My income portfolio (if anyone cares). Yields are at purchase price, not current yields. Just went positive for the year (excluding dividends).
AAV 15.2%
AINV 14.0%
ARCC 12.8%
BFK 6.5%
BGF 9.8%
CVP 13.6%
FLY 11.2%
GNV 14.2%
HTE 16.2%
IAF 10.7%
IFN (18.60%; unlikely to be as high next year, though)
ONAV 12.6%
PGH 16.0%
PWE 15.3%
No biotechs right now…sold my VRUS during the frenzy.
Looking at MIC, BEP, CPL, BVF