

 
 
  
Fair Value as of
March 31,
2023
  
Valuation
Techniques
  
Unobservable
Input
  
Range/Input (Weighted
Average)
(1)
  
Impact to
Valuation from an
Increase in Input
Assets:
  
  
  
  
  
1st Lien/Senior Secured Debt
  
1,112,170,580
  
Market Yield Analysis
  
Market Yield
  
9.5% - 24.5%
 
(11.7%)
  
Decrease
  
4,877,395
  
Market Approach
  
EBITDA Multiple
  
4.6x - 15.8x
 
(15.7x)
  
Increase
  
11,721,487
  
Market Approach
  
Revenue Multiple
  
0.5x - 0.6x
 
(0.6x)
  
Increase
  
30,307
  
Liquidation
Value
  
Asset Value
  
N/A
  
Increase
  
14,981,238
  
Recent Purchase
  
Purchase Price
  
N/A
  
N/A
2nd Lien/Junior Secured Debt
  
10,500,557
  
Market Yield Analysis
  
Market Yield
  
13.8% - 16.1%
 
(14.4%)
  
Decrease
Common Stock
  
4,128,934
  
Market Approach
  
EBITDA Multiple
  
8.3x - 30.0x
 
(14.0x)
  
Increase
  
971,159
  
Market Approach
  
Revenue Multiple
  
0.8x - 36.1x
 
(9.7x)
  
Increase
  
337,007
  
Market Approach
  
Network Cashflow Multiple
  
31.0x
  
Increase
  
417,885
  
Market Approach
  
Dividend Yield
  
14.3%
  
Decrease
  
2,289,955
  
Recent Purchase
  
Purchase Price
  
N/A
  
N/A
Preferred Stock
  
4,710,061
  
Market Approach
  
Revenue Multiple
  
0.5x - 11.0x
 
(8.0x)
  
Increase
  
4,527,043
  
Market Yield Analysis
  
Dividend Yield
  
12.5% - 18.9%
 
(16.2%)
  
Decrease
  
173,837
  
Expected Repayment
  
Redemption Price
  
N/A
  
N/A
Warrants
  
1,096,701
  
Market Approach
  
Revenue Multiple
  
 
0.5x - 8.5x
 
(7.9x)
  
Increase
Total Assets
  
1,172,934,146
  
  
  
  

(1)
 
Weighted averages are calculated based on fair value of investments.
 
4
6

    
Fair Value as of
December 31,
2022
  
Valuation
Techniques
  
Unobservable
Input
  
Range/Input
(Weighted
Average)
(1)
  
Impact to
Valuation from an
Increase in Input
Assets:
                        
1st Lien/Senior Secured Debt
   1,017,673,836    Market Yield Analysis    Market Yield   
9.1% - 24.5% (11.5%)
   Decrease
     3,196,797    Market Approach    EBITDA Multiple    4.6x - 10.0x (9.9x)    Increase
     2,625,128    Market Approach    Revenue Multiple    0.5x    Increase
     255,988    Liquidition Value    Asset Value    N/A    Increase
     64,438,633    Recent Purchase    Purchase Price    N/A    N/A
2nd Lien/Junior Secured Debt
   10,640,036    Market Yield Analysis    Market Yield   
13.7% - 14.6% (14.3%)
   Decrease
Common Stock
   4,066,465    Market Approach    EBITDA Multiple    8.0x - 30.0x (13.5x)    Increase
     997,684    Market Approach    Revenue Multiple    0.8x - 36.1x (10.8x)    Increase
     332,454    Market Approach    Network Cashflow Multiple    33.0x    Increase
     404,565    Market Approach    Dividend Yield    14.3%    Decrease
     1,619,724    Recent Purchase    Purchase Price    N/A    N/A
Preferred Stock
   4,689,366    Market Approach    Revenue Multiple    0.5x - 12.0x (8.2x)    Increase
     4,355,019    Market Yield Analysis    Dividend Yield    12.5% - 17.5% (15.6%)    Decrease
     173,837    Expected Repayment    Redemption Price    N/A    N/A
Warrants
  
994,095
  
Market Approach
  
Revenue Multiple
   0.5x - 8.5x (8.2x)    Increase
Total Assets
   1,116,463,627                    
 
(1)
 
Weighted averages are calculated based on fair value of investments.
Financial Instruments Disclosed, But Not Carried, At Fair Value
The following table presents the carrying value and fair value of the Fund’s financial liabilities disclosed, but not carried, at fair value as of March 31, 2023 and the level of each financial liability within the fair value hierarchy.
 
 
  
Carrying

Value
(1)
 
  
Fair

Value
 
  
Level 1
 
  
Level 2
 
  
Level 3
 
Class A-1-R
Senior Secured Floating Rate Note
   $ 97,415,995      $ 96,285,000      $         $         $ 96,285,000  
Class A-1-L
Senior Secured Floating Rate Note
     74,665,817        73,500,000                            73,500,000  
Class A-1-F
Senior Secured Fixed Rate Note
     29,866,327        28,725,000                            28,725,000  
Class A-2-R
Senior Secured Deferrable Floating Rate
     43,306,196        41,433,750                            41,433,750  
    
 
 
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
   $ 245,254,335      $ 239,943,750      $         $         $ 239,943,750  
    
 
 
    
 
 
    
 
 
    
 
 
    
 
 
 
 
(1)
Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $396,378 and $1,099,287 as of March 31, 2023 and are reflected on the consolidated statements of assets and liabilities.
The following table presents the carrying value and fair value of the Fund’s financial liabilities disclosed, but not carried, at fair value as of December 31, 2022 and the level of each financial liability within the fair value hierarchy.
 
    
Carrying

Value
(1)
    
Fair

Value
    
Level 1
    
Level 2
    
Level 3
 
Class A-1-R
Senior Secured Floating Rate Note
   $ 97,345,789      $ 96,039,375      $         $         $ 96,039,375  
Class A-1-L
Senior Secured Floating Rate Note
     74,626,138        73,312,500                            73,312,500  
Class A-1-F
Senior Secured Fixed Rate Note
     29,850,455        28,275,000                            28,275,000  
Class A-2-R
Senior Secured Deferrable Floating Rate
     43,283,185        41,216,250                            41,216,250  
    
 
 
    
 
 
    
 
 
    
 
 
    
 
 
 
Total
   $ 245,105,567      $ 238,843,125      $         $         $ 238,843,125  
    
 
 
    
 
 
    
 
 
    
 
 
    
 
 
 
 
(1)
Carrying value is net of unamortized discount and debt issuance costs. Unamortized discount and debt issuance costs associated with the Notes totaled $414,624 and $1,229,809 as of December 31, 2022 and are reflected on the consolidated statements of assets and liabilities.
 
4
7

The Revolving Credit Facilities and Secured Borrowings are recorded at carrying value, which approximates fair value.
6. Comm
itmen
ts & Contingencies
Commitments
The Fund may enter into commitments to fund investments. As of March 31, 2023 and December 31, 2022 the Adviser believed that the Fund had adequate financial resources to satisfy its unfunded commitments. The amounts associated with unfunded commitments to provide funds to portfolio companies are not recorded in the Fund’s consolidated statements of assets and liabilities. Since these commitments and the associated amounts may expire without being drawn upon, the total commitment amount does not necessarily represent a future cash requirement. The Fund had the following unfunded commitments by investment types as of March 31, 2023 and December 31, 2022:
 
           
03/31/2023
   
12/31/2022
 
Investment Type
 
Facility Type
 
Commitment
Expiration
Date (1)
 
Unfunded
Commitment
(2)
   
Fair Value
(3)
   
Unfunded
Commitment
(2)
   
Fair Value
(3)
 
1st Lien/Senior Secured Debt 5 Bars, LLC
  Delayed Draw Term Loan   02/28/2023     —         —         2,845,273       (7,113
5 Bars, LLC
  Revolver   09/27/2024     —         —         646,653       (1,617
AAH Topco, LLC
  Delayed Draw Term Loan   12/22/2023     2,344,916       (70,347     3,689,335       (119,903
AAH Topco, LLC
  Revolver   12/22/2027     787,273       (27,555     787,273       (31,491
Accelerate Resources Operating, LLC
  Revolver   02/24/2026     414,764       —         414,764       —    
Activ Software Holdings, LLC
  Revolver   05/04/2027     648,837       (16,221     648,837       (21,087
Admiral Buyer, Inc
  Delayed Draw Term Loan   05/06/2024     1,576,961       —         1,576,961       (15,770
Admiral Buyer, Inc
  Revolver   05/08/2028     563,200       (4,224     563,200       (11,264
AEG Holding Company, Inc.
  Revolver   11/20/2023     670,119       —         670,119       —    
Airwavz Solutions, Inc
  Delayed Draw Term Loan   03/31/2024     1,958,219       (24,478     3,263,699       (40,796
Airwavz Solutions, Inc
  Revolver   03/31/2027     652,740       (11,423     652,740       (13,055
American Physician Partners, LLC
  Revolver   02/15/2023     —         —         97,681       (14,896
American Physician Partners, LLC
  Delayed Draw Term Loan   02/15/2023     —         —         421,339       (8,427
AMI US Holdings, Inc.
  Revolver   04/01/2024     1,094,605       —         1,094,605       —    
Analogic Corporation
  Revolver   06/22/2023     61,111       (1,375     24,444       (856
AOM Acquisition, LLC.
  Revolver   02/18/2027     1,218,605       (6,093     1,218,605       (9,140
Avalara, Inc.
  Revolver   10/19/2028     1,065,375       (23,971     1,065,375       (26,634
Avant Communications, LLC
  Revolver   11/30/2026     566,910       —         566,910       —    
Avetta, LLC
  Revolver   04/10/2024     494,396       (3,708     494,396       (2,472
BAART Programs, Inc.
  Delayed Draw Term Loan   06/11/2023     —         —         2,750,974       (130,671
Banneker V Acquisition, Inc.
  Revolver   12/04/2025     896,683       (22,417     259,300       —    
Bonterra, LLC
  Delayed Draw Term Loan   09/08/2023     2,746,215       (48,059     2,746,215       (68,655
Bonterra, LLC
  Revolver   09/08/2027     18,521       (463     723,392       (23,510
Bridgepointe Technologies, LLC
  Delayed Draw Term Loan   09/23/2024     1,869,709       (32,720     2,108,716       (57,990
Bridgepointe Technologies, LLC
  Revolver   12/31/2027     777,494       (17,494     777,494       (29,156
Brightspot Buyer, Inc
  Revolver   11/16/2027     680,292       (15,307     680,292       (20,409
 
