0001752724-24-046856.txt : 20240228 0001752724-24-046856.hdr.sgml : 20240228 20240228172220 ACCESSION NUMBER: 0001752724-24-046856 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20231229 FILED AS OF DATE: 20240228 DATE AS OF CHANGE: 20240228 PERIOD START: 20240930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Virtus Strategy Trust CENTRAL INDEX KEY: 0001423227 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22167 FILM NUMBER: 24697101 BUSINESS ADDRESS: STREET 1: 101 MUNSON STEET 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: Allianz Funds Multi-Strategy Trust DATE OF NAME CHANGE: 20080109 0001423227 S000028359 Virtus Convertible Fund C000086658 Class A ANZAX C000086659 Class C ANZCX C000086661 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6262985.00000000 0.452672679947 Long DBT CORP US N 2 2026-09-01 Fixed 1.37500000 N N N N Y Zillow Group Inc Zillow Group Inc USD XXXX N N N UBER TECHNOLOGIES INC 549300B2FTG34FILDR98 Uber Technologies Inc 90353TAJ9 19655000.00000000 PA USD 19986359.52000000 1.444563403282 Long DBT CORP US N 2 2025-12-15 None 0.00000000 N N N N Y Uber Technologies Inc Uber Technologies Inc USD XXXX N N N BLOCK INC 549300OHIIUWSTIZME52 Block Inc 852234AF0 29805000.00000000 PA USD 29116504.50000000 2.104467138705 Long DBT CORP US N 2 2025-03-01 Fixed 0.12500000 N N N N Y Block Inc Block Inc USD XXXX N N N DEXCOM INC 549300YSK3QDSFR5EU59 Dexcom Inc 252131AL1 12320000.00000000 PA USD 12615680.00000000 0.911829371291 Long DBT CORP US N 2 2028-05-15 Fixed 0.37500000 N N N N Y Dexcom Inc Dexcom Inc USD XXXX N N N ROYAL CARIBBEAN CRUISES K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd 780153BQ4 9740000.00000000 PA USD 25927880.00000000 1.874001442594 Long DBT CORP LR N 2 2025-08-15 Fixed 6.00000000 N N N N N Royal Caribbean Cruises Ltd Royal Caribbean Cruises Ltd USD XXXX N N N BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 Barclays Bank PLC 06739GCF4 12415000.00000000 PA USD 13472203.42000000 0.973736712913 Long DBT CORP GB N 2 2025-02-18 None 0.00000000 N N N N N Visa Inc Visa Inc USD XXXX N N N HUBSPOT INC 529900BLNVEW0MVKJB37 HubSpot Inc 443573AD2 2860000.00000000 PA USD 5928780.00000000 0.428517189713 Long DBT CORP US N 2 2025-06-01 Fixed 0.37500000 N N N N Y HubSpot Inc HubSpot Inc USD XXXX N N N EQT CORP 4NT01YGM4X7ZX86ISY52 EQT Corp 26884LAK5 1270000.00000000 PA USD 3371088.00000000 0.243653695370 Long DBT CORP US N 2 2026-05-01 Fixed 1.75000000 N N N N Y EQT Corp EQT Corp USD XXXX N N N SEMTECH CORP 549300J7WUY317SW6O61 Semtech Corp 816850AF8 2615000.00000000 PA USD 2234517.50000000 0.161505260688 Long DBT CORP US N 2 2027-11-01 Fixed 1.62500000 N N N N N Semtech Corp Semtech Corp USD XXXX N N N PENN ENTERTAINMENT INC N/A Penn Entertainment Inc 707569AU3 5785000.00000000 PA USD 7491575.00000000 0.541472050831 Long DBT CORP US N 2 2026-05-15 Fixed 2.75000000 N N N N Y Penn Entertainment Inc Penn Entertainment Inc USD XXXX N N N DISH NETWORK CORP 529900U350CWHH15G169 DISH Network Corp 25470MAF6 7710000.00000000 PA USD 4780200.00000000 0.345500738814 Long DBT CORP US N 2 2025-12-15 None 0.00000000 N N N N Y DISH Network Corp DISH Network Corp USD XXXX N N N DRAFTKINGS HOLDINGS INC 5493008P45UYYL683Z97 DraftKings Holdings Inc 26142RAB0 27670000.00000000 PA USD 22177505.00000000 1.602933844307 Long DBT CORP US N 2 2028-03-15 None 0.00000000 N N N N Y DraftKings Inc DraftKings Inc USD XXXX N N N PG&E CORP 8YQ2GSDWYZXO2EDN3511 PG&E Corp 69331CAK4 19560000.00000000 PA USD 20498880.00000000 1.481607084403 Long DBT CORP US N 2 2027-12-01 Fixed 4.25000000 N N N N Y PG&E Corp PG&E Corp USD XXXX N N N EVOLENT HEALTH INC 549300CZOCFHQ2BBTR11 Evolent Health Inc 30050BAG6 9590000.00000000 PA USD 11181940.00000000 0.808202278435 Long DBT CORP US N 2 2029-12-01 Fixed 3.50000000 N N N N N Evolent Health Inc Evolent Health Inc USD XXXX N N N 2024-02-22 Virtus Strategy Trust Amy Hackett Amy Hackett Vice President and Assistant Treasurer XXXX NPORT-EX 2 VIAA100VIRTUS123123.htm
VIRTUS Convertible Fund
SCHEDULE OF INVESTMENTS (Unaudited)
December 31, 2023
($ reported in thousands)
  Par Value   Value
Convertible Bonds and Notes—89.9%
Auto Manufacturers—2.4%    
Ford Motor Co.
0.000%, 3/15/26(1)
$    7,100   $    7,065
Lucid Group, Inc. 144A
1.250%, 12/15/26(2)
    6,730       3,479
Rivian Automotive, Inc.      
144A 4.625%, 3/15/29(2)     9,870      13,857
144A 3.625%, 10/15/30(2)     7,665       9,413
         33,814
       
