Meld Valuation / Venture NAV Tracker
FundsCompaniesMethodology
meldvaluation.com ↗

Venture NAV Tracker / Private company

Stellar Cyber, Inc.

Software
Headquarters—
Founded—
Last known round—
Reported valuation—

Mark-basis contrast: current holders use income model vs unspecified.

Security-class differences are disclosed on the affected rows; non-degenerate marks remain in the underlying-company comparison band. 2 rows are omitted from dispersion statistics under the degenerate-mark guard; each affected row states why.

Cross-fund comparison

Equity & warrant marks

One underlying-company band; one latest disclosed mark per fund and security.

FundFair valueSecurity / annotationsImplied price / shareMark age vs roundMethodology / filing
HRZNHorizon Technology Finance Corp$40KJun 30, 2026 · source ↗warrantLevel 3 note discloses multiple approaches / cost or transaction-price buckets at asset-class level without identifying this position’s method; no individual method inferred.Filed as warrant; the comparison band's majority class is senior secured loan.No valuation basis was disclosed for this position. This is an annotation only and does not exclude the mark from comparison statistics.Carried at warrant/option value (net of strike), not underlying share value — not comparable to share marks as filed.Likely warrant coverage attached to credit facility — MELD classification judgment.Omitted from statistics — Carried at warrant/option value (net of strike), not underlying share value — not comparable to share marks as filed.$0.22Jun 30, 2026 · source ↗—Jun 30, 2026 · source ↗10-Q 2026-06-30 ↗

Cross-fund comparison

Debt investments

Included in the same underlying-company comparison band.

FundSecurity type / annotationsPrincipalFair valueFV / principalRateMaturityMark age vs roundNon-accrual
HRZNHorizon Technology Finance Corpsenior secured loanLevel 3 debt: discounted cash flows / probability-weighted expected cash flow or return methods; asset-class disclosure, individual model variant not identified. — Term LoanOmitted from statistics — security type is not an eligible fund-equity mark for dispersion.$5MJun 30, 2026 · source ↗$4.8MJun 30, 2026 · source ↗96.8%Jun 30, 2026 · source ↗Cash rate 10.50%; Index Prime; Margin 3.75%; Floor 10.50%; ETP 4.00%Jun 30, 2026 · source ↗Apr 1, 2030Jun 30, 2026 · source ↗—Jun 30, 2026 · source ↗NoJun 30, 2026 · source ↗

Historical marks

Reported fair value by fund

Each bar is a disclosed position-quarter.

$4.8MHRZNJun 30, 2026 · source ↗$4.9MHRZNJun 30, 2026 · source ↗$4.9MHRZNJun 30, 2026 · source ↗$40KHRZNJun 30, 2026 · source ↗
Figures are compiled from public filings.Read methodologyMELD Valuation