4
8

BSI2 Hold Nettle, LLC
  Revolver   06/30/2028     588,922       (8,834     588,922       (10,306
BusinesSolver.com, Inc.
  Delayed Draw Term Loan   12/01/2023     1,816,606       (40,874     1,816,606       (45,415
BV EMS Buyer, Inc.
  Delayed Draw Term Loan   03/21/2024     1,706,075       (46,917     2,765,018       (96,776
Cerifi, LLC
  Revolver   04/01/2027     1,107,792       (16,617     1,107,792       (33,234
Certify, Inc
  Revolver   02/28/2024     119,907       (600     119,907       (899
Choice Health At Home, LLC,
  Delayed Draw Term Loan   12/29/2023     1,320,427       (85,828     1,320,427       (52,817
Coding Solutions Acquisition, Inc
  Delayed Draw Term Loan   05/10/2024     1,656,288       (49,689     1,656,288       (62,111
Coding Solutions Acquisition, Inc
  Revolver   05/11/2028     556,752       (22,270     636,288       (30,224
Community Based Care Acquisition, Inc.
  Delayed Draw Term Loan   09/16/2023     109,272       (4,098     109,272       (4,371
Community Based Care Acquisition, Inc.
  Delayed Draw Term Loan   03/29/2024     2,912,094       (80,083     2,912,094       (87,363
Community Based Care Acquisition, Inc.
  Revolver   09/16/2027     604,669       (22,675     863,813       (34,553
Community Brands Parentco, LLC
  Delayed Draw Term Loan   02/24/2024     834,415       (18,774     834,415       (27,118
Community Brands Parentco, LLC
  Revolver   02/24/2028     417,208       (13,559     417,208       (17,731
Coretelligent Intermediate LLC
  Delayed Draw Term Loan   10/21/2023     1,870,703       (32,737     1,870,703       (46,768
Coretelligent Intermediate LLC
  Revolver   10/21/2027     1,171,440       (23,429     1,139,779       (31,344
Coupa Holdings,LLC
  Delayed Draw Term Loan   08/27/2024     948,020       (11,850     —         —    
Coupa Holdings,LLC
  Revolver   02/27/2029     725,890       (18,147     —         —    
Datacor, Inc.
  Delayed Draw Term Loan   03/31/2024     1,431,722       (14,317     1,431,722       (7,159
Datacor, Inc.
  Revolver   12/29/2025     643,849       (12,877     643,849       (9,658
Degreed, Inc.
  Delayed Draw Term Loan   08/18/2023     1,391,394       (31,306     1,391,394       (34,785
Degreed, Inc.
  Delayed Draw Term Loan   08/18/2024     1,321,674       (23,129     1,321,674       (26,433
Degreed, Inc.
  Revolver   05/29/2026     417,813       (11,490     417,813       (12,534
Delaware Valley Management Holdings, Inc.
  Delayed Draw Term Loan   09/18/2023     355,591       (64,006     619,031       (221,304
Dispatch Track, LLC
  Revolver   12/17/2026     301,930       (2,264     301,930       (3,019
EET Buyer, Inc.
  Revolver   11/08/2027     690,794       (15,543     690,794       (13,816
Engage2Excel, Inc.
  Revolver   03/07/2023     —         —         31,409       (864
EvolveIP, LLC
  Revolver   06/07/2025     406,256       (17,266     418,538       (11,510
Exterro, Inc.
  Revolver   05/31/2024     738,562                247,500       (1,238
Faithlife, LLC
  Revolver   09/18/2025     279,053       —         279,053       —    
Fatbeam, LLC
  Delayed Draw Term Loan   02/22/2023     —         —         1,609,623       (8,048
Firstdigital Communications LLC
  Revolver   12/17/2026     1,174,177       (46,967     1,174,177       (49,903
Foundation Risk Partners, Corp.
  Delayed Draw Term Loan   04/14/2024     1,278,703       (67,132     1,278,703       (19,181
Foundation Risk Partners, Corp.
  Revolver   10/29/2027     1,038,062       (57,093     610,625       (10,686
Freddy’s Frozen Custard, L.L.C
  Revolver   03/03/2027     412,270       —         412,270       (4,123
Fusion Holding Corp
  Revolver   09/15/2027     1,379,193       (31,032     1,379,193       (34,480
Fusion Risk Management Inc
  Revolver   08/30/2028     852,848       (25,585     852,848       (29,850
Galway Borrower, LLC
  Delayed Draw Term Loan   09/29/2023     39,209       (882     39,209       (1,274
 
49

Galway Borrower, LLC
  Revolver   09/30/2027     212,272       (6,899     270,410       (11,492
GHA Buyer, Inc.
  Revolver   06/24/2026     951,077       (40,421     951,077       (40,421
Greenhouse Software, Inc.
  Revolver   09/01/2028     887,221       (15,526     1,232,251       (30,806
Greenhouse Software, Inc.
  Revolver   09/01/2028     435,239       (7,617     604,499       (15,112
Greenlight Intermediate II, Inc.
  Delayed Draw Term Loan   05/30/2025     5,519,363       —         6,702,083       (50,266
Gryphon-Redwood Acquisition LLC
  Delayed Draw Term Loan   09/16/2024     1,586,009       (27,755     1,586,009       (35,685
GS AcquisitionCo, Inc.
  Revolver   05/22/2026     456,698       (14,843     456,698       (18,268
Higginbotham Insurance Agency, Inc.
  Delayed Draw Term Loan   12/22/2023     1,194,398       (8,958     1,918,951       (23,987
Honor HN Buyer, Inc
  Delayed Draw Term Loan   10/16/2023     889,740       —         889,740       (2,224
Honor HN Buyer, Inc
  Delayed Draw Term Loan   08/26/2024     2,437,025       —         2,437,025       —    
Honor HN Buyer, Inc
  Revolver   10/15/2027     304,093       —         304,093       (2,281
Iodine Software, LLC
  Delayed Draw Term Loan   10/18/2023     3,436,155       —         3,436,155       (25,771
Iodine Software, LLC
  Revolver   05/19/2027     1,089,030       (13,613     1,089,030       (21,781
Kaseya Inc.
  Delayed Draw Term Loan   06/24/2024     636,776       (12,736     636,776       (19,103
Kaseya Inc.
  Revolver   06/25/2029     636,776       (17,511     636,776       (23,879
Mathnasium LLC
  Revolver   11/15/2027     565,781       (9,901     565,781       (12,730
Mavenlink, Inc.
  Revolver   06/03/2027     1,073,889       (21,478     1,431,852       (39,376
MBS Holdings, Inc.
  Revolver   04/16/2027     974,169       (34,096     974,169       (38,967
Medbridge Holdings, LLC
  Revolver   12/23/2026     1,376,227       (20,643     1,376,227       (30,965
Medical Management Resource Group, LLC
  Revolver   09/30/2026     189,849       (6,645     316,415       (11,866
Medsuite Purchaser, LLC
  Delayed Draw Term Loan   10/23/2023     7,144,203       —         7,144,203       —    
Medsuite Purchaser, LLC
  Revolver   10/22/2026     680,400       (3,402     680,400       (5,103
Metametrics, Inc.
  Revolver   09/10/2025     651,183       —         520,946       (6,512
MMP Intermediate, LLC
  Revolver   02/15/2027     552,880       (16,586     552,880       (19,351
Moon Buyer, Inc.
  Revolver   04/21/2027     1,163,793       (5,819     1,163,793       (2,909
MSM Acquisitions, Inc.
  Delayed Draw Term Loan   01/30/2023     —         —         2,828,188       (113,128
MSM Acquisitions, Inc.
  Revolver   12/09/2026     456,329       (18,253     655,399       (29,493
MSP Global Holdings, Inc.
  Delayed Draw Term Loan   01/24/2024     592,150       (11,843     592,150       (20,725
MSP Global Holdings, Inc.
  Revolver   01/25/2027     845,929       (16,919     845,929       (29,608
Mykaarma Acquisition LLC
  Revolver   03/21/2028     593,215       (10,381     593,215       (16,313
Navigate360, LLC
  Revolver   03/17/2027     —         —         604,235       (12,085
Netwrix Corporation And Concept Searching Inc.
  Delayed Draw Term Loan   06/10/2024     2,938,257       (14,691     2,973,121       (22,298
Netwrix Corporation And Concept Searching Inc.
  Revolver   06/11/2029     581,066       (4,358     774,755       (7,748
OMH-HealthEdge
Holdings, LLC
  Revolver   10/24/2024     458,721       —         458,721       (1,147
Pace Health Companies, LLC
  Revolver   08/02/2024     616,682       (1,542     616,682       (1,542
Peter C. Foy & Associates Insurance Services, LLC
  Delayed Draw Term Loan   12/15/2023     —         —         161,112       (7,250
 
5
0

Ping Identity Corporation
  Revolver   10/17/2028     1,203,344       (27,075     1,203,344       (30,084
Pinnacle Dermatology Management, LLC
  Delayed Draw Term Loan   12/08/2023     606,828       (18,205     798,862       (25,963
Pinnacle Dermatology Management, LLC
  Revolver   12/08/2026     337,980       (4,225     384,068       (4,801
Pinnacle Treatment Centers, Inc.
  Revolver   01/02/2026     161,125       (3,625     292,954       (6,591
Priority Ondemand Midco 2,L.P
  Delayed Draw Term Loan   07/15/2024     2,720,672       (20,405     2,720,672       (30,472
Race Finco LLC
  Delayed Draw Term Loan   01/09/2025     3,658,788       (54,882     —         —    
Race Finco LLC
  Revolver   01/09/2028     609,798       (18,294     —         —    
Ranger Buyer, Inc.
  Revolver   11/18/2027     1,199,233       (26,983     1,199,232       (29,981
Redwood Family Care Network, Inc.
  Delayed Draw Term Loan   04/15/2024     3,665,540       (54,983     3,665,540       (91,638
Redwood Family Care Network, Inc.
  Revolver   06/18/2026     588,705       (8,831     588,705       (14,718
Rep Tec Intermediate Holdings, Inc.
  Revolver   12/01/2027     486,706       (12,168     486,706       (15,818
RSC Acquisition, Inc.
  Delayed Draw Term Loan   05/31/2024     3,332,682       (74,985     4,995,303       (162,347
Sako and Partners Lower Holdings LLC
  Delayed Draw Term Loan   09/16/2024     1,633,575       (8,168     2,840,999       (35,512
Sako and Partners Lower Holdings LLC
  Revolver   09/15/2028     905,569       (15,847     905,569       (24,903
Salisbury House, LLC
  Revolver   08/30/2025     448,343       (11,209     269,006       (10,088
Sandstone Care Holdings, LLC
  Delayed Draw Term Loan   06/28/2024     1,077,728       (21,555     1,177,845       (26,502
Sandstone Care Holdings, LLC
  Revolver   06/28/2028     630,147       (18,904     588,923       (19,140
Sauce Labs, Inc.
  Delayed Draw Term Loan   02/09/2024     2,367,499       (29,594     2,367,499       (35,512
Sauce Labs, Inc.
  Revolver   08/16/2027     1,281,821       (28,841     1,281,821       (32,046
Saviynt, Inc.
  Delayed Draw Term Loan   12/22/2024     6,097,981       (137,205     6,097,981       (152,450
Saviynt, Inc.
  Revolver   12/22/2027     609,798       (13,720     609,798       (15,245
SCA Buyer, LLC
  Revolver   01/20/2026     257,540       (12,877     257,540       (10,302
ScyllaDB, Inc.
  Delayed Draw Term Loan   03/08/2024     660,837       (4,956     660,837       (8,260
ScyllaDB, Inc.
  Revolver   09/08/2027     264,335       (3,304     264,335       (4,626
Securonix, Inc.
  Revolver   04/05/2028     1,538,337       (80,763     1,538,337       (69,225
Single Digits, Inc.
  Revolver   12/21/2023     416,149       (59,301     416,149       (63,463
Sirsi Corporation
  Revolver   03/15/2024     553,741       (1,384     553,741       (2,769
SIS Purchaser, Inc.
  Revolver   10/15/2026     1,165,950       (26,234     1,165,950       (37,893
Smartlinx Solutions, LLC
  Revolver   03/04/2026     —         —         389,613       (11,688
Smile Brands, Inc.
  Revolver   10/12/2025     —         —         166,783       (12,926
Smile Brands, Inc.
  Revolver         16,987       (1,401     —         —    
Soladoc, LLC
  Delayed Draw Term Loan   06/10/2024     2,355,690       (53,003     2,355,690       (53,003
Soladoc, LLC
  Revolver   06/12/2028     588,922       (19,140     588,922       (19,140
Spark DSO LLC
  Revolver   04/20/2026     856,964       (32,136     1,105,760       (38,702
Stratus Networks, Inc.
  Delayed Draw Term Loan   12/15/2023     3,102,306       (23,267     3,630,358       (54,455
Stratus Networks, Inc.
  Revolver   12/15/2027     198,019       (3,465     13,201       (330
SugarCRM, Inc.
  Revolver   07/31/2024     310,244       (3,878     310,244       (4,654
Sundance Group Holdings, Inc.
  Revolver   07/02/2027     1,277,011       (28,733     1,418,901       (39,020
 
