Blue Owl Credit SLF LLC

Supplemental Financial Information (Unaudited) as of and for the period from May 6, 2024 (Date of Inception) to December 31, 2024

























Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)

Consolidated Statement of Assets and Liabilities
(Amounts in thousands)

December 31, 2024(1)
Assets
Investments at fair value (amortized cost of $1,162,056)$1,164,473 
Cash17,354 
Due from investors24 
Receivable due on investments sold11,365 
Interest receivable3,151 
Total Assets$1,196,367 
Liabilities
Debt (net of unamortized debt issuance costs of $1,572)$750,610 
Payable for investments purchased85,750 
Interest payable4,190 
Distribution payable6,451 
Accrued expenses and other liabilities555 
Total Liabilities847,556 
Commitments and contingencies
Members’ Equity
Total Members’ Equity - Class A348,811 
Total Members’ Equity - Class B— 
Total Members' Equity348,811 
Total Liabilities and Members’ Equity$1,196,367 

(1) The Company’s date of inception was May 6, 2024.

1

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Consolidated Statement of Operations
(Amounts in thousands)

For the Period Ended December 31, 2024(1)
Investment Income
Interest income$14,496 
Other income77 
Total investment income$14,573 
Operating Expenses
Interest expense$7,986 
Professional fees580 
Organizational costs40 
Total Operating Expenses8,606 
Net Investment Income5,967 
Net Realized and Change in Unrealized Gain (Loss)
Net change in unrealized gain (loss) on investments2,417 
Net realized gain (loss) on investments487 
Total Net Realized and Change in Unrealized Gain (Loss) on Investments2,904 
Net Increase in Members' Equity Resulting from Operations$8,871 
Total Net Increase (Decrease) in Members’ Equity Resulting from Operations - Class A$8,871 

(1) The Company’s date of inception was May 6, 2024.

2

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Consolidated Schedule of Investments
As of December 31, 2024
(Amounts in thousands)

