0001752724-22-106075.txt : 20220516 0001752724-22-106075.hdr.sgml : 20220516 20220516164403 ACCESSION NUMBER: 0001752724-22-106075 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220331 FILED AS OF DATE: 20220516 PERIOD START: 20221231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ROYCE FUND CENTRAL INDEX KEY: 0000709364 IRS NUMBER: 133139046 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03599 FILM NUMBER: 22930201 BUSINESS ADDRESS: STREET 1: 745 FIFTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10151 BUSINESS PHONE: 2123557311 MAIL ADDRESS: STREET 1: 745 FIFTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10151 FORMER COMPANY: FORMER CONFORMED NAME: ROYCE VALUE FUND INC DATE OF NAME CHANGE: 19851103 0000709364 S000009516 Royce Small-Cap Value Fund C000026024 Consultant Class RVFCX C000026025 Service Class RYVFX C000038082 Investment Class RVVHX C000054169 R Class RVVRX NPORT-P 1 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49617.00000000 NS USD 354265.38000000 0.285775310380 Long EC CORP US N 1 N N N Sciplay Corp 549300B8E2F1A3EW6869 Sciplay Corp 809087109 70868.00000000 NS USD 915614.56000000 0.738598942615 Long EC CORP US N 1 N N N Mid Penn Bancorp Inc N/A Mid Penn Bancorp Inc 59540G107 8968.00000000 NS USD 240432.08000000 0.193949384180 Long EC CORP US N 1 N N N SIGA Technologies Inc N/A SIGA Technologies Inc 826917106 146623.00000000 NS USD 1039557.07000000 0.838579666853 Long EC CORP US N 1 N N N CNB Financial Corp/PA 254900RUYUOKD91VNX69 CNB Financial Corp/PA 126128107 33581.00000000 NS USD 883851.92000000 0.712976968759 Long EC CORP US N 1 N N N Financial Institutions Inc N/A Financial Institutions Inc 317585404 23978.00000000 NS USD 722457.14000000 0.582784615929 Long EC CORP US N 1 N N N M/I Homes Inc 5299005M71FH9CCSFB69 M/I Homes Inc 55305B101 21698.00000000 NS USD 962306.30000000 0.776263775941 Long EC CORP US N 1 N N N Heidrick & Struggles International Inc 5493006284N2J367VB57 Heidrick & Struggles International Inc 422819102 43771.00000000 NS USD 1732456.18000000 1.397520702025 Long EC CORP US N 1 N N N 2022-04-26 ROYCE FUND John Schwartz John Schwartz Associate General Counsel XXXX NPORT-EX 2 NPORT_6629_96242892_0322.htm

 

SCHEDULES OF INVESTMENTS 

ROYCE DIVIDEND VALUE FUND 

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
           
COMMON STOCKS – 93.6%          
           
Consumer Discretionary – 3.8%          
Auto Components - 0.4%          
Nokian Renkaat 1   18,000   $291,561 
Household Durables - 0.7%          
PulteGroup   10,900    456,710 
Specialty Retail - 2.7%          
Rent-A-Center   36,466    918,578 
USS 1   56,000    941,912 
         1,860,490 
Total        2,608,761 
           
Energy – 1.3%          
Oil, Gas & Consumable Fuels - 1.3%          
Gaztransport Et Technigaz 1   7,800    873,927 
Total        873,927 
           
Financials – 28.4%          
Banks - 4.2%          
BOK Financial   15,414    1,448,145 
Triumph Bancorp 2   15,750    1,480,815 
         2,928,960 
Capital Markets - 24.2%          
Ashmore Group 1   244,300    741,645 
B3-Brasil, Bolsa, Balcao   336,600    1,110,677 
Bolsa Mexicana de Valores   444,000    942,914 
Carlyle Group   60,820    2,974,706 
Coronation Fund Managers 1   153,700    486,486 
Evercore Cl. A   13,500    1,502,820 
Jupiter Fund Management 1   225,700    610,408 
KKR & Co.   14,738    861,731 
Moelis & Company Cl. A   19,359    908,905 
SEI Investments   37,900    2,281,959 
Sprott   58,860    2,951,122 
State Street   16,800    1,463,616 
         16,836,989 
Total        19,765,949 
           
