0001752724-20-040633.txt : 20200228 0001752724-20-040633.hdr.sgml : 20200228 20200227175506 ACCESSION NUMBER: 0001752724-20-040633 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20191231 FILED AS OF DATE: 20200228 PERIOD START: 20200930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VIRTUS OPPORTUNITIES TRUST CENTRAL INDEX KEY: 0001005020 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07455 FILM NUMBER: 20664274 BUSINESS ADDRESS: STREET 1: 101 MUNSON STREET CITY: GREENFIELD STATE: MA ZIP: 01301 BUSINESS PHONE: 800-243-1574 MAIL ADDRESS: STREET 1: ONE FINANCIAL PLAZA STREET 2: 26TH FLOOR CITY: HARTFORD STATE: CT ZIP: 06103 FORMER COMPANY: FORMER CONFORMED NAME: PHOENIX OPPORTUNITIES TRUST DATE OF NAME CHANGE: 20060127 FORMER COMPANY: FORMER CONFORMED NAME: PHOENIX SENECA FUNDS DATE OF NAME CHANGE: 19990122 FORMER COMPANY: FORMER CONFORMED NAME: SENECA 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549300Z7JJ4TQSQGT333 Centene Corp 15135BAS0 250000.00000000 PA USD 263462.50000000 0.437510648175 Long DBT CORP US N 2 2029-12-15 Fixed 4.62500000 N N N N N N CASCADES INC FPD41G4F3GH7OJ38TS94 Cascades Inc 146900AQ8 115000.00000000 PA USD 117875.00000000 0.195745381804 Long DBT CORP CA N 2 2023-07-15 Fixed 5.75000000 N N N N N N DISH DBS CORP N/A DISH DBS Corp 25470XAJ4 95000.00000000 PA USD 100700.00000000 0.167224262546 Long DBT CORP US N 2 2022-07-15 Fixed 5.87500000 N N N N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 Sirius XM Radio Inc 82967NBE7 55000.00000000 PA USD 57750.00000000 0.095900706674 Long DBT CORP US N 2 2024-07-15 Fixed 4.62500000 N N N N N N KEYCORP RKPI3RZGV1V1FJTH5T61 KeyCorp 493267AK4 250000.00000000 PA USD 265660.00000000 0.441159856883 Long DBT CORP US N 2 N/A Fixed 5.00000000 N N N N N N MSCI INC 549300HTIN2PD78UB763 MSCI Inc 55354GAH3 314000.00000000 PA USD 318317.50000000 0.528603864878 Long DBT CORP US N 2 2029-11-15 Fixed 4.00000000 N N N N N N TENET HEALTHCARE CORP 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corp 88033GDA5 60000.00000000 PA USD 63375.00000000 0.105241684596 Long DBT CORP US N 2 2027-11-01 Fixed 5.12500000 N N N N N N KRONOS INC/MA 5493000E2HBSA8M27B95 Kronos Inc/MA 50105JAL1 78000.00000000 PA USD 79429.74000000 0.131902479600 Long LON CORP US N 2 2024-11-01 Floating 10.14050000 N N N N N N MCGRAW-HILL GLOBAL ED N/A McGraw-Hill Global Education Holdings LLC / McGraw-Hill Global Education Finance 580638AC8 210000.00000000 PA USD 180600.00000000 0.299907664507 Long DBT CORP US N 2 2024-05-15 Fixed 7.87500000 N N N N N KIK CUSTOM PRODUCTS INC 54930093YQIEW0FV8L89 KIK Custom Products Inc 49387TAR7 127743.00000000 PA USD 125188.14000000 0.207889715899 Long LON CORP CA N 2 2023-05-15 Floating 5.88500000 N N N N N N CITIGROUP INC 6SHGI4ZSSLCXXQSBB395 Citigroup Inc 172967KM2 190000.00000000 PA USD 215897.00000000 0.358522508550 Long DBT CORP US N 2 N/A Fixed 6.25000000 N N N N N N Frontera Energy Corp A25574TZFLBNK7NWQT47 Frontera Energy Corp 35905B107 1088.00000000 NS USD 8192.64000000 0.013604847887 Long EC CORP CO N 1 N N N VOYA FINANCIAL INC 549300T065Z4KJ686G75 Voya Financial Inc 45685EAG1 440000.00000000 PA USD 467812.40000000 0.776857831184 Long DBT CORP US N 2 2053-05-15 Fixed 5.65000000 N N N N N N HILLMAN GROUP INC BDPO7HREUXNPHVMSIT54 Hillman Group Inc/The 40423BAA8 315000.00000000 PA USD 292950.00000000 0.486478130219 Long DBT CORP US N 2 2022-07-15 Fixed 6.37500000 N N N N N N SPRINGLEAF FINANCE CORP 5493008I795YYBFWFU90 Springleaf Finance Corp 85172FAN9 85000.00000000 PA USD 98277.00000000 0.163200584412 Long DBT CORP US N 2 2026-03-15 Fixed 7.12500000 N N N N N N PANTHER BF AGGREGATOR 2 N/A Panther BF Aggregator 2 LP / Panther Finance Co Inc 69867DAC2 255000.00000000 PA USD 270937.50000000 0.449923769948 Long DBT CORP US N 2 2027-05-15 Fixed 8.50000000 N N N N N N GREIF INC 54930070FVGKR0Z1FI24 Greif Inc 397624AH0 195000.00000000 PA USD 210600.00000000 0.349726213429 Long DBT CORP US N 2 2027-03-01 Fixed 6.50000000 N N N N N N OWENS-BROCKWAY V2UQUCDZJ9WY98W8QU33 Owens-Brockway Glass Container Inc 69073TAS2 180000.00000000 PA USD 196650.00000000 0.326560588181 Long DBT CORP US N 2 2025-08-15 Fixed 