5
1

Swiftpage, Inc.
  Revolver   06/13/2023     225,317       (2,253     225,317       (9,576
Syntax Systems Ltd
  Delayed Draw Term Loan   10/30/2023     2,434,137       (109,536     2,434,137       (121,707
Syntax Systems Ltd
  Revolver   10/29/2026     324,552       (14,605     324,552       (16,228
TBG Food Acquisition Corp
  Delayed Draw Term Loan   12/25/2023     1,056,104       (81,848     1,056,104       (84,488
TBG Food Acquisition Corp
  Revolver   12/25/2027     264,026       (20,462     264,026       (21,122
Telcor Buyer, Inc.
  Revolver   08/20/2027     290,770       (8,723     290,770       (7,996
Telesoft Holdings, LLC
  Revolver   12/16/2025     537,180       (9,401     547,128       (12,310
The Center for Orthopedic and Research Excellence, Inc.
  Delayed Draw Term Loan   03/31/2024     1,253,266       (15,666     1,253,266       (18,799
The Center for Orthopedic and Research Excellence, Inc.
  Revolver   08/15/2025     138,106       (2,762     138,106       (3,453
Thrive Buyer, Inc.
  Revolver   01/22/2027     739,815       (7,398     961,759       (14,426
Towerco IV Holdings, LLC
  Delayed Draw Term Loan   10/23/2023     3,080,902       (46,214     3,080,902       (46,214
TRGRP, Inc.
  Revolver   11/01/2023     242,779       —         333,333       —    
Unanet, Inc.
  Delayed Draw Term Loan   12/09/2024     3,790,435       (18,952     3,790,435       (37,904
Unanet, Inc.
  Revolver   12/08/2028     1,263,478       (18,952     1,263,478       (25,270
Ungerboeck Systems International, LLC
  Delayed Draw Term Loan   08/02/2023     204,574       (3,069     204,574       (2,046
Ungerboeck Systems International, LLC
  Revolver   04/30/2027     180,451       (3,609     229,387       (4,588
Valcourt Holdings II, LLC
  Delayed Draw Term Loan   01/09/2023     —         —         279,947       —    
Vectra AI, Inc.
  Delayed Draw Term Loan   03/18/2023     —         —         1,163,793       (34,914
Vectra AI, Inc.
  Revolver   03/18/2026     232,759       (4,655     232,759       (6,983
Vehlo Purchaser, LLC
  Revolver   05/24/2028     —         —         1,239,037       (18,586
Velocity Purchaser Corporation
  Revolver   12/01/2023     193,237       —         193,237       (483
Veracross LLC
  Delayed Draw Term Loan   12/28/2023     267,013       (6,008     1,668,830       (37,549
Veracross LLC
  Revolver   12/28/2027     1,112,553       (25,032     1,112,554       (36,158
Wealth Enhancement Group, LLC
  Delayed Draw Term Loan   05/02/2024     527,263       (7,909     718,075       (10,771
Wealth Enhancement Group, LLC
  Revolver   10/04/2027     457,366       (8,004     457,366       (8,004
West Dermatology
  Delayed Draw Term Loan   06/17/2024     3,731,767       (354,518     3,731,767       (522,447
West Dermatology
  Revolver   03/17/2028     1,243,922       (130,612     1,243,922       (186,588
Zendesk, Inc.
  Delayed Draw Term Loan   11/22/2024     3,333,525       —         3,333,525       (33,335
Zendesk, Inc.
  Revolver   11/22/2028     1,372,628       (13,726     1,372,628       (27,453
           
 
 
   
 
 
   
 
 
   
 
 
 
Total
          $ 171,537,939     $ (3,483,621   $ 193,536,127     $ (5,029,664
           
 
 
   
 
 
   
 
 
   
 
 
 
 
(1)
Commitments are generally subject to borrowers meeting certain criteria such as compliance with covenants and certain operational metrics. These amounts may remain outstanding until the commitment period of an applicable loan expires, which may be shorter than its maturity.
(2)
Net of capitalized fees, expenses and original issue discount (“OID”).
(3)
A negative fair value was reflected as investments, at fair value in the consolidated statements of assets and liabilities. The negative fair value is the result of the capitalized discount on the loan.
 
5
2

Contingencies
In the normal course of business, the Fund enters into contracts that provide a variety of general indemnifications. Any exposure to the Fund under these arrangements could involve future claims that may be made against the Fund. Currently, no such claims exist or are expected to arise and, accordingly, the Fund has not accrued any liability in connection with such indemnifications.
7. Net Assets
Equity Issuance
In connection with its formation, the Fund has the authority to issue 200,000,000 Shares.
On September 29, 2017, the Fund completed its Initial Closing after entering into Subscription Agreements with several investors, including the Adviser, providing for the private placement of Shares. Under the terms of the Subscription Agreements, investors are required to fund drawdowns to purchase Shares up to the amount of their respective Capital Commitments on an
as-needed
basis upon the issuance of a capital draw-down notice. At March 31, 2023 the Fund had total Capital Commitments of $594,505,663, of which 17%
or $99,216,798 
is unfunded. At December 31, 2022, the Fund had total Capital Commitments of $572,772,226, of which 14%
or $77,483,361 
was unfunded. The minimum Capital Commitment of an investor is $50,000. The Adviser, however, may waive the minimum Capital Commitment at its discretion.
Capital Commitments may be drawn down by the Fund on a pro rata basis, as needed (including for
follow-on
investments), for paying the Fund’s expenses, including fees under the Amended and Restated Advisory Agreement, and/or maintaining a reserve account for the payment of future expenses or liabilities.
The following table summarizes the total Shares issued and amount received related to capital drawdowns delivered pursuant to the Subscription Agreements during the three months ended March 31, 2023 and March 31, 2022:
 
    
For the three months ended

March 31, 2023
    
For the three months ended

March 31, 2022
 
Quarter Ended
  
Shares
    
Amount
    
Shares
    
Amount
 
March 31
                         3,095,246      $ 30,684,000  
    
 
 
    
 
 
    
 
 
    
 
 
 
Total capital drawdowns
                         3,095,246      $ 30,684,000  
    
 
 
    
 
 
    
 
 
    
 
 
 
Distributions
The following tables reflect the distributions declared on Shares during the three months ended March 31, 2023 and March 31, 2022:
 
Date Declared
  
Record Date
    
Payment Date
    
Amount Per Share
    
Dollar Amount
 
3/29/2023
     3/29/2023        4/25/2023      $ 0.10      $ 5,139,617  
                               
 
 
 
                                $ 5,139,617  
                               
 
 
 
 
Date Declared
  
Record Date
    
Payment Date
    
Amount Per Share
    
Dollar Amount
 
3/29/2022
     3/29/2022        4/28/2022      $ 0.25      $ 9,709,845  
                               
 
 
 
                                $ 9,709,845  
                               
 
 
 
Dividend Reinvestment Plan
On September 26, 2017, the Fund adopted a dividend reinvestment plan, which was amended and restated on November 11, 2021 (the “DRIP”). Pursuant to the DRIP (both before and after it was amended), stockholders receive dividends or other distributions in cash unless a stockholder elects to reinvest his or her dividends and other distributions. As a result of adopting the DRIP, if the Board authorizes, and the Fund declares, a cash dividend or distribution, stockholders who have opted into the DRIP will have their cash dividends or distributions automatically reinvested in additional Shares, rather than receiving cash.
The following tables summarize Shares distributed pursuant to the DRIP during the three months ended March 31, 2023 and March 31, 2022 to stockholders who opted into the DRIP:
 
Date Declared
  
Record Date
    
Reinvestment Date
    
Shares
    
Dollar Amount
 
3/29/2023
     3/29/2023        3/31/2023        294,604      $ 2,740,870  
                      
 
 
    
 
 
 
                         294,604      $ 2,740,870  
                      
 
 
    
 
 
 
 
Date Declared
  
Record Date
    
Reinvestment Date
    
Shares
    
Dollar Amount
 
3/29/2022
    
3/29/2022
      
3/31/2022
       526,163      $ 5,101,704  
                      
 
 
    
 
 
 
                         526,163      $ 5,101,704  
                      
 
 
    
 
 
 
 
 
5
3

General Tender Program
Beginning with the quarter ended March 31, 2021, the Fund began to conduct quarterly general tender offers (each, a “General Tender,” and collectively, the “General Tender Program”), at the Board’s discretion, in accordance with the requirements of Rule
13e-4
under the Exchange Act and the 1940 Act, to allow each of its stockholders to tender Shares at a specific per Share price (the “Purchase Price”) based on the Fund’s net asset value as of the last date of the quarter in which the General Tender is conducted. The Fund intends to conduct each General Tender to repurchase up to a certain percentage of the weighted average of the number of Shares outstanding during the three-month period prior to the quarter in which the General Tender is conducted. The General Tender Program includes numerous restrictions that limit stockholders’ ability to sell their Shares.
The following table summarizes share repurchases completed during the three months ended March 31, 2023:
 
Quarter Ended
  
Repurchase Date
  
Total Number of
Shares Offered
to Repurchase
    
Total Number of
Shares
Repurchased
    
Total
Consideration
    
No. of Shares
Repurchased/
Total Offer
    
Price Paid
Per Share
 
March 31
   February 24, 2023      1,215,454        627,518      $ 5,837,993        52    $ 9.30  
The following table summarizes share repurchases completed during the three months ended
March
 31, 2022:    
 
Quarter Ended
  
Repurchase Date
  
Total Number of
Shares Offered
to Repurchase
    
Total Number of
Shares
Repurchased
    
Total
Consideration
    
No. of Shares
Repurchased/
Total Offer
    
Price Paid
Per Share
 
March 31
   February 25, 2022      795,164        420,864      $ 4,081,370        53    $ 9.70  
8. Earnings Per Share
The following information sets forth the computation of basic and diluted earnings per Share for the three months ended March 31, 2023 and March 31, 2022:
 
    
For the three months ended
March 31,
 
    
2023
    
2022
 
Net increase (decrease) in net assets from operations
   $ 15,548,588      $ 5,511,700  
Weighted average common shares outstanding
     50,224,389        36,411,259  
Earnings per common share-basic and diluted
   $ 0.31      $ 0.15  
 
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Table of Contents
9. Financial Highlights
Below is the schedule of financial highlights of the Fund for the three months ended March 31, 2023 and March 31, 2022:
 
 
 
For the three months

ended March 31,

2023
 
 
For the three months

ended March 31,

2022
 
Per Share Data:
(1)(2)
 
 
Net asset value, beginning of period
  $ 9.10     $ 9.80  
Net investment income (loss)
    0.22       0.23  
Net realized and unrealized gains (losses) on investments
    0.08       (0.08
   
 
 
   
 
 
 
Net increase (decrease) in net assets resulting from operations
    0.30       0.15  
   
 
 
   
 
 
 
Distributions to stockholders
(3)
    (0.10     (0.25
   
 
 
   
 
 
 
Net asset value, end of period
  $ 9.30     $ 9.70  
Shares outstanding, end of period
    49,895,174       38,544,494  
Total return at net asset value before incentive fees
(4)(5)
    4.01     1.95
Total return at net asset value after incentive fees
(4)(5)
    3.41     1.57
 
Ratio/Supplemental Data:
(2)
 
Net assets, end of period
  $ 464,155,955     $ 373,766,108  
Ratio of total expenses to weighted average net assets
(6)
    17.00     11.81
Ratio of net expenses to weighted average net assets
(6)
    17.00     11.17 %
(7)
 
Ratio of net investment income (loss) before waivers to weighted average net assets
(6)
    11.92     10.37
Ratio of net investment income (loss) after waivers to weighted average net assets
(6)
    11.92     11.01 %
(7)
 
Ratio of interest and credit facility expenses to weighted average net assets
(6)
    12.14     5.79
Ratio of incentive fees to weighted average net assets
(5)
    0.60     0.38
Portfolio turnover rate
(5)
    1.23     3.26
Asset coverage ratio
(8)
    160     160
 
(1)
The per share data was derived by using the weighted average shares outstanding during the applicable period. 
(2)
Ratios calculated with Net Assets excluding the
Non-Controlling
Interest.
(3)
The per share data for distributions is the actual amount of distributions paid or payable per share of common stock outstanding during the entire period.
(4)
Total return based on NAV is calculated as the change in NAV per share during the respective periods, assuming dividends and distributions, if any, are reinvested in accordance with the Fund’s dividend reinvestment plan.
(5)
Not annualized.
(6)
Annualized, except for professional fees, directors’ fees and incentive fees.
(7)
For the three months ended March 31, 2022, the Adviser voluntarily waived a portion of their management fees, incentive fees, and collateral management fees. Additionally, the Adviser also reimbursed the Fund for operating expenses exceeding the percentage limit as per the Expense Support and Conditional Reimbursement Agreement. The ratios include the effects of the waived expenses of
 0.51%
for the three months ended March 31, 2023 and March 31, 2022, respectively. 
(8)
Asset coverage ratio is equal to (i) the sum of (A) net assets at end of period and (B) debt outstanding at end of period, divided by (ii) total debt outstanding at the end of the period.
10. Subsequent Events
Subsequent events after the consolidated statements of assets and liabilities date have been evaluated through the date the consolidated financial statements were issued. The Fund has concluded that there are no events requiring adjustment or disclosure in the consolidated financial statements other than below.
On April 20, 2023 the Fund called capital of $28,517,409 from its investors due May 1, 2023.
On April 21, 2023, ABPCIC Funding IV entered into a revolving credit facility with Natixis Bank, Specialty Finance Division, as facility agent, and U.S. Bank, as collateral agent, collateral custodian and securities intermediary. The revolving credit facility provides for borrowings in an aggregate amount up to $200,000,000. Borrowings under the revolving credit facility will bear interest based on an annual adjusted SOFR for the relevant interest period or the applicable replacement thereto provided, plus an applicable spread. Borrowings under the revolving credit facility will be secured by all of the assets held by ABPCIC Funding IV.
On May 3, 2023 CLO XIII LLC completed a $395,000,000 debt securitization. CLO XIII LLC issued notes listed below among the issuer and U.S Bank National Association, as trustee.
 