Company(1)(3)(4)InvestmentInterestMaturity DatePar / UnitsAmortized Cost(2)Fair ValuePercentage of Members’ Equity(9)
Debt Investments
Aerospace and defense        
Amentum Holdings, Inc.(5)First lien senior secured loanSR +2.25%09/2031$6,000 $5,986 $5,975 1.7 %
Avolon TLB Borrower 1 (US) LLC(5)First lien senior secured loanSR +1.75%06/203010,928 10,916 10,916 3.1 %
Bleriot US Bidco Inc.(6)First lien senior secured loanSR +2.75%10/203023,940 23,940 24,048 6.9 %
Dynasty Acquisition Co., Inc. (dba StandardAero Limited)(5)First lien senior secured loanSR +2.25%10/203110,500 10,487 10,540 3.0 %
Signia Aerospace LLC(6)(8)First lien senior secured loanSR +3.00%11/20317,385 7,366 7,366 2.1 %
Transdigm, Inc.(6)First lien senior secured loanSR +2.50%01/20329,975 9,951 9,991 2.9 %
68,646 68,836 19.7 %
Automotive services        
Belron Finance US LLC(6)First lien senior secured loanSR +2.75%10/20317,980 7,960 8,045 2.3 %
Holley Inc.(5)First lien senior secured loanSR +3.75%11/20283,211 3,148 3,140 0.9 %
Mavis Tire Express Services Topco Corp.(5)First lien senior secured loanSR +3.50%05/20282,867 2,878 2,883 0.8 %
Wand Newco 3, Inc. (dba Caliber )(5)First lien senior secured loanSR +3.25%01/20314,883 4,895 4,898 1.4 %
18,881 18,966 5.4 %
Buildings and real estate        
Arcosa Inc(5)First lien senior secured loanSR +2.25%08/20313,000 3,000 3,021 0.9 %
Construction Partners, Inc.(5)First lien senior secured loanSR +2.50%11/20312,000 1,995 2,006 0.6 %
The Azek Group LLC(5)(8)First lien senior secured loanSR +2.00%09/20311,995 1,990 2,000 0.6 %
Wrench Group LLC(6)First lien senior secured loanSR +4.00%10/202831,440 31,144 30,104 8.6 %
38,129 37,131 10.7 %
Business services        
Boxer Parent Company Inc. (f/k/a BMC)(6)First lien senior secured loanSR +3.75%07/203115,000 14,990 15,111 4.3 %
ConnectWise, LLC(6)First lien senior secured loanSR +3.50%09/202816,490 16,521 16,573 4.8 %
CoolSys, Inc.(6)(8)First lien senior secured loanSR +4.75%08/202814,961 14,742 14,550 4.2 %
Madison Safety & Flow LLC(5)First lien senior secured loanSR +3.25%09/20311,995 1,990 2,008 0.6 %
Nvent Electric Public Limited Company(6)First lien senior secured loanSR +3.50%09/203114,000 13,930 14,136 4.1 %
Plano HoldCo, Inc.(6)(8)First lien senior secured loanSR +3.50%10/20314,500 4,478 4,534 1.3 %
POLARIS PURCHASER, INC. (dba Plusgrade)(6)(8)First lien senior secured loanSR +4.00%03/203110,154 10,174 10,204 2.9 %
XPLOR T1, LLC(6)(8)First lien senior secured loanSR +3.50%06/20319,975 9,975 10,050 2.9 %
86,800 87,166 25.1 %
Chemicals        
Advancion Holdings, LLC (fka Aruba Investments Holdings, LLC)(5)First lien senior secured loanSR +4.00%11/202717,512 17,523 17,512 5.0 %
Derby Buyer LLC (dba Delrin)(5)First lien senior secured loanSR +3.00%11/20309,925 9,925 9,950 2.9 %
27,448 27,462 7.9 %
Containers and packaging        
Ring Container Technologies Group, LLC(5)First lien senior secured loanSR +2.75%08/202812,313 12,345 12,332 3.5 %
SupplyOne, Inc.(5)First lien senior secured loanSR +3.75%04/2031997 997 1,004 0.3 %
Tricorbraun Holdings, Inc.(5)First lien senior secured loanSR +3.25%03/202815,959 15,919 15,933 4.6 %
29,261 29,269 8.4 %
Distribution        
BCPE Empire Holdings, Inc. (dba Imperial-Dade)(5)First lien senior secured loanSR +3.50%12/202818,000 18,000 18,076 5.2 %
Dealer Tire Financial, LLC(5)First lien senior secured loanSR +3.50%07/203123,940 23,940 23,940 6.9 %
Foundation Building Materials, Inc.(6)First lien senior secured loanSR +4.00%01/20319,950 9,842 9,780 2.8 %
Paint Intermediate III, LLC(6)First lien senior secured loanSR +3.00%09/203112,000 11,942 12,046 3.5 %
White Cap Supply Holdings, LLC(5)First lien senior secured loanSR +3.25%10/20297,000 6,971 7,006 2.0 %
70,695 70,848 20.4 %
Education        
Ellucian Holdings Inc. (f/k/a Sophia, L.P.)(5)First lien senior secured loanSR +3.00%10/202912,947 12,947 13,022 3.7 %
3