6.37500000 N N N N N N IHEARTMEDIA INC N/A IHEARTMEDIA INC WARRANT 000000000 3097.24811700 NC USD 45588.40000000 0.075704931188 N/A DE CORP US N 3 IHEARTMEDIA INC N/A Call Purchased iHeartMedia Inc iHeartMedia Inc 1.00000000 0 USD 2049-12-31 XXXX -8206.46 N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC Holdings LLC 126307BA4 600000.00000000 PA USD 640500.00000000 1.063626019475 Long DBT CORP US N 2 2030-01-15 Fixed 5.75000000 N N N N N N ELDORADO RESORTS INC 5299000BKFWWVND5L441 Eldorado Resorts Inc 28470RAG7 180000.00000000 PA USD 198225.00000000 0.329176061999 Long DBT CORP US N 2 2026-09-15 Fixed 6.00000000 N N N N N N WEEKLEY HOMES LLC/ FINAN N/A Weekley Homes LLC / Weekley Finance Corp 94856UAA9 305000.00000000 PA USD 315675.00000000 0.524215681027 Long DBT CORP US N 2 2025-08-15 Fixed 6.62500000 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO Holdings LLC / CCO Holdings Capital Corp 1248EPCD3 325000.00000000 PA USD 331509.75000000 0.550511156611 Long DBT CORP US N 2 2030-03-01 Fixed 4.75000000 N N N N N N CITADEL LP N/A Citadel LP 17288XAB0 305000.00000000 PA USD 320834.53000000 0.532783690951 Long DBT CORP US N 2 2027-01-15 Fixed 4.87500000 N N N N N N ORTHO-CLINICAL DIAGNOSTICS 222100N2EDW8BU5UUT55 Ortho-Clinical Diagnostics SA 000000000 88172.58160000 PA USD 87051.91000000 0.144559994568 Long LON CORP LU N 2 2025-06-01 Floating 5.14050000 N N N N N N GEOPARK LTD 529900ZR5QI19AH4KZ07 Geopark Ltd 37255BAA7 215000.00000000 PA USD 224139.65000000 0.372210403959 Long DBT CORP CL N 2 2024-09-21 Fixed 6.50000000 N N N N N N SCIENTIFIC GAMES INTERNA RLTHESQ0RNFQJWPBJN60 Scientific Games International Inc 80874YBC3 160000.00000000 PA USD 171200.00000000 0.284297852512 Long DBT CORP US N 2 2028-05-15 Fixed 7.00000000 N N N N N N DIAMOND RESORTS INTL INC 5493008MIJR7VMQP7U77 Diamond Resorts International Inc 23422RAA0 250000.00000000 PA USD 261875.00000000 0.434874416628 Long DBT CORP US N 2 2024-09-01 Fixed 10.75000000 N N N N N N TEVA PHARMACEUTICALS NE 5493004T21MOAFINJP35 Teva Pharmaceutical Finance Netherlands III BV 88167AAM3 295000.00000000 PA USD 303024.00000000 0.503207198947 Long DBT CORP NL N 2 2025-01-31 Fixed 7.12500000 N N N N N N CALLON PETROLEUM CO 549300EFOWPEB0WLZW21 Callon Petroleum Co 13123XAT9 141577.00000000 PA USD 144258.47000000 0.239558254834 Long DBT CORP US N 2 2024-10-01 Fixed 6.12500000 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO Holdings LLC / CCO Holdings Capital Corp 1248EPBT9 350000.00000000 PA USD 369250.00000000 0.613183306309 Long DBT CORP US N 2 2027-05-01 Fixed 5.12500000 N N N N N N CALIFORNIA RESOURCES CRP 5493003Q8F0T4F4YMR48 California Resources Corp 000000000 55000.00000000 PA USD 49018.75000000 0.081401433165 Long LON CORP US N 2 2022-12-31 Floating 6.65260000 N N N N N N ENVISION HEALTHCARE CORP 549300OL60X0LPKY8N60 Envision Healthcare Corp 29373UAC5 134956.66560000 PA USD 114780.64000000 0.190606830969 Long LON CORP US N 2 2025-10-10 Floating 5.65940000 N N N N N N GRANITE HOLDINGS US ACQU N/A Granite Holdings US Acquisition Co 38748YAA0 300000.00000000 PA USD 303750.00000000 0.504412807831 Long DBT CORP US N 2 2027-10-01 Fixed 11.00000000 N N N N N N INTERNATIONAL GAME TECH 549300UQ6KHRCZDRGZ76 International Game Technology PLC 460599AD5 200000.00000000 PA USD 225000.00000000 0.373639116911 Long DBT CORP US N 2 2027-01-15 Fixed 6.25000000 N N N N N N REYNOLDS GRP ISS/REYNOLD N/A Reynolds Group Issuer Inc / Reynolds Group Issuer LLC / Reynolds Group Issuer Lu 000000000 125000.00000000 PA USD 129218.75000000 0.214583020615 Long DBT CORP US N 2 2024-07-15 Fixed 7.00000000 N N N N N N SCIENTIFIC GAMES INTERNA RLTHESQ0RNFQJWPBJN60 Scientific Games International Inc 80874YBA7 120000.00000000 PA USD 132300.00000000 0.219699800744 Long DBT CORP US N 2 2026-03-15 Fixed 8.25000000 N N N N N N BROOKFIELD RESID PROPERT N/A Brookfield Residential Properties Inc / Brookfield Residential US Corp 11283YAB6 460000.00000000 PA USD 485300.00000000 0.805898059721 Long DBT CORP CA N 2 2027-09-15 Fixed 6.25000000 N N N N N N ICAHN ENTERPRISES/FIN N/A Icahn Enterprises LP / Icahn Enterprises Finance Corp 451102BT3 220000.00000000 PA USD 