Note
  
Type
 
  
Principal
Amount
 
  
Interest Rate
 
Class A
  
 
Senior Secured Floating Rate
 
  
$
228,000,000
 
  
 
S + 2.60%
 
Class B
  
 
Senior Secured Floating Rate
 
  
$
36,000,000
 
  
 
S + 3.65%
 
Class C
  
 
Senior Secured Floating Rate
 
  
$
36,000,000
 
  
 
S + 4.55%
 
Class D
  
 
Senior Secured Floating Rate
 
  
$
28,000,000
 
  
 
S + 6.90%
 
Subordinated Notes
  
  
$
67,000,000
 
  
 
N/A
 
  
  
 
 
 
  
  
  
$
395,000,000
 
  
The
CLO XIII indenture provides that the holders of the CLO XIII Notes are to receive quarterly interest payments, in arrears, on the 27th day in January, April, July and October of each year, commencing in October 2023. The CLO XIII Notes will mature on April 27, 2035.


5
5


Table of Contents
Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations

Forward-Looking Statements

This Quarterly Report on Form 10-Q (this “Quarterly Report”) contains forward-looking statements that involve substantial risks and uncertainties. Such statements involve known and unknown risks, uncertainties and other factors, and undue reliance should not be placed thereon. These forward-looking statements are not historical facts, but rather are based on current expectations, estimates and projections about the Fund, its current and prospective portfolio investments, its industry, its beliefs and opinions, and its assumptions. Words such as “anticipates,” “expects,” “intends,” “plans,” “will,” “may,” “continue,” “believes,” “seeks,” “estimates,” “would,” “could,” “should,” “targets,” “projects,” “outlook,” “potential,” “predicts” and variations of these words and similar expressions are intended to identify forward-looking statements. These statements are not guarantees of future performance and are subject to risks, uncertainties and other factors, some of which are beyond the Fund’s control and difficult to predict and could cause actual results to differ materially from those expressed or forecasted in the forward-looking statements, including without limitation:

 

   

an economic downturn could impair the Fund’s portfolio companies’ ability to continue to operate, which could lead to the loss of some or all of the Fund’s investments in such portfolio companies;

 

   

such an economic downturn could disproportionately impact the companies that the Fund intends to target for investment, potentially causing the Fund to experience a decrease in investment opportunities and diminished demand for capital from these companies;

 

   

a contraction of available credit and/or an inability to access the equity markets could impair the Fund’s lending and investment activities;

 

   

interest rate volatility could adversely affect the Fund’s results, particularly if the Fund elects to use leverage as part of its investment strategy;

 

   

the Fund’s future operating results;

 

   

the Fund’s business prospects and the prospects of the Fund’s portfolio companies;

 

   

the Fund’s contractual arrangements and relationships with third parties;

 

   

the ability of the Fund’s portfolio companies to achieve their objectives;

 

   

competition with other entities and the Fund’s affiliates for investment opportunities;

 

   

the speculative and illiquid nature of the Fund’s investments;

 

   

the use of borrowed money to finance a portion of the Fund’s investments;

 

   

the adequacy of the Fund’s financing sources and working capital;

 

   

the loss of key personnel;

 

   

the timing of cash flows, if any, from the operations of the Fund’s portfolio companies;

 

   

the ability of the Adviser to locate suitable investments for the Fund and to monitor and administer the Fund’s investments;

 

   

the ability of the Adviser to attract and retain highly talented professionals;

 

   

the Fund’s ability to qualify and maintain its qualification as a regulated investment company (“RIC”) under Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”), and as a business development company (“BDC”);

 

   

the effect of legal, tax and regulatory changes; and

 

   

the other risks, uncertainties and other factors the Fund identifies under “Risk Factors” of its Annual Report on Form 10-K for the fiscal year ended December 31, 2022.

Although the Fund believes that the assumptions on which these forward-looking statements are based are reasonable, any of those assumptions could prove to be inaccurate, and as a result, the forward-looking statements based on those assumptions also could be inaccurate. In light of these and other uncertainties, the inclusion of a projection or forward-looking statement in this report should not be regarded as a representation by the Fund that the Fund’s plans and objectives will be achieved. These risks and uncertainties include those described or identified in the section entitled “Item 1A. Risk Factors” of the Annual Report on Form 10-K for the fiscal year ended December 31, 2022, and elsewhere in this report. These forward-looking statements apply only as of the date of this report. Moreover, the Fund assumes no duty and does not undertake to update the forward-looking statements. The forward-looking statements and projections contained in this Quarterly Report are excluded from the safe harbor protection provided by Section 21E of the Securities Exchange Act of 1934, as amended (the “Exchange Act”) because the Fund is an investment company.

 

57


Table of Contents

The following analysis of the Fund’s financial condition and results of operations should be read in conjunction with the Fund’s financial statements and the related notes thereto contained elsewhere in this Quarterly Report.

Overview

The Fund was formed on February 6, 2015 as a corporation under the laws of the State of Maryland. The Fund is structured as an externally managed, non-diversified, closed-end management investment company. The Fund was formed to invest primarily in primary-issue middle-market credit opportunities that are directly sourced and privately negotiated. The Fund commenced investment operations on November 15, 2017 (“Commencement”). The Fund is advised by AB Private Credit Investors LLC (the “Adviser”), which is registered with the Securities and Exchange Commission (“SEC”) under the Investment Advisers Act of 1940, as amended (the “Advisers Act”). The Adviser is responsible for sourcing potential investments, conducting due diligence on prospective investments, analyzing investment opportunities, structuring investments and monitoring the Fund’s portfolio on an ongoing basis. State Street Bank and Trust Company (the “Administrator”) provides the administrative services necessary for the Fund to operate.

The Fund has elected to be treated as a BDC under the 1940 Act. The Fund has also elected to be treated and intends to qualify annually as a RIC under Subchapter M of the Code for U.S. federal income tax purposes. As a BDC and a RIC, respectively, the Fund is and will be required to comply with various regulatory requirements, such as the requirement to invest at least 70% of its assets in “qualifying assets,” source of income limitations, asset diversification requirements, and the requirement to distribute annually at least 90% of its taxable income and tax exempt interest.

The Fund is an “emerging growth company,” as defined in the Jumpstart Our Business Startups Act of 2012 (the “JOBS Act”). The Fund will remain an emerging growth company for up to five years following its initial public offering, if any, although if the market value of its common stock that is held by non-affiliates exceeds $700 million as of any June 30 before that time, the Fund would cease to be an emerging growth company as of the following December 31. For so long as the Fund remains an emerging growth company under the JOBS Act, it will be subject to reduced public company reporting requirements.

The Private Offering

The Fund enters into separate subscription agreements (each, a “Subscription Agreement,” and collectively, the “Subscription Agreements”) with investors providing for the private placement of its common stock (the “Shares”) in reliance on exemptions from the registration requirements of the Securities Act (such offering, the “Private Offering”). Each investor makes a capital commitment (a “Capital Commitment”) to purchase Shares pursuant to a Subscription Agreement. Investors are required to make capital contributions (“Capital Contributions”) to purchase Shares each time the Fund delivers a capital call notice, which is issued based on the Fund’s anticipated investment activities and capital needs, delivered at least 10 business days prior to the required funding date, provided that investors may fund such requirements sooner than the deadline as agreed between the Fund and the investor. Generally, purchases of Shares are made pro rata in accordance with each investor’s Capital Commitment, in an amount not to exceed each investor’s remaining capital commitment (“Remaining Commitment”), at a per Share price equal to the net asset value per Share subject to any adjustments. Pursuant to the Private Offering, the Fund’s initial closing occurred on September 29, 2017.

The Fund may accept additional Capital Commitments quarterly (“Subsequent Closings”) from new investors as well as existing investors that wish to increase their commitment and shareholding in the Fund. These Subsequent Closings are expected to occur on a calendar-quarter end based on investor interest as well as the state of the market and the Fund’s capacity to invest the additional capital within a reasonable period. Each Capital Commitment is for the life of the Fund or for a shorter period based on the investor’s liquidation election, subject to the Fund’s receipt of exemptive relief that would permit stockholders to liquidate their investments pursuant to transactions that are currently prohibited by the 1940 Act and would require an SEC order in order to be established.

Revenues

The Fund’s investment objective is to generate current income and prioritize capital preservation through a portfolio that primarily invests in directly-sourced, privately-negotiated, secured, middle market loans. The Fund intends to primarily invest in middle market businesses based in the United States. The Fund expects that the primary use of proceeds by the companies in which the Fund invests will be for leveraged buyouts, recapitalizations, mergers and acquisitions and growth capital.

The Fund will seek to build its portfolio in a defensive manner that minimizes cyclical and correlated risks across individual names and sector verticals by targeting companies with strong underlying business models and durable intrinsic value.

 

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Table of Contents

The Fund will primarily hold secured loans, which encompass traditional first lien, unitranche and second lien loans, but may also invest in mezzanine, structured preferred stock and non-control equity co-investment opportunities. The Fund will seek to deliver attractive risk adjusted returns with lower volatility and low correlation relative to the public credit markets. The Adviser believes the Fund’s flexibility to invest across the capital structure and liquidity spectrum will allow the Fund to optimize investor risk-adjusted returns.

Expenses

Under the Second Amended and Restated Advisory Agreement, the Fund’s primary operating expenses will include the payment of fees to the Adviser, the Fund’s allocable portion of overhead expenses under the Expense Reimbursement Agreement and other operating costs described below. The Fund bears all other out-of-pocket costs and expenses of the Fund’s operations and transactions, including those relating to:

 

   

reasonable and documented organization and offering expenses to the extent reimbursement of such expenses is included in any future agreement with the Adviser;

 

   

calculating the Fund’s net asset value (including the cost and expenses of any independent valuation firm);

 

   

fees and expenses payable to third parties, including agents, consultants or other advisers, in connection with monitoring financial (including advising with respect to the Fund’s financing strategy) and legal affairs for the Fund and in providing administrative services, monitoring the Fund’s investments and performing due diligence on the Fund’s prospective portfolio companies or otherwise relating to, or associated with, evaluating and making investments;

 

   

interest payable on debt, if any, incurred to finance the Fund’s investments;

 

   

sales and purchases of the Fund’s common stock and other securities;

 

   

base management fees and incentive fees payable to the Adviser;

 

   

transfer agent and custodial fees;

 

   

federal and state registration fees;

 

   

all costs of registration and listing the Fund’s securities on any securities exchange;

 

   

U.S. federal, state and local taxes;

 

   

independent directors’ fees and expenses;

 

   

costs of preparing and filing reports or other documents required by the SEC, the Financial Industry Regulatory Authority or other regulators;

 

   

costs of any reports, proxy statements or other notices to stockholders, including printing costs;

 

   

the Fund’s allocable portion of any fidelity bond, directors’ and officers’ errors and omissions liability insurance, and any other insurance premiums;

 

   

direct costs and expenses of administration, including printing, mailing, long distance telephone, copying, secretarial and other staff, independent auditors and outside legal costs;

 

   

marketing expenses; and

 

   

all other expenses incurred by the Fund, the Administrator or the Adviser in connection with administering the Fund’s business, including payments under the Administration Agreement and payments under the Expense Reimbursement Agreement based on the Fund’s allocable portion of the Adviser’s overhead in performing its obligations under the Expense Reimbursement Agreement, including the allocable portion of the cost of the Fund’s Chief Compliance Officer and Chief Financial Officer and their respective staffs.

