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Borrower record · Q2 2026

Therapy Brands

As filed by 4 BDCs · period end 30 June 2026Filers label it: Healthcare (2)2 name variants under review

Four lenders report $40.4m of Therapy Brands at Q2 2026, marked at 85.5 cents. The filers carry it 14 cents below what they paid for it.

Filed fair value
$40.4m
5 funded positions
Reporting lenders
4
across 5 filed positions
Aggregate mark
85.5c
cost filed on all 5 positions
Median spread
675bp
over SOFR, 5 tranches
Maturities to
2029
earliest May 2028
Periods on record
5
first filed Q2 2025

How this total is counted

Pricing as filed

5 floating tranches · SOFR
SpreadTranches
400bp2
675bp3

Bar length is the number of tranches filed at that spread. The accented row holds the median tranche.

634bp weighted by fair value, across the same 5 tranches.

Capital structure

First-Lien Senior Secured2 positions
Second-Lien Secured2 positions

Bars show position counts. 1 of 5 funded positions carries no filed seniority.

Rate structure

Floating, on all 5 positions whose interest type a filer disclosed.

Maturity profile

all 5 funded positions dated
2028
$6.0m
2029
$34.4m

2.7 years to maturity, weighted by fair value across the 5 dated positions.

Where the lenders disagree

4 filers disclosed a cost

Lender marks on the same debt differ by up to 24.6c.

Credit flags

No lender reports this borrower on non-accrual, and no filed tranche pays in kind.

Not in the filings

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Who holds it, and where they mark it.

4 lenders hold the same credit and mark it differently. Behind the gate, one row each — for this borrower and for every other one on this site, free and with no limit on how many you read.

LenderPositionsFair valueMarkSpreadMaturityAccrual

Every filing behind this page

4 filers · Q2 2026
FilerCIKFormPeriodFiledAccession
Ares Capital Corporation (ARCC)000128775010-Q2026-06-302026-07-290001628280-26-050307
Franklin BSP Capital Corp (FRBP)000182524810-Q2026-06-302026-08-120001825248-26-000024
New Mountain Private Credit Fund000203780410-Q2026-06-302026-08-110002037804-26-000015
NMF SLF I, Inc.000176603710-Q2026-06-302026-08-120001766037-26-000013

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