 
Banks—1.9%    
Barclays Bank plc
0.000%, 2/18/25
   12,415      13,472
BofA Finance LLC
0.600%, 5/25/27
   11,600      12,572
         26,044
       
 
Biotechnology—2.7%    
Bridgebio Pharma, Inc.      
2.500%, 3/15/27     8,395      10,120
2.250%, 2/1/29     5,450       4,616
Cytokinetics, Inc.
3.500%, 7/1/27
    4,325       7,590
Insmed, Inc.      
1.750%, 1/15/25     8,400       8,915
0.750%, 6/1/28     5,525       6,310
         37,551
       
 
Commercial Services—6.4%    
Affirm Holdings, Inc.
0.000%, 11/15/26(1)
   33,165      27,112
Block, Inc.
0.125%, 3/1/25
   29,805      29,117
Repay Holdings Corp. 144A
0.000%, 2/1/26(1)(2)
   13,800      11,696
Shift4 Payments, Inc.
0.500%, 8/1/27
   15,560      14,500
Stride, Inc.
1.125%, 9/1/27
    5,260       6,659
         89,084
       
 
Computers—6.0%    
CyberArk Software Ltd.
0.000%, 11/15/24
    5,190       7,349
Lumentum Holdings, Inc.
0.250%, 3/15/24
    9,170       9,205
Parsons Corp.
0.250%, 8/15/25
    8,030      11,487
Seagate HDD Cayman 144A
3.500%, 6/1/28(2)
   21,630      26,096
Varonis Systems, Inc.
1.250%, 8/15/25
    6,605      10,086
Zscaler, Inc.
0.125%, 7/1/25
   12,405      18,800
         83,023
       
 
Electric Utilities—5.1%    
FirstEnergy Corp. 144A
4.000%, 5/1/26(2)
   19,655      19,468
  Par Value   Value
       
Electric Utilities—continued    
PG&E Corp. 144A
4.250%, 12/1/27(2)
$   19,560   $   20,499
Southern Co. (The) 144A
3.875%, 12/15/25(2)
   30,620      30,635
         70,602
       
 
Energy-Alternate Sources—1.1%    
Sunnova Energy International, Inc.
2.625%, 2/15/28
   23,985      15,758
Engineering & Construction—2.6%    
Fluor Corp. 144A
1.125%, 8/15/29(2)
   21,070      22,914
Granite Construction, Inc. 144A
3.750%, 5/15/28(2)
    9,685      12,320
         35,234
       
 
Entertainment—5.2%    
DraftKings Holdings, Inc.
0.000%, 3/15/28(1)
   27,670      22,177
IMAX Corp.
0.500%, 4/1/26
   13,040      11,573
Live Nation Entertainment, Inc.      
2.000%, 2/15/25    19,665      20,686
144A 3.125%, 1/15/29(2)     8,550       9,709
Penn Entertainment, Inc.
2.750%, 5/15/26
    5,785       7,492
         71,637
       
 
Environmental Services—1.1%    
Tetra Tech, Inc. 144A
2.250%, 8/15/28(2)
   14,195      14,878
Financial Services—2.0%    
Encore Capital Group, Inc. 144A
4.000%, 3/15/29(2)
   14,690      14,470
JPMorgan Chase Financial Co., LLC
0.500%, 6/15/27
   10,360      13,737
         28,207
       