 

59


Table of Contents

Activity

The following table presents certain information regarding the Fund’s portfolio and investment activity:

 

     For the Three
Months Ended
March 31, 2023
    For the Three
Months Ended
March 31, 2022
 

Investments in Portfolio Companies

   $ (38,018,534 )(1)    $ (74,262,180 )(2) 

Draw Downs against Revolvers and Delayed Draw Term Loans

     (23,529,051     (13,964,576

Principal Repayments

     14,186,764 (3)      27,485,721 (4) 

Sales

     —         2,387,617  
  

 

 

   

 

 

 

Net Repayments (Investments)

   $ (47,360,821   $ (58,353,418
  

 

 

   

 

 

 

 

(1) 

Includes investments in 18 portfolio companies.

(2) 

Includes investments in 22 portfolio companies.

(3) 

Includes $3,416,988 in revolver and delayed draw term paydowns.

(4) 

Includes $1,699,247 in revolver and delayed draw term paydowns.

The following table shows the composition of the investment portfolio and associated yield data as of March 31, 2023:

 

     As of March 31, 2023  
     Amortized Cost      Percentage of
Total
    Fair Value      Percentage of
Total
    Weighted
Average
Yield(1)
 

First Lien Senior Secured Debt

   $ 1,167,297,958        92.36   $ 1,143,781,007        91.89     10.68

Second Lien Junior Secured Debt

     10,782,027        0.85       10,500,557        0.84       13.07

Preferred Stock

     8,115,829        0.64       9,410,941        0.76       —    

Common Stock

     7,873,484        0.62       8,837,479        0.71       —    

Investment Companies

     4,122,185        0.33       5,716,977        0.46       —    

Warrants

     343,936        0.03       1,096,701        0.09       —    

Cash and cash equivalents

     65,352,472        5.17       65,352,472        5.25       —    
  

 

 

    

 

 

   

 

 

    

 

 

   

Total

   $ 1,263,887,891        100   $ 1,244,696,134        100  
  

 

 

    

 

 

   

 

 

    

 

 

   

 

(1) 

Based upon the par value of the Fund’s debt investments.

The following table shows the composition of the investment portfolio and associated yield data as of December 31, 2022:

 

     As of December 31, 2022  
     Amortized Cost      Percentage of
Total
    Fair Value      Percentage of
Total
    Weighted
Average
Yield(1)
 

First Lien Senior Secured Debt

   $ 1,115,667,642        93.36   $ 1,088,190,382        92.90     10.44

Second Lien Junior Secured Debt

     10,776,359        0.90       10,640,036        0.91       12.76

Preferred Stock

     8,168,876        0.69       9,218,222        0.79       —    

Common Stock

     7,179,288        0.60       7,870,756        0.67       —    

Investment Companies

     4,095,163        0.34       5,603,604        0.48       —    

Warrants

     343,936        0.03       994,095        0.08       —    

Cash and cash equivalents

     48,785,985        4.08       48,785,985        4.17       —    
  

 

 

    

 

 

   

 

 

    

 

 

   

Total

   $ 1,195,017,249        100   $ 1,171,303,080        100  
  

 

 

    

 

 

   

 

 

    

 

 

   

 

(1) 

Based upon the par value of the Fund’s debt investments.

The following table presents certain selected financial information regarding the debt investments in the Fund’s portfolio as of March 31, 2023 and December 31, 2022:

 

     As of
March 31, 2023
    As of
December 31, 2022
 

Number of portfolio companies

     189       179  

Percentage of debt bearing a floating rate(1)

     100     100

Percentage of debt bearing a fixed rate(1)

     0     0

 

(1) 

Measured on a fair value basis and excluding equity securities.

 

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Table of Contents

The following table shows the amortized cost and fair value of the Fund’s performing and non-accrual debt investments as of March 31, 2023:

 

     As of March 31, 2023  
     Amortized Cost      Percentage at
Amortized Cost
    Fair Value      Percentage at
Fair Value
 

Performing

   $ 1,155,486,702        98.08   $ 1,142,496,483        98.98

Non-accrual

     22,593,283        1.92       11,785,081        1.02  
  

 

 

    

 

 

   

 

 

    

 

 

 

Total

   $ 1,178,079,985        100   $ 1,154,281,564        100
  

 

 

    

 

 

   

 

 

    

 

 

 

The following table shows the amortized cost and fair value of the Fund’s performing and non-accrual debt investments as of December 31, 2022:

 

     As of December 31, 2022  
     Amortized Cost      Percentage at
Amortized Cost
    Fair Value      Percentage at
Fair Value
 

Performing

   $ 1,115,420,688        99.02   $ 1,095,916,015        99.73

Non-accrual

     11,023,313        0.98       2,914,403        0.27  
  

 

 

    

 

 

   

 

 

    

 

 

 

Total

   $ 1,126,444,001        100   $ 1,098,830,418        100
  

 

 

    

 

 

   

 

 

    

 

 

 

Generally, when interest and/or principal payments on a loan become past due, or if the Fund otherwise does not expect the borrower to be able to service its debt and other obligations, the Fund will place the loan on non-accrual status and will cease recognizing interest income on that loan for financial reporting purposes until all principal and interest have been brought current through payment or due to restructuring such that the interest income is deemed to be collectible. The Fund generally restores non-accrual loans to accrual status when past due principal and interest is paid and, in the management’s judgment, is likely to remain current. As of March 31, 2023 the Fund had thirteen investments, across four issuers, that were on non-accrual status. As of December 31, 2022, the Fund had seven investments, with three issuers that were on non-accrual status.

The following table shows the composition of the investment portfolio (excluding cash and cash equivalents) by industry, at amortized cost and fair value as of March 31, 2023 and December 31, 2022 (with corresponding percentage of total portfolio investments):

 

     As of March 31, 2023  
   Amortized Cost      Percentage of
Total
    Fair Value      Percentage of
Total
 

Business Services

   $ 87,571,311        7.31   $ 87,431,404        7.42

Consumer Discretionary

     9,098,474        0.76       9,116,515        0.77  

Consumer Non-Cyclical

     52,028,608        4.34       50,240,600        4.26  

Digital Infrastructure & Services

     201,143,665        16.78       199,146,564        16.89  

Energy

     3,538,289        0.30       3,751,433        0.32  

Financials

     47,036,130        3.92       45,785,196        3.88  

Healthcare & HCIT

     235,848,865        19.68       222,688,577        18.88  

Investment Companies

     4,122,185        0.34       5,716,977        0.48  

Software & Tech Services

     554,108,687        46.23       554,400,163        47.01  

Transport & Logistics

     4,039,205        0.34       1,066,233        0.09  
  

 

 

    

 

 

   

 

 

    

 

 

 
   $ 1,198,535,419        100   $ 1,179,343,662        100
  

 

 

    

 

 

   

 

 

    

 

 

 

 

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Table of Contents
     As of December 31, 2022  
   Amortized Cost      Percentage of
Total
    Fair Value      Percentage of
Total
 

Business Services

   $ 84,074,984        7.33   $ 83,153,924        7.41

Consumer Discretionary

     9,111,762        0.79       9,163,275        0.82  

Consumer Non-Cyclical

     52,130,891        4.55       49,936,678        4.45  

Digital Infrastructure & Services

     189,702,392        16.55       186,488,258        16.61  

Energy

     3,640,277        0.32       3,857,859        0.34  

Financial Services

     44,747,532        3.90       43,871,366        3.91  

Healthcare & HCIT

     231,062,290        20.16       217,504,759        19.38  

Investment Companies

     4,095,163        0.36       5,603,604        0.50  

Software & Tech Services

     523,456,373        45.67       521,545,397        46.46  

Transport & Logistics

     4,209,600        0.37       1,391,975        0.12  
  

 

 

    

 

 

   

 

 

    

 

 

 
   $ 1,146,231,264        100   $ 1,122,517,095        100
  

 

 

    

 

 

   

 

 

    

 

 

 

The Adviser monitors the Fund’s portfolio companies on an ongoing basis. It monitors the financial trends of each portfolio company to determine if they are meeting their respective business plans and to assess the appropriate course of action for each company. The Adviser has several methods of evaluating and monitoring the performance and fair value of the Fund’s investments, which may include the following:

 

   

assessment of success in adhering to the portfolio company’s business plan and compliance with covenants;

 

   

periodic or regular contact with portfolio company management and, if appropriate, the financial or strategic sponsor to discuss financial position, requirements and accomplishments;

 

   

comparisons to the Fund’s other portfolio companies in the industry, if any;

 

   

attendance at and participation in board meetings or presentations by portfolio companies; and

 

   

review of monthly and quarterly consolidated financial statements and financial projections of portfolio companies.

Results of Operations

The following is a summary of the Fund’s operating results for the three months ended March 31, 2023 and March 31, 2022:

 

     For the
Three Months
Ended
March 31,
2023
     For the
Three Months
Ended
March 31,
2022
 

Total investment income

   $ 32,844,791      $ 19,687,437  

Total expenses

     21,805,644        11,614,038  
  

 

 

    

 

 

 

Expense reimbursement to Adviser

     —          259,263  

Waived collateral management fees

     —          (456,498

Waived management fees

     —          (283,566
  

 

 

    

 

 

 

Net investment income before taxes

     11,039,147        8,554,200  

Income tax expense, including excise tax

     17,301        308,827  
  

 

 

    

 

 

 

Net investment income after tax

     11,021,846        8,245,373  

Net realized and change in unrealized appreciation (depreciation) on investments

     4,527,865        (2,733,663
  

 

 

    

 

 

 

Net increase in net assets resulting from operations

   $ 15,549,711      $ 5,511,710  

Less: Net increase (decrease) in net assets resulting from operations related to Non-Controlling Interest in ABPCIC Equity Holdings, LLC

   $ 1,123      $ 10  
  

 

 

    

 

 

 

Net increase (decrease) in net assets resulting from operations related to AB Private Credit Investors Corporation

   $ 15,548,588      $ 5,511,700  
  

 

 

    

 

 

 

 

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Investment Income

During the three months ended March 31, 2023, the Fund’s investment income was comprised of $29,238,830 of interest income, which includes $1,384,372 from the net amortization of premium and accretion of discounts, $3,553,509 of payment-in-kind interest, and $52,452 of dividend income. The increase in net investment income during the three months ended March 31, 2023, compared to the three months ended March 31, 2022, can primarily be attributed to an increase in gross assets and interest rates.

During the three months ended March 31, 2022, the Fund’s investment income was comprised of $19,084,451 of interest income, which includes $1,390,757 from the net amortization of premium and accretion of discounts, and $594,399 of payment-in-kind interest, and $8,587 of dividend income.

Operating Expenses

The following is a summary of the Fund’s operating expenses for the three months ended March 31, 2023 and March 31, 2022:

 

     For the
Three Months
Ended
March 31,

2023
     For the
Three Months
Ended
March 31,

2022
 

Interest and borrowing expenses

   $ 13,781,660      $ 5,140,785  

Management fees

     3,938,904        3,402,792  

Income-based incentive fee

     2,754,604        1,931,939  

Professional fees

     515,313        476,980  

Collateral management fees

     —          456,498  

Administration and custodian fees

     264,455        223,237  

Insurance expenses

     135,986        153,239  

Directors’ fees

     69,875        50,000  

Transfer agent fees

     35,272        25,676  

Capital gains incentive fee

     —          (546,733

Other expenses

     309,575        299,625  
  

 

 

    

 

 

 

Total expenses

     21,805,644        11,614,038  

Reimbursement payments to Adviser

     —          259,263

Waived collateral management fees

     —          (456,498

Waived management fees

     —          (283,566

Income tax expense, including excise tax

     17,301        308,827
  

 

 

    

 

 

 

Net expenses

   $ 21,822,945      $ 11,442,064  
  

 

 

    

 

 

 

Interest and Borrowing Expenses

Interest and borrowing expenses include interest, amortization of debt issuance and deferred financing costs, upfront commitment fees and unused fees on the unused portion of the Revolving Credit Facilities, Secured Borrowings and the Notes issued in the CLO Transaction. As of March 31, 2023, there were outstanding balances of $28,000,000, $192,000,000 and $300,000,000 on the 2021 HSBC Credit Facility, Synovus Credit Facility and the Natixis Credit Facility, respectively, and an outstanding balance of $8,768,765 in Secured Borrowings.