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Consolidated Schedule of Investments
As of December 31, 2024
(Amounts in thousands)
Company(1)(3)(4)InvestmentInterestMaturity DatePar / UnitsAmortized Cost(2)Fair ValuePercentage of Members’ Equity(9)
Spring Education Group, Inc. (fka SSH Group Holdings, Inc.)(6)First lien senior secured loanSR +4.00%10/203019,800 19,954 19,899 5.7 %
32,901 32,921 9.4 %
Energy equipment and services        
Brookfield WEC Holdings Inc.(5)First lien senior secured loanSR +2.25%01/20314,086 4,086 4,085 1.2 %
Calpine Construction Finance Company, L.P.(5)First lien senior secured loanSR +2.00%07/20303,000 2,985 2,991 0.9 %
Calpine Corporation(6)First lien senior secured loanSR +1.75%02/20324,000 3,985 3,983 1.1 %
Fleet U.S. Bidco Inc.(7)(8)First lien senior secured loanSR +2.75%02/20317,481 7,481 7,519 2.2 %
18,537 18,578 5.4 %
Financial services        
AllSpring Buyer(6)First lien senior secured loanSR +3.00%11/20301,048 1,046 1,049 0.3 %
BCPE Pequod Buyer, Inc.(5)First lien senior secured loanSR +3.50%11/20318,000 7,960 8,058 2.3 %
Citadel Securities, LP(5)First lien senior secured loanSR +2.00%10/20317,271 7,271 7,288 2.1 %
Focus Financial Partners, LLC(5)First lien senior secured loanSR +3.25%09/20317,224 7,206 7,285 2.1 %
Grant Thornton Advisors LLC(6)First lien senior secured loanSR +2.75%06/20311,783 1,783 1,781 0.5 %
Guggenheim Partners Investment Management Holdings, LLC(6)First lien senior secured loanSR +2.50%11/20316,000 5,985 6,015 1.7 %
Jane Street Group, LLC(5)First lien senior secured loanSR +2.00%12/20313,990 3,980 3,972 1.1 %
MARINER WEALTH ADVISORS, LLC(6)First lien senior secured loanSR +2.75%08/20281,995 1,995 1,995 0.6 %
Orion Advisor Solutions Inc(6)First lien senior secured loanSR +3.75%09/20306,435 6,389 6,489 1.9 %
PUSHPAY USA INC(6)(8)First lien senior secured loanSR +4.50%08/20314,286 4,244 4,307 1.2 %
Saphilux S.a.r.L. (dba IQ-EQ)(7)First lien senior secured loanSR +3.50%07/202815,920 15,972 16,020 4.6 %
63,831 64,259 18.4 %
Food and beverage        
Aspire Bakeries Holdings, LLC(5)(8)First lien senior secured loanSR +4.25%12/20303,990 3,970 4,020 1.2 %
Balrog Acquisition, Inc. (dba Bakemark)(6)First lien senior secured loanSR +4.00%09/202824,250 24,321 24,286 7.0 %
Fiesta Purchaser, Inc. (dba Shearer's Foods)(5)First lien senior secured loanSR +3.25%02/203111,940 11,940 11,938 3.4 %
Froneri International Ltd(5)First lien senior secured loanSR +2.00%09/20314,000 3,990 4,001 1.1 %
44,221 44,245 12.7 %
Healthcare equipment and services        
Confluent Medical Technologies, Inc.(6)First lien senior secured loanSR +3.25%02/20299,812 9,877 9,850 2.8 %
Medline Borrower, LP(5)First lien senior secured loanSR +2.25%10/202822,149 22,149 22,209 6.4 %
Packaging Coordinators Midco, Inc.(6)First lien senior secured loanSR +3.25%11/20274,862 4,879 4,879 1.4 %
Resonetics, LLC(6)First lien senior secured loanSR +3.25%06/203119,950 19,950 20,056 5.7 %
56,855 56,994 16.3 %
Healthcare providers and services        
CHG Healthcare Services, Inc(6)First lien senior secured loanSR +3.50%09/20282,248 2,248 2,264 0.6 %
CHG PPC Parent LLC(5)First lien senior secured loanSR +3.00%12/20282,984 2,963 2,998 0.9 %
Confluent Health, LLC(5)(8)First lien senior secured loanSR +4.00%11/202824,329 23,917 23,660 6.8 %
Covetrus, Inc.(6)First lien senior secured loanSR +5.00%10/202914,738 14,050 14,139 4.1 %
Electron Bidco Inc (dba ExamWorks)(6)First lien senior secured loanSR +2.75%11/20282,000 2,000 2,006 0.6 %
HAH Group Holding Company LLC(5)First lien senior secured loanSR +5.00%09/20316,000 5,912 5,993 1.7 %
Phoenix Newco, Inc. (dba Parexel)(5)First lien senior secured loanSR +3.00%11/202823,937 23,961 24,076 6.9 %
Select Medical Corp.(5)First lien senior secured loanSR +2.00%12/20314,000 3,995 4,008 1.1 %
Soliant Lower Intermediate, LLC (dba Soliant)(5)First lien senior secured loanSR +3.75%07/203110,000 10,079 9,900 2.8 %
89,125 89,044 25.5 %
Healthcare technology        
Athenahealth Group Inc.(5)First lien senior secured loanSR +3.25%02/202912,397 12,378 12,410 3.6 %
Bracket Intermediate Holding Corp.(6)First lien senior secured loanSR +4.25%05/202819,701 19,701 19,848 5.7 %
Cotiviti, Inc.(5)First lien senior secured loanSR +3.00%05/20319,925 9,925 9,969 2.9 %
Ensemble RCM, LLC(6)First lien senior secured loanSR +3.00%08/20294,975 4,996 5,007 1.4 %
Imprivata, Inc.(6)First lien senior secured loanSR +3.50%12/202719,502 19,612 19,600 5.6 %
4