234300.00000000 0.389082867077 Long DBT CORP US N 2 2026-05-15 Fixed 6.25000000 N N N N N N ADVANZ PHARMA CORP 549300WZSXRSISJ4VI31 Advanz Pharma Corp 20653PAB8 41000.00000000 PA USD 38745.00000000 0.064340655932 Long DBT CORP CA N 2 2024-09-06 Fixed 8.00000000 N N N N N GFL ENVIRONMENTAL INC 5493008HF9XC5H29ZX61 GFL Environmental Inc 44485HAA2 165000.00000000 PA USD 174306.00000000 0.289455732944 Long DBT CORP CA N 2 2026-06-01 Fixed 7.00000000 N N N N N N POST HOLDINGS INC JM1I5YUAURL6DC8N1468 Post Holdings Inc 737446AL8 65000.00000000 PA USD 68087.50000000 0.113067348323 Long DBT CORP US N 2 2025-03-01 Fixed 5.50000000 N N N N N N WEST STREET MERGER SUB N/A West Street Merger Sub Inc 95616AAA1 220000.00000000 PA USD 219450.00000000 0.364422685361 Long DBT CORP US N 2 2025-09-01 Fixed 6.37500000 N N N N N N DYNCORP INTERNTL INC 549300SUPXO1WGG7V096 DynCorp International Inc 26816DAL4 93812.50000000 PA USD 92874.38000000 0.154228894786 Long LON CORP US N 2 2025-08-16 Floating 7.74490000 N N N N N N UNIVISION COMMUNICATIONS 549300YQDE2JSGTL8V47 Univision Communications Inc 914906AS1 325000.00000000 PA USD 321343.75000000 0.533629311000 Long DBT CORP US N 2 2025-02-15 Fixed 5.12500000 N N N N N N LIVE NATION ENTERTAINMEN 5493007B9BM9ZXJINO78 Live Nation Entertainment Inc 538034AN9 290000.00000000 PA USD 308850.00000000 0.512881961147 Long DBT CORP US N 2 2026-03-15 Fixed 5.62500000 N N N N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 Sirius XM Radio Inc 82967NBC1 305000.00000000 PA USD 329778.20000000 0.547635712999 Long DBT CORP US N 2 2029-07-01 Fixed 5.50000000 N N N N N N IRON MOUNTAIN INC SQL3F6CKNNBM3SQGHX24 Iron Mountain Inc 46284VAF8 315000.00000000 PA USD 319977.00000000 0.531359660942 Long DBT CORP US N 2 2029-09-15 Fixed 4.87500000 N N N N N N CHENIERE ENERGY PARTNERS 5493005UEC8AZ34LDV29 Cheniere Energy Partners LP 16411QAD3 160000.00000000 PA USD 169200.00000000 0.280976615917 Long DBT CORP US N 2 2026-10-01 Fixed 5.62500000 N N N N N N INFOR US INC CIOT8TLNSHRE7MIBDR09 Infor US Inc 45672NAG6 200000.00000000 PA USD 203000.00000000 0.337105514369 Long DBT CORP US N 2 2022-05-15 Fixed 6.50000000 N N N N N N FRONTIER COMMUNICATIONS 549300ZCZ76HYCS0H445 Frontier Communications Corp 35906AAH1 396000.00000000 PA USD 235305.18000000 0.390752087377 Long DBT CORP US N 2 2020-04-15 Fixed 8.50000000 N N N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC Holdings LLC 126307AY3 200000.00000000 PA USD 226000.00000000 0.375299735209 Long DBT CORP US N 2 2028-04-01 Fixed 7.50000000 N N N N N N ARAB REPUBLIC OF EGYPT 529900GFIVH4086NMH82 Egypt Government International Bond 03846JW71 200000.00000000 PA USD 218666.00000000 0.363120760616 Long DBT NUSS EG N 2 2029-03-01 Fixed 7.60030000 N N N N N N AK STEEL CORP O05HJM8THRTZG4688Q91 AK Steel Corp 001546AT7 150000.00000000 PA USD 156000.00000000 0.259056454392 Long DBT CORP US N 2 2023-07-15 Fixed 7.50000000 N N N N N N UNITI GROUP/CSL CAPITAL N/A Uniti Group LP / Uniti Fiber Holdings Inc / CSL Capital LLC 20341WAE5 185000.00000000 PA USD 156787.50000000 0.260364191301 Long DBT CORP US N 2 2024-12-15 Fixed 7.12500000 N N N N N ESH HOSPITALITY INC 54930042FMK7X7SQ2896 ESH Hospitality Inc 26907YAB0 640000.00000000 PA USD 648000.00000000 1.076080656706 Long DBT CORP US N 2 2027-10-01 Fixed 4.62500000 N N N N N N FORTRESS TRANS & INFRAST 529900E7PUVK6BC8PE80 Fortress Transportation & Infrastructure Investors LLC 34960PAB7 220000.00000000 PA USD 232210.00000000 0.385612174836 Long DBT CORP US N 2 2025-10-01 Fixed 6.50000000 N N N N N N PERRIGO FINANCE UNLIMITE 549300E86RB6YCTMRM83 Perrigo Finance Unlimited Co 71429MAB1 210000.00000000 PA USD 216604.38000000 0.359697196722 Long DBT CORP IE N 2 2026-03-15 Fixed 4.37500000 N N N N N N 2020-02-27 Virtus Opportunities Trust Amy Hackett Amy Hackett Vice President and Asst Treasurer XXXX NPORT-EX 2 VIPH100VirNewfHighYieldFd.htm
Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited)
December 31, 2019
($ reported in thousands)
  Par Value   Value
Foreign Government Security—0.3%
Republic of Egypt 144A
7.600%, 3/1/29(1)
$200   $219
Total Foreign Government Security
(Identified Cost $200)
  219
       
