0001145549-22-012471.txt : 20220228 0001145549-22-012471.hdr.sgml : 20220228 20220228115636 ACCESSION NUMBER: 0001145549-22-012471 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20211231 FILED AS OF DATE: 20220228 PERIOD START: 20220930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DoubleLine Yield Opportunities Fund CENTRAL INDEX KEY: 0001788399 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23476 FILM NUMBER: 22685913 BUSINESS ADDRESS: STREET 1: 333 SOUTH GRAND AVENUE STREET 2: SUITE 1800 CITY: LOS ANGELES STATE: CA ZIP: 90071 BUSINESS PHONE: 213-633-8200 MAIL ADDRESS: STREET 1: 333 SOUTH GRAND AVENUE STREET 2: SUITE 1800 CITY: LOS ANGELES STATE: CA ZIP: 90071 NPORT-P 1 primary_doc.xml NPORT-P false 0001788399 XXXXXXXX DoubleLine Yield Opportunities Fund 811-23476 0001788399 5493006BIH94Q4VHHG23 333 South Grand Avenue Suite 1800 Los Angeles 90071 213-633-8200 DoubleLine 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CORP US N 2 2025-10-02 Fixed 7.125000000000 N N N N N N BRASKEM IDESA SAPI YH0V7ZHY352ITDGEYB83 Braskem Idesa SAPI 10554NAB4 3200000.000000000000 PA USD 3217280.000000000000 0.3397982151 Long DBT CORP MX N 2 2032-02-20 Fixed 6.990000000000 N N N N N N FED REPUBLIC OF BRAZIL 254900ZFY40OYEADAP90 Brazilian Government International Bond 105756CB4 5100000.000000000000 PA USD 4544151.000000000000 0.4799378354 Long DBT NUSS BR N 2 2050-01-14 Fixed 4.750000000000 N N N N N N Buttermilk Park CLO Ltd N/A Buttermilk Park CLO Ltd 12416PAA5 750000.000000000000 PA USD 743372.590000000000 0.0785124948 Long ABS-CBDO CORP KY N 2 2031-10-15 Floating 5.873750000000 N N N N N N BX Trust N/A BX Trust 2017-APPL 12433PAQ9 2975000.000000000000 PA USD 2981521.200000000000 0.3148981693 Long ABS-MBS CORP US N 2 2034-07-15 Floating 4.360000000000 N N N N N N CFCRE Commercial Mortgage Trus N/A CFCRE Commercial Mortgage Trust 2016-C7 12532BAG2 3000000.000000000000 PA USD 2932303.500000000000 0.3096999625 Long ABS-MBS CORP US N 2 2054-12-10 Variable 4.402438000000 N N N N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/Community Health Systems Inc 12543DBJ8 2490000.000000000000 PA USD 2540497.200000000000 0.2683187084 Long DBT CORP US N 2 2029-04-15 Fixed 6.875000000000 N N N N N N CIFC Funding Ltd N/A CIFC Funding 2021-IV Ltd 12547GAA7 500000.000000000000 PA USD 497225.960000000000 0.0525153216 Long ABS-CBDO CORP KY N 2 2033-07-15 Floating 6.123750000000 N N N N N N CIFC Funding Ltd 549300PC4RPZFE70AI24 CIFC Funding 2013-I Ltd 12548FAS9 2000000.000000000000 PA USD 1990887.460000000000 0.2102707894 Long ABS-CBDO CORP KY N 2 2030-07-16 Floating 6.772250000000 N N N N N N CIFC Funding Ltd 549300RWVPXQ5M3BFY62 CIFC Funding 2015-II Ltd 12550JAJ6 3000000.000000000000 PA USD 3003619.530000000000 0.3172321201 Long ABS-CBDO CORP KY N 2 2030-04-15 Floating 6.933750000000 N N N N N N CIFC Funding Ltd 635400BTAKRBKGRV3X14 CIFC Funding 2017-V Ltd 12551NAA5 1750000.000000000000 PA USD 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2013-CCRE13 Mortgage Trust 12630BBB3 72568752.590000000000 PA USD 921158.720000000000 0.0972896636 Long ABS-MBS CORP US N 2 2046-11-10 Variable .738613000000 N N N N N N CSAIL Commercial Mortgage Trus 549300C2HE5FJAWYZL57 CSAIL 2016-C6 Commercial Mortgage Trust 12636MAV0 5088000.000000000000 PA USD 4524296.920000000000 0.4778409147 Long ABS-MBS CORP US N 2 2049-01-15 Variable 4.921287000000 N N N N N N CSI COMPRESSCO LP/FINANC N/A CSI Compressco LP / CSI Compressco Finance Inc 12652HAA6 1365000.000000000000 PA USD 1380663.380000000000 0.1458209892 Long DBT CORP US N 2 2025-04-01 Fixed 7.500000000000 N N N N N N Credit Suisse Commercial Mortg N/A CSWF 2018-TOP 12653BAU4 4000000.000000000000 PA USD 3949166.400000000000 0.4170975774 Long ABS-MBS CORP US N 2 2035-08-15 Floating 3.523012000000 N N N N N N CVR PARTNERS/CVR NITROGE N/A CVR Partners LP / CVR Nitrogen Finance Corp 12663QAC9 3700000.000000000000 PA USD 3908957.500000000000 0.4128508496 Long DBT CORP US N 2 2028-06-15 Fixed 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N N N CENGAGE LEARNING INC 549300BYGM0FWUSVXJ88 Cengage Learning Inc 15137NAA1 3315000.000000000000 PA USD 3339166.350000000000 0.3526714385 Long DBT CORP US N 2 2024-06-15 Fixed 9.500000000000 N N N N N N CHIMERA INVESTMENT CORP 2JBBQFJOL123LOUBE657 Chimera Investment Corp 16934Q604 30000.000000000000 NS USD 757500.000000000000 0.0800045840 Long EP CORP US N 1 N N N Citigroup Commercial Mortgage N/A Citigroup Commercial Mortgage Trust 2015-GC27 17323CAN7 5008323.000000000000 PA USD 4833560.070000000000 0.5105042410 Long ABS-MBS CORP US N 2 2048-02-10 Variable 4.418500000000 N N N N N N Citigroup Commercial Mortgage N/A Citigroup Commercial Mortgage Trust 2018-TBR 17326MAQ5 5000000.000000000000 PA USD 4966169.500000000000 0.5245099998 Long ABS-MBS CORP US N 2 2036-12-15 Floating 3.760000000000 N N N N N N Citigroup Commercial Mortgage N/A Citigroup Commercial Mortgage Trust 2020-GC46 17328RAJ8 5114000.000000000000 PA USD 4136606.180000000000 0.4368943321 Long ABS-MBS CORP US N 2 2053-02-15 Fixed 2.600000000000 N N N N N N CLEAR CHANNEL OUTDOOR HO N/A Clear Channel Outdoor Holdings Inc 18453HAD8 1865000.000000000000 PA USD 1994095.300000000000 0.2106095906 Long DBT CORP US N 2 2029-06-01 Fixed 7.500000000000 N N N N N N COBRA ACQUISITIONCO LLC N/A Cobra AcquisitionCo LLC 19106CAA4 2335000.000000000000 PA USD 2309093.180000000000 0.2438785997 Long DBT CORP US N 2 2029-11-01 Fixed 6.375000000000 N N N N N N REPUBLIC OF COLOMBIA 549300MHDRBVRF6B9117 Colombia Government International Bond 195325CU7 5100000.000000000000 PA USD 4621875.000000000000 0.4881467810 Long DBT NUSS CO N 2 2045-06-15 Fixed 5.000000000000 N N N N N N REPUBLIC OF COLOMBIA 549300MHDRBVRF6B9117 Colombia Government International Bond 195325EA9 600000.000000000000 PA USD 502500.000000000000 0.0530723478 Long DBT NUSS CO N 2 2042-02-22 Fixed 4.125000000000 N N N N N N CIA DE MINAS BUENAVENTUR 529900WQB1ZU9KB6EL71 Cia de Minas Buenaventura SAA 204448AA2 2500000.000000000000 PA USD 2442575.000000000000 0.2579764973 Long DBT CORP PE N 2 2026-07-23 Fixed 5.500000000000 N N N N N N CONNECT FINCO SARL/CONNE N/A Connect Finco SARL / Connect US Finco LLC 20752TAA2 2000000.000000000000 PA USD 2105200.000000000000 0.2223440927 Long DBT CORP US N 2 2026-10-01 Fixed 6.750000000000 N N N N N N Fannie Mae - CAS N/A Connecticut Avenue Securities Trust 2019-R07 20753WAE6 3900000.000000000000 PA USD 3930498.390000000000 0.4151259255 Long ABS-MBS CORP US N 2 2039-10-25 Floating 3.502750000000 N N N N N N Deutsche Bank Commercial Mortg N/A DBJPM 16-C1 Mortgage Trust 23312LAV0 4622000.000000000000 PA USD 4423645.950000000000 0.4672105002 Long ABS-MBS CORP US N 2 2049-05-10 Variable 3.326898000000 N N N N N N DOLP Trust N/A DOLP Trust 2021-NYC 23345LAN9 4000000.000000000000 PA USD 3686338.800000000000 0.3893386167 Long ABS-MBS CORP US N 2 2041-05-10 Variable 3.703780000000 N N N N N N DOLP Trust N/A DOLP Trust 2021-NYC 23345LAQ2 4000000.000000000000 PA USD 3434571.600000000000 0.3627478178 Long ABS-MBS CORP US N 2 2041-05-10 Variable 3.703780000000 N N N N N N DEALER TIRE LLC/DT ISSR N/A Dealer Tire LLC / DT Issuer LLC 24229JAA1 3895000.000000000000 PA USD 4059894.830000000000 0.4287923391 Long DBT CORP US N 2 2028-02-01 Fixed 8.000000000000 N N N N N N Deephaven Residential Mortgage N/A Deephaven Residential Mortgage Trust 2020-2 24380NAG4 10000000.000000000000 PA USD 10069743.000000000000 1.0635321446 Long ABS-MBS CORP US N 2 2065-05-25 Variable 5.870227000000 N N N N N N Del Amo Fashion Center Trust N/A Del Amo Fashion Center Trust 2017-AMO 24500EAJ3 2100000.000000000000 PA USD 1950303.390000000000 0.2059844374 Long ABS-MBS CORP US N 2 2035-06-05 Variable 3.636180000000 N N N N N N DELTA AIR LINES INC Q2CCMS6R0AS67HJMBN42 Delta Air Lines Inc 247361ZX9 1320000.000000000000 PA USD 1510466.970000000000 0.1595304047 Long DBT CORP US N 2 2025-05-01 Fixed 7.000000000000 N N N N N N DISH DBS CORP N/A DISH DBS Corp 25470XBF1 1500000.000000000000 PA USD 1517812.500000000000 0.1603062147 Long DBT CORP US N 2 2028-12-01 Fixed 5.750000000000 N N N N N N DOMINICAN REPUBLIC 254900EHU7Q8FGVPI369 Dominican Republic International Bond 25714PEG9 1400000.000000000000 PA USD 1386000.000000000000 0.1463846250 Long DBT NUSS DO N 2 2041-01-21 Fixed 5.300000000000 N N N N N N Dryden Senior Loan Fund 54930064P37IJ78XTR63 Dryden 54 Senior Loan Fund 26244RAE1 2000000.000000000000 PA USD 1979272.960000000000 0.2090441053 Long ABS-CBDO CORP KY N 2 2029-10-19 Floating 6.323630000000 N N N N N N Dryden Senior Loan Fund N/A Dryden 87 CLO Ltd 26246HAA9 2500000.000000000000 PA USD 2500028.850000000000 0.2640445783 Long ABS-CBDO CORP KY N 2 2034-05-20 Floating 6.309630000000 N N N N N N Dryden Senior Loan Fund 254900XGNUOV0Y3IBA68 Dryden 77 CLO Ltd 26252YAE5 1000000.000000000000 PA USD 982504.830000000000 0.1037688319 Long ABS-CBDO CORP KY N 2 2034-05-20 Floating 6.029630000000 N N N N N N EQM MIDSTREAM PARTNERS L 549300NELT611CL6XM83 EQM Midstream Partners LP 26885BAH3 2505000.000000000000 PA USD 2808756.300000000000 0.2966513258 Long DBT CORP US N 2 2027-07-01 Fixed 6.500000000000 N N N N N N ECOPETROL SA 254900IDGKCJICKBPA66 Ecopetrol SA 279158AJ8 2365000.000000000000 PA USD 2265587.230000000000 0.2392836486 Long DBT CORP CO N 2 2045-05-28 Fixed 5.875000000000 N N N N N N ECOPETROL SA 254900IDGKCJICKBPA66 Ecopetrol SA 279158AQ2 2700000.000000000000 PA USD 2533869.000000000000 0.2676186603 Long DBT CORP CO N 2 2051-11-02 Fixed 5.875000000000 N N N N N N CAESARS ENTERTAIN INC 549300FA4CTCW903Y781 Caesars Entertainment Inc 28470RAK8 4000000.000000000000 PA USD 4434580.000000000000 0.4683653175 Long DBT CORP US N 2 2027-07-01 Fixed 8.125000000000 N N N N N N ELDORADO GOLD CORP 5493004PWQ01YDD1IH62 Eldorado Gold Corp 284902AF0 1110000.000000000000 PA USD 1130313.000000000000 0.1193798301 Long DBT CORP CA N 2 2029-09-01 Fixed 6.250000000000 N N N N N N EMBARQ CORP N/A Embarq Corp 29078EAA3 5583000.000000000000 PA USD 6262116.120000000000 0.6613834918 Long DBT CORP US N 2 2036-06-01 Fixed 7.995000000000 N N N N N N ENDURE DIGITAL INC N/A Endure Digital Inc 29279XAA8 4395000.000000000000 PA USD 4093524.980000000000 0.4323442416 Long DBT CORP US N 2 2029-02-15 Fixed 6.000000000000 N N N N N N ENDO LUX FIN CO I SARL N/A Endo Luxembourg Finance Co I Sarl / Endo US Inc 29280BAA3 1540000.000000000000 PA USD 1512241.500000000000 0.1597178245 Long DBT CORP LU N 2 2029-04-01 Fixed 6.125000000000 N N N N N N FREMF Mortgage Trust N/A FREMF 2016-KF15 Mortgage Trust 30288XAE7 2892292.120000000000 PA USD 2920570.930000000000 0.3084608082 Long ABS-MBS CORP US N 2 2023-02-25 Floating 7.774000000000 N N N N N N FREMF Mortgage Trust N/A FREMF 2016-KF16 Mortgage Trust 30289BAE4 1984388.880000000000 PA USD 2006562.040000000000 0.2119262855 Long ABS-MBS CORP US N 2 2026-03-25 Floating 6.734000000000 N N N N N N FREMF Mortgage Trust N/A FREMF 2016-KF13 Mortgage Trust 30293UAC0 3505144.100000000000 PA USD 3614710.700000000000 0.3817734994 Long ABS-MBS CORP US N 2 2025-11-25 Floating 7.594000000000 N N N N N N FREMF Mortgage Trust 549300IQT8T808FMSE84 FREMF 2016-KF14 Mortgage Trust 30294JAA8 1514756.490000000000 PA USD 1543700.910000000000 0.1630404609 Long ABS-MBS CORP US N 2 2023-01-25 Floating 8.894000000000 N N N N N N FREMF Mortgage Trust N/A FREMF 2016-KF19 Mortgage Trust 30295EAC4 2375959.810000000000 PA USD 2381264.380000000000 0.2515010773 Long ABS-MBS CORP US N 2 2023-06-25 Floating 5.594000000000 N N N N N N FREMF Mortgage Trust 549300WB8R5XVYIY6P09 FREMF 2016-KF23 Mortgage Trust 30295PAG0 1242131.090000000000 PA USD 1235203.480000000000 0.1304580073 Long ABS-MBS CORP US N 2 2023-09-25 Floating 5.244000000000 N N N N N N FREMF Mortgage Trust N/A FREMF 2018-KF56 Mortgage Trust 30307QAE9 8775445.190000000000 PA USD 8865242.570000000000 0.9363168894 Long ABS-MBS CORP US N 2 2028-11-25 Floating 5.894000000000 N N N N N N FREMF Mortgage Trust N/A FREMF 2019-KF71 Mortgage Trust 30314GAC6 9940133.070000000000 PA USD 10155426.410000000000 1.0725817361 Long ABS-MBS CORP US N 2 2029-10-25 Floating 6.094000000000 N N N N N N FS LUXEMBOURG SARL 222100EKR3JUJPGGOY81 FS Luxembourg Sarl 30315XAB0 4000000.000000000000 PA USD 4389940.000000000000 0.4636505920 Long DBT CORP LU N 2 2025-12-15 Fixed 10.000000000000 N N N N N N Freddiemac Strip S6XOOCT0IEG5ABCC6L87 Freddie Mac Strips 31325UTE6 9437973.500000000000 PA USD 1876635.700000000000 0.1982039056 Long ABS-MBS USGSE US N 2 2043-09-15 Floating 5.790250000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae REMICS 3136A7P22 12465824.150000000000 PA USD 2304330.030000000000 0.2433755319 Long ABS-MBS USGSE US N 2 2042-08-25 Floating 5.898120000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae REMICS 3136A9V21 10263016.250000000000 PA USD 1786613.580000000000 0.1886960742 Long ABS-MBS USGSE US N 2 2042-11-25 Floating 6.048120000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae REMICS 3136AXA88 6988802.330000000000 PA USD 1249340.670000000000 0.1319511294 Long ABS-MBS USGSE US N 2 2047-09-25 Floating 6.048120000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Fannie Mae REMICS 3136B4YY8 9503591.330000000000 PA USD 1688549.640000000000 0.1783388930 Long ABS-MBS USGSE US N 2 2049-06-25 Floating 5.948120000000 N N N N N N Fanniemae-Aces B1V7KEBTPIMZEU4LTD58 Fannie Mae-Aces 3136B7HS3 48909463.440000000000 PA USD 1818742.420000000000 0.1920894134 Long ABS-MBS USGSE US N 2 2030-03-25 Variable .617258000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Freddie Mac REMICS 3137AMD95 3509923.890000000000 PA USD 656320.320000000000 0.0693183289 Long ABS-MBS USGSE US N 2 2042-02-15 Floating 6.390250000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Freddie Mac REMICS 3137ATGK2 3418647.300000000000 PA USD 447229.830000000000 0.0472348997 Long ABS-MBS USGSE US N 2 2040-11-15 Floating 4.900750000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Freddie Mac REMICS 3137AUW70 7150537.000000000000 PA USD 1285840.310000000000 0.1358060978 Long ABS-MBS USGSE US N 2 2042-10-15 Floating 6.040250000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Freddie Mac REMICS 3137BUC48 3994395.030000000000 PA USD 742358.720000000000 0.0784054133 Long ABS-MBS USGSE US N 2 2047-01-15 Floating 5.890250000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Freddie Mac REMICS 3137FL3E2 15277554.040000000000 PA USD 1682843.970000000000 0.1777362795 Long ABS-MBS USGSE US N 2 2045-03-15 Fixed 4.500000000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Freddie Mac REMICS 3137FVBF8 18667762.910000000000 PA USD 4465114.210000000000 0.4715902374 Long ABS-MBS USGSE US N 2 2050-08-25 Floating 6.050330000000 N N N N N N FERRELLGAS LP/FERRELLGAS N/A Ferrellgas LP / Ferrellgas Finance Corp 315289AC2 2665000.000000000000 PA USD 2562237.600000000000 0.2706148558 Long DBT CORP US N 2 2029-04-01 Fixed 5.875000000000 N N N N N N First American Government Obli 549300R5MYM6VZF1RM44 First American Government Obligations Fund 31846V211 6289253.310000000000 NS USD 6289253.310000000000 0.6642496299 Long STIV RF US N 1 N N N FLEX ACQUISITION CO INC 549300HHED2KGPBEDW39 Flex Acquisition Co Inc 33936YAC9 1500000.000000000000 PA USD 1558972.500000000000 0.1646533945 Long DBT CORP US N 2 2026-07-15 Fixed 7.875000000000 N N N N N N Freddie Mac - STACR 5493003FQV7GR462GO02 Freddie Mac Stacr Remic Trust 2020-DNA1 35565HBE4 9250000.000000000000 PA USD 9368666.400000000000 0.9894868090 Long ABS-MBS CORP US N 2 2050-01-25 Floating 5.352750000000 N N N N N N 2022-02-28 DoubleLine Yield Opportunities Fund /s/ Henry Chase DoubleLine Yield Opportunities Fund Treasurer XXXX NPORT-EX 2 dly-confidential.htm NPORT-EX DOS