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Consolidated Schedule of Investments
As of December 31, 2024
(Amounts in thousands)
Company(1)(3)(4)InvestmentInterestMaturity DatePar / UnitsAmortized Cost(2)Fair ValuePercentage of Members’ Equity(9)
PointClickCare Technologies, Inc.(6)First lien senior secured loanSR +3.25%11/20314,000 3,990 4,020 1.2 %
Project Ruby Ultimate Parent Corp. (dba Wellsky)(5)First lien senior secured loanSR +3.00%03/202819,975 19,937 20,045 5.7 %
Raven Acquisition Holdings, LLC(5)First lien senior secured loanSR +3.25%11/203111,200 11,145 11,218 3.2 %
Southern Veterinary Partners, LLC(6)First lien senior secured loanSR +3.25%12/203120,000 19,904 20,120 5.8 %
Zelis Cost Management Buyer, Inc.(5)First lien senior secured loanSR +3.25%11/203116,000 15,922 16,040 4.6 %
137,510 138,277 39.7 %
Human resource support services        
iSolved, Inc.(5)First lien senior secured loanSR +3.25%10/20305,970 5,970 6,037 1.7 %
5,970 6,037 1.7 %
Infrastructure and environmental services        
Geosyntec Consultants, Inc.(5)First lien senior secured loanSR +3.75%07/20316,000 5,971 6,038 1.7 %
5,971 6,038 1.7 %
Insurance        
Acrisure, LLC(5)First lien senior secured loanSR +3.00%11/20309,531 9,531 9,529 2.7 %
Ardonagh Midco 3 PLC(6)(8)First lien senior secured loanSR +3.75%02/203115,000 15,072 15,075 4.3 %
AssuredPartners, Inc.(5)First lien senior secured loanSR +3.50%02/203112,917 12,946 12,934 3.7 %
Asurion, LLC(5)First lien senior secured loanSR +4.25%08/20287,791 7,761 7,791 2.2 %
Broadstreet Partners, Inc.(5)First lien senior secured loanSR +3.00%06/20316,328 6,328 6,344 1.8 %
Hyperion Refinance S.à r.l (dba Howden Group)(5)First lien senior secured loanSR +3.50%04/203019,650 19,741 19,768 5.7 %
Hyperion Refinance S.à r.l (dba Howden Group)(5)First lien senior secured loanSR +3.00%02/20314,963 4,963 4,991 1.4 %
Mitchell International, Inc.(5)First lien senior secured loanSR +3.25%06/20319,975 9,923 9,967 2.9 %
Summit Acquisition Inc. (dba K2 Insurance Services)(6)(8)First lien senior secured loanSR +3.75%10/20312,000 1,990 1,990 0.6 %
USI, Inc.(6)First lien senior secured loanSR +2.25%09/20301,335 1,335 1,332 0.4 %
89,590 89,721 25.7 %
Internet software and services        
Cloud Software Group, Inc.(6)First lien senior secured loanSR +3.75%03/20315,000 5,000 5,011 1.4 %
Clover Holdings 2, LLC(6)(8)First lien senior secured loanSR +4.00%12/203117,143 16,973 16,971 4.9 %
Javelin Buyer, Inc.(6)First lien senior secured loanSR +3.25%10/20313,000 2,993 3,021 0.9 %
McAfee Corp.(5)First lien senior secured loanSR +3.00%03/20293,288 3,288 3,287 0.9 %
Project Alpha Intermediate Holding, Inc. (dba Qlik)(6)First lien senior secured loanSR +3.25%10/20307,125 7,107 7,166 2.1 %
Proofpoint, Inc.(5)First lien senior secured loanSR +3.00%08/20289,900 9,934 9,940 2.8 %
Sedgwick Claims Management Services, Inc.(6)First lien senior secured loanSR +3.00%07/203114,963 14,991 15,037 4.3 %
Sophos Holdings, LLC(6)First lien senior secured loanSR +3.50%03/202710,000 9,988 10,055 2.9 %
Storable, Inc.(5)First lien senior secured loanSR +3.50%04/202814,885 14,919 14,973 4.3 %
The Dun & Bradstreet Corporation(5)First lien senior secured loanSR +2.25%01/20297,980 7,980 7,981 2.3 %
UST Holdings, Ltd.(5)First lien senior secured loanSR +3.00%11/20283,990 3,990 4,000 1.1 %
Vertiv Group Corp.(6)First lien senior secured loanSR +4.50%11/20307,980 7,940 7,998 2.3 %
VS Buyer LLC (dba Veeam Software)(5)First lien senior secured loanSR +2.75%04/20315,975 5,975 6,013 1.7 %
111,078 111,453 31.9 %
Leisure and entertainment        
Pretzel Parent, Inc.(5)First lien senior secured loanSR +4.50%08/20313,000 2,956 3,019 0.9 %
2,956 3,019 0.9 %
Manufacturing        
ALLIANCE LAUNDRY SYSTEMS LLC(5)First lien senior secured loanSR +3.50%08/20317,500 7,464 7,541 2.2 %
Chariot Buyer LLC(5)First lien senior secured loanSR +3.25%11/20282,487 2,481 2,499 0.7 %
Crown Equipment Corporation(5)First lien senior secured loanSR +2.50%10/20312,591 2,578 2,604 0.7 %
DXP Enterprises, Inc.(6)First lien senior secured loanSR +3.75%10/20305,985 5,985 6,047 1.7 %
Engineered Machinery Holdings, Inc. (dba Duravant)(6)First lien senior secured loanSR +3.75%05/202823,938 24,064 24,072 6.9 %
Gloves Buyer, Inc. (dba Protective Industrial Products)(5)(8)First lien senior secured loanSR +4.00%12/202714,575 14,559 14,575 4.2 %
5