 
       
 
Mortgage-Backed Security—0.3%
Non-Agency—0.3%    
LHOME Mortgage Trust 2019-RTL1, A1 144A
4.580%, 10/25/23(1)(2)
180   182
Total Mortgage-Backed Security
(Identified Cost $180)
  182
       
 
       
 
Corporate Bonds and Notes—85.4%
Communication Services—15.0%    
Altice France S.A. 144A
7.375%, 5/1/26(1)
340   365
CCO Holdings LLC      
144A 5.125%, 5/1/27(1) 350   369
144A 4.750%, 3/1/30(1) 325   332
Cincinnati Bell, Inc. 144A
7.000%, 7/15/24(1)
265   278
Clear Channel Worldwide Holdings, Inc.      
144A 9.250%, 2/15/24(1) 163   181
144A 5.125%, 8/15/27(1) 100   104
Consolidated Communications, Inc.
6.500%, 10/1/22(3)
515   466
CSC Holdings LLC      
144A 5.500%, 4/15/27(1) 135   145
144A 7.500%, 4/1/28(1) 200   226
144A 5.750%, 1/15/30(1) 600   640
Diamond Sports Group LLC      
144A 5.375%, 8/15/26(1) 105   106
144A 6.625%, 8/15/27(1)(3) 280   272
DISH DBS Corp.      
5.875%, 7/15/22 95   101
5.000%, 3/15/23 210   215
7.750%, 7/1/26 160   169
Frontier Communications Corp.      
8.500%, 4/15/20(3) 396   235
11.000%, 9/15/25 175   85
144A 8.500%, 4/1/26(1) 100   101
iHeartCommunications, Inc.      
8.375%, 5/1/27 272   300
Escrow 144A (1)(4) 290  
LCPR Senior Secured Financing DAC 144A
6.750%, 10/15/27(1)
300   318
Level 3 Financing, Inc.      
5.375%, 1/15/24 245   249
5.250%, 3/15/26 135   140
Live Nation Entertainment, Inc.      
144A 5.625%, 3/15/26(1) 290   309
144A 4.750%, 10/15/27(1) 105   109
McGraw-Hill Global Education Holdings LLC Senior Unsecured Notes 144A
7.875%, 5/15/24(1)(3)
210   181
Meredith Corp.
6.875%, 2/1/26
330   343
Sirius XM Radio, Inc.      
144A 4.625%, 7/15/24(1) 55   58
  Par Value   Value
       
Communication Services—continued    
144A 5.500%, 7/1/29(1) $305   $330
Sprint Corp.
7.875%, 9/15/23
770   850
Telesat Canada      
144A 4.875%, 6/1/27(1) 130   132
144A 6.500%, 10/15/27(1) 375   391
T-Mobile USA, Inc.
0.000%, 1/15/24(4)
275  
Twitter, Inc. 144A
3.875%, 12/15/27(1)
300   300
Univision Communications, Inc. 144A
5.125%, 2/15/25(1)
325   321
Virgin Media Secured Finance plc 144A
5.500%, 5/15/29(1)
300   318
      9,039
       
 
Consumer Discretionary—12.7%    
American Axle & Manufacturing, Inc.
6.500%, 4/1/27
410   425
American Greetings Corp. 144A
8.750%, 4/15/25(1)
165   150
Avis Budget Car Rental LLC 144A
5.750%, 7/15/27(1)
140   146
Boyd Gaming Corp.      
6.375%, 4/1/26 255   274
6.000%, 8/15/26 145   156
Brookfield Residential Properties, Inc. 144A
6.250%, 9/15/27(1)
460   485
Caesars Resort Collection LLC 144A
5.250%, 10/15/25(1)
165   171
Dana, Inc.
5.375%, 11/15/27
280   289
Diamond Resorts International, Inc. 144A
10.750%, 9/1/24(1)
250   262
Downstream Development Authority of the Quapaw Tribe of Oklahoma 144A
10.500%, 2/15/23(1)
115   121
Eldorado Resorts, Inc.
6.000%, 9/15/26
180   198
Gateway Casinos & Entertainment Ltd. 144A
8.250%, 3/1/24(1)
315   322
GLP Capital LP
5.750%, 6/1/28
112   127
Golden Nugget, Inc.      
144A 6.750%, 10/15/24(1) 290   300
144A 8.750%, 10/1/25(1) 145   155
International Game Technology plc      
144A 6.250%, 2/15/22(1) 200   211
144A 6.250%, 1/15/27(1) 200   225
Lennar Corp.
5.250%, 6/1/26
265   290
Lithia Motors, Inc. 144A
4.625%, 12/15/27(1)
300   308
MGM Growth Properties Operating Partnership LP      
5.625%, 5/1/24 65   71
4.500%, 1/15/28 120   125
144A 5.750%, 2/1/27(1) 155   173
MGM Resorts International
5.500%, 4/15/27
300   333
Michaels Stores, Inc. 144A
8.000%, 7/15/27(1)(3)
95   91
See Notes to Schedule of Investments
1

Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2019
($ reported in thousands)
  Par Value   Value
       
Consumer Discretionary—continued    
Neiman Marcus Group Ltd. LLC 144A
8.000%, 10/25/24(1)
$332   $106
Panther BF Aggregator 2 LP 144A
8.500%, 5/15/27(1)
255   271
PulteGroup, Inc.
7.875%, 6/15/32
180   231
Scientific Games International, Inc.      
144A 5.000%, 10/15/25(1) 250   262
144A 8.250%, 3/15/26(1) 120   132
144A 7.000%, 5/15/28(1) 160   171
Tenneco, Inc.
5.000%, 7/15/26(3)
240   221
TRI Pointe Group, Inc.
5.875%, 6/15/24
345   375
Vista Outdoor, Inc.
5.875%, 10/1/23
185   177
Weekley Homes LLC
6.625%, 8/15/25
305   316
      7,670
       
 
Consumer Staples—3.8%    
Albertsons Cos., Inc. 144A
4.625%, 1/15/27(1)
585   584
Chobani LLC 144A
7.500%, 4/15/25(1)
315   317
Dole Food Co., Inc. 144A
7.250%, 6/15/25(1)
325   314
H-Food Holdings LLC 144A
8.500%, 6/1/26(1)
270   253
Kronos Acquisition Holdings, Inc. 144A
9.000%, 8/15/23(1)
195   186
Post Holdings, Inc.      
144A 5.500%, 3/1/25(1) 65   68
144A 5.000%, 8/15/26(1) 305   322
Prestige Brands, Inc. 144A
6.375%, 3/1/24(1)
255   265
      2,309
       
 
Energy—7.4%    
Alliance Resource Operating Partners LP 144A
7.500%, 5/1/25(1)
285   259
American Midstream Partners LP 144A
9.500%, 12/15/21(1)
175   164
Blue Racer Midstream LLC 144A
6.125%, 11/15/22(1)
165   162
California Resources Corp.      
6.000%, 11/15/24 16   5
144A 8.000%, 12/15/22(1)(3) 104   45
Callon Petroleum Co.
6.125%, 10/1/24
141   144
Cheniere Energy Partners LP      
5.625%, 10/1/26 160   169
144A 4.500%, 10/1/29(1) 440   452
CITGO Holding, Inc. 144A
9.250%, 8/1/24(1)
285   306
CrownRock LP 144A
5.625%, 10/15/25(1)
260   265
CSI Compressco LP
7.250%, 8/15/22
205   189
Denbury Resources, Inc.      
144A 9.250%, 3/31/22(1) 178   168
  Par Value   Value
       