As of December 31, 2022, there were outstanding balances of $ 0, $180,000,000, and $268,000,000 on the 2021 HSBC Credit Facility, Synovus Credit Facility, and the Natixis Credit Facility, respectively, and an outstanding balance of $5,917,275 in Secured Borrowings.

The outstanding amount on the Notes is $245,254,335 net of unamortized discount and debt issuance costs as of March 31, 2023. The outstanding amount on the Notes was $245,105,567 net of unamortized discount and debt issuance costs as of December 31, 2022.

Interest and borrowing expenses for the three months ended March 31, 2023 and March 31, 2022 were $13,781,660 and $5,140,785, respectively. The weighted average interest rate (excluding deferred upfront financing costs and unused fees) on the Fund’s debt outstanding was 7.23% and 2.65% for the three months ended March 31, 2023 and March 31, 2022, respectively. The increase in interest and borrowing expenses during the three months ended March 31, 2023 compared to the three months ended March 31, 2022 can primarily be attributed to an increase in debt outstanding and interest rates.

 

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Management Fee

The gross management fee expenses for the three months ended March 31, 2023 and March 31, 2022 were $3,938,904 and $3,402,792, respectively. The increase in the management fee for the three months ended March 31, 2023 was a result of the increase in average gross assets during this period, which are the basis used to calculate management fees. For the three months ended March 31, 2023 and March 31, 2022, the Adviser waived management fees of $0 and $283,566, respectively.

Fund Expenses

For the three months ended March 31, 2023, the Fund incurred $21,805,644 of expenses in relation to interest and borrowing expenses, management fees, incentive fees, professional fees, administration and custodian fees, insurance expenses, directors’ fees, and other expenses. The Fund incurred $17,301 of tax expense.

For the three months ended March 31, 2022, the Fund incurred $11,614,038 of expenses in relation to interest and borrowing expenses, management fees, incentive fees, professional fees, administration and custodian fees, insurance expenses, directors’ fees, collateral management fees, transfer agent fees, and other expenses. Additionally, $259,263 was reimbursed by the Fund to the Adviser and its affiliates. Further, $283,566 of management fees and $456,498 of collateral management fees were waived by the Adviser. The Fund incurred $308,827 of tax expense.

Net Realized Gain (Loss) on Investments

During the three months ended March 31, 2023, the Fund had principal repayments and sales which resulted in 5,453 of net realized gain.

During the three months ended March 31, 2022, the Fund had principal repayments and sales which resulted in $172,332 of net realized gain.

Net Change in Unrealized Appreciation (Depreciation) on Investments

During the three months ended March 31, 2023, the Fund had $4,522,412 in net change in unrealized appreciation on $1,198,535,419 of investments in 189 portfolio companies. Unrealized appreciation for the three months ended March 31, 2023, resulted from an increase in fair value, primarily due to positive valuation adjustments on level 3 securities.

During the three months ended March 31, 2022, the Fund had $2,905,995 in net change in unrealized depreciation on $946,391,430 of investments in 165 portfolio companies. Net change in unrealized depreciation for the three months ended March 31, 2022, resulted from a broad portfolio decline due to a decline in loan market secondary prices and widening primary issue credit spreads as well as a reclass of prior unrealized gain to investment income from a large prepayment fee on one investment. This depreciation was partially offset by gains on debt and equity positions marked up due to company performance or expectation of near-term repayment at par.

Net Increase (Decrease) in Net Assets Resulting from Operations

For the three months ended March 31, 2023 and March 31, 2022, the net increase in net assets resulting from operations was $15,549,711and $5,511,710, respectively. Based on the weighted average shares of common stock outstanding for the three months ended March 31, 2023 and March 31, 2022, the Fund’s per share net increase in net assets resulting from operations was $0.31 and $0.15, respectively.

Cash Flows

For the three months ended March 31, 2023, cash increased by $16,566,487. During the same period, the Fund used $43,043,224 in operating activities, primarily as a result of net purchases of investments. During the three months ended March 31, 2023, the Fund generated $59,609,711 from financing activities, primarily from net borrowings on the Revolving Credit Facilities.

For the three months ended March 31, 2022, cash increased by $6,855,757. During the same period, the Fund used $59,973,005 in operating activities, primarily as a result of net purchases of investments. During the three months ended March 31, 2022, the Fund generated $66,828,762 from financing activities, primarily from issuance of common stock and net borrowings on the Revolving Credit Facilities.

 

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Hedging

The Fund may enter into currency hedging contracts, interest rate hedging agreements such as futures, options, swaps and forward contracts, and credit hedging contracts, such as credit default swaps. However, no assurance can be given that such hedging transactions will be entered into or, if they are, that they will be effective. For the three months ended March 31, 2023 and March 31, 2022, the Fund did not enter into any hedging contracts.

Financial Condition, Liquidity and Capital Resources

As of March 31, 2023, and December 31, 2022, the Fund had $65,352,472 and $48,785,985 in cash and cash equivalents, respectively. The Fund expects to generate cash primarily from (i) the net proceeds of the Private Offering, (ii) cash flows from the Fund’s operations, (iii) any financing arrangements now existing or that the Fund may enter into in the future and (iv) any future offerings of the Fund’s equity or debt securities. The Fund may fund a portion of its investments through borrowings from banks, or other large global institutions such as insurance companies, and issuances of senior securities.

The Fund’s primary use of funds from a credit facility will be investments in portfolio companies, cash distributions to holders of its common stock and the payment of operating expenses.

In the future, the Fund may also securitize or finance a portion of its investments with a special purpose vehicle. If the Fund undertakes a securitization transaction, the Fund will consolidate its allocable portion of the debt of any securitization subsidiary on its financial statements, and include such debt in the Fund’s calculation of the asset coverage test, if and to the extent required pursuant to the guidance of the staff of the SEC.

Cash and cash equivalents as of March 31, 2023, taken together with the Fund’s uncalled Capital Commitments of $99,216,798 and $22,000,000 undrawn amount on the 2021 HSBC Credit Facility and $8,000,000 undrawn amount on the Synovus Credit Facility, is expected to be sufficient for the Fund’s investing activities and to conduct the Fund’s operations for at least the next twelve months.

As of March 31, 2023, the Fund has unfunded commitments to fund future investments in the amount of $171,537,939, and contractual obligations in the form of Revolving Credit Facilities of $520,000,000 and Notes of $245,254,335.

Equity Activity

The Fund has the authority to issue 200,000,000 Shares.

The Fund has entered into Subscription Agreements with investors providing for the private placement of Shares. Under the terms of the Subscription Agreements, investors are required to fund drawdowns to purchase Shares up to the amount of their respective Capital Commitments on an as-needed basis upon the issuance of a capital draw down notice. As of March 31, 2023, the Fund received Capital Commitments of $594,505,663. Inception to March 31, 2023, the Fund received Capital Contributions to the Fund of $495,288,865. Proceeds from the issuances of Shares in respect of drawdown notices described below were used for investing activities and for other general corporate purposes.

Consistent with the Fund’s offering documents, beginning with the quarter ending March 31, 2021, the Fund was required to begin conducting quarterly General Tenders. Pursuant to the General Tender Program, at the Board’s discretion and in accordance with the requirements of Rule 13e-4 under the Exchange Act and the 1940 Act, each stockholder is given the opportunity to tender Shares at a specific Purchase Price based on the Fund’s net asset value as of the last date of the quarter in which the General Tender is conducted. The Fund intends to conduct each General Tender to repurchase up to a certain percentage of the weighted average of the number of Shares outstanding during the three-month period prior to the quarter in which the General Tender is conducted, as determined by the Board. The General Tender Program includes numerous restrictions that limit stockholders’ ability to sell their Shares.

On February 24, 2023, the Fund commenced the Q1 2023 Tender Offer for up to 1,215,453.85 Shares. The Purchase Price for the Q1 2023 Tender Offer was $9.30 per Share and the Q1 2023 Tender Offer expired on March 31, 2023.

On February 25, 2022, the Fund commenced the Q1 2022 Tender Offer for up to 795,164.70 Shares. The Purchase Price for the Q1 2022 Tender Offer was $9.70 per Share and the Q1 2022 Tender Offer expired on March 31, 2022.

Stockholders who tendered Shares in the Q1 2023 Tender Offer and Q1 2022 Tender Offer received a non-interest bearing, non-transferable promissory note entitling such stockholders to an amount in cash equal to the number of Shares accepted for purchase multiplied by the applicable Purchase Price.

 

65


Table of Contents

The following is a summary of the Fund’s equity activity for the three months ended March 31, 2023 and March 31, 2022.

 

     For the Three
Months
Ended
March 31,

2023
     For the Three
Months
Ended
March 31,

2022
 

Capital Commitments

   $ 26,549,633      $ 50,603,350  

Capital Commitments rescinded due to participation in General Tender Program

   $ 4,186,196      $ 7,115,200  

Dividend reinvestments

   $ 2,740,870      $ 5,101,704  

Shares issued to investors under DRIP

     294,604        526,163  

Value of capital drawdown notices

   $ —        $ 30,684,000  

Shares issued to investors under capital drawdown notices

     —          3,095,246  

Value of Shares purchased in General Tender Program

   $ 5,837,993      $ 4,081,370  

Shares purchased in General Tender Offer

     627,518        420,864  

Distributions

Distributions to stockholders are recorded on the record date. To the extent that the Fund has income available, the Fund intends to distribute quarterly distributions to its stockholders. The Fund’s quarterly distributions, if any, will be determined by the Board. Any distributions to the Fund’s stockholders will be declared out of assets legally available for distribution.

The following table summarizes distributions declared during the three months ended March 31, 2023:

 

Date Declared

   Record Date      Payment Date      Amount Per Share      Total Distributions  

March 29, 2023

     March 29, 2023        April 25, 2023      $ 0.10      $ 5,139,617  
        

 

 

    

 

 

 

Total distributions declared

         $ 0.10      $ 5,139,617  
        

 

 

    

 

 

 

The following table summarizes distributions declared during the three months ended March 31, 2022:

 

Date Declared

   Record Date      Payment Date      Amount Per Share      Total Distributions  

March 29, 2022

     March 29, 2022        April 28, 2022      $ 0.25      $ 9,709,845  
        

 

 

    

 

 

 

Total distributions declared

         $ 0.25      $ 9,709,845  
        

 

 

    

 

 

 

The federal income tax characterization of distributions declared and paid for the fiscal year will be determined at fiscal year-end based upon the Fund’s investment company taxable income for the full fiscal year and distributions paid during the full year. For the three months ended March 31, 2023, all of the Fund’s distributions to stockholders were attributable to ordinary income. The character of distributions for federal income tax purposes are determined in accordance with income tax regulations which may differ from GAAP. Stockholders should read any written disclosure accompanying a distribution payment carefully and should not assume that the source of any distribution is only ordinary income or gains.

To the extent the Fund’s taxable earnings fall below the total amount of its distributions paid for that fiscal year, a portion of those distributions may be deemed a return of capital to the Fund’s stockholders for U.S. federal income tax purposes. Thus, the source of a distribution to stockholders may be the original capital invested by the stockholder rather than the Fund’s income or gains.

For the three months ended March 31, 2023, all of the Fund’s distributions to stockholders were attributable to ordinary income. The character of distributions for federal income tax purposes are determined in accordance with income tax regulations which may differ from GAAP. Stockholders should read any written disclosure accompanying a distribution payment carefully and should not assume that the source of any distribution is only ordinary income or gains.

