0001752724-24-234400.txt : 20241023 0001752724-24-234400.hdr.sgml : 20241023 20241023120314 ACCESSION NUMBER: 0001752724-24-234400 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240830 FILED AS OF DATE: 20241023 DATE AS OF CHANGE: 20241023 PERIOD START: 20250531 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VIRTUS OPPORTUNITIES TRUST CENTRAL INDEX KEY: 0001005020 ORGANIZATION NAME: 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: 241388354 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 FUNDS DATE OF NAME CHANGE: 19951218 0001005020 S000075280 Virtus Stone Harbor Local Markets Fund C000234180 Class I SHLMX C000234181 Class A VSHEX NPORT-P 1 primary_doc.xml NPORT-P false 0001005020 XXXXXXXX S000075280 C000234181 C000234180 Virtus Opportunities Trust 811-07455 0001005020 549300O4C4QVD88M4N75 101 Munson Street Greenfield 01301-9668 800-243-1574 Virtus Stone Harbor Local Markets Fund S000075280 CF2OE3E2672HR5724D68 2025-05-31 2024-08-30 N 8046525.69 422539.90 7623985.79 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 118115.05000000 0.00000000 0.00000000 376027.08000000 BRL CNY COP CZK HUF IDR INR MXN MYR PEN PLN RON THB ZAR N Securities Portfolio N/A JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 USD/INR FORWARD 000000000 1.00000000 NC USD 62.99000000 0.000826208255 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -9100000.00000000 INR 108462.46000000 USD 2024-09-30 62.99000000 N N N INDONESIA GOVERNMENT 529900FWX0GRR7WG5W79 Indonesia Treasury Bond 000000000 3278000000.00000000 PA 225249.82000000 2.954488979969 Long DBT NUSS ID N 2 2038-05-15 Fixed 7.50000000 N N N N N N THAILAND GOVERNMENT BOND 254900PHJ6MSKT6C7026 Thailand Government Bond 000000000 3610000.00000000 PA 113307.82000000 1.486201878138 Long DBT NUSS TH N 2 2038-06-17 Fixed 3.30000000 N N N N N N MALAYSIA GOVERNMENT 254900GSIL471JOBYY43 Malaysia Government Bond 000000000 1030000.00000000 PA 242176.89000000 3.176512872278 Long DBT NUSS MY N 2 2029-08-15 Fixed 3.88500000 N N N N N N JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 CLP/USD FORWARD 000000000 1.00000000 NC USD 2395.32000000 0.031418211759 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -74209.93000000 USD 70000000.00000000 CLP 2024-09-03 2395.32000000 N N N CHINA GOVERNMENT BOND 300300CHN201808MOF68 China Government Bond 000000000 120000.00000000 PA 17998.38000000 0.236075728572 Long DBT NUSS CN N 2 2029-11-21 Fixed 3.13000000 N N N N N N MEX BONOS DESARR FIX RT 254900EGTWEU67VP6075 Mexican Bonos 000000000 220000.00000000 PA 10576.85000000 0.138731239686 Long DBT NUSS MX N 2 2027-06-03 Fixed 7.50000000 N N N N N N POLAND GOVERNMENT BOND 259400R9L8QEP0TPXS31 Republic of Poland Government Bond 000000000 1030000.00000000 PA 277850.60000000 3.644427044505 Long DBT NUSS PL N 2 2033-10-25 Fixed 6.00000000 N N N N N N BONOS TESORERIA PESOS 549300FLZTJM5YJF8D34 Bonos de la Tesoreria de la Republica en pesos 000000000 15000000.00000000 PA 16111.27000000 0.211323452637 Long DBT NUSS CL N 2 2028-10-01 Fixed 5.00000000 N N N N N N JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 RUB/USD FORWARD 000000000 1.00000000 NC USD 665.13000000 0.008724176806 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -2700000.00000000 RUB 30133.93000000 USD 2024-10-15 665.13000000 N N N REPUBLIC OF SOUTH AFRICA 378900AAFB4F17004C49 Republic of South Africa Government Bond 000000000 2910000.00000000 PA 130691.09000000 1.714209517171 Long DBT NUSS ZA N 2 2044-01-31 Fixed 8.75000000 N N N N N N JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 USD/BRL FORWARD 000000000 1.00000000 NC USD -1823.06000000 -0.02391216419 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -56795.79000000 USD 310000.00000000 BRL 2024-09-04 -1823.06000000 N N N GOLDMAN SACHS & CO. 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NUSS CO N 2 2050-10-26 Fixed 7.25000000 N N N N N N REPUBLIC OF SOUTH AFRICA 378900AAFB4F17004C49 Republic of South Africa Government Bond 000000000 4210000.00000000 PA 155164.02000000 2.035208672654 Long DBT NUSS ZA N 2 2041-02-28 Fixed 6.50000000 N N N N N N MEX BONOS DESARR FIX RT 254900EGTWEU67VP6075 Mexican Bonos 000000000 6570000.00000000 PA 270390.23000000 3.546573110808 Long DBT NUSS MX N 2 2042-11-13 Fixed 7.75000000 N N N N N N INDONESIA GOVERNMENT 529900FWX0GRR7WG5W79 Indonesia Treasury Bond 000000000 1518000000.00000000 PA 109901.39000000 1.441521443339 Long DBT NUSS ID N 2 2034-03-15 Fixed 8.37500000 N N N N N N JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 CZK/USD FORWARD 000000000 1.00000000 NC USD 2302.07000000 0.030195098251 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -154096.41000000 USD 3540000.00000000 CZK 2024-09-25 2302.07000000 N N N ROMANIA GOVERNMENT BOND 315700IASY927EDWBK92 Romania Government Bond 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8.424404080637 Long DBT NUSS BR N 2 2031-01-01 Fixed 10.00000000 N N N N N N JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 USD/BRL FORWARD 000000000 1.00000000 NC USD 193.97000000 0.002544207260 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -310000.00000000 BRL 55166.70000000 USD 2024-09-04 193.97000000 N N N JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 USD/RON FORWARD 000000000 1.00000000 NC USD -37.92000000 -0.00049737763 N/A DFE CORP US N 2 JPMorgan Chase Bank, National Association 7H6GLXDRUGQFU57RNE97 -190000.00000000 RON 42153.84000000 USD 2024-10-21 -37.92000000 N N N 2024-10-23 Virtus Opportunities Trust Amy Hackett Amy Hackett Vice President and Assistant Treasurer XXXX NPORT-EX 2 VISA030_-_Virtus_8.31.24.htm
VIRTUS Stone Harbor Local Markets Fund
SCHEDULE OF INVESTMENTS (Unaudited)
August 31, 2024
($ reported in thousands)
  Par Value(1)   Value
Foreign Government Securities—84.3%
Brazil—10.2%    
Brazil Notas do Tesouro Nacional      
Series F
10.000%, 1/1/25
         770BRL   $  136
Series F
10.000%, 1/1/31
       3,980BRL     642
        778
       