Energy—continued    
144A 7.750%, 2/15/24(1) $225   $199
Geopark Ltd. 144A
6.500%, 9/21/24(1)
215   224
Nabors Industries, Inc.
5.750%, 2/1/25
165   149
Patterson-UTI Energy, Inc.
5.150%, 11/15/29
300   307
Petrobras Global Finance B.V.
5.999%, 1/27/28
155   177
Rowan Cos., Inc.
5.400%, 12/1/42(3)
265   129
Sanchez Energy Corp. 144A
7.250%, 2/15/23(1)(3)(5)
115   75
Targa Resources Partners LP
5.875%, 4/15/26
285   303
Transocean, Inc.
6.800%, 3/15/38
300   213
USA Compression Partners LP      
6.875%, 4/1/26 230   241
6.875%, 9/1/27 30   31
Vine Oil & Gas LP 144A
8.750%, 4/15/23(1)
205   100
      4,476
       
 
Financials—6.0%    
Acrisure LLC      
144A 8.125%, 2/15/24(1) 95   103
144A 7.000%, 11/15/25(1) 240   232
Ally Financial, Inc.
5.750%, 11/20/25
235   263
Citadel LP 144A
4.875%, 1/15/27(1)
305   321
Fairstone Financial, Inc. 144A
7.875%, 7/15/24(1)
35   38
ICAHN Enterprises LP      
6.375%, 12/15/25 145   152
6.250%, 5/15/26 220   234
MSCI, Inc. 144A
4.000%, 11/15/29(1)
314   318
Navient Corp.      
5.875%, 10/25/24 305   326
6.750%, 6/25/25 250   276
Springleaf Finance Corp.      
6.875%, 3/15/25 370   421
7.125%, 3/15/26 85   98
5.375%, 11/15/29 45   47
Synovus Financial Corp.
5.900%, 2/7/29
310   329
Voya Financial, Inc. (3 month LIBOR + 3.580%)
5.650%, 5/15/53
440   468
      3,626
       
 
Health Care—11.7%    
Advanz Pharma Corp.
8.000%, 9/6/24(3)
41   39
Avantor, Inc.      
144A 6.000%, 10/1/24(1) 130   139
144A 9.000%, 10/1/25(1) 380   425
Bausch Health Americas, Inc.      
144A 9.250%, 4/1/26(1) 135   155
144A 8.500%, 1/31/27(1) 270   307
See Notes to Schedule of Investments
2

Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2019
($ reported in thousands)
  Par Value   Value
       
Health Care—continued    
Bausch Health Cos., Inc.      
144A 5.500%, 11/1/25(1) $350   $366
144A 7.000%, 1/15/28(1) 190   209
Catalent Pharma Solutions, Inc. 144A
5.000%, 7/15/27(1)
75   79
Centene Corp.      
144A 5.375%, 6/1/26(1) 60   64
144A 4.625%, 12/15/29(1) 250   263
Change Healthcare Holdings LLC 144A
5.750%, 3/1/25(1)
85   87
Charles River Laboratories International, Inc.      
144A 5.500%, 4/1/26(1) 195   210
144A 4.250%, 5/1/28(1) 150   153
Eagle Holding Co. II LLC      
PIK Interest Capitalization,
144A 7.625%, 5/15/22(1)(6)
355   361
PIK Interest Capitalization,
144A 7.750%, 5/15/22(1)(6)
305   310
Endo Finance LLC 144A
5.375%, 1/15/23(1)
250   169
HCA, Inc.      
5.375%, 2/1/25 330   365
5.625%, 9/1/28 315   359
5.875%, 2/1/29 35   40
Ortho-Clinical Diagnostics, Inc. 144A
6.625%, 5/15/22(1)
275   273
Par Pharmaceutical, Inc. 144A
7.500%, 4/1/27(1)
115   114
Perrigo Finance Unlimited Co.
4.375%, 3/15/26
210   217
Select Medical Corp. 144A
6.250%, 8/15/26(1)
440   476
Surgery Center Holdings, Inc.      
144A 6.750%, 7/1/25(1) 180   180
144A 10.000%, 4/15/27(1) 130   143
Tenet Healthcare Corp.      
8.125%, 4/1/22 85   94
7.000%, 8/1/25(3) 180   190
144A 4.875%, 1/1/26(1) 180   188
144A 6.250%, 2/1/27(1) 130   140
144A 5.125%, 11/1/27(1) 60   63
Teva Pharmaceutical Finance Netherlands III BV      
3.150%, 10/1/26 405   337
144A 7.125%, 1/31/25(1) 295   303
West Street Merger Sub, Inc. 144A
6.375%, 9/1/25(1)
220   219
      7,037
       
 
Industrials—8.3%    
ASGN, Inc. 144A
4.625%, 5/15/28(1)
300   308
Beacon Roofing Supply, Inc. 144A
4.500%, 11/15/26(1)(3)
295   304
Bombardier, Inc.      
144A 6.125%, 1/15/23(1) 95   97
144A 7.500%, 12/1/24(1) 155   163
144A 7.875%, 4/15/27(1) 70   72
Delhi International Airport Ltd. 144A
6.450%, 6/4/29(1)
200   214
Fortress Transportation & Infrastructure Investors LLC      
144A 6.750%, 3/15/22(1) 175   183
144A 6.500%, 10/1/25(1) 220   232
  Par Value   Value
       
Industrials—continued    
GFL Environmental, Inc.      
144A 7.000%, 6/1/26(1) $165   $174
144A 8.500%, 5/1/27(1) 120   132
Granite Holdings US Acquisition Co. 144A
11.000%, 10/1/27(1)
300   304
Hillman Group, Inc. (The) 144A
6.375%, 7/15/22(1)
315   293
Norwegian Air Shuttle ASA Pass-Through-Trust 2016-1, A 144A
4.875%, 5/10/28(1)
596   584
Patrick Industries, Inc. 144A
7.500%, 10/15/27(1)
210   224
SRS Distribution, Inc. 144A
8.250%, 7/1/26(1)
290   299
Titan Acquisition Ltd. 144A
7.750%, 4/15/26(1)
210   208
TransDigm, Inc.      
144A 6.250%, 3/15/26(1) 415   449
144A 5.500%, 11/15/27(1) 450   455
Vertiv Intermediate Holding Corp. PIK Interest Capitalization, 144A
12.000%, 2/15/22(1)(6)
310   322
      5,017
       