Health Care – 3.1%          
Health Care Providers & Services - 0.8%          
Ensign Group (The)   5,951    535,650 
Pharmaceuticals - 2.3%          
Recordati Industria Chimica e Farmaceutica 1   24,210    1,217,095 
Santen Pharmaceutical 1   41,600    416,436 
         1,633,531 
Total        2,169,181 
           
Industrials – 37.9%          
Aerospace & Defense - 4.3%          
HEICO Corporation Cl. A   23,259    2,949,939 
Building Products - 0.7%          
Geberit 1   800    492,487 
Commercial Services & Supplies - 0.4%        
Healthcare Services Group   15,700    291,549 
Construction & Engineering - 1.2%          
Comfort Systems USA   8,959    797,441 
Electrical Equipment - 2.8%          
Hubbell Incorporated   10,362    1,904,225 
Machinery - 11.6%          
Graco   25,224    1,758,617 
Lincoln Electric Holdings   10,022    1,381,132 
Lindsay Corporation   17,400    2,731,974 
Spirax-Sarco Engineering 1   13,478    2,208,675 
         8,080,398 
Marine - 2.4%          
Clarkson 1   35,040    1,691,575 
Professional Services - 9.4%          
KBR   64,590    3,535,011 
Korn Ferry   10,023    650,893 
ManpowerGroup   19,300    1,812,656 
Robert Half International   4,794    547,379 
         6,545,939 
Road & Rail - 0.5%          
Werner Enterprises   8,643    354,363 
Trading Companies & Distributors - 4.6%          
Applied Industrial Technologies   31,294    3,212,642 
Total        26,320,558 
           
Information Technology – 1.6%          
Electronic Equipment, Instruments & Components - 1.2%          
Vishay Intertechnology   42,497    832,941 
Software - 0.4%          
SimCorp 1   4,200    305,905 
Total        1,138,846 
           
Materials – 17.5%          
Chemicals - 1.5%          
Quaker Chemical   6,122    1,057,943 
Containers & Packaging - 3.4%          
AptarGroup   20,396    2,396,530 
Metals & Mining - 12.6%          
Franco-Nevada   18,335    2,924,799 
Reliance Steel & Aluminum   10,288    1,886,305 
Royal Gold   11,600    1,638,848 
Worthington Industries   44,460    2,285,688 
         8,735,640 
Total        12,190,113 
           
TOTAL COMMON STOCKS          
(Cost $25,780,668)        65,067,335 
           
REPURCHASE AGREEMENT – 3.1%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $2,133,469 (collateralized

by obligations of various U.S. Government

Agencies, 0.125% due 10/15/24, valued at $2,176,170)
(Cost $2,133,469)

        2,133,469 
 
TOTAL INVESTMENTS – 96.7%    
(Cost $27,914,137)   67,200,804 
      
CASH AND OTHER ASSETS LESS LIABILITIES – 3.3%   2,301,380 
      
NET ASSETS – 100.0%  $69,502,184 

SCHEDULES OF INVESTMENTS 

ROYCE GLOBAL FINANCIAL SERVICES FUND 

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
           
COMMON STOCKS – 99.3%          
           
Banks - 16.9%          
BOK Financial   10,450   $981,777 
Cadence Bank   11,120    325,371 
Capital City Bank Group   16,988    447,804 
First Citizens BancShares Cl. A   1,828    1,216,717 
First Republic Bank   2,599    421,298 
Popular   20,063    1,639,950 
TriState Capital Holdings 2   11,600    385,468 
Umpqua Holdings   17,400    328,164 
Total        5,746,549 
           