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Consolidated Schedule of Investments
As of December 31, 2024
(Amounts in thousands)
Company(1)(3)(4)InvestmentInterestMaturity DatePar / UnitsAmortized Cost(2)Fair ValuePercentage of Members’ Equity(9)
Pro Mach Group, Inc.(5)First lien senior secured loanSR +3.50%08/202815,960 16,044 16,077 4.6 %
73,175 73,415 21.0 %
Professional services        
Apex Group Treasury LLC(7)First lien senior secured loanSR +3.75%07/202823,938 24,026 24,139 6.9 %
First Advantage Holdings, LLC(5)First lien senior secured loanSR +3.25%10/20314,000 3,980 4,039 1.2 %
Skopima Merger Sub Inc.(6)First lien senior secured loanSR +3.75%05/202811,062 11,062 11,090 3.2 %
Sovos Compliance, LLC(5)First lien senior secured loanSR +4.50%08/202823,471 23,547 23,612 6.8 %
Vistage International, Inc.(6)First lien senior secured loanSR +4.75%07/20299,899 9,921 9,893 2.8 %
72,536 72,773 20.9 %
Telecommunications        
Charter Communications Operating LLC(6)First lien senior secured loanSR +2.25%12/20318,000 7,980 7,977 2.3 %
Eagle Broadband Investments, LLC (dba Mega Broadband Investments)(6)First lien senior secured loanSR +2.75%11/20271,995 1,990 1,996 0.6 %
9,970 9,973 2.9 %
Transportation        
AIT Worldwide Logistics Holdings, Inc.(6)First lien senior secured loanSR +4.75%04/20308,000 7,976 8,048 2.3 %
7,976 8,048 2.3 %
Total Misc.-debt commitments(10)
— (6)— — %
Total Debt Investments$1,162,056 $1,164,473 333.8 %
Total Investments$1,162,056 $1,164,473 333.8 %