Co-investment Exemptive Order

On August 6, 2018, the SEC granted the Fund relief sought in a new exemptive application that expands the co-investment exemptive relief previously granted to the Fund in October 2016 to allow the Fund to co-invest in portfolio companies with Affiliated Funds in a manner consistent with its investment objective, positions, policies, strategies and restrictions as well as regulatory requirements and other pertinent factors, subject to compliance with the Order. Pursuant to the Order, the Fund is permitted to co-invest with Affiliated Funds, which the new exemptive relief defines to include affiliated managed accounts, if, among other things, a “required majority” (as defined in Section 57(o) of the 1940 Act) of the Fund’s independent directors make certain conclusions in

 

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connection with a co-investment transaction, including that (1) the terms of the transactions, including the consideration to be paid, are reasonable and fair to the Fund and the Fund’s stockholders and do not involve overreaching in respect of the Fund or the Fund’s stockholders on the part of any person concerned, and (2) the transaction is consistent with the interests of the Fund’s stockholders and is consistent with the Fund’s investment objective and strategies. The Fund intends to co-invest with Affiliated Funds, subject to the conditions included in the Order.

Revolving Credit Facilities

2021 HSBC Credit Facility

On July 8, 2021, the Fund entered into the HSBC Joinder, pursuant to which the Fund became a party to the 2021 HSBC Credit Facility evidenced by the 2021 HSBC Credit Agreement. As of March 31, 2023, the Fund had $28,000,000 outstanding on the 2021 HSBC Credit Facility and the Fund was in compliance with the terms of the 2021 HSBC Credit Facility. As of December 31, 2022, the Fund had $0 outstanding on the 2021 HSBC Credit Facility and the Fund was in compliance with the terms of the 2021 HSBC Credit Facility.

For further details, see “Note 4. Borrowings,” to the Fund’s consolidated financial statements.

Synovus Credit Facility

On October 15, 2020, ABPCIC Funding II entered into the Synovus Credit Facility. In connection with the Synovus Credit Facility, ABPCIC Funding II entered into, among other agreements, (i) the Synovus Loan Agreement, (ii) the securities account control agreement (the “Synovus Control Agreement”), by and among ABPCIC Funding II, the Synovus Collateral Agent and the Synovus Securities Intermediary and (iii) the amended and restated sale and contribution agreement (the “Synovus Transfer Agreement”) by and between the Fund, as seller, and ABPCIC Funding II, as purchaser.

Borrowings of ABPCIC Funding II are considered borrowings by the Fund for purposes of complying with the asset coverage requirements under the 1940 Act applicable to business development companies. As of March 31, 2023, the Fund had $192,000,000 outstanding on the Synovus Credit Facility and the Fund was in compliance with the terms of the Synovus Credit Facility. As of December 31, 2022, the Fud had $180,000,000 outstanding on the Synovus Credit Facility and the Fund was in compliance with the terms of the Synovus Credit Facility.

For further details, see “Note 4. Borrowings,” to the Fund’s consolidated financial statements.

Natixis Credit Facility

On March 24, 2021, ABPCIC Funding III entered into the Natixis Credit Facility. In connection with the Natixis Credit Facility, ABPCIC Funding III entered into, among other agreements, (i) the Natixis Credit Agreement, (ii) the Natixis Account Control Agreement, (iii) the Natixis Collateral Management Agreement, (iv) the Natixis Collateral Administration Agreement and (v) the Natixis Transfer Agreement. On March 4, 2022, pursuant to Amendment No 4 to the Natixis Credit Agreement, ABPCIC Funding III increased the commitment by $25,000,000 from $225,000,000 to $250,000,000. As of March 31, 2023, the Fund had $300,000,000 outstanding on the Natixis Credit Facility and the Fund was in compliance with the terms of the Natixis Credit Facility. As of December 31, 2022, the Fund had $268,000,000 outstanding on the Natixis Credit Facility and the Fund was in compliance with the terms of the Natixis Credit Facility.

For further details, see “Note 4. Borrowings,” to the Fund’s consolidated financial statements.

Secured Borrowings

From time to time, the Fund may engage in sale/buy-back agreements, which are a type of secured borrowing. The amount, interest rate and terms of these agreements will be individually negotiated on a transaction-by-transaction basis. Each borrowing is secured by an interest in an underlying asset which is participated or assigned to the sale/buy-back counterparty for the duration of the agreement.

Outstanding Secured Borrowings pursuant to the Macquarie Sale/Buy-Back was $8,768,765 and $5,917,275 as of March 31, 2023 and December 31, 2022, respectively.

For further details, see “Note 4. Borrowings,” to the Fund’s consolidated financial statements.

 

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Table of Contents

Debt Securitization

On August 9, 2019, the Issuer and the Co-Issuer, each a newly formed special purpose vehicle, completed the CLO Transaction. The Notes offered by the Co-Issuers in the CLO Transaction are secured by a diversified portfolio of the Co-Issuers consisting primarily of middle market loans and participation interests in middle market loans and may also include some broadly syndicated loans. The CLO Transaction was executed through a private placement of: (i) $178,200,000 of Class A-1 Senior Secured Floating Rate Notes, which bear interest at three-months LIBOR plus 1.73% per annum; (ii) $25,000,000 of Class A-2A Senior Secured Floating Rate Notes, which bear interest at LIBOR plus 2.45% per annum; (iii) $9,950,000 of Class A-2B Senior Secured Fixed Rate Notes, which bear interest at 4.23% per annum; (iv) $16,400,000 of Class B Secured Deferrable Floating Rate Notes, which bear interest at LIBOR plus 3.40% per annum; and (v) $17,350,000 of Class C Secured Deferrable Floating Rate Notes, which bear interest at LIBOR plus 4.40% per annum. The Notes are scheduled to mature on August 9, 2030.

The Notes are the secured obligations of the Co-Issuers, and the indenture governing the Notes includes customary covenants and events of default. The Notes have not been, and will not be, registered under the Securities Act, as amended, or any state securities or “blue sky” laws and may not be offered or sold in the United States absent registration with the SEC or an applicable exemption from registration.

The Adviser serves as collateral manager to the Issuer pursuant to the CLO Collateral Management Agreement. For so long as the Adviser serves as collateral manager to the Issuer, the Adviser will elect to irrevocably waive any base management fee or subordinated interest to which it may be entitled under the CLO Collateral Management Agreement.

For further details, see “Note 4. Borrowings,” to the Fund’s consolidated financial statements.

Asset Coverage

In accordance with the 1940 Act, the Fund has historically only been allowed to borrow amounts such that its “asset coverage,” as defined in the 1940 Act, is at least 200% after such borrowing, permitting the Fund to borrow up to one dollar for investment purposes for every one dollar of investor equity. “Asset coverage” generally refers to a company’s total assets, less all liabilities and indebtedness not represented by “senior securities,” as defined in the 1940 Act, divided by total senior securities representing indebtedness and, if applicable, preferred stock. “Senior securities” for this purpose includes borrowings from banks or other lenders, debt securities and preferred stock.

On March 23, 2018, the SBCAA was signed into law. The SBCAA, among other things, modifies the applicable provisions of the 1940 Act to reduce the required asset coverage ratio applicable to BDCs from 200% to 150% subject to certain approval, time and disclosure requirements (including either stockholder approval or approval of a majority of the directors who are not interested persons of the BDC and who have no financial interest in the proposal). On July 5, 2018, the Board voted to approve the adoption of the reduced asset coverage ratio and separately recommended that Investors approve the reduced asset coverage requirements at the 2018 annual meeting of stockholders. On September 26, 2018, at the Fund’s 2018 annual meeting of stockholders, the Fund’s stockholders approved the reduction of the required minimum asset coverage ratio applicable to the Fund from 200% to 150%, which took effect on September 27, 2018. This reduction in the required minimum asset coverage ratio increases the amount of debt that the Fund is permitted to incur, permitting the Fund to borrow up to two dollars for investment purposes for every one dollar of investor equity.

As of March 31, 2023, and December 31, 2022, the Fund had total senior securities of $775,518,765 and $700,313,290, respectively, consisting of borrowings under the Revolving Credit Facilities, secured borrowings and the Notes, and had asset coverage ratios of 160% and 165%, respectively.

Critical Accounting Policies

Valuation of Investments

The Fund measures the value of its investments at fair value accordance with Accounting Standards Codification Topic 820, Fair Value Measurements and Disclosure, or “ASC Topic 820,” issued by the Financial Accounting Standards Board, or “FASB.” Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

Pursuant to the amended SEC Rule 2a-5 of the 1940 Act, the Board designated the Adviser as the Fund’s “valuation designee.” In this capacity, the Adviser is responsible, among other things, for making all fair value determinations relating to the Fund’s portfolio investments, subject to the Board’s oversight. Investments are valued at fair value as determined in good faith by our Adviser, as valuation designee, based on input of management, the audit committee and independent valuation firms that have been engaged to assist in the valuation of each portfolio investment without a readily available market quotation under a valuation policy. The Adviser principally carries out its fair value responsibilities through its Valuation Sub-Committee. This valuation process is conducted at the end of each fiscal quarter.

 

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The audit committee of the Board (the “Audit Committee”) is also responsible for assisting the Adviser, as valuation designee in valuing investments that are not publicly traded or for which current market values are not readily available. Investments for which market quotations are readily available are valued using market quotations, which are generally obtained from independent pricing services, broker-dealers or market makers. With respect to portfolio investments for which market quotations are not readily available, the Adviser, as valuation designee and its senior investment team and independent valuation firms, is responsible for determining in good faith the fair value in accordance with the valuation policy approved by the Board. If more than one valuation method is used to measure fair value, the results are evaluated and weighted, as appropriate, considering the reasonableness of the range indicated by those results. The Fund considers a range of fair values based upon the valuation techniques utilized and selects the value within that range that was most representative of fair value based on current market conditions as well as other factors the Adviser’s senior investment team considers relevant.

ASC Topic 820 specifies a hierarchy of valuation techniques based on whether the inputs to those valuation techniques are observable or unobservable. ASC Topic 820 also provides guidance regarding a fair value hierarchy, which prioritizes information used to measure fair value and the effect of fair value measurements on earnings and provides for enhanced disclosures determined by the level within the hierarchy of information used in the valuation. In accordance with ASC Topic 820, these inputs are summarized in the three levels listed below:

 

   

Level 1 – Quoted prices in active markets for identical investments.

 

   

Level 2 – Other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).

 

   

Level 3 – Significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments at the reporting date).

The level in the fair value hierarchy within which the fair value measurement is categorized in its entirety is determined on the basis of the lowest level input that is significant to the fair value measurement in its entirety. For this purpose, the significance of an input is assessed against the fair value measurement in its entirety. If a fair value measurement uses observable inputs that require significant adjustment based on unobservable inputs, that measurement is a Level 3 measurement. If a fair value measurement uses price data vendors or observable market price quotations, that measurement is a Level 2 measurement. Assessing the significance of a particular input to the fair value measurement in its entirety requires judgment, considering factors specific to the asset or liability.

The determination of what constitutes “observable” requires significant judgment by the Fund. The Fund considers observable data to be that market data that is readily available, regularly distributed or updated, reliable and verifiable, not proprietary, and provided by independent sources that are actively involved in the relevant market.

Because of the inherent uncertainty of valuation for all fair value investments and interests, the Board’s determination of fair value may differ from the values that would have been used had a ready market existed, or that could have been (or will be) realized in an actual sale, and such differences could be material.

The value of any investment on any valuation date is intended to represent the fair value of such investment on such date based upon the amount at which the investment could be exchanged between willing parties, other than in a forced liquidation sale, and reflects the Board’s determination of fair value using the methodology described herein. Any valuation of an investment may not reflect the actual amount received by the Fund upon the liquidation of such investment.

The Fund’s investments will be primarily loans made to middle-market companies. These investments are mostly considered Level 3 assets under ASC Topic 820 because there is not usually a known or accessible market or market indices for these types of debt instruments and, thus, the Adviser’s senior investment team must estimate the fair value of these investment securities based on models utilizing unobservable inputs.

Management and Incentive Fees

The Fund will accrue for the base management fee and incentive fee. The accrual for the incentive fee includes the recognition of the incentive fee on unrealized capital gains, even though such incentive fee is neither earned nor payable to the Adviser until the gains are both realized and in excess of unrealized depreciation on investments. The amount of capital gains incentive fee expense related to the hypothetical liquidation of the portfolio (and assuming no other changes in realized or unrealized gains and losses) would only become payable to the Adviser in the event of a complete liquidation of the Fund’s portfolio as of period end and the termination of the Amended and Restated Advisory Agreement on such date. Also, it should be noted that the capital gains incentive fee expense fluctuates with the Fund’s overall investment results.