Capital Markets - 52.9%          
Ares Management Cl. A   14,986    1,217,313 
B3-Brasil, Bolsa, Balcao   183,000    603,844 
Canaccord Genuity Group   113,715    1,123,369 
Carlyle Group   22,300    1,090,693 
Charles Schwab   14,671    1,236,912 
Coronation Fund Managers 1   61,200    193,708 
CRISIL 1   14,000    593,714 
Egyptian Financial Group-Hermes Holding Company 1,2   184,791    178,827 
Hellenic Exchanges - Athens Stock Exchange 1   50,000    203,476 
Insignia Financial 1   55,000    149,829 
Intermediate Capital Group 1   39,111    908,959 
JSE 1   51,000    390,878 
Jupiter Fund Management 1   106,900    289,112 
KKR & Co.   19,120    1,117,946 
MarketAxess Holdings   1,581    537,856 
MarketWise Cl. A 2   88,300    416,776 
NZX 1   580,000    572,347 
RF Capital Group 2   10,800    149,454 
Rothschild & Co 1   13,900    548,018 
SEI Investments   7,950    478,670 
Silvercrest Asset Management Group Cl. A   27,612    564,665 
Sprott   40,500    2,030,588 
StoneX Group 2   9,846    730,869 
Tel Aviv Stock Exchange 1   273,000    1,397,536 
U.S. Global Investors Cl. A   165,500    860,600 
Warsaw Stock Exchange 1   23,169    224,801 
Westaim Corporation (The) 2   105,000    198,216 
Total        18,008,976 
           
Closed-End Funds - 1.0%          
Eagle Point Income   19,341    325,896 
Total        325,896 
           
Diversified Financial Services - 2.4%          
Banco Latinoamericano de Comercio Exterior Cl. E   25,700    400,406 
ECN Capital   75,000    400,152 
Total        800,558 
 
Electronic Equipment, Instruments & Components - 1.4%          
Vontier Corporation   18,600    472,254 
Total        472,254 
           
Insurance - 6.4%          
Axis Capital Holdings   11,554    698,671 
E-L Financial   1,638    1,156,944 
James River Group Holdings   13,700    338,938 
Total        2,194,553 
           
IT Services - 1.2%          
PayPal Holdings 2   3,466    400,843 
Total        400,843 
           
Metals & Mining - 4.5%          
Franco-Nevada   9,523    1,519,109 
Total        1,519,109 
           
Professional Services - 0.4%          
Quess Corp 1   17,756    153,288 
Total        153,288 
           
Real Estate Management & Development - 7.7%          
Altus Group   23,760    959,789 
FirstService Corporation   8,379    1,213,949 
FRP Holdings 2   7,957    459,915 
Total        2,633,653 
           
Software - 3.3%          
Benefitfocus 2   10,600    133,772 
Bottomline Technologies 2   9,800    555,464 
Envestnet 2   6,000    446,640 
Total        1,135,876 
           
Thrifts & Mortgage Finance - 1.2%          
Provident Bancorp   25,000    405,500 
Total        405,500 
           
TOTAL COMMON STOCKS          
(Cost $18,119,357)        33,797,055 
           
REPURCHASE AGREEMENT – 0.7%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $216,043 (collateralized

by obligations of various U.S. Government

Agencies, 0.375% due 9/15/24, valued at $220,443)

          
(Cost $216,043)        216,043 
           
TOTAL INVESTMENTS – 100.0%          
(Cost $18,335,400)        34,013,098 
           
CASH AND OTHER ASSETS LESS LIABILITIES – 0.0%        15,211 
           
NET ASSETS – 100.0%       $34,028,309 

 

 

SCHEDULES OF INVESTMENTS 

ROYCE INTERNATIONAL PREMIER FUND 

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
           
COMMON STOCKS – 93.0%          
           
Australia – 10.1%          
Bravura Solutions 1,3   16,315,230   $21,591,972 
Cochlear 1   64,300    10,712,308 
Hansen Technologies 1   8,522,446    36,574,603 
IPH 1   6,514,319    38,468,913 
Total        107,347,796 
           
Brazil – 2.8%          
Odontoprev   7,731,500    20,363,788 
TOTVS   1,282,900    9,802,859 
Total        30,166,647 
           
Canada – 5.0%          
Altus Group   331,400    13,386,954 
Enghouse Systems   630,400    19,928,335 
LifeWorks   1,124,500    19,447,018 
Total        52,762,307 
           
Denmark – 2.8%          
Chr. Hansen Holding 1   245,700    18,055,705 
SimCorp 1   159,300    11,602,532 
Total        29,658,237 
           