(1) Unless otherwise indicated, Blue Owl Credit SLF’s investments are pledged as collateral supporting the amounts outstanding under Blue Owl Credit SLF’s Debt Facilities.
(2) The amortized cost represents the original cost adjusted for the amortization of discounts and premiums, as applicable, on debt investments using the effective interest method.
(3) Unless otherwise indicated, all investments are considered Level 2 investments.
(4) Unless otherwise indicated, loan contains a variable rate structure, which may be subject to an interest rate floor. Variable rate loans bear interest at a rate that may be determined by reference to Secured Overnight Financing Rate (“SOFR” or “SR”) (which can include one-, three-, six- or twelve-month SOFR), at the borrower’s option, and which reset periodically based on the terms of the loan agreement.
(5) The interest rate on these loans is subject to 1 month SOFR, which as of December 31, 2024 was 4.85%.
(6) The interest rate on these loans is subject to 3 month SOFR, which as of December 31, 2024 was 4.59%.
(7) The interest rate on these loans is subject to 6 month SOFR, which as of December 31, 2024 was 4.25%.
(8) Level 3 investment.
(9) Totals presented may differ than actuals due to rounding.
(10) Position or portion thereof is an unfunded loan commitment. See below for more information on the Company’s unfunded commitments.











6

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Consolidated Schedule of Investments
As of December 31, 2024
(Amounts in thousands)

Portfolio CompanyCommitment TypeCommitment Expiration DateFunded
Commitment
Unfunded CommitmentFair Value
Focus Financial Partners, LLCFirst lien senior secured delayed draw term loan09/2026$— $776 $— 
Grant Thornton Advisors LLCFirst lien senior secured delayed draw term loan07/2026— 217 — 
Raven Acquisition Holdings, LLCFirst lien senior secured delayed draw term loan10/2026— 800 — 
Signia Aerospace, LLCFirst lien senior secured delayed draw term loan11/2026— 615 — 
Total Portfolio Company Commitments$— $2,408 $— 


7

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Notes to the consolidated financial information