 
Chile—0.8%    
Bonos Tesoreria Pesos      
5.000%, 3/1/35       45,000CLP      47
144A, RegS
5.000%, 10/1/28(2)(3)
      15,000CLP      16
         63
       
 
China—4.8%    
China Government Bond      
3.130%, 11/21/29          120CNY      18
2.890%, 11/18/31        1,550CNY     231
3.720%, 4/12/51          650CNY     116
        365
       
 
Colombia—6.1%    
Bogota Distrio Capital RegS
9.750%, 7/26/28(3)
   1,091,000COP     256
Titulos De Tesoreria      
9.250%, 5/28/42      600,000COP     126
7.250%, 10/26/50      480,000COP      79
        461
       
 
Czech Republic—4.7%    
Czech Republic      
2.750%, 7/23/29        2,100CZK      89
1.750%, 6/23/32        1,740CZK      66
RegS
4.200%, 12/4/36(3)
       4,490CZK     202
        357
       
 
Hungary—2.0%    
Hungary Government Bond
4.750%, 11/24/32
      59,800HUF     153
India—3.8%    
Inter-American Development Bank
7.350%, 10/6/30
      24,000INR     292
Indonesia—9.9%    
Indonesia Government Bond      
6.500%, 6/15/25    3,010,000IDR     195
9.000%, 3/15/29    2,010,000IDR     142
8.375%, 3/15/34    1,518,000IDR     110
7.500%, 5/15/38    3,278,000IDR     225
8.375%, 4/15/39    1,090,000IDR      81
        753
       
 
  Par Value(1)   Value
       
Malaysia—10.0%    
Malaysia Government Bond      
4.059%, 9/30/24           67MYR   $   16
3.906%, 7/15/26          851MYR     199
3.885%, 8/15/29        1,030MYR     242
3.582%, 7/15/32          290MYR      66
4.893%, 6/8/38          785MYR     200
4.696%, 10/15/42          145MYR      36
        759
       