Germany – 4.7%          
Amadeus Fire 1   62,798    10,027,209 
New Work 1   116,944    23,918,528 
Norma Group 1   542,600    15,606,363 
Total        49,552,100 
           
Iceland – 2.9%          
Marel 1   3,045,870    17,908,708 
Ossur 1,2   2,309,266    13,478,449 
Total        31,387,157 
           
India – 1.3%          
AIA Engineering 1   626,411    13,350,939 
Total        13,350,939 
           
Italy – 5.6%          
Carel Industries 1   556,148    14,198,974 
DiaSorin 1   148,463    23,246,617 
GVS 1   2,482,312    22,518,376 
Total        59,963,967 
           
Japan – 17.0%          
As One 1   299,100    17,652,430 
BML 1   737,100    18,606,668 
Daifuku 1   133,100    9,508,310 
Fukui Computer Holdings 1   744,000    19,746,980 
JCU 1   342,400    11,556,873 
Meitec Corporation 1   368,000    19,985,507 
NSD 1   788,700    14,089,769 
OBIC Business Consultants 1   700,300    24,344,827 
TKC Corporation 1   1,209,300    32,871,822 
USS 1   770,600    12,961,378 
Total        181,324,564 
           
Netherlands – 1.4%          
IMCD 1   90,900    15,455,513 
Total        15,455,513 
           
New Zealand – 1.0%          
Fisher & Paykel Healthcare 1   605,000    10,166,062 
Total        10,166,062 
           
Poland – 1.5%          
Asseco Poland 1   848,400    16,242,029 
Total        16,242,029 
           
Singapore – 1.4%          
XP Power 1   319,640    14,515,839 
Total        14,515,839 
           
South Korea – 3.7%          
Douzone Bizon 1   327,700    12,493,344 
NICE Information Service 1   1,658,400    26,868,987 
Total        39,362,331 
           
Sweden – 9.3%          
Alimak Group 1   1,756,300    19,672,232 
Bravida Holding 1   1,246,828    14,328,440 
Hexpol 1   1,152,200    11,227,611 
Karnov Group 1   3,242,913    20,566,481 
Lagercrantz Group 1   449,095    5,078,843 
Loomis 1   1,010,200    27,620,842 
Total        98,494,449 
           
Switzerland – 6.6%          
dormakaba Holding 1   26,600    13,623,626 
Kardex Holding 1   68,700    15,724,989 
LEM Holding 1   5,600    13,535,764 
Partners Group Holding 1   10,400    12,920,618 
VZ Holding 1   155,385    14,696,624 
Total        70,501,621 
           
United Kingdom – 15.9%          
Ashmore Group 1   4,550,650    13,814,849 
Croda International 1   162,600    16,710,733 
Diploma 1   309,798    10,653,635 
DiscoverIE Group 1   1,774,200    18,246,412 
Learning Technologies Group 1   10,196,000    21,686,380 
Marlowe 1,2   1,827,045    21,562,241 
Restore 1   3,966,539    23,885,277 
Spirax-Sarco Engineering 1   119,700    19,615,552 
Victrex 1   958,845    22,927,456 
Total        169,102,535 
           
TOTAL COMMON STOCKS          
(Cost $943,282,760)        989,354,093 
           
PREFERRED STOCK– 2.1%          
Germany – 2.1%          
FUCHS PETROLUB 1   616,800    22,407,219 
(Cost $27,816,511)   22,407,219 
      
REPURCHASE AGREEMENT – 4.4%     

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $46,945,174 (collateralized

by obligations of various U.S. Government

Agencies, 0.375% due 9/15/24, valued at $47,884,128)

     
(Cost $46,945,174)   46,945,174 
      
TOTAL INVESTMENTS – 99.5%     
(Cost $1,018,044,445)   1,058,706,486 
      
CASH AND OTHER ASSETS LESS LIABILITIES – 0.5%   4,843,838 
      
NET ASSETS – 100.0%  $1,063,550,324 

 

 