 

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Federal Income Taxes

The Fund has elected to be treated, and to qualify annually, as a RIC under Subchapter M of the Code. Generally, a RIC is not subject to federal income taxes on distributed income and gains if it distributes at least 90% of its net ordinary income and net short-term capital gains in excess of its net long-term capital losses, if any, to its stockholders. The Fund intends to distribute sufficient dividends to maintain its RIC status each year and the Fund does not anticipate paying any material federal income taxes in the future.

 

Item 3.

Quantitative and Qualitative Disclosures About Market Risk

The Fund is subject to financial market risks, including changes in interest rates. To the extent that the Fund borrows money to make investments, the Fund’s net investment income is dependent upon the difference between the rate at which the Fund borrows funds and the rate at which the Fund invests these funds. In periods of rising interest rates, the Fund’s cost of funds would increase, which may reduce the Fund’s net investment income. Because the Fund expects that most of its investments will bear interest at floating rates, the Fund anticipates that an increase in interest rates would have a corresponding increase in the Fund’s interest income that would likely offset any increase in the Fund’s cost of funds and, thus, net investment income would not be reduced. However, there can be no assurance that a significant change in market interest rates will not have an adverse effect on the Fund’s net investment income. In addition, U.S. and global capital markets and credit markets have experienced a higher level of stress due to the global COVID-19 pandemic, which has resulted in an increase in the level of volatility across such markets and a general decline in the value of the securities held by the Fund.

The Fund will generally invest in illiquid loans and securities including debt and equity securities of middle-market companies. Because the Fund expects that there will not be a readily available market for many of the investments in the Fund’s portfolio, the Fund expects to value many of its portfolio investments at fair value as determined in good faith by the Board using a documented valuation policy and a consistently applied valuation process. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Fund’s investments may differ significantly from the values that would have been used had a readily available market value existed for such investments, and the differences could be material.

In connection with the COVID-19 pandemic, the U.S. Federal Reserve and other central banks have reduced certain interest rates and LIBOR has decreased. A prolonged reduction in interest rates will reduce the Fund’s gross investment income and could result in a decrease in the Fund’s net investment income if such decreases in LIBOR are not offset by a corresponding increase in the spread over LIBOR that the Fund earns on any portfolio investments, a decrease in the Fund’s operating expenses, including with respect to the Fund’s income incentive fee, or a decrease in the interest rate of the Fund’s floating interest rate liabilities tied to LIBOR.

Assuming that the consolidated statement of assets and liabilities as of March 31, 2023, were to remain constant and that the Fund took no actions to alter its existing interest rate sensitivity, the following table shows the annualized impact of hypothetical base rate changes in interest rates.

 

Change in Interest Rates

   Increase (Decrease) in
Interest Income
     Increase (Decrease) in
Interest Expense
     Net Increase (Decrease) in
Net Investment Income
 

Down 25 basis points

   $ (2,954,278    $ (1,841,875    $ (1,112,403

Up 100 basis points

     11,817,114        7,367,500        4,449,614  

Up 200 basis points

     23,634,228        14,735,000        8,899,228  

Up 300 basis points

     35,451,342        22,102,500        13,348,842  

In addition, although the Fund does not currently intend to make investments that are denominated in a foreign currency, to the extent it does, the Fund will be subject to risks associated with changes in currency exchange rates. These risks include the possibility of significant fluctuations in the foreign currency markets, the imposition or modification of foreign exchange controls and potential illiquidity in the secondary market. These risks will vary depending upon the currency or currencies involved.

The Fund may hedge against interest rate and currency exchange rate fluctuations by using standard hedging instruments such as futures, options and forward contracts subject to the requirements of the 1940 Act. While hedging activities may insulate the Fund against adverse changes in interest rates, they may also limit the Fund’s ability to participate in benefits of lower interest rates with respect to the Fund’s portfolio of investments with fixed interest rates.

 

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Item 4.

Controls and Procedures

As of the end of the period covered by this report, the Fund carried out an evaluation, under the supervision and with the participation of the Fund’s management, including the Fund’s Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of the Fund’s disclosure controls and procedures (as defined in Rule 13a-15(e) and 15d-15(e) under the Exchange Act). Based on that evaluation, the Fund’s Chief Executive Officer and Chief Financial Officer have concluded that the Fund’s current disclosure controls and procedures are effective in timely alerting them to material information relating to the Fund that is required to be disclosed by the Fund in the reports it files or submits under the Exchange Act.

There have been no changes in the Fund’s internal control over financial reporting that occurred during the Fund’s most recently completed fiscal quarter that have materially affected, or are reasonably likely to materially affect, the Fund’s internal control over financial reporting.

PART II. OTHER INFORMATION

 

Item 1.

Legal Proceedings

The Fund is not currently subject to any material legal proceedings, nor, to the Fund’s knowledge, is any material legal proceeding threatened against the Fund. From time to time, the Fund may be a party to certain legal proceedings in the ordinary course of business, including proceedings relating to the enforcement of the Fund’s rights under contracts with its portfolio companies. The Fund’s business is also subject to extensive regulation, which may result in regulatory proceedings against the Fund. While the outcome of these legal proceedings cannot be predicted with certainty, the Fund does not expect that these proceedings will have a material effect upon its financial condition or results of operations.

 

Item 1A.

Risk Factors

In addition to the other information set forth in this report, you should carefully consider the factors discussed in Part I, “Item 1A. Risk Factors” in the Fund’s Annual Report on Form 10-K for the fiscal year ended December 31, 2022, which could materially affect the Fund’s business, financial condition and/or operating results. The risks described in the Fund’s Annual Report on Form 10-K are not the only risks the Fund faces. Additional risks and uncertainties that are not currently known to the Fund or that the Fund currently deems to be immaterial also may materially adversely affect the Fund’s business, financial condition and/or operating results. During the three months ended March 31, 2023, there have been no material changes from the risk factors set forth in the Fund’s Annual Report on Form 10-K for the year ended December 31, 2022, except for the following.

The Small Business Credit Availability Act allows the Fund to incur additional leverage, which may increase the risk of investing with the Fund.

On March 23, 2018, the SBCAA was signed into law. The SBCAA, among other things, modifies the applicable provisions of the 1940 Act to reduce the required asset coverage ratio applicable to BDCs from 200% to 150% subject to certain approval, time and disclosure requirements (including either stockholder approval or approval of a majority of the directors who are not interested persons of the BDC and who have no financial interest in the proposal). On July 5, 2018, the Board voted to approve the adoption of the reduced asset coverage ratio and separately recommended that Investors approve the reduced asset coverage requirements at the 2018 annual meeting of stockholders. On September 26, 2018, the Fund’s stockholders voted to approve the adoption of the reduced asset coverage ratio, effective September 27, 2018.

Increased leverage could increase the risks associated with investing in the Fund. For example, if the value of the Fund’s assets decreases, although the asset base and expected revenues would be larger because increased leverage would permit the Fund to acquire additional assets, leverage will cause the Fund’s net asset value to decline more sharply than it otherwise would have without leverage or with lower leverage. Similarly, any decrease in the Fund’s revenue would cause its net income to decline more sharply, on a relative basis, than it would have if the Fund had not borrowed or had borrowed less (although, as noted above, the Fund’s asset base and expected revenues would likely be larger). However, since the Fund already uses leverage in optimizing its investment portfolio, there are no material new risks associated with increased leverage other than the amount of the leverage.

If the Fund’s asset coverage ratio falls below the required limit, the Fund will not be able to incur additional debt until it is able to comply with the asset coverage ratio. This could have a material adverse effect on the Fund’s operations, and the Fund may not be able to make distributions to stockholders. The actual amount of leverage that the Fund employs will depend on the Board’s and the Adviser’s assessment of market and other factors at the time of any proposed borrowing. The Fund currently anticipates being able to obtain sufficient credit on acceptable terms, although the Fund can make no assurance that this will be the case or that it will remain such in the future.

 

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The following table illustrates the effect of leverage on returns from an investment in the Shares assuming that the Fund employs leverage such that the Fund’s asset coverage equals (1) the Fund’s actual asset coverage as of March 31, 2023 and (2) 150%, each at various annual returns, net of expenses and as of March 31, 2023.

The calculations in the tables below are hypothetical, and are provided for illustrative purposes only. Actual returns may be higher or lower than those appearing below.

 

Assumed Return on the Fund’s Portfolio (net of expenses)

     (10.00 )%      (5.00 )%      0.00     5.00     10.00
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Corresponding net return to holders of common stock assuming actual asset coverage as of March 31, 2023(1)

     (42.2 )%      (28.1 )%      (13.9 )%      0.2     14.4

Corresponding net return to holders of common stock assuming 150% asset coverage(2)

     (45.2 )%      (30.2 )%      (15.2 )%      (0.2 )%      14.8
  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

(1) 

Assumes $1,266 million in total portfolio assets, $802 million in debt outstanding, $464 million in net assets, and an average cost of funds of 7.6%. Actual interest payments may be different.

(2) 

Assumes $1,266 million in total portfolio assets, $844 million in debt outstanding, $422 million in net assets, and an average cost of funds of 7.6%. Actual interest payments may be different.

 

Item 2.

Unregistered Sales of Equity Securities and Use of Proceeds

Except as previously reported by the Fund on its current reports on Form 8-K, the Fund did not sell any securities during the period covered by this Quarterly Report that were not registered under the Securities Act.

 

Item 3.

Defaults Upon Senior Securities

None.

 

Item 4.

Mine Safety Disclosure

Not applicable.

 

Item 5.

Other Information

None.

 

Item 6.

Exhibits

The following exhibits are filed as part of this report or hereby incorporated by reference to exhibits previously filed with the SEC:

 

10.1    Eighth Amendment to Revolving Credit Agreement, dated as of March 31, 2023, by and among AB-Abbott Private Equity Investors 2019 (Delaware) Fund L.P., AB-Abbott Private Equity Investors 2020 (Delaware) Fund L.P., AB-Abbott Private Equity Solutions 2021 (Delaware) Fund L.P., AB Private Credit Investors Middle Market Direct Lending Fund, L.P., AB Private Credit Investors Corporation and AB-Abbott Private Equity Solutions 2022 (Delaware) Fund L.P., as borrowers, AB-Abbott Private Equity Investors G.P. L.P., AB-Abbott Private Equity Investors 2020 G.P. L.P., AB-Abbott Private Equity Solutions 2021 G.P. L.P., AB Private Credit Investors Middle Market Direct Lending G.P. L.P. and AB-Abbott Private Equity Solutions 2022 G.P. L.P., as general partners, the banks and financial institutions from time to time party thereto as lenders and HSBC Bank USA, National Association as the administrative agent for the secured parties and a lender.*
31.1    Certification of Chief Executive Officer pursuant to Rule 13a-14 of the Securities Exchange Act of 1934, as amended.*
31.2    Certification of Chief Financial Officer pursuant to Rule 13a-14 of the Securities Exchange Act of 1934, as amended.*
32.1    Certification of Chief Executive Officer and Chief Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, as amended.*
101.INS    XBRL Instance Document—the instance document does not appear in the Interactive Data File because its XBRL tags are embedded within the XBRL document*
101.SCH    Inline XBRL Taxonomy Extension Schema Document*
101.CAL    Inline XBRL Taxonomy Calculation Linkbase Document*
101.DEF    Inline XBRL Taxonomy Extension Definition Linkbase Document*
101.LAB    Inline XBRL Taxonomy Label Linkbase Document*
101.PRE    Inline XBRL Taxonomy Presentation Linkbase Document*
104    Cover Page Interactive Data File (formatted in Inline XBRL and contained in Exhibit 101)*

 

*

Filed herewith

 

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SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

   

AB PRIVATE CREDIT INVESTORS CORPORATION

Date: May 15, 2023

 

By:

 

/s/ J. Brent Humphries

    J. Brent Humphries
    President and Chief Executive Officer
    (Principal Executive Officer)

Date: May 15, 2023

 

By:

 

/s/ Wesley Raper

    Wesley Raper
    Chief Financial Officer and Treasurer
    (Principal Financial and Accounting Officer)