Annual report [Section 13 and 15(d), not S-K Item 405]

Commitments and Contingencies - Schedule of Contractual Obligations (Details)

v3.25.4
Commitments and Contingencies - Schedule of Contractual Obligations (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Debt    
Total $ 2,286,444 $ 1,768,955
Lease and License Obligations    
Total lease payments 20,721  
Lease and license obligations less than 1 year 3,179  
Contractual Obligations, Total    
Total 2,333,962 1,807,241
Contractual obligations less than 1 year 428,339 173,246
Contractual obligations 1-3 years 643,728 897,640
Contractual obligations 3-5 years 801,520 289,379
Contractual obligations, after 5 years 460,375 446,976
Outstanding principal balances 2,313,070 1,783,265
SBA Debentures    
Debt    
Total [1] 341,012 271,371
Contractual Obligations, Total    
Outstanding principal balances [1] 350,000 279,000
February 2025 Notes    
Debt    
Total 0 49,981
Contractual Obligations, Total    
Outstanding principal balances 0 50,000
June 2025 Notes    
Debt    
Total 0 69,919
Contractual Obligations, Total    
Outstanding principal balances 0 70,000
June 2030 Notes    
Debt    
Total 342,694 0
Contractual Obligations, Total    
Outstanding principal balances 350,000 0
June 2025 3-Year Notes    
Debt    
Total 0 49,926
Contractual Obligations, Total    
Outstanding principal balances 0 50,000
March 2026 A Notes    
Debt    
Total 49,984 49,889
Contractual Obligations, Total    
Outstanding principal balances 50,000 50,000
March 2026 B Notes    
Debt    
Total 49,983 49,880
Contractual Obligations, Total    
Outstanding principal balances 50,000 50,000
2031 Asset-Backed Notes(2)    
Debt    
Total 64,530 118,769
Contractual Obligations, Total    
Outstanding principal balances 64,636 119,475
2033 Notes    
Debt    
Total 39,151 39,043
Contractual Obligations, Total    
Outstanding principal balances 40,000 40,000
September 2026 Notes    
Debt    
Total 324,302 323,321
Contractual Obligations, Total    
Outstanding principal balances 325,000 325,000
January 2027 Notes    
Debt    
Total 348,596 347,265
Contractual Obligations, Total    
Outstanding principal balances 350,000 350,000
SMBC Facility    
Debt    
Total [2],[3] 277,780 283,591
Contractual Obligations, Total    
Outstanding principal balances [2],[3] 277,934 283,790
MUFG Bank Facility    
Debt    
Total 168,000 116,000
Contractual Obligations, Total    
Outstanding principal balances 168,000 116,000
2028 Convertible Notes    
Debt    
Total 280,412 0
Contractual Obligations, Total    
Outstanding principal balances 287,500 0
Debt    
Debt    
Total 2,313,070 1,783,265
Debt Less than 1 year 425,000 170,000
Debt 1 - 3 years 637,500 891,000
Debt 3-5 years 795,934 283,790
Debt after 5 years 454,636 438,475
Lease and License Obligations    
Lease and License Obligations    
Total lease payments 20,892 23,976
Lease and license obligations less than 1 year 3,339 3,246
Lease and license obligations 1-3 years 6,228 6,640
Lease and license obligations 3-5 years 5,586 5,589
Lease and license obligations after 5 years $ 5,739 $ 8,501
[1] As of December 31, 2025 and December 31, 2024, the total available debt under the SBA Debentures was $350.0 million, of which $175.0 million was available to HC IV and $175.0 million was available to SBIC V.
[2] In November 2024, the Company amended its SMBC Facility and converted a portion of the existing revolver facility into a term loan facility in connection therewith. As of December 31, 2025, the term loan portion of the SMBC Facility for total available, outstanding principal, and carrying value was $25.0 million, $25.0 million, and $24.8 million, respectively. As of December 31, 2024, the term loan portion of the SMBC Facility for total available, outstanding principal, and carrying value was $25.0 million, $25.0 million, and $24.8 million, respectively.
[3] “Total Available” includes $175.0 million of available commitment through the letter of credit facility as of December 31, 2025 and December 31, 2024.