SCHEDULES OF INVESTMENTS 

ROYCE MICRO-CAP FUND 

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
           
COMMON STOCKS – 96.8%          
           
Communication Services – 3.9%          
Entertainment - 1.8%          
Chicken Soup for the Soul Entertainment Cl. A 2   212,621   $1,698,842 
Gaia Cl. A 2   348,700    1,715,604 
IMAX Corporation 2   169,200    3,202,956 
         6,617,402 
Interactive Media & Services - 1.1%          
Enthusiast Gaming Holdings 2   605,100    1,461,746 
QuinStreet 2   210,246    2,438,854 
         3,900,600 
Media - 1.0%          
Magnite 2,4   63,000    832,230 
Thryv Holdings 2   97,704    2,747,436 
         3,579,666 
Total        14,097,668 
           
Consumer Discretionary – 10.7%          
Auto Components - 1.8%          
Modine Manufacturing 2   296,500    2,671,465 
Stoneridge 2   152,600    3,167,976 
Unique Fabricating 2   373,951    710,507 
         6,549,948 
Hotels, Restaurants & Leisure - 2.1%          
Century Casinos 2   346,100    4,135,895 
Lindblad Expeditions Holdings 2   215,400    3,248,232 
         7,384,127 
Household Durables - 0.7%          
Legacy Housing 2   123,473    2,649,731 
Leisure Products - 0.8%          
MasterCraft Boat Holdings 2   113,600    2,795,696 
Specialty Retail - 3.8%          
Barnes & Noble Education 2   303,400    1,086,172 
Chico's FAS 2   487,500    2,340,000 
Citi Trends 2   66,024    2,021,985 
JOANN   98,700    1,126,167 
OneWater Marine Cl. A   58,200    2,004,990 
Shoe Carnival   101,822    2,969,129 
Zumiez 2   54,900    2,097,729 
         13,646,172 
Textiles, Apparel & Luxury Goods - 1.5%          
Fossil Group 2   211,900    2,042,716 
Vera Bradley 2   414,400    3,178,448 
         5,221,164 
Total        38,246,838 
           
Energy – 2.5%          
Energy Equipment & Services - 2.5%          
Natural Gas Services Group 2   323,313    3,850,658 
Newpark Resources 2   881,300    3,225,558 
Profire Energy 2   1,389,432    1,806,261 
Total        8,882,477 
           
Financials – 13.9%          
Banks - 6.1%          
Allegiance Bancshares   73,800    3,297,384 
BayCom Corporation   171,342    3,730,115 
Caribbean Investment Holdings 2,5   1,858,138    646,850 
HarborOne Bancorp   255,953    3,588,461 
HBT Financial   195,400    3,552,372 
HomeTrust Bancshares   125,600    3,708,968 
Investar Holding Corporation   180,900    3,453,381 
Midway Investments 2,5   1,858,170    0 
         21,977,531 
Capital Markets - 5.0%          
B. Riley Financial   51,700    3,616,932 
Canaccord Genuity Group   345,760    3,415,699 
Silvercrest Asset Management Group Cl. A   184,600    3,775,070 
Sprott   78,480    3,934,829 
StoneX Group 2   42,500    3,154,775 
         17,897,305 
Thrifts & Mortgage Finance - 2.8%          
PCSB Financial   174,400    3,332,784 
Territorial Bancorp   122,408    2,937,792 
Western New England Bancorp   428,400    3,829,896 
         10,100,472 
Total        49,975,308 
           
Health Care – 11.6%          
Biotechnology - 1.7%          
CareDx 2   32,200    1,191,078 
Dynavax Technologies 2   198,000    2,146,320 
MeiraGTx Holdings 2   198,900    2,754,765 
         6,092,163 
Health Care Equipment & Supplies - 6.8%          
Apyx Medical 2   294,727    1,924,567 
Artivion 2   149,055    3,186,796 
AtriCure 2   42,800    2,810,676 
Bioventus Cl. A 2   298,364    4,206,933 
Cutera 2   64,400    4,443,600 
OrthoPediatrics Corp. 2   53,900    2,910,061 
Profound Medical 2   203,000    1,826,781 
Surmodics 2   63,822    2,893,051 
         24,202,465 
Health Care Providers & Services - 0.6%          
Sharps Compliance 2   395,000    2,330,500 
Life Sciences Tools & Services - 2.5%          
Harvard Bioscience 2   663,052    4,117,553 
Inotiv 2,4   89,500    2,343,110 
NeoGenomics 2   43,900    533,385 
Quanterix Corporation 2   61,600    1,798,104 
         8,792,152 
Total        41,417,280 
           
