* Industry diversification based on Moody's industry classification. Measured as the fair value of investments for each category against the total fair value of all investments. Totals may not sum due to rounding.
A balanced portfolio built on the cornerstones of diversification and selectivity
Anchored in senior secured loans, NCDL has built a scaled and diversified portfolio by industry, investment type and portfolio company. Selectivity, diversification and rigorous underwriting are key to our investment philosophy, enabling strong credit performance since inception.
Portfolio holdings
Top ten positions
Represents the top ten positions in NCDL based on Fair Value as of June 30, 2024
Company | Fair value ($ in thousands) | Industry | Asset Types | Pricing1 |
---|---|---|---|---|
Quantix (Incremental) | 4,187,200 | Transportation: Cargo | First Lien Term Loan | S +6.75% |
Quantix (Incremental) | 247,086 | Transportation: Cargo | First Lien Term Loan | S +6.75% |
Quantix (Incremental) | 857,727 | Transportation: Cargo | First Lien Term Loan | S +6.75% |
Quantix (Incremental) | 173,492 | Transportation: Cargo | First Lien Term Loan | S +6.75% |
Prompt Care (Delayed Draw) (Incremental) | 1,425,147 | Healthcare & Pharmaceuticals | First Lien Term Loan | S +6.00% |
Proampac | 4,518,867 | Containers, Packaging & Glass | First Lien Term Loan | S +4.00% |
Wellspring Pharmaceutical (Delayed Draw) (Incremental) | 12,443 | Healthcare & Pharmaceuticals | First Lien Term Loan | S +6.00% |
Phaidon International | 13,467,536 | Services: Business | First Lien Term Loan | S +5.50% |
Wellspring Pharmaceutical (Delayed Draw) | 1,555,364 | Healthcare & Pharmaceuticals | First Lien Term Loan | S +5.75% |
MEI Rigging & Crating | 11,375,863 | Construction & Building | First Lien Term Loan | S +5.00% |
Perennial Services, Group, LLC (Delayed Draw) | 5,970,998 | Services: Consumer | First Lien Term Loan | S +5.50% |
Perennial Services, Group, LLC | 6,672,166 | Services: Consumer | First Lien Term Loan | S +5.50% |
Palmetto Acquisitionco, Inc. (Delayed Draw) | 1,711,077 | Beverage, Food & Tobacco | First Lien Term Loan | S +5.75% |
Patriot Growth Insurance Service (Delayed Draw) (Incremental) | 7,040,362 | Banking, Finance, Insurance, Real Estate | First Lien Term Loan | S +5.00% |
Wellspring Pharmaceutical (Incremental) | 1,243,723 | Healthcare & Pharmaceuticals | First Lien Term Loan | S +6.00% |
Pinnacle Supply Partners, LLC | 6,258,420 | Utilities: Electric | First Lien Term Loan | S +6.25% |
Young Innovations | 16,315,804 | Healthcare & Pharmaceuticals | First Lien Term Loan | S +5.75% |
Market Performance Group (Delayed Draw) | 30,856 | Consumer Goods: Non-durable | First Lien Term Loan | S +5.25% |
Wellspring Pharmaceutical | 3,344,425 | Healthcare & Pharmaceuticals | First Lien Term Loan | S +5.75% |
Press Ganey | 5,800,640 | Services: Business | First Lien Term Loan | S +3.50% |
Precision Surfacing | 712,666 | Capital Equipment | First Lien Term Loan | 15.00% |
Precision Aviation Group (Delayed Draw) | 770,616 | Aerospace & Defense | First Lien Term Loan | S +5.75% |
MBS Holdings, Inc. | 1,837,518 | Telecommunications | First Lien Term Loan | S +6.25% |
Pinnacle Supply Partners, LLC (Delayed Draw) | 1,366,478 | Utilities: Electric | First Lien Term Loan | S +6.25% |
Precision Aviation Group | 14,879,026 | Aerospace & Defense | First Lien Term Loan | S +5.50% |
MEI Rigging & Crating (Delayed Draw) | 363 | Construction & Building | First Lien Term Loan | S +5.00% |
AG MDC Holdings, Inc | 196,169 | Healthcare & Pharmaceuticals | Equity Investment | |
ASTP Holdings Co-Investment LP | 87,932 | Transportation: Consumer | Equity Investment | |
Anne Arundel | - | Healthcare & Pharmaceuticals | Equity Investment | |
Apex Companies Holdings, LLC | 133,664 | Services: Business | Equity Investment |
1. The majority of the investments bear interest at rates that may be determined by reference to Secured Overnight Financing Rate ("SOFR" or "S"), which reset monthly or quarterly. For each such investment, the Company has provided the spread over SOFR and the current contractual interest rate in effect at June 30, 2024. As of June 30, 2024, rates for 1M S, 3M S, 6M S, 12M S ("SOFR") are 5.34%, 5.32%, 5.25%, and 5.04% respectively. Certain investments are subject to a SOFR floor. For fixed rate loans, a spread above a reference rate is not applicable.