 

DoubleLine Yield Opportunities Fund

Schedule of Investments

December 31, 2021 (Unaudited)    

 

 

Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  

Asset Backed Obligations - 5.5%

 

1,412,680   Castlelake Aircraft Structured Trust, Series 2021-1A-C     7.00 % (a)(e)    01/15/2046     1,418,335  
4,355,508   JOL Air Ltd., Series 2019-1-B     4.95 % (a)    04/15/2044     4,068,641  
1,681,905   Kestrel Aircraft Funding Ltd., Series 2018-1A-A     4.25 % (a)    12/15/2038     1,640,095  
11,327,000   LendingClub Receivables Trust, Series 2020-5A-B     7.50 % (a)    03/15/2046     11,540,095  
868,376   MACH 1 Cayman Ltd., Series 2019-1-B     4.34 % (a)    10/15/2039     822,439  
8,192   Marlette Funding Trust, Series 2021-1A-R     8.39 % (a)(e)(k)    06/16/2031     2,614,289  
2,660,572   Pagaya AI Debt Selection Trust, Series 2020-2-NOTE     7.50 % (a)    12/15/2027     2,675,958  
5,000,000   Pagaya AI Debt Selection Trust, Series 2020-3-C     6.43 % (a)    05/17/2027     5,167,846  
2,425,852   Pagaya AI Debt Selection Trust, Series 2021-3-CERT     10.96 % (a)(e)(k)    05/15/2029     4,393,007  
2,303,922   Pagaya AI Debt Selection Trust, Series 2021-5-CERT     11.59 % (a)(e)(k)    08/15/2029     3,575,685  
55,000   SoFi Alternative Trust, Series 2021-2-R1     8.27 % (a)(e)(k)    08/15/2030     3,035,318  
20,000   SoFi Professional Loan Program, Series 2018-C-R1     5.58 % (a)(e)(k)    01/25/2048     413,097  
1,291,833   START Ireland, Series 2019-1-C     6.41 % (a)(e)    03/15/2044     1,010,198  
4,208,083   Start Ltd., Series 2018-1-A     4.09 % (a)    05/15/2043     4,154,746  
4,000   Upstart Securitization Trust, Series 2021-2-CERT     11.40 % (e)(k)    06/20/2031     3,015,442  
3,300   Upstart Securitization Trust, Series 2021-5-CERT     11.72 % (a)(e)(k)    11/20/2031     2,970,796  
       

 

 

 

Total Asset Backed Obligations (Cost $49,195,569)

    52,515,987  
       

 

 

 

Bank Loans - 8.5%

 

1,210,000   AAdvantage Loyalty IP Ltd., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.75%, 0.75% Floor)     5.50   04/20/2028     1,255,913  
788,025   Aegion Corporation, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.75%, 0.75% Floor)     5.50   05/17/2028     792,619  
3,188,583   Almonde, Inc., Senior Secured First Lien Term Loan (6 Month LIBOR USD + 3.50%, 1.00% Floor)     4.50   06/13/2024     3,178,619  
1,175,000   Almonde, Inc., Senior Secured Second Lien Term Loan (6 Month LIBOR USD + 7.25%, 1.00% Floor)     8.25   06/16/2025     1,175,135  
1,345,000   American Tire Distributors, Inc., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 6.25%, 0.75% Floor)     7.00   10/20/2028     1,356,049  
2,050,000   Applied Systems, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 5.50%, 0.75% Floor)     6.25   09/19/2025     2,071,597  
765,000   Ascend Learning LLC, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 5.75%, 0.50% Floor)     6.25   12/10/2029     769,781  
1,680,000   Astra Acquisition Corporation, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 5.25%, 0.50% Floor)     5.75   10/25/2028     1,653,406  
3,250,000   Astra Acquisition Corporation, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 8.88%, 0.75% Floor)     9.63   10/25/2029     3,209,375  
305,000   Asurion LLC, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 5.25%)     5.35   01/31/2028     306,334  
1,425,000   Asurion LLC, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 5.25%)     5.35   01/19/2029     1,420,996  
2,180,908   Atlas Purchaser, Inc., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 5.25%, 0.75% Floor)     6.00   05/08/2028     2,153,646  
2,800,000   Aveanna Healthcare LLC, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 7.00%, 0.50% Floor)     7.50   12/10/2029     2,796,500  


Principal Amount
$/Shares

 

Security Description

  Rate     

Maturity

  Value $  
489,744   Brand Industrial Services, Inc., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.25%, 1.00% Floor)     5.25    06/21/2024     480,221  
1,855,350   Cengage Learning, Inc., Senior Secured First Lien Term Loan (6 Month LIBOR USD + 4.75%, 1.00% Floor)     5.75    07/14/2026     1,862,790  
4,500,000   Constant Contact, Inc., Senior Secured Second Lien Term Loan (6 Month LIBOR USD + 7.50%)     8.25    02/09/2029     4,455,000  
1,191,015   Cross Financial Corporation, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.00%, 0.75% Floor)     4.75    09/15/2027     1,199,447  
2,520,000   Curium BidCo SARL, Senior Secured Second Lien Term Loan (3 Month LIBOR USD + 7.75%, 0.75% Floor)     8.50    10/27/2028     2,548,350  
940,000   DCert Buyer, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 7.00%)     7.10    02/19/2029     943,915  
3,800,000   Delta Topco, Inc., Senior Secured Second Lien Term Loan (3 Month LIBOR USD + 7.25%, 0.75% Floor)     8.00    12/01/2028     3,836,803  
915,000   DG Investment Intermediate Holdings 2, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 6.75%, 0.75% Floor)     7.50    03/19/2029     917,287  
612,906   DIRECTV Financing LLC, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 5.00%, 0.75% Floor)     5.75    08/02/2027     614,260  
945,000   Eisner Advisory Group LLC, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 5.25%, 0.75% Floor)     6.00    07/28/2028     947,363  
739,413   Endo Luxembourg Finance Company I SARL, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 5.00%, 0.75% Floor)     5.75    03/27/2028     721,068  
1,170,000   Flynn Canada Ltd, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.50%, 0.50% Floor)     5.00    07/21/2028     1,120,275  
468,825   Geon Performance Solutions LLC, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.75%, 0.75% Floor)     5.50    08/18/2028     473,513  
1,951,496   Getty Images, Inc., Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.50%)     4.63    02/19/2026     1,956,785  
295,000   GIP Blue Holding LP, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.50%, 1.00% Floor)     5.50    09/29/2028     294,816  
1,339,875   Grab Holdings, Inc., Senior Secured First Lien Term Loan (2 Month LIBOR USD + 4.50%, 1.00% Floor)     5.50    01/29/2026     1,347,130  
1,030,897   Groupe Solmax, Inc., Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.75%, 0.75% Floor)     5.50    05/29/2028     1,032,186  
1,110,000   Hyland Software, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 6.25%, 0.75% Floor)     7.00    07/07/2025     1,121,655  
412,925   ION Trading Technologies SARL, Senior Secured First Lien Term Loan (6 Month LIBOR USD + 4.75%)     4.97    03/31/2028     414,531  
249,375   Jo-Ann Stores LLC, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.75%, 0.75% Floor)     5.50    07/07/2028     247,272  
2,035,000   Kenan Advantage Group, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 7.25%, 0.75% Floor)     8.00    09/01/2027     2,032,456  
  Kronos Acquisition Holdings, Inc., Senior Secured First Lien Term Loan       
98,010   (1 Month LIBOR USD + 3.75%, 0.50% Floor)     4.25    12/22/2026     95,392  
228,690   (3 Month LIBOR USD + 3.75%, 0.50% Floor)     4.25    12/22/2026     222,580  
345,000   LaserShip, Inc., Senior Secured Second Lien Term Loan (3 Month LIBOR USD + 7.50%, 0.75% Floor)     8.25    04/30/2029     348,020  
673,313   Lereta LLC, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 5.25%, 0.75% Floor)     6.00    07/27/2028     673,875  
785,000   MedAssets Software Intermediate Holdings, Inc., Senior Secured Second Lien Term Loan     7.25 % (b)     12/17/2029     784,753  
2,157,282   Milano Acquisition Corporation, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.00%, 0.75% Floor)     4.75    10/01/2027     2,165,641  