 
Health Care REITs—2.3%    
Welltower OP LLC 144A
2.750%, 5/15/28(2)
   29,155      32,234
Healthcare-Products—5.2%    
Alphatec Holdings, Inc.
0.750%, 8/1/26
   13,190      13,922
Exact Sciences Corp.
0.375%, 3/15/27
   10,425      10,086
Integer Holdings Corp. 144A
2.125%, 2/15/28(2)
   10,460      13,347
Merit Medical Systems, Inc. 144A
3.000%, 2/1/29(2)
   12,530      13,864
Natera, Inc.
2.250%, 5/1/27
    4,490       7,678
  Par Value   Value
       
Healthcare-Products—continued    
Repligen Corp. 144A
1.000%, 12/15/28(2)
$    3,720   $    4,152
TransMedics Group, Inc. 144A
1.500%, 6/1/28(2)
    8,100       9,143
         72,192
       
 
Insurance—0.4%    
HCI Group, Inc.
4.750%, 6/1/42
    4,855       5,996
Internet—13.1%    
Booking Holdings, Inc.
0.750%, 5/1/25
    9,230      17,388
Match Group Financeco 3, Inc. 144A
2.000%, 1/15/30(2)
    7,170       6,224
Palo Alto Networks, Inc.
0.375%, 6/1/25
   12,615      37,378
PDD Holdings, Inc.
0.000%, 12/1/25
   12,505      12,897
Snap, Inc.
0.750%, 8/1/26
   12,615      13,410
Uber Technologies, Inc.      
0.000%, 12/15/25(1)    19,655      19,986
Series 2028
144A 0.875%, 12/1/28(2)
   19,190      20,869
Wayfair, Inc.      
1.125%, 11/1/24    11,380      11,181
1.000%, 8/15/26    14,710      12,842
3.250%, 9/15/27     7,455       9,179
Zillow Group, Inc.      
2.750%, 5/15/25    12,785      14,048
1.375%, 9/1/26     4,595       6,263
        181,665
       
 
Iron & Steel—0.4%    
ATI, Inc.
3.500%, 6/15/25
    1,715       5,079
Leisure Time—3.5%    
NCL Corp., Ltd.
1.125%, 2/15/27
   24,625      22,485
Royal Caribbean Cruises Ltd.
6.000%, 8/15/25
    9,740      25,928
         48,413
       
 
Media—3.2%    
DISH Network Corp.
0.000%, 12/15/25(1)
    7,710       4,780
Liberty Broadband Corp. 144A
3.125%, 3/31/53(2)
   20,630      20,385
Liberty Media Corp. 144A
3.750%, 3/15/28(2)
   10,290      12,281
Liberty Media Corp.-Liberty Formula One
2.250%, 8/15/27
    6,370       6,462
         43,908
       
 
See Notes to Schedule of Investments
1

VIRTUS Convertible Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2023
($ reported in thousands)
  Par Value   Value
       
Miscellaneous Manufacturing—1.5%    
Axon Enterprise, Inc.
0.500%, 12/15/27
$   16,040   $   20,218
Oil, Gas & Consumable Fuels—1.4%    
EQT Corp.
1.750%, 5/1/26
    1,270       3,371
Northern Oil & Gas, Inc.
3.625%, 4/15/29
    7,490       8,831
Pioneer Natural Resources Co.
0.250%, 5/15/25
    2,685       6,524
         18,726
       
 
Passenger Airlines—0.6%    
American Airlines Group, Inc.
6.500%, 7/1/25
    7,760       8,594
Pharmaceuticals—2.6%    
Amphastar Pharmaceuticals, Inc. 144A
2.000%, 3/15/29(2)
   10,920      13,240
Dexcom, Inc. 144A
0.375%, 5/15/28(2)
   12,320      12,616
Mirum Pharmaceuticals, Inc. 144A
4.000%, 5/1/29(2)
    6,510       7,910
Neurocrine Biosciences, Inc.
2.250%, 5/15/24
    1,110       1,914
         35,680
       
 
Retail—1.3%    
Freshpet, Inc. 144A
3.000%, 4/1/28(2)
    8,030      11,515
Shake Shack, Inc.
0.000%, 3/1/28(1)
    7,440       6,032
         17,547
       
 
Semiconductors—3.5%    
Impinj, Inc.
1.125%, 5/15/27
    3,145       3,424
MACOM Technology Solutions Holdings, Inc.
0.250%, 3/15/26
   10,400      12,792
ON Semiconductor Corp. 144A
0.500%, 3/1/29(2)
   13,875      14,742
Semtech Corp.
1.625%, 11/1/27
    2,615       2,235
Veeco Instruments, Inc. 144A
2.875%, 6/1/29(2)
    5,275       6,731
Wolfspeed, Inc.
0.250%, 2/15/28
   12,570       8,466
         48,390
       