Industrials – 23.7%          
Aerospace & Defense - 2.2%          
Astronics Corporation 2   237,400    3,069,582 
Cadre Holdings   139,200    3,418,752 
CPI Aerostructures 2   468,290    1,381,456 
         7,869,790 
Building Products - 0.8%          
Quanex Building Products   136,400    2,863,036 
Commercial Services & Supplies - 2.6%          
Acme United   72,400    2,443,500 
Heritage-Crystal Clean 2   124,474    3,685,675 
VSE Corporation   71,000    3,272,390 
         9,401,565 
Construction & Engineering - 4.7%          
Ameresco Cl. A 2   27,800    2,210,100 
Concrete Pumping Holdings 2   260,100    1,742,670 
Construction Partners Cl. A 2   128,700    3,369,366 
IES Holdings 2   54,800    2,202,960 
Northwest Pipe 2   144,600    3,680,070 
NV5 Global 2   26,200    3,492,460 
         16,697,626 
Electrical Equipment - 0.6%          
American Superconductor 2   243,700    1,854,557 
Power Solutions International 1,2   99,900    312,687 
         2,167,244 
Machinery - 5.3%          
Alimak Group 1   196,200    2,197,627 
CIRCOR International 2   83,200    2,214,784 
Commercial Vehicle Group 2   105,300    889,785 
Graham Corporation 2   234,903    1,811,102 
Luxfer Holdings   165,500    2,780,400 
Porvair 1   313,000    2,579,656 
Shyft Group (The)   90,100    3,253,511 
Wabash National   206,400    3,062,976 
Westport Fuel Systems 2   231,300    365,454 
         19,155,295 
Marine - 1.0%          
Clarkson 1   78,024    3,766,651 
Professional Services - 4.6%          
CRA International   33,883    2,854,982 
Forrester Research 2   59,900    3,379,558 
Heidrick & Struggles International   80,740    3,195,689 
Kforce   48,232    3,567,721 
Resources Connection   198,152    3,396,325 
         16,394,275 
Trading Companies & Distributors - 1.9%          
Lawson Products 2   71,265    2,746,553 
Transcat 2   48,474    3,933,180 
         6,679,733 
Total        84,995,215 
           
Information Technology – 24.6%          
Communications Equipment - 3.9%          
Clearfield 2   31,400    2,047,908 
Comtech Telecommunications   109,202    1,713,379 
Digi International 2   189,900    4,086,648 
EMCORE Corporation 2   449,400    1,662,780 
Genasys 2   553,301    1,521,578 
Harmonic 2   306,600    2,848,314 
         13,880,607 
Electronic Equipment, Instruments & Components - 5.4%          
Arlo Technologies 2   193,600    1,715,296 
FARO Technologies 2   45,000    2,336,400 
LightPath Technologies Cl. A 2   828,984    1,633,099 
Luna Innovations 2   463,800    3,575,898 
nLIGHT 2   117,650    2,040,051 
PAR Technology 2   55,000    2,218,700 
PowerFleet 2   551,219    1,637,120 
VIA optronics ADR 2   132,968    1,063,744 
Vishay Precision Group 2   97,100    3,121,765 
         19,342,073 
IT Services - 1.6%          
Cass Information Systems   63,916    2,359,140 
Computer Task Group 2   328,626    3,210,676 
         5,569,816 
Semiconductors & Semiconductor Equipment - 11.4%          
Aehr Test Systems 2   186,359    1,893,407 
Amtech Systems 2   146,811    1,476,919 
Axcelis Technologies 2   48,900    3,693,417 
AXT 2   462,100    3,243,942 
Camtek 2   95,900    2,921,114 
Cohu 2   94,000    2,782,400 
CyberOptics Corporation 2   79,337    3,219,495 
FormFactor 2   70,400    2,958,912 
Ichor Holdings 2   76,700    2,732,054 
Nova 2   27,700    3,015,976 
NVE Corporation   44,216    2,408,446 
PDF Solutions 2   110,500    3,079,635 
Photronics 2   234,800    3,984,556 
Ultra Clean Holdings 2   82,300    3,488,697 
         40,898,970 
Software - 1.1%          
Agilysys 2   70,321    2,804,401 
GTY Technology Holdings 2   358,803    1,158,934 
         3,963,335 
Technology Hardware, Storage & Peripherals - 1.2%          
AstroNova 2   222,276    3,371,927 
Intevac 2   180,900    967,815 
         4,339,742 
Total        87,994,543 
           