Principal Amount
$/Shares

 

Security Description

  Rate     

Maturity

  Value $  
399,867   Mileage Plus Holdings LLC, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 5.25%, 1.00% Floor)     6.25    06/21/2027     422,761  
3,919,395   Minotaur Acquisition, Inc., Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.75%)     4.84    03/27/2026     3,904,698  
645,000   Mitchell International, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 6.50%, 0.50% Floor)     7.00    10/15/2029     650,321  
799,423   MLN US HoldCo LLC, Senior Secured First Lien Term Loan (1 Month LIBOR USD + 4.50%)     4.60    11/28/2025     774,533  
780,000   OLA Netherlands B.V., Senior Secured First Lien Term Loan (3 Month Secured Overnight Financing Rate + 6.25%, 0.75% Floor)     7.00    12/03/2026     787,800  
373,125   Oravel Stays Singapore PTE Ltd., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 8.25%, 0.75% Floor)     9.00    06/23/2026     390,382  
730,000   Pearl Intermediate Parent LLC, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 6.25%)     6.35    02/13/2026     734,110  
258,050   Potters Borrower LP, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.00%, 0.75% Floor)     4.75    12/14/2027     258,858  
960,000   Pretium PKG Holdings, Inc., Senior Secured Second Lien Term Loan (3 Month LIBOR USD + 6.75%, 0.50% Floor)     7.25    09/21/2029     959,400  
1,157,240   Riverbed Technology, Inc., Senior Secured First Lien Term Loan (2.00% PIK)     7.00 % (b)     12/07/2026     1,134,576  
280,000   Skillsoft Finance II, Inc., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 4.75%, 0.75% Floor)     5.50    07/14/2028     281,634  
750,000   Southern Veterinary Partners LLC, Senior Secured Second Lien Term Loan (6 Month LIBOR USD + 7.75%, 1.00% Floor)     8.75    09/22/2028     750,937  
839,271   Staples, Inc., Senior Secured First Lien Term Loan (3 Month LIBOR USD + 5.00%)     5.13    04/16/2026     812,951  
3,360,000   The Edelman Financial Engines Centre LLC, Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 6.75%)     6.85    07/20/2026     3,379,253  
620,000   Think & Learn Private Limited, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 5.50%, 0.75% Floor)     6.25    11/24/2026     629,040  
5,000,000   TIBCO Software, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 7.25%)     7.35    03/03/2028     5,026,025  
1,548,448   Travelport Finance (Luxembourg) SARL, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 1.50%, 1.00% Floor)     2.50    02/28/2025     1,595,963  
305,000   UKG, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 5.25%, 0.50% Floor)     5.75    05/03/2027     306,844  
957,600   Viad Corporation, Senior Secured First Lien Term Loan (3 Month LIBOR USD + 5.00%, 0.50% Floor)     5.50    07/31/2028     957,006  
525,000   VT Topco, Inc., Senior Secured Second Lien Term Loan (1 Month LIBOR USD + 6.75%, 0.75% Floor)     7.50    07/31/2026     527,625  
737,456   WaterBridge Midstream Operating LLC, Senior Secured First Lien Term Loan (6 Month LIBOR USD + 5.75%, 1.00% Floor)     6.75    06/22/2026     720,402  
165,000   WWEX UNI TopCo Holdings LLC, Senior Secured Second Lien Term Loan (6 Month LIBOR USD + 7.00%, 0.75% Floor)     7.75    07/26/2029     165,722  
        

 

 

 

Total Bank Loans (Cost $78,986,506)

    80,168,195  
        

 

 

 

Collateralized Loan Obligations - 16.2%

 

800,000   AIMCO, Series 2019-10A-ER (3 Month LIBOR USD + 5.95%, 5.95% Floor)     6.08 % (a)     07/22/2032     786,197  
2,000,000   AIMCO, Series 2021-15A-E (3 Month LIBOR USD + 5.95%, 5.95% Floor)     6.04 % (a)     10/17/2034     1,978,274  
1,450,000   Apidos Ltd., Series 2018-18A-E (3 Month LIBOR USD + 5.70%, 5.70% Floor)     5.83 % (a)     10/22/2030     1,371,101  


Principal Amount
$/Shares

 

Security Description

  Rate     

Maturity

  Value $  
3,000,000   Bain Capital Credit Ltd., Series 2017-2A-ER2 (3 Month LIBOR USD + 6.50%, 6.50% Floor)     6.62 % (a)     07/25/2034     2,952,999  
8,000,000   Bain Capital Credit Ltd., Series 2019-3A-ER (3 Month LIBOR USD + 7.10%, 7.10% Floor)     7.19 % (a)     10/21/2034     7,921,488  
1,500,000   Barings Ltd., Series 2019-2A-CR (3 Month LIBOR USD + 3.40%, 3.40% Floor)     3.52 % (a)     04/15/2036     1,504,413  
2,000,000   Barings Ltd., Series 2020-1A-ER (3 Month LIBOR USD + 6.65%, 6.65% Floor)     6.77 % (a)     10/15/2036     1,986,431  
750,000   Buttermilk Park Ltd., Series 2018-1A-E (3 Month LIBOR USD + 5.75%, 5.75% Floor)     5.87 % (a)     10/15/2031     743,373  
1,850,000   Canyon Capital Ltd., Series 2020-2A-ER (3 Month LIBOR USD + 6.53%, 6.53% Floor)     6.65 % (a)     10/15/2034     1,822,724  
1,000,000   Canyon Capital Ltd., Series 2021-1A-E (3 Month LIBOR USD + 6.41%, 6.41% Floor)     6.53 % (a)     04/15/2034     991,401  
2,000,000   Canyon Capital Ltd., Series 2021-3A-E (3 Month LIBOR USD + 6.20%, 6.20% Floor)     6.30 % (a)     07/15/2034     1,983,407  
1,000,000   Carlyle US Ltd., Series 2021-1A-D (3 Month LIBOR USD + 6.00%, 6.00% Floor)     6.12 % (a)     04/15/2034     975,057  
3,800,000   Catskill Park Ltd., Series 2017-1A-D (3 Month LIBOR USD + 6.00%)     6.13 % (a)     04/20/2029     3,776,915  
2,000,000   CIFC Funding Ltd., Series 2013-1A-DR (3 Month LIBOR USD + 6.65%)     6.77 % (a)     07/16/2030     1,990,887  
3,350,000   CIFC Funding Ltd., Series 2013-3RA-D (3 Month LIBOR USD + 5.90%, 5.90% Floor)     6.02 % (a)     04/24/2031     3,249,656  
3,000,000   CIFC Funding Ltd., Series 2015-2A-ER2 (3 Month LIBOR USD + 6.81%, 6.81% Floor)     6.93 % (a)     04/15/2030     3,003,620  
1,750,000   CIFC Funding Ltd., Series 2017-5A-D (3 Month LIBOR USD + 6.10%)     6.22 % (a)     11/16/2030     1,724,902  
4,650,000   CIFC Funding Ltd., Series 2019-3A-DR (3 Month LIBOR USD + 6.80%, 6.80% Floor)     6.92 % (a)     10/16/2034     4,644,992  
2,000,000   CIFC Funding Ltd., Series 2020-1A-ER (3 Month LIBOR USD + 6.25%, 6.25% Floor)     6.37 % (a)     07/15/2036     1,993,574  
1,500,000   CIFC Funding Ltd., Series 2020-4A-E (3 Month LIBOR USD + 6.85%, 6.85% Floor)     6.97 % (a)     01/15/2034     1,500,098  
500,000   CIFC Funding Ltd., Series 2021-4A-E (3 Month LIBOR USD + 6.00%, 6.00% Floor)     6.12 % (a)     07/15/2033     497,226  
2,000,000   Dryden Ltd., Series 2017-54A-E (3 Month LIBOR USD + 6.20%)     6.32 % (a)     10/19/2029     1,979,273  
1,000,000   Dryden Ltd., Series 2020-77A-ER (3 Month LIBOR USD + 5.87%, 5.87% Floor)     6.03 % (a)     05/20/2034     982,505  
2,500,000   Dryden Senior Loan Fund, Series 2021-87A-E (3 Month LIBOR USD + 6.15%, 6.15% Floor)     6.31 % (a)     05/20/2034     2,500,029  
5,000,000   GoldenTree Loan Management Ltd., Series 2019-6A-E (3 Month LIBOR USD + 5.22%, 5.22% Floor)     5.35 % (a)     01/20/2033     4,758,420  
1,550,000   Highbridge Loan Management Ltd., Series 2013-2A-CR (3 Month LIBOR USD + 2.90%)     3.03 % (a)     10/20/2029     1,487,333  
1,000,000   Highbridge Loan Management Ltd., Series 6A-2015-DR (3 Month LIBOR USD + 5.10%)     5.24 % (a)     02/05/2031     933,050  
2,000,000   HPS Loan Management Ltd., Series 13A-18-E (3 Month LIBOR USD + 5.50%, 5.50% Floor)     5.62 % (a)     10/15/2030     1,901,034  
1,000,000   Jay Park Ltd., Series 2016-1A-DR (3 Month LIBOR USD + 5.20%, 5.20% Floor)     5.33 % (a)     10/20/2027     988,088  
2,500,000   Madison Park Funding Ltd., Series 2017-26A-ER (3 Month LIBOR USD + 6.50%)     6.63 % (a)     07/29/2030     2,490,558  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
2,500,000   Madison Park Funding Ltd., Series 2019-36A-D (3 Month LIBOR USD + 3.75%, 3.75% Floor)     3.87 % (a)    01/15/2033     2,503,556  
2,500,000   Madison Park Funding Ltd., Series 2020-45A-ER (3 Month LIBOR USD + 6.35%, 6.35% Floor)     6.47 % (a)    07/15/2034     2,494,420  
2,000,000   Madison Park Funding Ltd., Series 2021-38A-E (3 Month LIBOR USD + 6.00%, 6.00% Floor)     6.13 % (a)    07/17/2034     1,986,686  
500,000   Magnetite Ltd., Series 2020-26A-ER (3 Month LIBOR USD + 5.95%, 5.95% Floor)     6.04 % (a)    07/25/2034     494,953  
1,000,000   Magnetite Ltd., Series 2020-28A-ER (3 Month LIBOR USD + 6.15%, 6.15% Floor)     6.15 % (a)    01/20/2035     997,499  
4,000,000   Milos Ltd., Series 2017-1A-ER (3 Month LIBOR USD + 6.15%, 6.15% Floor)     6.28 % (a)    10/20/2030     3,989,215  
2,500,000   Neuberger Berman Loan Advisers Ltd., Series 2017-16SA-ER (3 Month LIBOR USD + 6.25%, 6.25% Floor)     6.37 % (a)    04/15/2034     2,462,617  
5,000,000   Neuberger Berman Loan Advisers Ltd., Series 2019-34A-E (3 Month LIBOR USD + 7.80%)     7.93 % (a)    01/20/2033     5,001,483  
500,000   Neuberger Berman Loan Advisers Ltd., Series 2020-38A-DR (3 Month LIBOR USD + 3.00%, 3.00% Floor)     3.13 % (a)    10/20/2035     499,508  
3,000,000   Neuberger Berman Loan Advisers Ltd., Series 2020-38A-ER (3 Month LIBOR USD + 6.25%, 6.25% Floor)     6.38 % (a)    10/20/2035     2,974,496  
750,000   Octagon Investment Partners Ltd., Series 2019-1A-E (3 Month LIBOR USD + 6.60%, 6.60% Floor)     6.72 % (a)    10/25/2032     747,708  
1,500,000   Octagon Investment Partners Ltd., Series 2019-1A-ER (3 Month LIBOR USD + 7.00%, 7.00% Floor)     7.11 % (a)    01/20/2035     1,500,028  
5,000,000   Octagon Investment Partners Ltd., Series 2019-1A-INC     11.16 % (a)(c)(e)(k)    10/25/2032     4,201,911  
500,000   Octagon Investment Partners Ltd., Series 2019-4A-E (3 Month LIBOR USD + 6.80%, 6.80% Floor)     6.95 % (a)    05/12/2031     495,015  
1,000,000   Octagon Investment Partners Ltd., Series 2020-2A-ER (3 Month LIBOR USD + 6.60%, 6.60% Floor)     6.72 % (a)    07/15/2036     991,568  
4,000,000   Octagon Investment Partners Ltd., Series 2021-1A-E (3 Month LIBOR USD + 6.50%, 6.50% Floor)     6.62 % (a)    04/15/2034     3,966,645  
1,000,000   Octagon Loan Funding Ltd., Series 2014-1A-ERR (3 Month LIBOR USD + 6.00%, 6.00% Floor)     6.16 % (a)    11/18/2031     977,507  
3,000,000   OHA Credit Funding Ltd., Series 2019-3A-ER (3 Month LIBOR USD + 6.25%, 6.25% Floor)     6.38 % (a)    07/02/2035     2,994,110  
500,000   Point Au Roche Park Ltd., Series 2021-1A-E (3 Month LIBOR USD + 6.10%, 6.10% Floor)     6.28 % (a)    07/20/2034     495,715  
1,000,000   Reese Park Ltd., Series 2020-1A-ER (3 Month LIBOR USD + 6.50%, 6.50% Floor)     6.50 % (a)    10/15/2034     1,000,003  
5,000,000   RR Ltd., Series 2017-2A-DR (3 Month LIBOR USD + 5.80%, 5.80% Floor)     5.92 % (a)    04/15/2036     4,907,946  
1,000,000   RR Ltd., Series 2019-6A-DR (3 Month LIBOR USD + 5.85%, 5.85% Floor)     5.97 % (a)    04/15/2036     970,888  
1,000,000   Sound Point Ltd., Series 2019-4A-D (3 Month LIBOR USD + 4.11%, 4.11% Floor)     4.23 % (a)    01/15/2033     1,000,656  
3,000,000   Sound Point Ltd., Series 2020-1A-ER (3 Month LIBOR USD + 6.86%, 6.86% Floor)     6.99 % (a)    07/20/2034     2,962,768  
4,000,000   Sound Point Ltd., Series 2020-2A-ER (3 Month LIBOR USD + 6.56%, 6.56% Floor)     6.68 % (a)    10/25/2034     3,867,688  
7,000,000   Sound Point Ltd., Series 2021-2A-E (3 Month LIBOR USD + 6.36%, 6.36% Floor)     6.48 % (a)    07/25/2034     6,814,228  
2,000,000   Sound Point Ltd., Series 2021-3A-E (3 Month LIBOR USD + 6.61%, 6.61% Floor)     6.74 % (a)    10/25/2034     1,983,106  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
7,000,000   Sound Point Ltd., Series 2021-4A-E (3 Month LIBOR USD + 6.70%, 6.70% Floor)     6.82 % (a)    10/25/2034     7,016,545  
2,000,000   Thompson Park Ltd., Series 2021-1A-E (3 Month LIBOR USD + 6.31%, 6.31% Floor)     6.43 % (a)    04/15/2034     1,995,202  
3,000,000   Trimaran CAVU LLC, Series 2019-1A-D (3 Month LIBOR USD + 4.15%, 4.15% Floor)     4.28 % (a)    07/20/2032     2,985,427  
2,000,000   Voya Ltd., Series 2013-3A-DR (3 Month LIBOR USD + 5.90%, 5.90% Floor)     6.02 % (a)    10/18/2031     1,928,263  
1,350,000   Voya Ltd., Series 2017-2A-D (3 Month LIBOR USD + 6.02%)     6.14 % (a)    06/07/2030     1,327,307  
2,700,000   Voya Ltd., Series 2018-1A-D (3 Month LIBOR USD + 5.20%)     5.32 % (a)    04/19/2031     2,580,905  
2,000,000   Voya Ltd., Series 2018-4A-E (3 Month LIBOR USD + 6.30%, 6.30% Floor)     6.42 % (a)    01/15/2032     1,978,501  
1,000,000   Webster Park Ltd., Series 2015-1A-DR (3 Month LIBOR USD + 5.50%, 5.50% Floor)     5.63 % (a)    07/20/2030     993,278  
2,500,000   Wind River Ltd., Series 2017-3A-ER (3 Month LIBOR USD + 7.05%, 7.05% Floor)     7.17 % (a)    04/15/2035     2,479,736  
1,000,000   Wind River Ltd., Series 2018-1A-E (3 Month LIBOR USD + 5.50%)     5.62 % (a)    07/15/2030     945,515  
1,000,000   Wind River Ltd., Series 2018-2A-E (3 Month LIBOR USD + 5.75%)     5.87 % (a)    07/15/2030     946,593  
       