 
Information Technology—2.9%    
Banff Merger Sub, Inc. 144A
9.750%, 9/1/26(1)
170   172
CommScope, Inc. 144A
8.250%, 3/1/27(1)
225   237
Dun & Bradstreet Corp. (The) 144A
10.250%, 2/15/27(1)
140   161
Everi Payments, Inc. 144A
7.500%, 12/15/25(1)
65   70
Exela Intermediate LLC 144A
10.000%, 7/15/23(1)
110   44
Infor US, Inc.
6.500%, 5/15/22
200   203
Radiate Holdco LLC 144A
6.625%, 2/15/25(1)
240   242
SS&C Technologies, Inc. 144A
5.500%, 9/30/27(1)
300   320
ViaSat, Inc. 144A
5.625%, 9/15/25(1)
305   314
      1,763
       
 
Materials—10.8%    
AK Steel Corp.      
7.500%, 7/15/23 150   156
7.000%, 3/15/27(3) 170   171
ARD Finance S.A. PIK Interest Capitalization, 144A
6.500%, 6/30/27(1)(7)
595   615
Atotech Alpha 3 BV 144A
6.250%, 2/1/25(1)
280   287
Calumet Specialty Products Partners LP
7.625%, 1/15/22
160   160
Cascades, Inc. 144A
5.750%, 7/15/23(1)
115   118
CPG Merger Sub LLC 144A
8.000%, 10/1/21(1)
320   321
Element Solutions, Inc. 144A
5.875%, 12/1/25(1)
175   183
See Notes to Schedule of Investments
3

Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2019
($ reported in thousands)
  Par Value   Value
       
Materials—continued    
Greif, Inc. 144A
6.500%, 3/1/27(1)
$195   $211
INEOS Group Holdings S.A. 144A
5.625%, 8/1/24(1)
315   324
Kaiser Aluminum Corp. 144A
4.625%, 3/1/28(1)
305   313
Kraton Polymers LLC 144A
7.000%, 4/15/25(1)
310   319
LSB Industries, Inc. 144A
9.625%, 5/1/23(1)
260   267
Mauser Packaging Solutions Holding Co. 144A
7.250%, 4/15/25(1)
460   454
Olin Corp.
5.625%, 8/1/29
320   338
Owens-Brockway Glass Container, Inc. 144A
6.375%, 8/15/25(1)
180   197
Reynolds Group Issuer, Inc.      
144A 7.000%, 7/15/24(1) 165   171
RegS 7.000%, 7/15/24(8) 125   129
Schweitzer-Mauduit International, Inc. 144A
6.875%, 10/1/26(1)
250   269
Scotts Miracle-Gro Co. (The) 144A
4.500%, 10/15/29(1)
355   363
Teck Resources Ltd.
6.125%, 10/1/35
265   311
TPC Group, Inc. 144A
10.500%, 8/1/24(1)
270   272
Trident TPI Holdings, Inc.      
144A 9.250%, 8/1/24(1) 150   152
144A 6.625%, 11/1/25(1) 265   238
United States Steel Corp.
6.250%, 3/15/26
235   201
      6,540
       
 
Real Estate—3.4%    
ESH Hospitality, Inc. 144A
4.625%, 10/1/27(1)
640   648
Iron Mountain, Inc. 144A
4.875%, 9/15/29(1)
315   320
iStar, Inc.      
5.250%, 9/15/22 335   344
4.750%, 10/1/24 250   259
4.250%, 8/1/25 290   293
Uniti Group, Inc. 144A
7.125%, 12/15/24(1)(3)
185   157
      2,021
       
 
Utilities—3.4%    
DPL, Inc. 144A
4.350%, 4/15/29(1)
475   458
Ferrellgas Partners LP
8.625%, 6/15/20(9)
140   85
Suburban Propane Partners LP
5.500%, 6/1/24
145   149
Talen Energy Supply LLC      
144A 7.250%, 5/15/27(1) 105   110
144A 6.625%, 1/15/28(1) 205   209
TerraForm Power Operating LLC      
144A 4.250%, 1/31/23(1) 175   180
144A 5.000%, 1/31/28(1) 240   254
  Par Value   Value
       
Utilities—continued    
Texas Competitive Electric Holdings Co. 144A
0.000%, 10/1/20(1)(4)
$500   $1
Vistra Operations Co. LLC      
144A 3.700%, 1/30/27(1) 425   422
144A 4.300%, 7/15/29(1) 150   153
      2,021
       
 
Total Corporate Bonds and Notes
(Identified Cost $50,573)
  51,519
       
 
       
 
Leveraged Loans(2)—7.1%
Aerospace—0.2%    
DynCorp International, Inc. Tranche B, First Lien (1 month LIBOR + 6.000%)
7.740%, 8/15/25
94   93
Consumer Durables—0.2%    
Global Appliance, Inc. Tranche B (1 month LIBOR + 4.000%)
5.800%, 9/29/24
145   145
Consumer Non-Durables—0.9%    
American Greetings Corp. (1 month LIBOR + 4.500%)
6.299%, 4/6/24
93   91
Diamond (BC) B.V. (3 month LIBOR + 3.000%)
4.927%, 9/6/24
186   183
Kronos Acquisition Holdings, Inc. Tranche B-3 (3 month LIBOR + 4.000%)
5.792%, 5/15/23
128   125
Parfums Holding Co., Inc. First Lien (3 month LIBOR + 4.250%)
6.159%, 6/30/24
173   171
      570
       
 
Energy—1.1%    
California Resources Corp.      
2016 (1 month LIBOR + 10.375%)
12.180%, 12/31/21
155   115
2017 (1 month LIBOR + 4.750%)
6.555%, 12/31/22
55   49
CITGO Petroleum Corp. 2019, Tranche B (3 month LIBOR + 5.000%)
6.945%, 3/27/24
94   94
Fieldwood Energy LLC First Lien (3 month LIBOR + 5.250%)
7.177%, 4/11/22
245   204
McDermott International, Inc. (3 month LIBOR + 5.000%)
6.945%, 5/12/25(9)
159   93
McDermott Technology (Americas), Inc.      
(3 month LIBOR + 10.000%)
7.751%, 10/21/21(10)
33   33
(3 month LIBOR + 10.000%)
7.751%, 10/21/21
51   52
      640
       