 
Mexico—9.2%    
Mex Bonos Desarr      
7.500%, 6/3/27          220MXN      10
7.750%, 5/29/31        3,360MXN     155
7.750%, 11/23/34        1,520MXN      68
7.750%, 11/13/42        6,570MXN     270
8.000%, 11/7/47        4,830MXN     201
        704
       
 
Peru—1.9%    
Bonos De Tesoreria      
6.150%, 8/12/32          300PEN      80
5.400%, 8/12/34          189PEN      46
5.350%, 8/12/40           90PEN      20
        146
       
 
Poland—3.6%    
Poland Government Bond
6.000%, 10/25/33
       1,030PLN     278
Romania—3.1%    
Romania Government Bond      
8.000%, 4/29/30          755RON     179
4.750%, 10/11/34          290RON      55
        234
       
 
South Africa—9.2%    
Republic of South Africa      
8.500%, 1/31/37        8,900ZAR     416
6.500%, 2/28/41        4,210ZAR     155
8.750%, 1/31/44        2,910ZAR     131
        702
       
 
Thailand—4.7%    
Thailand Government Bond      
2.875%, 12/17/28          870THB      26
3.775%, 6/25/32        4,380THB     141
3.300%, 6/17/38        3,610THB     113
4.675%, 6/29/44        2,180THB      80
        360
       
 
Uruguay—0.3%    
Republica Orient Uruguay
8.250%, 5/21/31
         950UYU      22
Total Foreign Government Securities
(Identified Cost $6,377)
  6,427
       
 
       
 
See Notes to Schedule of Investments
1

VIRTUS Stone Harbor Local Markets Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
August 31, 2024
($ reported in thousands)
  Par Value(1)   Value
       
       
Corporate Bonds and Notes—3.2%
Poland—3.2%    
Kreditanstalt fuer Wiederaufbau
0.625%, 7/25/25
       1,000PLN   $  246
Total Corporate Bonds and Notes
(Identified Cost $250)
    246
       
 
       
 
Total Long-Term Investments—87.5%
(Identified Cost $6,627)
  6,673
       
 
       
 
Short-Term Investment—0.5%
Foreign Government Security—0.5%      
Kazakhstan—0.5%      
National Bank of Kazakhstan Note
0.000%, 9/18/24(4)
      17,700KZT      37
Total Short-Term Investment
(Identified Cost $37)
     37
       
 
       
 
TOTAL INVESTMENTS—88.0%
(Identified Cost $6,664)
  $6,710
Other assets and liabilities, net—12.0%     914
NET ASSETS—100.0%   $7,624
    
Footnote Legend:
(1) Par Value disclosed in foreign currency is reported in thousands.
(2) 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 August 31, 2024, these securities amounted to a value of $16 or 0.2% of net assets.
(3) 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.
(4) Issued with a zero coupon. Income is recognized through the accretion of discount.
Counterparties:  
CITI Citigroup Global Markets
GS Goldman Sachs & Co.
JPM JPMorgan Chase Bank N.A.
    
Foreign Currencies:
BRL Brazilian Real
CLP Chilean Peso
CNH Chinese Yuan Offshore
CNY Chinese Yuan
COP Colombian Peso
CZK Czech Koruna
HUF Hungarian Forint
IDR Indonesian Rupiah
INR Indian Rupee
KZT Kazakhstani Tenge
MXN Mexican Peso
MYR Malaysian Ringgit
PEN Peruvian Nuevo Sol
PLN Polish Zloty
RON Romania New Leu
RUB Russian Ruble
THB Thailand Baht
TRY Turkish Lira
USD United States Dollar
UYU Uruguayan Peso
ZAR South African Rand
    
Country Weightings
Brazil 12%
Mexico 11
Indonesia 11
South Africa 11
Malaysia 11
Colombia 7
Poland 7
Other 30
Total 100%
% of total investments as of August 31, 2024.
 
Forward foreign currency exchange contracts as of August 31, 2024 were as follows:
Currency
Purchased
Currency
Amount
Purchased
Currency
Sold
Currency
Amount
Sold
Counterparty Settlement
Date
Unrealized
Appreciation
Unrealized
Depreciation
BRL 310 USD 57 JPM 09/04/24 $— $(2)
CLP 70,000 USD 74 JPM 09/03/24 2 — 
CLP 70,000 USD 76 JPM 10/22/24 1 — 
CNH 1,730 USD 240 JPM 09/12/24 4 — 
CZK 3,540 USD 154 JPM 09/25/24 2 — 
HUF 25,700 USD 71 GS 09/25/24 1 — 
IDR 870,000 USD 53 JPM 09/10/24 3 — 
IDR 600,000 USD 39 JPM 11/04/24 — (1)
INR 15,200 USD 181 JPM 09/30/24 — (1)
MXN 4,380 USD 231 JPM 09/03/24 (8)
MXN 4,500 USD 226 JPM 10/29/24 (1) — 
MYR 350 USD 79 GS 10/15/24 2 — 
PLN 440 USD 112 JPM 09/12/24 2 — 
See Notes to Schedule of Investments
2