 

 

 

Total Collateralized Loan Obligations (Cost $152,587,396)

    153,878,220  
       

 

 

 

Foreign Corporate Bonds - 22.7%

 

2,450,000   ABM Investama Tbk PT     9.50 % (a)    08/05/2026     2,340,231  
864,577   Aeropuertos Argentina S.A.     8.50 % (a)    08/01/2031     758,666  
1,200,000   AES Andres B.V.     5.70 % (a)    05/04/2028     1,222,704  
1,000,000   AES Argentina Generacion S.A.     7.75   02/02/2024     851,390  
3,200,000   AES Gener S.A. (5 Year CMT Rate + 4.92%)     6.35   10/07/2079     3,262,496  
2,000,000   AES Gener S.A. (5 Year Swap Rate USD + 4.64%)     7.13   03/26/2079     2,072,810  
2,400,000   Agile Group Holdings Ltd. (5 Year CMT Rate + 11.08%)     7.75 % (d)    05/25/2025     1,152,600  
2,780,000   Agile Group Holdings Ltd. (5 Year CMT Rate + 11.29%)     7.88 % (d)    07/31/2024     1,335,095  
700,000   AI Candelaria Spain SLU     7.50   12/15/2028     749,178  
1,000,000   AI Candelaria Spain SLU     5.75   06/15/2033     968,905  
1,000,000   AI Candelaria Spain SLU     5.75 % (a)    06/15/2033     968,905  
6,000,000   Air Canada Class C Pass Through Trust     10.50 % (a)    07/15/2026     7,372,009  
500,000   Alpha Holdings S.A.     10.00 % (f)    12/19/2022     75,475  
2,500,000   Alpha Holdings S.A.     9.00 % (f)    02/10/2025     370,925  
1,000,000   Alpha Holdings S.A.     9.00 % (a)(f)    02/10/2025     148,370  
4,000,000   Altice France S.A.     6.00 % (a)    02/15/2028     3,827,200  
4,000,000   AMS AG     7.00 % (a)    07/31/2025     4,246,250  
1,000,000   Banco GNB Sudameris S.A. (5 Year CMT Rate + 4.56%)     6.50   04/03/2027     995,130  
700,000   Braskem Idesa S.A.P.I.     7.45   11/15/2029     726,450  
3,200,000   Braskem Idesa S.A.P.I.     6.99 % (a)    02/20/2032     3,217,280  
2,300,000   Camposol S.A.     6.00   02/03/2027     2,388,815  
2,450,000   CAP S.A.     3.90   04/27/2031     2,305,413  
200,000   Central China Real Estate Ltd.     7.25   04/24/2023     139,000  
4,650,000   Central China Real Estate Ltd.     7.25   07/16/2024     2,929,500  
400,000   Central China Real Estate Ltd.     7.25   08/13/2024     252,000  
2,500,000   Cia General de Combustibles S.A.     5.50 % (a)    07/23/2026     2,442,575  


Principal Amount
$/Shares

 

Security Description

  Rate     

Maturity

  Value $  
2,000,000   Connect Finco LLC     6.75 % (a)     10/01/2026     2,105,200  
149,000   Corporacion Azucarera del Peru S.A.     6.38    08/02/2022     148,317  
3,000,000   Cosan Overseas Ltd.     8.25 % (d)     02/05/2022     3,067,965  
4,600,000   Credito Real S.A.B. de C.V.     9.50    02/07/2026     2,977,580  
2,000,000   Credivalores-Crediservicios SAS     9.75    07/27/2022     1,928,190  
1,400,000   Credivalores-Crediservicios SAS     8.88    02/07/2025     1,039,654  
1,000,000   Credivalores-Crediservicios SAS     8.88 % (a)     02/07/2025     742,610  
2,675,000   Docuformas SAPI de C.V.     10.25    07/24/2024     2,397,830  
2,365,000   Ecopetrol S.A.     5.88    05/28/2045     2,265,587  
2,700,000   Ecopetrol S.A.     5.88    11/02/2051     2,533,869  
1,110,000   Eldorado Gold Corporation     6.25 % (a)     09/01/2029     1,130,313  
713,160   Empresa Electrica Cochrane SpA     5.50    05/14/2027     714,772  
3,015,000   Empresa Electrica Guacolda S.A.     4.56    04/30/2025     1,013,794  
3,200,000   Empresas Publicas de Medellin ESP     4.38    02/15/2031     3,013,312  
200,000   Fideicomiso P.A. Pacifico Tres     8.25    01/15/2035     224,460  
3,100,000   Frigorifico Concepcion S.A.     7.70 % (a)     07/21/2028     3,127,745  
3,350,000   Frontera Energy Corporation     7.88 % (a)     06/21/2028     3,141,596  
4,000,000   FS Luxembourg SARL     10.00 % (a)     12/15/2025     4,389,940  
8,000,000   Garda World Security Corporation     9.50 % (a)     11/01/2027     8,636,800  
300,000   Geopark Ltd.     6.50    09/21/2024     307,851  
2,700,000   Geopark Ltd.     5.50    01/17/2027     2,604,933  
2,812,000   Gilex Holding SARL     8.50    05/02/2023     2,858,398  
2,217,000   Gran Tierra Energy International Holdings Ltd.     6.25    02/15/2025     2,022,436  
2,600,000   Gran Tierra Energy, Inc.     7.75    05/23/2027     2,365,350  
700,000   Grupo Axo SAPI de C.V.     5.75 % (a)     06/08/2026     703,346  
3,544,600   Hunt Oil Company of Peru LLC Sucursal Del Peru     6.38    06/01/2028     3,588,908  
2,000,000   Indika Energy Capital III Pte Ltd.     5.88    11/09/2024     2,022,140  
500,000   Indika Energy Capital IV Pte Ltd.     8.25    10/22/2025     520,625  
500,000   Indika Energy Capital IV Pte Ltd.     8.25 % (a)     10/22/2025     520,625  
1,600,000   Inkia Energy Ltd.     5.88    11/09/2027     1,642,264  
1,500,000   Instituto Costarricense de Electricidad     6.75 % (a)     10/07/2031     1,521,135  
1,900,000   Instituto Costarricense de Electricidad     6.38    05/15/2043     1,621,546  
2,600,000   Interpipe Holdings PLC     8.38 % (a)     05/13/2026     2,354,300  
3,800,000   Jababeka International B.V.     6.50    10/05/2023     3,568,741  
4,600,000   Kosmos Energy Ltd.     7.13    04/04/2026     4,473,316  
3,530,000   Kronos Acquisition Holdings, Inc.     7.00 % (a)     12/31/2027     3,332,991  
700,000   Logan Group Corporation Ltd. (5 Year CMT Rate + 6.00%)     7.00 % (d)     05/31/2022     607,250  
2,400,000   Medco Laurel Tree Pte Ltd.     6.95 % (a)     11/12/2028     2,380,588  
4,000,000   Metinvest B.V.     7.75    10/17/2029     3,966,280  
3,500,000   Minejesa Capital B.V.     5.63    08/10/2037     3,662,785  
2,300,000   Minerva Luxembourg S.A.     4.38 % (a)     03/18/2031     2,191,497  
1,550,000   Mong Duong Finance Holdings B.V.     5.13    05/07/2029     1,503,795  
1,000,000   Nexa Resources S.A.     5.38    05/04/2027     1,062,260  
500,000   Nexa Resources S.A.     6.50 % (a)     01/18/2028     550,735  
2,700,000   NGD Holdings B.V.     6.75    12/31/2026     2,477,250  
4,750,000   Oi S.A. (8.00% + 4.00% PIK)     10.00    07/27/2025     4,173,469  


Principal Amount
$/Shares

 