 
See Notes to Schedule of Investments
4

Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2019
($ reported in thousands)
  Par Value   Value
       
Financial—0.2%    
Asurion LLC Tranche B-2, Second Lien (1 month LIBOR + 6.500%)
8.299%, 8/4/25
$128   $130
Food / Tobacco—0.2%    
Milk Specialties Co. (1 month LIBOR + 4.000%)
5.799%, 8/16/23
143   136
Food and Drug—0.1%    
Sage Borrowco LLC Tranche B, First Lien (1 month LIBOR + 4.750%)
6.549%, 6/20/26
65   65
Forest Prod / Containers—0.3%    
Klockner Pentaplast of America, Inc. (3 month LIBOR + 4.250%)
6.177%, 6/30/22
204   183
Gaming / Leisure—0.6%    
Gateway Casinos & Entertainment Ltd. (3 month LIBOR + 3.000%)
4.945%, 12/1/23
44   44
UFC Holdings LLC Tranche B (1 month LIBOR + 3.250%)
5.050%, 4/29/26
283   285
      329
       
 
Healthcare—1.6%    
21st Century Oncology, Inc. Tranche B (3 month LIBOR + 6.125%)
8.135%, 1/16/23
154   152
Envision Healthcare Corp. (1 month LIBOR + 3.750%)
5.549%, 10/10/25
135   115
One Call Corp. First Lien (3 month LIBOR + 5.250%)
7.160%, 11/27/22
498   458
Ortho-Clinical Diagnostics, Inc. (3 month LIBOR + 3.250%)
5.306%, 6/30/25
88   87
Viant Medical Holdings, Inc. First Lien (3 month LIBOR + 3.750%)
0.000%, 7/2/25(11)
160   156
      968
       
 
Housing—0.5%    
Capital Automotive LP Tranche B, Second Lien (1 month LIBOR + 6.000%)
7.800%, 3/24/25
156   156
CPG International LLC (3 month LIBOR + 3.750%)
5.933%, 5/6/24
146   146
      302
       
 
Information Technology—0.1%    
Kronos, Inc. Second Lien (3 month LIBOR + 8.250%)
10.159%, 11/1/24
78   79
Media / Telecom - Telecommunications—0.2%    
Securus Technologies Holdings, Inc.      
First Lien (3 month LIBOR + 4.500%)
6.299%, 11/1/24
59   44
  Par Value   Value
       
Media / Telecom - Telecommunications—continued    
Second Lien (1 month LIBOR + 8.250%)
10.049%, 11/1/25
$100   $45
      89
       
 
Service—0.6%    
Carlisle Food Service Products, Inc. First Lien (3 month LIBOR + 3.000%)
0.000%, 3/20/25(11)
80   78
Dun & Bradstreet Corp. (The) (1 month LIBOR + 5.000%)
6.792%, 2/6/26
150   151
TKC Holdings, Inc. First Lien (1 month LIBOR + 3.750%)
5.550%, 2/1/23
154   142
      371
       
 
Transportation - Automotive—0.3%    
Panther BF Aggregator 2 LP First Lien (1 month LIBOR + 3.500%)
5.305%, 4/30/26
194   195
Total Leveraged Loans
(Identified Cost $4,508)
  4,295
       
 
       
 
    
  Shares  
Preferred Stocks—0.8%
Financials—0.8%  
Citigroup, Inc. Series T, 6.250% 190(12) 216
KeyCorp Series D, 5.000% 250(12) 266
    482
     
 
Total Preferred Stocks
(Identified Cost $441)
482
     
 
     
 
Common Stocks—0.1%
Communication Services—0.1%  
Clear Channel Outdoor Holdings, Inc.(13) 7,282 21
Energy—0.0%  
Contra CB Downey(4) 115,000
Frontera Energy Corp. 1,088 8
Sabine Oil & Gas Holdings, Inc. 160 11
    19
     
 
Total Common Stocks
(Identified Cost $54)
40
     
 
     
 
Rights—0.0%
Utilities—0.0%  
Vistra Energy Corp.(13) 8,563 8
Total Rights
(Identified Cost $7)
8
     
 
     
 
See Notes to Schedule of Investments
5

Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2019
($ reported in thousands)
  Shares   Value
       
       
Warrants—0.1%
Communication Services—0.1%    
iHeartMedia, Inc.(4)(13) 3,097   $45
Energy—0.0%    
Sabine Oil & Gas Holdings, Inc.(13) 105   1
Sabine Oil & Gas Holdings, Inc.(4)(13) 501   7
      8
       
 
Total Warrants
(Identified Cost $58)
  53
       
 
       
 
Total Long-Term Investments—94.1%
(Identified Cost $56,021)
  56,798
       
 
       
 
Short-Term Investment—0.9%
Money Market Mutual Fund—0.9%
Dreyfus Government Cash Management Fund - Institutional Shares (seven-day effective yield 1.512%)(14) 534,073   534
Total Short-Term Investment
(Identified Cost $534)
  534
       
 
       
 
Securities Lending Collateral—4.1%
Dreyfus Government Cash Management Fund - Institutional Shares (seven-day effective yield 1.512%)(14)(15) 2,445,755   2,446
Total Securities Lending Collateral
(Identified Cost $2,446)
  2,446
       
 
       
 
TOTAL INVESTMENTS—99.1%
(Identified Cost $59,001)
  $59,778
Other assets and liabilities, net—0.9%   547
NET ASSETS—100.0%   $60,325
    
Abbreviations:
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
LP Limited Partnership
PIK Payment-in-Kind Security
    