Materials – 5.4%          
Chemicals - 0.9%          
Aspen Aerogels 2   91,700    3,161,816 
Metals & Mining - 4.5%          
Altius Minerals   138,500    2,669,960 
Ferroglobe 2   186,100    1,432,970 
Haynes International   93,130    3,967,338 
Major Drilling Group International 2   515,400    5,017,332 
Universal Stainless & Alloy Products 2   342,900    2,976,372 
         16,063,972 
Total        19,225,788 
           
Real Estate – 0.5%          
Real Estate Management & Development - 0.5%          
FRP Holdings 2   29,575    1,709,435 
Total        1,709,435 
           
TOTAL COMMON STOCKS          
(Cost $254,545,806)        346,544,552 
 
REPURCHASE AGREEMENT – 3.2%    

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $11,649,439 (collateralized

by obligations of various U.S. Government

Agencies, 0.375% due 9/15/24, valued at $11,882,508)

     
(Cost $11,649,439)   11,649,439 
      
TOTAL INVESTMENTS – 100.0%     
(Cost $266,195,245)   358,193,991 
      
LIABILITIES LESS CASH AND OTHER ASSETS – (0.0)%   (31,127)
      
NET ASSETS – 100.0%  $358,162,864 

 

 

SCHEDULES OF INVESTMENTS

ROYCE OPPORTUNITY FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 96.1%          
           
Communication Services – 2.8%          
Diversified Telecommunication Services - 0.3%          
Ooma 2   348,278   $5,220,687 
Entertainment - 0.4%          
Marcus Corporation (The) 2   393,800    6,970,260 
Interactive Media & Services - 0.9%          
Cars.com 2   277,100    3,998,553 
DHI Group 2   656,628    3,906,937 
QuinStreet 2   627,500    7,279,000 
         15,184,490 
Media - 1.2%          
comScore 2   1,943,562    5,655,765 
Entravision Communications Cl. A   1,011,800    6,485,638 
Thryv Holdings 2   283,738    7,978,713 
         20,120,116 
Total        47,495,553 
           
