Quarterly report pursuant to Section 13 or 15(d)

Schedule of Fair Value of Our Portfolio of Investments

v3.24.3
Schedule of Fair Value of Our Portfolio of Investments - USD ($)
Sep. 30, 2024
Dec. 31, 2023
Percentage of Net Assets 91.91% 93.20%
Investments at Fair Value $ 21,254,340 $ 29,734,953
United States [Member]    
Percentage of Net Assets 91.91% 93.20%
Investments at Fair Value $ 21,254,340 $ 29,734,953
Casual Dining [Member]    
Percentage of Net Assets 42.10% 38.02%
Investments at Fair Value $ 9,736,392 $ 12,128,041
Nickel Pipe, Fittings and Flanges [Member]    
Percentage of Net Assets 25.25% 34.96%
Investments at Fair Value $ 5,838,750 $ 11,153,531
Staffing [Member]    
Percentage of Net Assets 18.14% 14.84%
Investments at Fair Value $ 4,194,843 $ 4,736,141
Energy Services [Member]    
Percentage of Net Assets 6.42% 4.84%
Investments at Fair Value $ 1,484,355 $ 1,543,841
Medical Business Services [Member]    
Percentage of Net Assets   0.54%
Investments at Fair Value   $ 173,399