Quarterly report pursuant to Section 13 or 15(d)

CONSOLIDATED STATEMENTS OF FINANCIAL POSITION (Unaudited)

v3.23.1
CONSOLIDATED STATEMENTS OF FINANCIAL POSITION (Unaudited) - USD ($)
Mar. 31, 2023
Dec. 31, 2022
ASSETS    
Total Investments at Fair Value $ 68,190,270 $ 61,504,259
Cash 1,841,162 1,368,996
Interest receivable 209,492 208,338
Prepaid income taxes 43,939 76,396
Deferred tax asset 33,695 28,160
Other assets 286,715 295,043
Total assets 70,605,273 63,481,192
Liabilities:    
Due to investment adviser 245,768 562,221
Accounts payable and accrued expenses 97,660 66,680
Line of credit (see Note 6) 7,950,000 2,550,000
Capital gains incentive fees 2,458,000 2,167,000
Deferred revenue 478,452 413,971
Total liabilities 11,229,880 5,759,872
Commitments and contingencies (See Note 5)
Stockholders' equity (net assets):    
Common stock, $0.10 par; shares authorized 100,000,000; shares issued: 2,648,916; shares outstanding: 2,581,021 at 3/31/23 and 12/31/22 264,892 264,892
Capital in excess of par value 51,464,267 51,464,267
Treasury stock, at cost: 67,895 shares at 3/31/23 and 12/31/22 (1,566,605) (1,566,605)
Total distributable earnings 9,212,839 7,558,766
Total stockholders' equity (net assets) (per share - 3/31/23: $23.00; 12/31/22: $22.36) 59,375,393 57,721,320
Total liabilities and stockholders' equity (net assets) 70,605,273 63,481,192
Control Investments    
ASSETS    
Total Investments at Fair Value 3,580,594 3,536,207
Affiliate Investments    
ASSETS    
Total Investments at Fair Value 43,743,479 38,241,589
Non-Control/Non-Affiliate Investments    
ASSETS    
Total Investments at Fair Value $ 20,866,197 $ 19,726,463