 
Software—14.4%    
Akamai Technologies, Inc.
0.125%, 5/1/25
   21,155      26,867
  Par Value   Value
       
Software—continued    
Bentley Systems, Inc.
0.125%, 1/15/26
$   20,755   $   20,508
BILL Holdings, Inc.
0.000%, 12/1/25(1)
   15,310      14,399
Cloudflare, Inc.
0.000%, 8/15/26(1)
   12,340      11,081
Confluent, Inc.
0.000%, 1/15/27(1)
   16,005      13,345
Datadog, Inc.
0.125%, 6/15/25
    8,525      11,901
Evolent Health, Inc. 144A
3.500%, 12/1/29(2)
    9,590      11,182
Five9, Inc.
0.500%, 6/1/25
   13,445      12,847
HubSpot, Inc.
0.375%, 6/1/25
    2,860       5,929
MicroStrategy, Inc.
0.750%, 12/15/25
    8,330      13,713
MongoDB, Inc.
0.250%, 1/15/26
    7,835      15,474
Nutanix, Inc.
0.250%, 10/1/27
    6,345       6,599
Tyler Technologies, Inc.
0.250%, 3/15/26
   22,235      22,424
Workiva, Inc. 144A
1.250%, 8/15/28(2)
   12,390      12,495
        198,764
       
 
Total Convertible Bonds and Notes
(Identified Cost $1,123,548)
  1,243,238
    
  Shares  
Convertible Preferred Stocks—6.3%
Banks—3.1%  
Wells Fargo & Co. Series L, 7.500%    36,535    43,682
Electric Utilities—0.7%  
NextEra Energy, Inc., 6.926%   241,715     9,214
Financial Services—1.0%  
Apollo Global Management, Inc., 6.750%   251,110    14,160
Machinery—1.5%  
Chart Industries, Inc. Series B, 6.750%   116,500     6,475
RBC Bearings, Inc. Series A, 5.000%   106,590    13,837
       20,312
     
 
Total Convertible Preferred Stocks
(Identified Cost $86,402)
   87,368
     
 
     
 
  Shares   Value
       
       
Equity-Linked Note—0.6%
Financial Services—0.6%    
Goldman Sachs Finance Corp.(3) 7,825,000   $    7,390
Total Equity-Linked Note
(Identified Cost $7,649)
      7,390
       
 
       
 
Total Long-Term Investments—96.8%
(Identified Cost $1,217,599)
  1,337,996
       
 
       
 
TOTAL INVESTMENTS—96.8%
(Identified Cost $1,217,599)
  $1,337,996
Other assets and liabilities, net—3.2%      44,860
NET ASSETS—100.0%   $1,382,856
    
Abbreviation:
LLC Limited Liability Company
    
Footnote Legend:
(1) Issued with a zero coupon. Income is recognized through the accretion of discount.
(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 December 31, 2023, these securities amounted to a value of $432,364 or 31.3% of net assets.
(3) 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.
    
Country Weightings
United States 91%
Cayman Islands 3
Liberia 2
Bermuda 2
United Kingdom 1
Canada 1
Total 100%
% of total investments as of December 31, 2023.
See Notes to Schedule of Investments
2

VIRTUS Convertible Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
December 31, 2023
($ reported in thousands)
The following table summarizes the value of the Fund’s investments as of December 31, 2023, 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, 2023
  Level 1
Quoted Prices
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Assets:              
Debt Instruments:              
Convertible Bonds and Notes $1,243,238   $  $1,243,238   $
Convertible Preferred Stocks 87,368   87,368    
Equity-Linked Note 7,390       7,390
Total Investments $1,337,996   $87,368   $1,243,238   $7,390
There were no transfers into or out of Level 3 related to securities held at December 31, 2023.
Some of the Fund’s investments that were categorized as Level 3 may have been valued utilizing third party pricing information without adjustment. If applicable, 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.
The following is a reconciliation of assets of the Fund for Level 3 investments for which significant unobservable inputs were used to determine fair value.
  Total   Equity-Linked
Note
Investments in Securities      
Balance as of September 30, 2023: $ 7,151   $ 7,151
Accrued discount/(premium) 6   6
Net change in unrealized appreciation (depreciation)(a) 864   864
Purchases 4,801   4,801
Sales(b) (5,432)   (5,432)
Balance as of December 31, 2023 $ 7,390   $ 7,390
(a) The net change in unrealized appreciation (depreciation) on investments still held at December 31, 2023, was $864.
(b) Includes paydowns on securities.
See Notes to Schedule of Investments
3

VIRTUS Convertible Fund
NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
December 31, 2023
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 report.
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