Security Description

  Rate     

Maturity

  Value $  
438,000   Operadora de Servicios Mega S.A. de C.V.     8.25 % (a)     02/11/2025     407,789  
3,302,000   Operadora de Servicios Mega S.A. de C.V.     8.25    02/11/2025     3,074,245  
2,600,000   Pertamina Persero PT     4.15    02/25/2060     2,620,391  
3,500,000   Peru LNG SRL     5.38    03/22/2030     3,032,960  
5,100,000   Petrobras Global Finance B.V.     5.50    06/10/2051     4,740,322  
3,700,000   Petroleos Mexicanos     6.38    01/23/2045     3,220,054  
1,800,000   Petroleos Mexicanos     6.75    09/21/2047     1,601,055  
4,400,000   RKP Overseas Finance     7.95 % (d)     02/17/2022     3,803,470  
1,000,000   RKPF Overseas Ltd. (5 Year CMT Rate + 6.00%)     7.75 % (d)     11/18/2024     854,405  
2,000,000   Ronshine China Holdings Ltd.     7.35    12/15/2023     760,000  
2,900,000   Ronshine China Holdings Ltd.     6.75    08/05/2024     1,102,000  
530,000   Seaspan Corporation     5.50 % (a)     08/01/2029     536,045  
3,600,000   SierraCol Energy Andina LLC     6.00 % (a)     06/15/2028     3,389,058  
1,500,000   SierraCol Energy Andina LLC     6.00    06/15/2028     1,412,108  
600,000   Telecom Argentina S.A.     8.00    07/18/2026     572,574  
4,700,000   Telecommunications Services of Trinidad & Tobago Ltd.     8.88    10/18/2029     5,008,109  
1,165,000   Telesat LLC     5.63 % (a)     12/06/2026     1,095,263  
1,816,000   Tervita Corporation     11.00 % (a)     12/01/2025     2,095,137  
400,000   Theta Capital Pte Ltd.     8.13    01/22/2025     422,162  
4,900,000   Theta Capital Pte Ltd.     6.75    10/31/2026     4,940,266  
500,000   Transportadora de Gas del Sur S.A.     6.75    05/02/2025     460,730  
2,500,000   Tullow Oil PLC     10.25 % (a)     05/15/2026     2,529,237  
1,600,000   TV Azteca S.A.     8.25 % (f)     08/09/2024     1,094,016  
3,078,135   UEP Penonome S.A.     6.50 % (a)     10/01/2038     3,226,932  
1,200,000   Unifin Financiera S.A.B. de C.V.     7.38    02/12/2026     1,000,632  
2,550,000   Unifin Financiera S.A.B. de C.V.     8.38    01/27/2028     2,107,843  
1,600,000   Unigel Luxembourg S.A.     8.75    10/01/2026     1,697,680  
2,500,000   Vedanta Resources Finance PLC     9.25    04/23/2026     2,332,987  
3,600,000   Vertical Holding Company GMBH     7.63 % (a)     07/15/2028     3,861,594  
4,600,000   Yuzhou Properties Company Ltd.     7.38    01/13/2026     1,334,000  
        

 

 

 

Total Foreign Corporate Bonds (Cost $223,152,368)

    214,656,784  
        

 

 

 

Foreign Government Bonds, Foreign Agencies and Foreign Government Sponsored Corporations - 2.4%

 

5,100,000   Brazilian Government International Bond     4.75    01/14/2050     4,544,151  
600,000   Colombia Government International Bond     4.13    02/22/2042     502,500  
5,100,000   Colombia Government International Bond     5.00    06/15/2045     4,621,875  
1,400,000   Dominican Republic International Bond     5.30 % (a)     01/21/2041     1,386,000  
600,000   Dominican Republic International Bond     5.30    01/21/2041     594,000  
2,500,000   Dominican Republic International Bond     6.40    06/05/2049     2,631,275  
900,000   El Salvador Government International Bond     7.12    01/20/2050     499,500  
4,700,000   Mexico Government International Bond     4.50    01/31/2050     4,993,750  
3,400,000   Ukraine Government International Bond     7.25    03/15/2033     3,012,434  
        

 

 

 

Total Foreign Government Bonds, Foreign Agencies and Foreign Government Sponsored Corporations (Cost $23,804,461)

    22,785,485  
        

 

 

 


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  

Non-Agency Commercial Mortgage Backed Obligations - 30.3%

 

7,500,000   Alen Mortgage Trust, Series 2021-ACEN-F (1 Month LIBOR USD + 5.00%, 5.00% Floor)     5.11 % (a)    04/15/2034     7,463,959  
1,623,000   Atrium Hotel Portfolio Trust, Series 2018-ATRM-F (1 Month LIBOR USD + 4.00%, 4.00% Floor)     4.11 % (a)    06/15/2035     1,549,235  
5,000,000   Bancorp Commercial Mortgage Trust, Series 2019-CRE6-F (Secured Overnight Financing Rate 30 Day Average + 4.46%, 4.35% Floor)     4.51 % (a)    09/15/2036     4,938,515  
18,317,000   BANK, Series 2018-BN12-XE     1.50 % (a)(c)(g)    05/15/2061     1,468,419  
6,978,000   BANK, Series 2018-BN12-XF     1.50 % (a)(c)(g)    05/15/2061     542,693  
20,061,456   BANK, Series 2018-BN12-XG     1.50 % (a)(c)(g)    05/15/2061     1,408,575  
18,522,000   BANK, Series 2019-BN16-XF     1.14 % (a)(c)(g)    02/15/2052     1,270,906  
9,261,000   BANK, Series 2019-BN16-XG     1.14 % (a)(c)(g)    02/15/2052     624,877  
4,631,000   BANK, Series 2019-BN16-XH     1.14 % (a)(c)(g)    02/15/2052     301,761  
6,366,937   BANK, Series 2019-BN16-XJ     1.14 % (a)(c)(g)    02/15/2052     374,777  
7,000,000   BBCMS Mortgage Trust, Series 2018-RRI-F (1 Month LIBOR USD + 4.65%, 4.65% Floor)     4.76 % (a)    02/15/2033     7,031,975  
3,000,000   BBCMS Mortgage Trust, Series 2020-C7-D     3.60 % (a)(c)    04/15/2053     2,901,237  
6,000,000   Beast Mortgage Trust, Series 2021-1818-G (1 Month LIBOR USD + 6.00%, 6.25% Floor)     6.25 % (a)    03/15/2036     6,035,661  
7,464,000   Benchmark Mortgage Trust, Series 2018-B4-D     2.80 % (a)(c)    07/15/2051     6,806,795  
12,324,000   Benchmark Mortgage Trust, Series 2021-B26-XF     1.50 % (a)(c)(g)    06/15/2054     1,429,408  
5,000,000   BSREP Commercial Mortgage Trust, Series 2021-DC-G (1 Month LIBOR USD + 3.85%, 3.85% Floor)     3.96 % (a)    08/15/2038     4,946,015  
5,000,000   BX Commercial Mortgage Trust, Series 2021-21M-H (1 Month LIBOR USD + 4.01%, 4.01% Floor)     4.12 % (a)    10/15/2036     4,963,239  
2,975,000   BX Trust, Series 2017-APPL-F (1 Month LIBOR USD + 4.25%, 4.25% Floor)     4.36 % (a)    07/15/2034     2,981,521  
5,100,000   BX Trust, Series 2017-SLCT-F (1 Month LIBOR USD + 4.25%, 4.25% Floor)     4.36 % (a)    07/15/2034     5,129,168  
1,880,000   BX Trust, Series 2019-IMC-G (1 Month LIBOR USD + 3.60%, 3.60% Floor)     3.71 % (a)    04/15/2034     1,855,560  
3,500,000   BX Trust, Series 2021-VIEW-F (1 Month LIBOR USD + 3.93%, 3.93% Floor)     4.04 % (a)    06/15/2023     3,506,286  
2,500,000   BX Trust, Series 2021-VIEW-G (1 Month LIBOR USD + 4.93%, 4.93% Floor)     5.04 % (a)    06/15/2023     2,506,620  
3,000,000   CFCRE Commercial Mortgage Trust, Series 2016-C7-C     4.40 % (c)    12/10/2054     2,932,304  
5,008,323   Citigroup Commercial Mortgage Trust, Series 2015-GC27-D     4.42 % (a)(c)    02/10/2048     4,833,560  
5,000,000   Citigroup Commercial Mortgage Trust, Series 2018-TBR-F (1 Month LIBOR USD + 3.65%, 3.65% Floor)     3.76 % (a)    12/15/2036     4,966,170  
5,114,000   Citigroup Commercial Mortgage Trust, Series 2020-GC46-E     2.60 % (a)    02/15/2053     4,136,606  
72,568,753   Commercial Mortgage Pass-Through Certificates, Series 2013-CR13-XA     0.74 % (c)(g)    11/10/2046     921,159  
5,088,000   CSAIL Commercial Mortgage Trust, Series 2016-C6-D     4.92 % (a)(c)    01/15/2049     4,524,297  
107,818,136   CSAIL Commercial Mortgage Trust, Series 2017-CX9-XA     0.85 % (c)(g)    09/15/2050     2,171,597  
2,500,000   CSAIL Commercial Mortgage Trust, Series 2020-C19-E     2.50 % (a)    03/15/2053     2,189,251  
13,238,000   CSAIL Commercial Mortgage Trust, Series 2020-C19-XD     1.11 % (a)(c)(g)    03/15/2053     1,087,356  
18,014,000   CSMC Trust, Series 2016-NXSR-XE     1.00 % (a)(c)(g)    12/15/2049     675,321  
7,058,000   CSMC Trust, Series 2017-PFHP-F (1 Month LIBOR USD + 4.49%, 4.49% Floor)     4.60 % (a)    12/15/2030     6,716,180  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
4,000,000   CSWF Trust, Series 2018-TOP-H (1 Month LIBOR USD + 3.41%, 3.41% Floor)     3.52 % (a)    08/15/2035     3,949,166  
2,100,000   Del Amo Fashion Center Trust, Series 2017-AMO-C     3.64 % (a)(c)    06/05/2035     1,950,303  
4,622,000   Deutsche Bank Commercial Mortgage Trust, Series 2016-C1-C     3.33 % (c)    05/10/2049     4,423,646  
4,000,000   DOLP Trust, Series 2021-NYC-F     3.70 % (a)(c)    05/10/2041     3,686,339  
4,000,000   DOLP Trust, Series 2021-NYC-G     3.70 % (a)(c)    05/10/2041     3,434,572  
3,505,144   FREMF Mortgage Trust, Series 2016-KF13-B (1 Month LIBOR USD + 7.50%)     7.59 % (a)    11/25/2025     3,614,711  
1,514,756   FREMF Mortgage Trust, Series 2016-KF14-B (1 Month LIBOR USD + 8.80%)     8.89 % (a)    01/25/2023     1,543,701  
2,892,292   FREMF Mortgage Trust, Series 2016-KF15-B (1 Month LIBOR USD + 7.68%)     7.77 % (a)    02/25/2023     2,920,571  
1,984,389   FREMF Mortgage Trust, Series 2016-KF16-B (1 Month LIBOR USD + 6.64%)     6.73 % (a)    03/25/2026     2,006,562  
2,375,960   FREMF Mortgage Trust, Series 2016-KF19-B (1 Month LIBOR USD + 5.50%, 5.50% Floor)     5.59 % (a)    06/25/2023     2,381,264  
1,242,131   FREMF Mortgage Trust, Series 2016-KF23-B (1 Month LIBOR USD + 5.15%)     5.24 % (a)    09/25/2023     1,235,203  
8,775,445   FREMF Mortgage Trust, Series 2018-KF56-C (1 Month LIBOR USD + 5.80%, 5.80% Floor)     5.89 % (a)    11/25/2028     8,865,243  
9,940,133   FREMF Mortgage Trust, Series 2019-KF71-C (1 Month LIBOR USD + 6.00%, 6.00% Floor)     6.09 % (a)    10/25/2029     10,155,426  
4,615,249   GS Mortgage Securities Corporation Trust, Series 2018-HULA-G (1 Month LIBOR USD + 3.40%, 3.40% Floor)     3.51 % (a)    07/15/2025     4,589,268  
3,000,000   GS Mortgage Securities Corporation Trust, Series 2021-ARDN-G (1 Month LIBOR USD + 5.00%, 5.00% Floor)     5.11 % (a)    11/15/2036     3,009,128  
3,000,000   GS Mortgage Securities Corporation Trust, Series 2021-ARDN-H (1 Month LIBOR USD + 5.93%, 5.93% Floor)     6.04 % (a)    11/15/2026     3,010,193  
2,149,788   GS Mortgage Securities Corporation, Series 2015-GC28-D     4.32 % (a)(c)    02/10/2048     2,139,032  
1,859,000   GS Mortgage Securities Trust, Series 2014-GC26-D     4.51 % (a)(c)    11/10/2047     1,281,676  
7,576,467   GS Mortgage Securities Trust, Series 2016-GS3-XA     1.20 % (c)(g)    10/10/2049     353,119  
2,163,000   GSMSC Resecuritization Trust, Series 2021-IP-F (1 Month LIBOR USD + 4.55%, 4.55% Floor)     4.66 % (a)    10/15/2036     2,170,242  
4,000,000   J.P. Morgan Chase Commercial Mortgage Securities Trust, Series 2019-MFP-G (1 Month LIBOR USD + 4.05%, 4.05% Floor)     4.16 % (a)    07/15/2036     3,896,933  
4,000,000   J.P. Morgan Chase Commercial Mortgage Securities Trust, Series 2019-MFP-XG     0.50 % (a)(c)(g)    07/15/2036     14,899  
3,069,521   JP Morgan Chase Commercial Mortgage Securities Trust, Series 2007-C1-AJ     6.82 % (c)    02/15/2051     3,237,734  
28,901,318   JPMBB Commercial Mortgage Securities Trust, Series 2014-C23-XA     0.60 % (c)(g)    09/15/2047     397,017  
3,998,000   JPMBB Commercial Mortgage Securities Trust, Series 2014-C26-D     3.88 % (a)(c)    01/15/2048     3,853,755  
2,265,000   JPMBB Commercial Mortgage Securities Trust, Series 2015-C27-D     3.81 % (a)(c)    02/15/2048     2,022,814  
53,804,356   JPMBB Commercial Mortgage Securities Trust, Series 2015-C32-XA     1.21 % (c)(g)    11/15/2048     1,415,851  
25,460,000   JPMDB Commercial Mortgage Securities Trust, Series 2020-COR7-XB     0.43 % (c)(g)    05/13/2053     886,390  
10,244,000   JPMDB Commercial Mortgage Securities Trust, Series 2020-COR7-XD     1.97 % (a)(c)(g)    05/13/2053     1,469,225  
5,000,000   Med Trust, Series 2021-MDLN-G (1 Month LIBOR USD + 5.25%, 5.25% Floor)     5.36 % (a)    11/15/2038     4,982,921  
600,000   MFT Trust, Series 2020-ABC-D     3.48 % (a)(c)    02/10/2042     562,827  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
4,000,000   MHC Commercial Mortgage Trust, Series 2021-MHC2-J (1 Month LIBOR USD + 4.25%, 4.25% Floor)     4.36 % (a)    05/15/2023     3,998,789  
5,022,500   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C21-C     4.13 % (c)    03/15/2048     4,627,932  
5,000,000   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C27-D     3.24 % (a)(c)    12/15/2047     4,622,985  
3,675,000   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2017-C34-D     2.70 % (a)    11/15/2052     3,219,405  
4,750,000   Morgan Stanley Capital Trust, Series 2012-C4-C     5.41 % (a)(c)    03/15/2045     4,734,281  
2,000,000   Morgan Stanley Capital Trust, Series 2018-H4-D     3.00 % (a)    12/15/2051     1,770,686  
5,000,000   Morgan Stanley Capital Trust, Series 2019-PLND-G (1 Month LIBOR USD + 3.65%, 3.65% Floor)     3.76 % (a)    05/15/2036     4,572,009  
4,050,401   Tharaldson Hotel Portfolio Trust, Series 2018-THL-F (1 Month LIBOR USD + 4.25%, 3.95% Floor)     4.36 % (a)    11/11/2034     3,928,602  
4,000,000   TPGI Trust, Series 2021-DGWD-G (1 Month LIBOR USD + 3.85%, 3.85% Floor)     3.96 % (a)    06/15/2026     3,983,174  
7,496,538   TTAN, Series 2021-MHC-G (1 Month LIBOR USD + 4.20%, 4.20% Floor)     4.31 % (a)    03/15/2038     7,546,554  
1,500,000   UBS Commercial Mortgage Trust, Series 2011-C1-C     6.41 % (a)(c)    01/10/2045     1,489,125  
5,000,000   UBS Commercial Mortgage Trust, Series 2017-C6-D     2.50 % (a)(c)    12/15/2050     4,341,620  
2,500,000   UBS Commercial Mortgage Trust, Series 2018-C14-C     5.27 % (c)    12/15/2051     2,601,254  
5,000,000   UBS Commercial Mortgage Trust, Series 2018-NYCH-G (1 Month LIBOR USD + 4.84%, 4.84% Floor)     4.95 % (a)    02/15/2032     4,753,159  
6,891,216   UBS-Barclays Commercial Mortgage Trust, Series 2013-C5-C     4.08 % (a)(c)    03/10/2046     6,829,592  
3,351,239   Wachovia Bank Commercial Mortgage Trust, Series 2005-C21-E     5.10 % (a)(c)    10/15/2044     3,118,060  
6,808,559   Wachovia Bank Commercial Mortgage Trust, Series 2006-C28-D     5.72 % (c)    10/15/2048     6,759,197  
7,910,000   Wells Fargo Commercial Mortgage Trust, Series 2015-C28-D     4.09 % (c)    05/15/2048     7,595,758  
2,000,000   Wells Fargo Commercial Mortgage Trust, Series 2016-C33-D     3.12 % (a)    03/15/2059     1,872,979  
4,514,242   Wells Fargo Commercial Mortgage Trust, Series 2016-C34-C     5.05 % (c)    06/15/2049     4,295,653  
3,200,000   Wells Fargo Commercial Mortgage Trust, Series 2017-RC1-D     3.25 % (a)    01/15/2060     2,965,913  
2,684,000   WF-RBS Commercial Mortgage Trust, Series 2012-C8-E     4.89 % (a)(c)    08/15/2045     2,652,428  
       