Organization and Principal Business
Blue Owl Credit SLF LLC (“Credit SLF” or the “Company”), a Delaware limited liability company, is a joint venture among Blue Owl Capital Corporation, Blue Owl Capital Corporation II, Blue Owl Capital Corporation III, Blue Owl Credit Income Corp., Blue Owl Technology Finance Corp., Blue Owl Technology Finance Corp. II, and Blue Owl Technology Income Corp. (the “Blue Owl BDCs”) and State Teachers Retirement System of Ohio (“OSTRS”) (collectively, the “Class A Members”). Credit SLF has no Class B Members as of December 31, 2024. The Company’s principal purpose is to make investments primarily in senior secured loans to middle market companies, broadly syndicated loans and in senior and subordinated notes issued by collateralized loan obligations. The Company is managed by the Class A Members, each of which have equal voting rights. Except under certain circumstances, contributions to the Company cannot be redeemed. Investment decisions must be approved by each of the Class A Members. The Class A Members co-invest through the Company, or its wholly owned subsidiaries. The Company’s date of inception was May 6, 2024 and made its first portfolio company investment on July 23, 2024.

Investment Portfolio Detail
The table below presents the composition of investments at fair value and amortized cost as of December 31, 2024:
December 31, 2024
($ in thousands)Amortized CostFair Value
First-lien senior secured debt investments$1,162,056 $1,164,473 
Total Investments$1,162,056 $1,164,473 




























8

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
The table below presents the industry composition of investments based on fair value as of December 31, 2024:
December 31, 2024
Aerospace and defense5.9 %
Automotive services1.6 
Buildings and real estate3.2 
Business services7.5 
Chemicals2.4 
Containers and packaging2.5 
Distribution6.1 
Education2.8 
Energy equipment and services1.6 
Financial services5.5 
Food and beverage3.8 
Healthcare equipment and services4.9 
Healthcare providers and services7.6 
Healthcare technology11.9 
Human resource support services0.5 
Infrastructure and environmental services0.5 
Insurance7.7 
Internet software and services9.6 
Leisure and entertainment0.3 
Manufacturing6.3 
Professional services6.2 
Telecommunications0.9 
Transportation0.7 
Total100.0 %

The table below presents the geographic composition of investments based on fair value as of December 31, 2024:
December 31, 2024
United States:
Midwest22.4 %
Northeast21.5 
South29.3 
West17.1 
International9.7 
Total100 %

9

Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
Investments
The table below presents the fair value hierarchy of investments as of December 31, 2024:
Fair Value Hierarchy as of December 31, 2024
($ in thousands)Level 1Level 2Level 3Total
First-lien senior secured debt investments$— $1,027,652 $136,821 $1,164,473 
Total Investments$— $1,027,652 $136,821 $1,164,473 

