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Private Credit

Blue Owl Technology Income Corp

BlueOwl

Net Assets

$2.8B

Net Assets YoY

-12.7%

Formation

2021

Portfolio Composition

Investment Type

First-lien senior secured debt investments
88.40%
Second-lien senior secured debt investments
4.30%
Preferred equity investments
2.80%
Common equity investments
1.60%
Specialty finance equity investments
1.40%
Unsecured debt investments
1.10%
Joint Ventures
0.40%

Geography

South
31.40%
West
24.20%
Northeast
21.00%
Midwest
13.70%
United Kingdom
4.10%
Canada
3.00%
Other international
2.60%

Portfolio composition data sourced from regulatory filings.

Sekond Liquidity Risk Profile

Real-time liquidity intelligence powered by regulatory filings and proprietary analysis.

Current Repurchase Window
StatusOPEN
Cap5.0%
Redemption Waterfall
StatusOPEN
Cap5.0%
Third Party Offers
StatusOPEN
Cap5.0%
Liquidity Runway — Stressed Scenarios
StatusOPEN
Cap5.0%
Liquidity Composition
StatusOPEN
Cap5.0%
Redemption Context
StatusOPEN
Cap5.0%

Summary Metrics

Liquidity RiskB+
Runway

5Q

Fill Rate

92%

Fee Impact

1.45%

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About This Fund

Blue Owl Technology Income Corp. is an externally managed, closed-end management investment company that has elected to be regulated as a business development company. The fund primarily originates and makes debt and equity investments in technology-related companies, with a specific focus on enterprise software. It targets established, high-growth companies in the United States, aiming to maximize total return through current income and capital appreciation.

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