 

 

 

Total Non-Agency Commercial Mortgage Backed Obligations (Cost $276,173,406)

    286,929,889  
       

 

 

 

Non-Agency Residential Collateralized Mortgage Obligations - 13.0%

 

10,412,604   ACE Securities Corporation Home Equity Loan Trust, Series 2006-HE4-A2B (1 Month LIBOR USD + 0.22%, 0.22% Floor)     0.32   10/25/2036     5,573,839  
6,546,202   Alternative Loan Trust, Series 2005-J12-2A1 (1 Month LIBOR USD + 0.54%, 0.54% Floor, 11.00% Cap)     0.64   08/25/2035     4,369,286  
10,000,000   AMSR Trust, Series 2020-SFR4-G2     4.87 % (a)    11/17/2037     10,133,620  
9,956,000   Connecticut Avenue Securities Trust, Series 2019-R05-1B1 (1 Month LIBOR USD + 4.10%)     4.20 % (a)    07/25/2039     10,139,083  
3,900,000   Connecticut Avenue Securities Trust, Series 2019-R07-1B1 (1 Month LIBOR USD + 3.40%)     3.50 % (a)    10/25/2039     3,930,498  
8,400,000   Connecticut Avenue Securities Trust, Series 2021-R02-2B2 (Secured Overnight Financing Rate 30 Day Average + 6.20%)     6.25 % (a)    11/25/2041     8,717,808  
10,000,000   Deephaven Residential Mortgage Trust, Series 2020-2-B3     5.87 % (a)(c)    05/25/2065     10,069,743  
1,500,000   GS Mortgage-Backed Securities Trust, Series 2020-NQM1-B2     5.88 % (a)(c)    09/27/2060     1,504,816  
8,000,000   Homeward Opportunities Fund Trust, Series 2020-2-B1     5.45 % (a)(c)    05/25/2065     8,195,181  
1,493,537   Homeward Opportunities Fund Trust, Series 2020-BPL1-A2     5.44 % (a)(m)    08/25/2025     1,526,933  
6,986,383   JP Morgan Alternative Loan Trust, Series 2007-A2-12A1 (1 Month LIBOR USD + 0.40%, 0.40% Floor, 11.50% Cap)     0.50   06/25/2037     3,479,876  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
4,102,000   New Residential Mortgage Loan Trust, Series 2020-NQM2-B1     4.29 % (a)(c)    05/24/2060     4,134,752  
2,886,000   New Residential Mortgage Loan Trust, Series 2020-NQM2-B2     4.29 % (a)(c)    05/24/2060     2,832,335  
11,750,000   Progress Residential Trust, Series 2019-SFR2-G     5.09 % (a)    05/17/2036     12,084,746  
4,000,000   Progress Residential Trust, Series 2019-SFR3-G     4.12 % (a)    09/17/2036     4,024,402  
4,975,826   TBW Mortgage-Backed Trust, Series 2007-2-A1A     5.96 % (c)    07/25/2037     2,283,895  
1,500,000   Velocity Commercial Capital Loan Trust, Series 2016-1-M5     8.62 % (a)(c)    04/25/2046     1,517,373  
3,105,830   Velocity Commercial Capital Loan Trust, Series 2020-MC1-A     4.50 % (a)(c)    06/25/2045     3,119,080  
2,500,000   Verus Securitization Trust, Series 2020-2-B1     5.36 % (a)(c)    05/25/2060     2,560,094  
5,000,000   Verus Securitization Trust, Series 2020-4-B2     5.60 % (a)(c)    05/25/2065     5,039,314  
1,235,000   Verus Securitization Trust, Series 2020-INV1-B1     5.75 % (a)(c)    03/25/2060     1,277,294  
3,300,000   Verus Securitization Trust, Series 2020-INV1-B2     6.00 % (a)(c)    03/25/2060     3,377,017  
9,222,000   Vista Point Securitization Trust, Series 2020-1-B2     5.38 % (a)(c)    03/25/2065     9,402,508  
3,396,000   Vista Point Securitization Trust, Series 2020-2-B2     5.16 % (a)(c)    04/25/2065     3,418,536  
       

 

 

 

Total Non-Agency Residential Collateralized Mortgage Obligations (Cost $116,723,985)

    122,712,029  
       

 

 

 

US Corporate Bonds - 22.6%

 

3,280,000   Air Methods Corporation     8.00 % (a)    05/15/2025     2,811,911  
5,130,000   Alliant Holdings Intermediate LLC     6.75 % (a)    10/15/2027     5,327,710  
7,425,000   Allied Universal Holdco LLC     9.75 % (a)    07/15/2027     7,941,706  
1,855,000   Ambience Merger Sub, Inc.     7.13 % (a)    07/15/2029     1,825,144  
2,375,000   Austin BidCo, Inc.     7.13 % (a)    12/15/2028     2,455,560  
2,485,000   BCPE Empire Holdings, Inc.     7.63 % (a)    05/01/2027     2,539,844  
535,000   Boxer Parent Company, Inc.     7.13 % (a)    10/02/2025     561,667  
595,000   Carnival Corporation     7.63 % (a)    03/01/2026     624,485  
5,995,000   Castle US Holding Corporation     9.50 % (a)    02/15/2028     6,258,270  
3,315,000   Cengage Learning, Inc.     9.50 % (a)    06/15/2024     3,339,166  
1,865,000   Clear Channel Outdoor Holdings, Inc.     7.50 % (a)    06/01/2029     1,994,095  
2,335,000   Cobra Acquisition Company LLC     6.38 % (a)    11/01/2029     2,309,093  
2,490,000   Community Health Systems, Inc.     6.88 % (a)    04/15/2029     2,540,497  
405,000   Coty, Inc.     6.50 % (a)    04/15/2026     418,175  
1,365,000   CSI Compressco LP     7.50 % (a)    04/01/2025     1,380,663  
3,700,000   CVR Nitrogen Finance Corporation     6.13 % (a)    06/15/2028     3,908,958  
792,284   CWT Travel Group, Inc.     8.50 % (a)    11/19/2026     810,808  
3,895,000   Dealer Tire LLC     8.00 % (a)    02/01/2028     4,059,895  
1,320,000   Delta Air Lines, Inc.     7.00 % (a)    05/01/2025     1,510,467  
1,500,000   DISH DBS Corporation     5.75 % (a)    12/01/2028     1,517,813  
4,000,000   Eldorado Resorts, Inc.     8.13 % (a)    07/01/2027     4,434,580  
5,583,000   Embarq Corporation     8.00   06/01/2036     6,262,116  
1,540,000   Endo Luxembourg Finance Company I SARL     6.13 % (a)    04/01/2029     1,512,242  
4,395,000   Endure Digital, Inc.     6.00 % (a)    02/15/2029     4,093,525  
2,505,000   EQM Midstream Partners LP     6.50 % (a)    07/01/2027     2,808,756  
2,665,000   Ferrellgas Escrow LLC     5.88 % (a)    04/01/2029     2,562,238  
1,500,000   Flex Acquisition Company, Inc.     7.88 % (a)    07/15/2026     1,558,973  
1,200,000   Frontier Communications Corporation     6.75 % (a)    05/01/2029     1,249,836  
1,265,000   Full House Resorts, Inc.     8.25 % (a)    02/15/2028     1,330,046  
965,000   Hightower Holding LLC     6.75 % (a)    04/15/2029     992,604  


Principal Amount
$/Shares

 