VIRTUS Stone Harbor Local Markets Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
August 31, 2024
($ reported in thousands)
Forward foreign currency exchange contracts as of August 31, 2024 were as follows:
Currency
Purchased
Currency
Amount
Purchased
Currency
Sold
Currency
Amount
Sold
Counterparty Settlement
Date
Unrealized
Appreciation
  Unrealized
Depreciation
THB 7,870 USD 221 GS 09/19/24 $12   $— 
TRY 4,600 USD 128 JPM 10/21/24   (1)
USD 76 CLP 70,000 JPM 09/03/24   (1)
USD 236 MXN 4,380 JPM 09/03/24 14   — 
USD 55 BRL 310 JPM 09/04/24 (1)   — 
USD 56 IDR 870,000 JPM 09/10/24   — (1)
USD 212 ZAR 3,850 JPM 09/11/24   (4)
USD 79 CNH 570 JPM 09/12/24   (2)
USD 15 PLN 60 JPM 09/12/24   — (1)
USD 166 CZK 3,860 JPM 09/25/24   (5)
USD 108 INR 9,100 JPM 09/30/24 (1)   — 
USD 41 MYR 180 GS 10/15/24   (1)
USD 30 RUB 2,700 JPM 10/15/24 1   — 
USD 197 COP 810,000 CITI 10/16/24 5   — 
USD 42 RON 190 JPM 10/21/24   — (1)
USD 105 MXN 2,060 JPM 10/29/24 1   — 
USD 22 BRL 120 JPM 11/04/24 1   — 
ZAR 2,770 USD 157 JPM 09/11/24   (2)
Total $51   $(26)
    
Footnote Legend:
(1) Amount is less than $500 (not in thousands).
The following table summarizes the value of the Fund’s investments as of August 31, 2024, based on the inputs used to value them (See Security Valuation Note 1 in the Notes to Schedule of Investments):
  Total
Value at
August 31, 2024
  Level 2
Significant
Observable
Inputs
Assets:      
Debt Instruments:      
Foreign Government Securities $6,464   $6,464
Corporate Bonds and Notes 246   246
Other Financial Instruments:      
Forward Foreign Currency Exchange Contracts 51   51
Total Assets 6,761   6,761
Liabilities:      
Other Financial Instruments:      
Forward Foreign Currency Exchange Contracts (26)   (26)
Total Liabilities (26)   (26)
Total Investments $6,735   $6,735
There were no securities valued using quoted prices (Level 1) or significant unobservable inputs (Level 3) at August 31, 2024.
There were no transfers into or out of Level 3 related to securities held at August 31, 2024.
See Notes to Schedule of Investments
3

VIRTUS STONE HARBOR LOCAL MARKETS FUND NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
August 31, 2024
Note 1. Security Valuation
The Fund’s Board of Trustees has designated the investment adviser as the valuation designee to perform fair valuations pursuant to Rule 2a-5 under the Investment Company Act of 1940. 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 investment adviser’s 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. Illiquid, restricted equity securities and illiquid private placements are internally fair valued by the investment adviser’s Valuation Committee, and 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 fair values 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 Depositary 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 instruments, including convertible bonds, and 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, activity of the underlying equities, 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 instruments that are internally fair valued by the investment adviser’s Valuation Committee are generally categorized as Level 3 in the hierarchy.
Listed derivatives, such as options and futures, that are actively traded are valued at the last posted settlement price from the exchange where they are principally traded and are categorized as Level 1 in the hierarchy. Over-the-counter derivative contracts, which include forward currency contracts, swaps, swaptions, options and equity linked instruments, are valued based on model prices provided by independent pricing services or from dealer quotes. Depending on the derivative type and the specific terms of the transaction, these models vary and include observable inputs in actively quoted markets including but not limited to: underlying reference entity details, indices, spreads, interest rates, yield curves, dividend and exchange rates. These instruments are generally categorized as Level 2 in the hierarchy. Centrally cleared swaps listed or traded on a bilateral or trade facility platform, such as a registered exchange, are valued at the last posted settlement price determined by the respective exchange. These securities are generally categorized as Level 2 within 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 Financials.
4