Debt Activity

Bank of America Facility
On June 12, 2024, BOC SLF WH I BA LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands, entered into a $300.0 million revolving credit facility (the “Bank of America Facility”) with, among others, and Bank of America, N.A., as lender and administrative agent. The Company acts as the collateral manager and the first loss provider with respect to the Bank of America Facility. It holds preference shares in BOC SLF WH I BA LTD. Proceeds from the Bank of America Facility will be used to finance the origination and acquisition of eligible assets by the borrowers thereunder. The maturity date of the Bank of America Facility is June 12, 2027. As of December 31, 2024, there was $194.9 million outstanding under the Bank of America Facility.
Borrowings under the Bank of America Facility bear interest at a per annum rate equal to (a) with respect to any Term SOFR Loan, SOFR + 1.45% and (b) with respect to any Base Rate Loan, Base Rate + 1.45%. Credit SLF predominantly borrows utilizing Term SOFR loans. Credit SLF also pays unused commitment fees of (i) prior to the six-month anniversary of such date, 0.35% and (ii) thereafter, (x) with respect to the First Unused Amount, 1.10% and (y) with respect to the Second Unused Amount, 0.35%. There was $ 0.5 million unused commitment fee as of December 31, 2024.
RBC Facility
On June 5, 2024, BOC SLF WH II RB LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands, as borrower, joined a $300.0 million revolving credit facility (the “RBC Facility”) with, among others, Royal Bank of Canada, as lender administrative agent, and U.S. Bank Trust Company, National Association, as collateral custodian. The Company acts as the collateral manager and the first loss provider with respect to the RBC Facility. It holds preference shares in BOC SLF WH II RB LTD. Proceeds from the RBC Facility will be used to finance the origination and acquisition of eligible assets by the borrowers thereunder. The maturity date of the RBC Facility is October 14, 2032. As of December 31, 2024, there was $194.9 million outstanding under the RBC Facility.
Borrowings under the RBC Facility bear interest at a per annum rate equal to SOFR +1.55%.
Citibank Facility
On June 28, 2024, BOC SLF WH III C LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands, entered into a revolving credit facility (the “Citibank Facility”) with, among others, Citibank, N.A., as lender and administrative agent. The commitment of the Citibank Facility is up to $300.0 million and was $215.0 million as of December 31, 2024. The Company acts as the collateral manager and the first loss provider with respect to the Citibank Facility. It holds preference shares in BOC SLF WH III C LTD. Proceeds from the Citibank Facility will be used to finance the origination and acquisition of eligible assets by the borrowers thereunder. The maturity date of the Citibank Facility is June 28, 2027. As of December 31, 2024, there was $194.4 million outstanding under the Citibank Facility.
Borrowings under the Citibank Facility bear interest at a per annum rate equal to (i) during the Reinvestment Period, SOFR + 1.40% and (ii) after the end of the Reinvestment Period, 1.90%.
Wells Fargo Facility
On August 1, 2024, BOC SLF WH 4 LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands, joined a $300.0 million revolving credit facility (the “Wells Fargo Facility”) with, among others, and Wells Fargo Bank, National Association, as a lender and administrative agent, following the release of the prior borrower, ORCIC JV WH III LLC, a Delaware limited liability company, from the Wells Fargo Facility on July 11, 2024. The Company acts as the collateral manager and the first loss provider with respect to the Wells Fargo Facility. It holds preference shares in BOC SLF WH 4 LTD. Proceeds from the Wells Fargo Facility will be used to finance the origination and acquisition of eligible assets by the borrowers thereunder. The
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Blue Owl Credit SLF LLC
Supplemental Financial Information (Unaudited)
maturity date of the Wells Fargo Facility is August 1, 2027. As of December 31, 2024, there was $168.0 million outstanding borrowings under the Wells Fargo Facility.
Borrowings under the Wells Fargo Facility bear interest at a per annum rate equal to Daily Simple SOFR + 1.50%.
Financial Instruments Not Carried at Fair Value
The fair value of the Company’s debt, which is categorized as Level 3 within the fair value hierarchy as of December 31, 2024, approximates the carrying value. The carrying amounts of the Company’s assets and liabilities, other than investments at fair value, approximate fair value due to their short maturities.

The table below presents the net carrying value of the Company’s debt obligations as of December 31, 2024:
December 31, 2024
($ in thousands)Aggregate Principal CommittedOutstanding Principal
Amount Available(1)
Unamortized Debt Issuance CostsNet Carrying Value
Bank of America Facility$300,000 $194,919 $28,016 $448 $194,471 
RBC Facility300,000 194,870 28,065 371 194,499 
Citibank Facility(2)
215,000 194,401 20,599 344 194,057 
Wells Fargo Facility300,000 167,992 31,513 409 167,583 
Total Debt$1,115,000 $752,182 $108,193 $1,572 $750,610 

(1) The amount available reflects any collateral related limitations at the Company level related to each credit facility’s borrowing base.
(2) The commitment of the Citibank Facility is up to $300.0 million, and was $215.0 million as of December 31, 2024.

The table below presents the components of interest expense for the following period:
For the Period Ended December 31,
($ in thousands)
2024(1)
Interest expense$7,720 
Amortization of debt issuance costs266 
Total Interest Expense$7,986 
Average interest rate(2)
6.5 %
Average daily outstanding borrowings$364,658 

(1) The Company’s date of inception was May 6, 2024.
(2) Averages are calculated based on annualized amounts.


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