Security Description

  Rate     

Maturity

  Value $  
3,000,000   Illuminate Buyer LLC     9.00 % (a)     07/01/2028     3,203,505  
1,666,032   JetBlue Pass Through Trust - Class B     8.00    11/15/2027     1,930,496  
1,010,000   LBM Acquisition LLC     6.25 % (a)     01/15/2029     1,000,062  
2,560,000   LD Holdings Group LLC     6.13 % (a)     04/01/2028     2,416,435  
385,000   LFS Topco LLC     5.88 % (a)     10/15/2026     397,913  
3,215,000   Lions Gate Capital Holdings LLC     5.50 % (a)     04/15/2029     3,276,969  
3,030,000   LSF9 Atlantis Holdings LLC     7.75 % (a)     02/15/2026     3,067,375  
1,860,000   Mav Acquisition Corporation     5.75 % (a)     08/01/2028     1,844,218  
1,840,000   Metis Merger Sub LLC     6.50 % (a)     05/15/2029     1,809,815  
1,420,000   Mileage Plus Holdings LLC     6.50 % (a)     06/20/2027     1,517,987  
2,005,000   National FINL Partners Corporation     6.88 % (a)     08/15/2028     2,013,782  
5,765,000   NGL Energy Operating LLC     7.50 % (a)     02/01/2026     5,952,968  
1,575,000   NuStar Logistics LP     6.38    10/01/2030     1,750,660  
250,000   Olympus Water US Holding Corporation     6.25 % (a)     10/01/2029     244,101  
650,000   Par Petroleum LLC     12.88 % (a)     01/15/2026     723,148  
780,000   Park River Holdings, Inc.     5.63 % (a)     02/01/2029     745,996  
2,145,000   PBF Holding Company LLC     9.25 % (a)     05/15/2025     2,042,801  
1,435,000   PECF USS Intermediate Holding III Corporation     8.00 % (a)     11/15/2029     1,488,152  
1,250,000   Performance Food Group, Inc.     6.88 % (a)     05/01/2025     1,309,256  
3,835,000   PetSmart, Inc.     7.75 % (a)     02/15/2029     4,172,538  
4,485,000   PowerTeam Services LLC     9.03 % (a)     12/04/2025     4,749,839  
7,250,000   Radiology Partners, Inc.     9.25 % (a)     02/01/2028     7,623,629  
4,105,000   Realogy Group LLC     7.63 % (a)     06/15/2025     4,355,405  
1,250,000   Realogy Group LLC     5.75 % (a)     01/15/2029     1,283,156  
200,000   Sabre Global, Inc.     9.25 % (a)     04/15/2025     226,230  
3,305,000   Sabre Global, Inc.     7.38 % (a)     09/01/2025     3,458,220  
895,000   SCIH Salt Holdings, Inc.     6.63 % (a)     05/01/2029     838,082  
2,635,000   SEG Holding LLC     5.63 % (a)     10/15/2028     2,764,049  
4,170,000   SWF Escrow Issuer Corporation     6.50 % (a)     10/01/2029     4,014,084  
3,410,000   TKC Holdings, Inc.     10.50 % (a)     05/15/2029     3,687,642  
885,000   TMS International Corporation     6.25 % (a)     04/15/2029     881,818  
780,000   TransDigm, Inc.     8.00 % (a)     12/15/2025     823,863  
4,798,000   Trident TPI Holdings, Inc.     9.25 % (a)     08/01/2024     5,019,476  
2,365,000   Triton Water Holdings, Inc.     6.25 % (a)     04/01/2029     2,271,606  
3,216,000   Triumph Group, Inc.     8.88 % (a)     06/01/2024     3,511,036  
6,300,000   Triumph Group, Inc.     7.75    08/15/2025     6,259,302  
7,500,000   Uber Technologies, Inc.     8.00 % (a)     11/01/2026     7,998,637  
1,500,000   Uber Technologies, Inc.     7.50 % (a)     09/15/2027     1,634,250  
435,000   Unifrax Escrow Issuer Corporation     7.50 % (a)     09/30/2029     439,968  
1,785,000   United Natural Foods, Inc.     6.75 % (a)     10/15/2028     1,914,011  
2,460,000   Uniti Group LP     6.50 % (a)     02/15/2029     2,455,277  
2,845,000   Univision Communications, Inc.     6.63 % (a)     06/01/2027     3,068,375  
4,000,000   Verscend Escrow Corporation     9.75 % (a)     08/15/2026     4,256,600  
2,400,000   ViaSat, Inc.     6.50 % (a)     07/15/2028     2,409,396  
2,165,000   Viking Cruises Ltd.     13.00 % (a)     05/15/2025     2,453,237  
1,805,000   WASH Multifamily Acquisition, Inc.     5.75 % (a)     04/15/2026     1,899,212  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
221,000   Weatherford International Ltd.     11.00 % (a)    12/01/2024     227,860  
1,255,000   Weatherford International Ltd.     6.50 % (a)    09/15/2028     1,329,673  
3,280,000   Weatherford International Ltd.     8.63 % (a)    04/30/2030     3,410,560  
2,540,000   Wheel Pros, Inc.     6.50 % (a)    05/15/2029     2,441,969  
4,948,000   Wolverine Escrow LLC     9.00 % (a)    11/15/2026     4,706,117  
       

 

 

 

Total US Corporate Bonds (Cost $208,156,566)

    214,261,599  
       

 

 

 

US Government and Agency Mortgage Backed Obligations - 9.3%

 

9,250,000   Federal Home Loan Mortgage Corporation, Series 2020-DNA1-B2 (1 Month LIBOR USD + 5.25%)     5.35 % (a)    01/25/2050     9,368,666  
3,000,000   Federal Home Loan Mortgage Corporation, Series 2020-DNA2-B2 (1 Month LIBOR USD + 4.80%, 4.80% Floor)     4.90 % (a)    02/25/2050     3,026,541  
6,000,000   Federal Home Loan Mortgage Corporation, Series 2020-DNA6-B2 (Secured Overnight Financing Rate 30 Day Average + 5.65%)     5.70 % (a)    12/25/2050     6,324,289  
1,200,000   Federal Home Loan Mortgage Corporation, Series 2020-HQA2-B1 (1 Month LIBOR USD + 4.10%)     4.20 % (a)    03/25/2050     1,245,208  
22,000,000   Federal Home Loan Mortgage Corporation, Series 2020-HQA2-B2 (1 Month LIBOR USD + 7.60%)     7.70 % (a)    03/25/2050     23,167,214  
9,750,000   Federal Home Loan Mortgage Corporation, Series 2020-HQA5-B2 (Secured Overnight Financing Rate 30 Day Average + 7.40%)     7.45 % (a)    11/25/2050     11,706,435  
9,437,974   Federal Home Loan Mortgage Corporation, Series 313-S1 (-1 x 1 Month LIBOR USD + 5.90%, 5.90% Cap)     5.79 % (g)(l)    09/15/2043     1,876,636  
3,509,924   Federal Home Loan Mortgage Corporation, Series 3997-SA (-1 x 1 Month LIBOR USD + 6.50%, 6.50% Cap)     6.39 % (g)(l)    02/15/2042     656,320  
3,418,647   Federal Home Loan Mortgage Corporation, Series 4091-VI (-1 x 1 Month LIBOR USD + 5.00%, 5.00% Cap)     4.90 % (g)(l)    11/15/2040     447,230  
7,150,537   Federal Home Loan Mortgage Corporation, Series 4119-SC (-1 x 1 Month LIBOR USD + 6.15%, 6.15% Cap)     6.04 % (g)(l)    10/15/2042     1,285,840  
3,994,395   Federal Home Loan Mortgage Corporation, Series 4643-SA (-1 x 1 Month LIBOR USD + 6.00%, 6.00% Cap)     5.89 % (g)(l)    01/15/2047     742,359  
15,277,554   Federal Home Loan Mortgage Corporation, Series 4863-IA     4.50 % (g)    03/15/2045     1,682,844  
10,263,016   Federal National Mortgage Association, Series 2012-124-SE (-1 x 1 Month LIBOR USD + 6.15%, 6.15% Cap)     6.05 % (g)(l)    11/25/2042     1,786,614  
12,465,824   Federal National Mortgage Association, Series 2012-84-HS (-1 x 1 Month LIBOR USD + 6.00%, 6.00% Cap)     5.90 % (g)(l)    08/25/2042     2,304,330  
6,988,802   Federal National Mortgage Association, Series 2017-69-ES (-1 x 1 Month LIBOR USD + 6.15%, 6.15% Cap)     6.05 % (g)(l)    09/25/2047     1,249,341  
9,503,591   Federal National Mortgage Association, Series 2019-25-SB (-1 x 1 Month LIBOR USD + 6.05%, 6.05% Cap)     5.95 % (g)(l)    06/25/2049     1,688,550  
48,909,463   Federal National Mortgage Association, Series 2019-M26-X1     0.62 % (c)(g)    03/25/2030     1,818,742  
18,667,763   Federal National Mortgage Association, Series 5004-SD (-1 x Secured Overnight Financing Rate 30 Day Average + 6.10%, 6.10% Cap)     6.05 % (g)(l)    08/25/2050     4,465,114  
13,903,999   Government National Mortgage Association, Series 2019-22-SA (-1 x 1 Month LIBOR USD + 5.60%, 5.60% Cap)     5.50 % (g)(l)    02/20/2045     2,375,747  
7,944,619   Government National Mortgage Association, Series 2020-21-NS (-1 x 1 Month LIBOR USD + 6.05%, 6.05% Cap)     5.95 % (g)(l)    04/20/2048     1,324,826  
9,213,687   Government National Mortgage Association, Series 2020-47-SL (-1 x 1 Month LIBOR USD + 5.37%, 5.37% Cap)     5.27 % (g)(l)    07/20/2044     1,267,819  
16,499,843   Government National Mortgage Association, Series 2020-61-SU (-1 x 1 Month LIBOR USD + 5.60%, 5.60% Cap)     5.49 % (g)(l)    07/16/2045     2,388,082  


Principal Amount
$/Shares

 

Security Description

  Rate    

Maturity

  Value $  
6,219,634   Government National Mortgage Association, Series 2020-77-SU (-1 x 1 Month LIBOR USD + 6.10%, 6.10% Cap)     6.00 % (g)(l)    09/20/2047     1,168,549  
33,747,001   Government National Mortgage Association, Series 2020-88-IO     0.90 % (c)(g)    04/16/2060     2,277,808  
29,310,483   Government National Mortgage Association, Series 2021-97-SG (-1 x Secured Overnight Financing Rate 30 Day Average + 2.60%, 2.60% Cap)     2.55 % (g)(l)    06/20/2051     1,991,832  
       

 

 

 

Total US Government and Agency Mortgage Backed Obligations (Cost $91,897,781)

    87,636,936  
       

 

 

 

Common Stocks - 0.1%

 

23,484   CWT Travel Holdings, Inc. (e)(h)         810,198  
       

 

 

 

Total Common Stocks (Cost $481,305)

    810,198  
       

 

 

 

Preferred Stocks - 1.1%

 

400,000   AGNC Investment Corporation, Series F (3 Month LIBOR USD + 4.70%)     6.13 % (d)    04/15/2025     10,104,000  
10,223   Riverbed Technology, Inc.     1.50 % (e)    11/17/2028     219,288  
       

 

 

 

Total Preferred Stocks (Cost $8,890,821)

    10,323,288  
       

 

 

 

Real Estate Investment Trusts - 1.1%

 

650,000   AGNC Investment Corporation         9,776,000  
30,000   Chimera Investment Corporation (3 Month LIBOR USD + 5.38%)     8.00 % (d)        757,500  
       

 

 

 

Total Real Estate Investment Trusts (Cost $9,077,736)

    10,533,500  
       

 

 

 

Short Term Investments - 2.0%

 

Foreign Corporate Bonds - 0.0%

 

85,018   Alpha Holdings S.A. (10.00% PIK)     10.00 % (a)(e)    02/01/2022     85,018  
       

 

 

 
    85,018  
       

 

 

 

Money Market Funds - 2.0%

 

6,289,253   First American Government Obligations Fund - Class U     0.03 % (i)        6,289,253  
6,289,254   JP Morgan U.S. Government Money Market Fund - Institutional Share Class     0.03 % (i)        6,289,254  
6,289,253   Morgan Stanley Institutional Liquidity Funds Government Portfolio - Institutional Share Class     0.03 % (i)        6,289,253  
       

 

 

 
    18,867,760  
       

 

 

 

Total Short Term Investments (Cost $18,952,778)

    18,952,778  
       

 

 

 

Total Investments - 134.8% (Cost $1,258,080,678) (j)

    1,276,164,888  
Liabilities in Excess of Other Assets - (34.8)%     (329,344,037
       

 

 

 

NET ASSETS - 100.0%

  $ 946,820,851  
       

 

 

 


  (a)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers.

 

 

  (b)

Coupon rate is variable or floats based on components including but not limited to reference rate and spread. These securities may not indicate a reference rate and/or spread in their description. The rate disclosed is as of period end.

 

 

  (c)

Coupon rate is variable based on the weighted average coupon of the underlying collateral. To the extent the weighted average coupon of the underlying assets which comprise the collateral increases or decreases, the coupon rate of this security will increase or decrease correspondingly. The rate disclosed is as of period end.

 

 

  (d)

Perpetual Maturity

 

 

  (e)

Value determined using significant unobservable inputs.

 

 

  (f)

Security is in default or has failed to make a scheduled payment. Income is not being accrued.

 

 

  (g)

Interest only security

 

 

  (h)

Non-income producing security

 

 

  (i)

Seven-day yield as of period end

 

 

  (j)

Under the Fund’s credit agreement, the Lender, through their agent, have been granted a security interest in all of the Fund’s investments in consideration of the Fund’s borrowing under the line of credit with the Lender.

 

 

  (k)

Security pays interest at rates that represent residual cashflows available after more senior tranches have been paid. The interest rate disclosed reflects the estimated rate in effect as of period end.

 

 

  (l)

Inverse floating rate security whose interest rate moves in the opposite direction of reference interest rates. Reference interest rates are typically based on a negative multiplier or slope. Interest rate may also be subject to a cap or floor.

 

 

  (m)

The interest rate will step up if the issuer does not redeem the bond on or before a scheduled redemption date in accordance with the terms of the instrument. The interest rate shown is the rate in effect as of period end.

 

 

  PIK

A payment-in-kind security in which the issuer may make interest or dividend payments in cash or additional securities. These additional securities generally have the same terms as the original holdings.