Footnote Legend:
(1) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At December 31, 2019, these securities amounted to a value of $36,048 or 59.8% of net assets.
(2) Variable rate security. Rate disclosed is as of December 31, 2019. For leveraged loans, the rate shown may represent a weighted average interest rate. Information in parenthesis represents benchmark and reference rate for each security. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions, or, for mortgage-backed securities, are impacted by the individual mortgages which are paying off over time. These securities do not indicate a reference rate and spread in their descriptions.
(3) All or a portion of security is on loan.
(4) The value of this security was determined using significant unobservable inputs and is reported as a Level 3 security in the Fair Value Hierarchy table located after the Schedule of Investments.
(5) Security in default; no interest payments are being received during the bankruptcy proceedings.
(6) 100% of the income received was in cash.
(7) No pay date announced.
(8) Regulation S security. Security is offered and sold outside of the United States, therefore, it is exempt from registration with the SEC under Rules 903 and 904 of the Securities Act of 1933.
(9) Security in default, interest payments are being received during the bankruptcy proceedings.
(10) Represents unfunded portion of security and commitment fee earned on this portion.
(11) This loan will settle after December 31, 2019, at which time the interest rate, based on the LIBOR and the agreed upon spread on trade date, will be reflected.
(12) Value shown as par value.
(13) Non-income producing.
(14) Shares of this fund are publicly offered, and its prospectus and annual report are publicly available.
(15) Represents security purchased with cash collateral received for securities on loan.
    
Country Weightings
United States 85%
Canada 6
Netherlands 2
Luxembourg 2
United Kingdom 1
Norway 1
Ireland 1
Other 2
Total 100%
% of total investments as of December 31, 2019.
See Notes to Schedule of Investments
6

Newfleet High Yield Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2019
($ reported in thousands)
The following table summarizes the market value of the Fund’s investments as of December 31, 2019, based on the inputs used to value them (See Security Valuation Note 1 in the Notes to Schedule of Investments):
  Total
Value at
December 31, 2019
  Level 1
Quoted Prices
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Assets:              
Debt Securities:              
Corporate Bonds and Notes $51,519   $  $51,518   $1
Foreign Government Security 219     219  
Leveraged Loans 4,295     4,295  
Mortgage-Backed Security 182     182  
Equity Securities:              
Common Stocks 40   29   11  
Preferred Stocks 482     482  
Rights 8     8  
Warrants 53     1   52
Securities Lending Collateral 2,446   2,446    
Money Market Mutual Fund 534   534    
Total Investments $59,778   $3,009   $56,716   $53
Securities held by the Fund with an end of period value of $203 were transferred from Level 3 to Level 2 due to an increase in trading activities at period end.
Some of the Fund’s investments that were categorized as Level 3 were valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information could result in a significantly lower or higher value of Level 3 investments.
Management has determined that the amount of Level 3 securities compared to total net assets is not material; therefore, the rollforward of Level 3 securities and assumptions are not shown for the period ended December 31, 2019.
See Notes to Schedule of Investments
7

NEWFLEET HIGH YIELD FUND
NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
December 31, 2019
Note 1. Security Valuation
The Fund utilizes a fair value hierarchy which prioritizes the inputs to valuation techniques used to measure fair value into three broad levels. The Fund’s policy is to recognize transfers into or out of Level 3 at the end of the reporting period.
Level 1 – quoted prices in active markets for identical securities (security types generally include listed equities).
Level 2 – prices determined using other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3 – prices determined using significant unobservable inputs (including the Valuation Committee’s own assumptions in determining the fair value of investments).
A description of the valuation techniques applied to the Fund’s major categories of assets and liabilities measured at fair value on a recurring basis is as follows:
Equity securities are valued at the official closing price (typically last sale) on the exchange on which the securities are primarily traded or, if no closing price is available, at the last bid price and are categorized as Level 1 in the hierarchy. Restricted equity securities and private placements that are illiquid or are internally fair valued by the Valuation Committee, are generally categorized as Level 3 in the hierarchy.
Certain non-U.S. securities may be fair valued in cases where closing prices are not readily available or are deemed not reflective of readily available market prices. For example, significant events (such as movement in the U.S. securities market, or other regional and local developments) may occur between the time that non-U.S. markets close (where the security is principally traded) and the time that the Fund calculates its net asset value (“NAV”) at the close of regular trading on the New York Stock Exchange (“NYSE”) (generally 4 p.m. Eastern time) that may impact the value of securities traded in these non-U.S. markets. In such cases, the Fund’s fair value non-U.S. securities using an independent pricing service which considers the correlation of the trading patterns of the non-U.S. security to the intraday trading in the U.S. markets for investments such as American Depository Receipts, financial futures, exchange-traded funds (“ETFs”), and certain indexes, as well as prices for similar securities. Such fair valuations are categorized as Level 2 in the hierarchy. Because the frequency of significant events is not predictable, fair valuation of certain non-U.S. common stocks may occur on a frequent basis.
Debt securities, including restricted securities, are valued based on evaluated quotations received from independent pricing services or from dealers who make markets in such securities. For most bond types, the pricing service utilizes matrix pricing that considers one or more of the following factors: yield or price of bonds of comparable quality, coupon, maturity, current cash flows, type, and current day trade information, as well as dealer-supplied prices. These valuations are generally categorized as Level 2 in the hierarchy. Structured debt instruments, such as mortgage-backed and asset-backed securities may also incorporate collateral analysis and utilize cash flow models for valuation and are generally categorized as Level 2 in the hierarchy. Pricing services do not provide pricing for all securities and therefore indicative bids from dealers are utilized which are based on pricing models used by market makers in the security and are generally categorized as Level 2 in the hierarchy. Debt securities that are internally fair valued by the Valuation Committee are generally categorized as Level 3 in the hierarchy.
Listed derivatives, such as options, that are actively traded are valued based on quoted prices from the exchange and are categorized as Level 1 in the hierarchy. Over-the-counter derivative contracts, which include forward currency contracts and equity-linked instruments, do not require material subjectivity as pricing inputs are observed from actively quoted markets and are categorized as Level 2 in the hierarchy.
Investments in open-end mutual funds are valued at NAV. Investments in closed-end funds and ETFs are valued as of the close of regular trading on the NYSE each business day. Each is categorized as Level 1 in the hierarchy.
A summary of the inputs used to value the Fund’s net assets by each major security type is disclosed at the end of the Schedule of Investments for the Fund. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
For additional information about significant accounting policies, refer to the Fund’s most recent semi or annual report.
8