 


SECURITY TYPE BREAKDOWN as a % of Net Assets:

 

Non-Agency Commercial Mortgage Backed Obligations

    30.3%  

Foreign Corporate Bonds

    22.7%  

US Corporate Bonds

    22.6%  

Collateralized Loan Obligations

    16.2%  

Non-Agency Residential Collateralized Mortgage Obligations

    13.0%  

US Government and Agency Mortgage Backed Obligations

    9.3%  

Bank Loans

    8.5%  

Asset Backed Obligations

    5.5%  

Foreign Government Bonds, Foreign Agencies and Foreign Government Sponsored Corporations

    2.4%  

Short Term Investments

    2.0%  

Real Estate Investment Trusts

    1.1%  

Preferred Stocks

    1.1%  

Common Stocks

    0.1%  

Other Assets and Liabilities

    (34.8)%  
 

 

 

 
                100.0%  
 

 

 

 


INVESTMENT BREAKDOWN as a % of Net Assets:

 

Non-Agency Commercial Mortgage Backed Obligations

    30.3%  

Collateralized Loan Obligations

    16.2%  

Non-Agency Residential Collateralized Mortgage Obligations

    13.0%  

US Government and Agency Mortgage Backed Obligations

    9.3%  

Energy

    8.3%  

Asset Backed Obligations

    5.5%  

Real Estate

    4.6%  

Commercial Services

    4.3%  

Electronics/Electric

    3.7%  

Aerospace & Defense

    3.1%  

Finance

    2.9%  

Media

    2.8%  

Technology

    2.7%  

Utilities

    2.7%  

Telecommunications

    2.6%  

Foreign Government Bonds, Foreign Agencies and Foreign Government Sponsored Corporations

    2.4%  

Healthcare

    2.1%  

Mining

    2.1%  

Short Term Investments

    2.0%  

Consumer Products

    2.0%  

Retailers (other than Food/Drug)

    1.4%  

Chemicals/Plastics

    1.2%  

Insurance

    0.9%  

Business Equipment and Services

    0.8%  

Automotive

    0.8%  

Financial Intermediaries

    0.8%  

Transportation

    0.7%  

Containers and Glass Products

    0.7%  

Hotels/Motels/Inns and Casinos

    0.7%  

Chemical Products

    0.6%  

Food Products

    0.6%  

Leisure

    0.5%  

Industrial Equipment

    0.5%  

Building and Development (including Steel/Metals)

    0.5%  

Diversified Manufacturing

    0.4%  

Construction

    0.3%  

Food/Drug Retailers

    0.3%  

Pharmaceuticals

    0.2%  

Environmental Control

    0.2%  

Banking

    0.1%  

Cosmetics/Toiletries

    0.0%  (n) 

Other Assets and Liabilities

    (34.8)%  
 

 

 

 
                100.0%  
 

 

 

 
  (n)

Represents less than 0.05% of net assets

 


Notes to Schedule of Investments

December 31, 2021 (Unaudited)

 

1.  Organization

DoubleLine Yield Opportunities Fund (the “Fund”) is organized as a non-diversified, limited term, closed-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”), and the rules and regulations thereunder. The Fund was organized as a Massachusetts business trust on September 17, 2019 and commenced operations on February 26, 2020. The Fund is listed on the New York Stock Exchange (“NYSE”) under the symbol “DLY”. The Fund’s investment objective is to seek a high level of total return, with an emphasis on current income.

The Fund has a limited term and intends to terminate as of the first business day following the twelfth anniversary of the effective date of the Fund’s initial registration statement, February 25, 2032 (the “Dissolution Date”); provided that the Fund’s Board of Trustees (the “Board”) may, by a vote of the majority of the Board and seventy-five percent (75%) of the Continuing Trustees, as such term is defined in the Fund’s Second Amended and Restated Agreement and Declaration of Trust (a “Board Action Vote”), without shareholder approval, extend the Dissolution Date (i) once for up to one year, and (ii) once for up to an additional six months, to a date up to and including the eighteenth month after the initial Dissolution Date, which later date shall then become the Dissolution Date. At the Dissolution Date, each holder of common shares of beneficial interest (“Common Shareholder”) would be paid a pro rata portion of the Fund’s net assets as determined as of the Dissolution Date. The Board may, by a Board Action Vote, cause the Fund to conduct a tender offer, as of a date within twelve months preceding the Dissolution Date (as may be extended as described above), to all Common Shareholders to purchase 100% of the then outstanding common shares of the Fund at a price equal to the net asset value (“NAV”) per common share on the expiration date of the tender offer (an “Eligible Tender Offer”). In an Eligible Tender Offer, the Fund will offer to purchase all Common Shares held by each Common Shareholder; provided that if the number of properly tendered Common Shares would result in the Fund having aggregate net assets below $200 million (the “Dissolution Threshold”), the Eligible Tender Offer will be canceled, no Common Shares will be repurchased pursuant to the Eligible Tender Offer, and the Fund will terminate as otherwise scheduled.

The Fund sold and issued 5,000 shares of beneficial interest at $20.00 per share to DoubleLine Asset Management Company LLC (“DAMCO”), a wholly owned subsidiary of DoubleLine Capital LP (the “Adviser” or “DoubleLine Capital”). The Fund issued 46,000,000 common shares of beneficial interest in its initial public offering at $20.00 per share. The Fund issued an additional 1,900,000 common shares at $20.00 per share in connection with the underwriter’s over-allotment option.

2.  Significant Accounting Policies

The Fund is an investment company that applies the accounting and reporting guidance issued in Topic 946, “Financial Services— Investment Companies”, by the Financial Accounting Standards Board (“FASB”). The following is a summary of the significant accounting policies of the Fund. These policies are in conformity with accounting principles generally accepted in the United States of America (“US GAAP”).

A. Security Valuation. The Fund has adopted US GAAP fair value accounting standards which establish a definition of fair value and set out a hierarchy for measuring fair value. These standards require additional disclosures about the various inputs and valuation techniques used to develop the measurements of fair value and a discussion of changes in valuation techniques and related inputs during the period. These inputs are summarized in the three broad levels listed below:

 

 

Level 1—Unadjusted quoted market prices in active markets for identical securities

 

Level 2—Quoted prices for identical or similar assets in markets that are not active, or inputs derived from observable market data

 

Level 3—Significant unobservable inputs (including the reporting entity’s estimates and assumptions)

Market values for domestic and foreign fixed income securities are normally determined on the basis of valuations provided by independent pricing services. Vendors typically value such securities based on one or more inputs described in the following table which is not intended to be a complete list. The table provides examples of inputs that are commonly relevant for valuing particular classes of fixed income securities in which the Fund is authorized to invest. However, these classifications are not exclusive, and any of the inputs may be used to value any other class of fixed-income securities. Securities that use similar valuation techniques and inputs as described in the following table are categorized as Level 2 of the fair value hierarchy. To the extent the significant inputs are unobservable, the values generally would be categorized as Level 3. Assets and liabilities may be transferred between levels.

 

Fixed-income class

  

Examples of Inputs

All    Benchmark yields, transactions, bids, offers, quotations from dealers and trading systems, new issues, spreads and other relationships observed in the markets among comparable securities; and proprietary pricing models such as yield measures calculated using factors such as cash flows, financial or collateral performance and other reference data (collectively referred to as “standard inputs”)
Corporate bonds and notes; convertible securities    Standard inputs and underlying equity of the issuer
US bonds and notes of government and government agencies    Standard inputs
Residential and commercial mortgage-backed obligations; asset-backed obligations (including collateralized loan obligations)    Standard inputs and cash flows, prepayment information, default rates, delinquency and loss assumptions, collateral characteristics, credit enhancements and specific deal information, trustee reports
Bank loans    Standard inputs


Investments in registered open-end management investment companies will be valued based upon the net asset value (“NAV”) of such investments and are categorized as Level 1 of the fair value hierarchy.

Common stocks, exchange-traded funds and financial derivative instruments, such as futures contracts or options contracts, that are traded on a national securities or commodities exchange, are typically valued at the last reported sales price, in the case of common stocks and exchange-traded funds, or, in the case of futures contracts or options contracts, the settlement price determined by the relevant exchange. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized as Level 1 of the fair value hierarchy.

Over-the-counter financial derivative instruments, such as forward currency exchange contracts, options contracts, or swap agreements, derive their values from underlying asset prices, indices, reference rates, other inputs or a combination of these factors. These instruments are normally valued on the basis of evaluations provided by independent pricing services or broker dealer quotations. Depending on the instrument and the terms of the transaction, the value of the derivative instruments can be estimated by a pricing service provider using a series of techniques, such as simulation pricing models. The pricing models use issuer details and other inputs that are observed from actively quoted markets such as indices, spreads, interest rates, curves, dividends and exchange rates. Derivatives that use similar valuation techniques and inputs as described above are normally categorized as Level 2 of the fair value hierarchy.

The Fund’s holdings in whole loans, securitizations and certain other types of alternative lending-related instruments may be valued based on prices provided by a third-party pricing service.

Senior secured floating rate loans for which an active secondary market exists to a reliable degree will be valued at the mean of the last available bid/ask prices in the market for such loans, as provided by an independent pricing service. Where an active secondary market does not exist to a reliable degree in the judgment of the Adviser, such loans will be valued at fair value based on certain factors.

In respect of certain commercial real estate-related, residential real estate-related and certain other investments for which a limited market may exist, the Fund may value such investments based on appraisals conducted by an independent valuation advisor or a similar pricing agent. However, an independent valuation firm may not be retained to undertake an evaluation of an asset unless the NAV, market price and other aspects of an investment exceed certain significance thresholds.

Securities may be fair valued by the Adviser in accordance with the fair valuation procedures approved by the Board. The Adviser’s valuation committee is generally responsible for overseeing the day to day valuation processes and reports periodically to the Board. The Adviser’s valuation committee and the pricing group are authorized to make all necessary determinations of the fair values of portfolio securities and other assets for which market quotations or third party vendor prices are not readily available or if it is deemed that the prices obtained from brokers and dealers or independent pricing services are deemed to be unreliable indicators of market or fair value.

The following is a summary of the fair valuations according to the inputs used to value the Fund’s investments as of December 31, 2021:

 

Category

 

 

 

Investments in Securities

 

Level 1

 

Money Market Funds

  $ 18,867,760  

Real Estate Investment Trusts

    10,533,500  

Preferred Stocks

    10,104,000  

 

 

 

 

 

Total Level 1

    39,505,260  

Level 2

 

Non-Agency Commercial Mortgage Backed Obligations

    286,929,889  

Foreign Corporate Bonds

    214,656,784  

US Corporate Bonds

    214,261,599  

Collateralized Loan Obligations

    149,676,309  

Non-Agency Residential Collateralized Mortgage Obligations

    122,712,029  

US Government and Agency Mortgage Backed Obligations

    87,636,936  

Bank Loans

    80,168,195  

Asset Backed Obligations

    30,069,820  

Foreign Government Bonds, Foreign Agencies and Foreign Government Sponsored Corporations

    22,785,485  

 

 

 

 

 

Total Level 2

    1,208,897,046  


Category

 

 

 

Level 3

 

Asset Backed Obligations

  $ 22,446,167  

Collateralized Loan Obligations

    4,201,911  

Common Stocks

    810,198  

Preferred Stocks

    219,288  

Foreign Corporate Bonds

    85,018  

 

 

 

 

 

Total Level 3

    27,762,582  

 

 

 

 

 

Total

  $ 1,276,164,888  

 

 

 

 

 

See the Schedule of Investments for further disaggregation of investment categories.

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining fair value:

 

     Fair Value
as of
9/30/2021
    Net
Realized
Gain
(Loss)
    Net Change in
Unrealized
Appreciation
(Depreciation)(c)
    Net Accretion
(Amortization)
    Purchases(a)     Sales (b)     Transfers
Into
Level 3(d)
    Transfers
Out of
Level 3(d)
    Fair Value
as of
12/31/2021
    Net Change in
Unrealized
Appreciation
(Depreciation)
on securities
held at
12/31/2021(c)
 

Investments in Securities

                   

Asset Backed Obligations

  $ 17,202,828     $ 2,329     $ (996,111   $ —       $ 6,470,441     $ (233,320   $ —       $ —       $ 22,446,167     $ (1,084,401

Collateralized Loan Obligations

    4,404,564       —         (202,653     —         —         —         —         —         4,201,911       (202,653

Common Stocks

    —         —         328,893       —         481,305       —         —         —         810,198       —    

Preferred Stocks

    —         —         2,098       688       216,502       —         —         —         219,288       —    

Foreign Corporate Bonds

    104,947       —         —         —         29,954       (49,883     —         —         85,018       —    
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 21,712,339     $ 2,329     $ (867,773   $ 688     $ 7,198,202     $ (283,203   $ —       $ —       $ 27,762,582     $ (1,287,054
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) 

Purchases include all purchases of securities, payups and corporate actions.

(b)

Sales include all sales of securities, maturities, and paydowns.

(c)

Any difference between Net Change in Unrealized Appreciation (Depreciation) and Net Change in Unrealized Appreciation (Depreciation) on securities held at December 31, 2021 may be due to a security that was not held or categorized as Level 3 at either period end.

(d)

Transfers into or out of Level 3 can be attributed to changes in the availability of pricing sources and/or in the observability of significant inputs used to measure the fair value of those instruments.

The following is a summary of quantitative information about Level 3 Fair Value Measurements:

 

      Fair
Value as
of
12/31/2021
     Valuation
Techniques
   Unobservable
Input
   Unobservable Input Values
(Weighted Average)(e)
     Impact to valuation from an
increase to input

Asset Backed Obligations

   $ 22,446,167      Market Comparables    Market Quotes      $78.20 - $90,024.11 ($26,613.49)      Significant changes in the market quotes would have resulted in direct and proportional changes in the fair value of the security

Collateralized Loan Obligations

   $ 4,201,911      Market Comparables    Market Quotes      $84.04 ($84.04)      Significant changes in the market quotes would have resulted in direct and proportional changes in the fair value of the security

Common Stocks

   $ 810,198      Market Comparables    Market Quotes      $34.50 ($34.50)      Significant changes in the market quotes would have resulted in direct and proportional changes in the fair value of the security


      Fair
Value as
of
12/31/2021
     Valuation
Techniques
   Unobservable
Input
   Unobservable Input Values
(Weighted Average)(e)
     Impact to valuation from an
increase to input

Preferred Stocks

   $ 219,288      Market Comparables    Market Quotes      $21.45 ($21.45)      Significant changes in the market quotes would have resulted in direct and proportional changes in the fair value of the security

Foreign Corporate Bonds

   $ 85,018      Market Comparables    Market Quotes      $100.00 ($100.00)      Significant changes in the market quotes would have resulted in direct and proportional changes in the fair value of the security

 

(e) 

Unobservable inputs were weighted by the relative fair value of the instruments.