Consumer Discretionary – 16.3%          
Auto Components - 2.9%          
Adient 2   79,600    3,245,292 
Dana   488,353    8,580,362 
Garrett Motion 2   826,385    5,941,708 
Goodyear Tire & Rubber 2   336,400    4,807,156 
Horizon Global 2   1,198,916    6,845,810 
Modine Manufacturing 2   982,363    8,851,091 
Stoneridge 2   519,880    10,792,709 
         49,064,128 
Diversified Consumer Services - 1.1%          
Adtalem Global Education 2   147,200    4,373,312 
American Public Education 2   469,400    9,970,056 
Regis Corporation 2   855,427    1,813,505 
Zovio 2,4   1,580,088    1,295,830 
         17,452,703 
Hotels, Restaurants & Leisure - 1.1%          
Carrols Restaurant Group   791,792    1,789,450 
Century Casinos 2   287,694    3,437,943 
Krispy Kreme   279,200    4,146,120 
Noodles & Company Cl. A 2   561,254    3,350,686 
Ruth’s Hospitality Group   255,310    5,841,493 
         18,565,692 
Household Durables - 2.5%          
Beazer Homes USA 2   296,306    4,509,777 
Cavco Industries 2   11,100    2,673,435 
Century Communities   84,700    4,537,379 
Dixie Group (The) 2   571,206    1,770,739 
GoPro Cl. A 2,4   597,800    5,099,234 
LGI Homes 2,4   33,170    3,240,046 
Skyline Champion 2   102,300    5,614,224 
Taylor Morrison Home 2   202,154    5,502,632 
Toll Brothers   102,686    4,828,296 
Tri Pointe Homes 2   227,906    4,576,352 
         42,352,114 
Internet & Direct Marketing Retail - 0.7%        
iMedia Brands 2,4   627,960    3,786,599 
Overstock.com 2   188,700    8,303,743 
         12,090,342 
Multiline Retail - 0.7%          
Dillard’s Cl. A   22,133    5,940,276 
Nordstrom   223,200    6,050,952 
         11,991,228 
Specialty Retail - 5.3%          
Aaron’s Company (The)   117,800    2,365,424 
Asbury Automotive Group 2   53,900    8,634,780 
Barnes & Noble Education 2   914,532    3,274,025 
Bed Bath & Beyond 2   185,500    4,179,315 
Caleres   280,700    5,425,931 
Chico’s FAS 2   1,069,492    5,133,562 
Conn’s 2   434,204    6,691,084 
Designer Brands Cl. A 2   560,179    7,568,018 
Express 2   1,027,400    3,657,544 
Guess?   282,594    6,174,679 
J.Jill 2,4   312,789    4,745,009 
JOANN   589,805    6,729,675 
Kirkland’s 2   323,600    3,006,244 
LL Flooring Holdings 2   495,500    6,946,910 
Sonic Automotive Cl. A   110,800    4,710,108 
Sportsman’s Warehouse Holdings 2   298,600    3,192,034 
Victoria’s Secret & Co. 2   152,829    7,849,297 
         90,283,639 
Textiles, Apparel & Luxury Goods - 2.0%          
Fossil Group 2   760,700    7,333,148 
Rocky Brands   149,400    6,213,546 
Skechers U.S.A. Cl. A 2   180,322    7,349,925 
Unifi 2   451,900    8,179,390 
Vera Bradley 2   641,602    4,921,087 
         33,997,096 
Total        275,796,942 
           
Consumer Staples – 1.1%          
Food Products - 0.4%          
Calavo Growers   157,741    5,749,660 
Household Products - 0.7%          
Central Garden & Pet Cl. A 2   76,100    3,103,358 
Spectrum Brands Holdings   101,500    9,005,080 
         12,108,438 
Personal Products - 0.0%          
LifeMD 2   5,176    18,271 
Total        17,876,369 
           
Energy – 5.1%          
Energy Equipment & Services - 0.9%          
Archrock   445,800    4,114,734 
DMC Global 2   207,600    6,331,800 
Mammoth Energy Services 2   822,195    1,751,275 
Ranger Energy Services Cl. A 2   268,256    2,749,624 
         14,947,433 
Oil, Gas & Consumable Fuels - 4.2%          
Ardmore Shipping 2   1,152,593    5,186,669 
Baytex Energy 1,2   1,117,900    4,896,402 
Chesapeake Energy   105,700    9,195,900 
Dorian LPG   614,392    8,902,540 
Earthstone Energy Cl. A 2   749,672    9,468,357 
Matador Resources   172,783    9,154,043 
Navigator Holdings 2   594,484    7,258,650 
Northern Oil and Gas   189,600    5,344,824 
Scorpio Tankers   386,500    8,263,370 
Southwestern Energy 2   658,081    4,718,441 
         72,389,196 
Total        87,336,629 
           
Financials – 4.9%          
Banks - 2.1%          
BayCom Corporation   244,959    5,332,757 
First Bancshares (The)   137,200    4,618,152 
First Foundation   277,600    6,742,904 
Hilltop Holdings   310,008    9,114,235 
Seacoast Banking Corporation of Florida   268,650    9,408,123 
         35,216,171 
Capital Markets - 1.0%          
B. Riley Financial   167,467    11,715,991 
Moelis & Company Cl. A   98,026    4,602,321 
         16,318,312 
Insurance - 1.1%          
Brighthouse Financial 2   173,700    8,973,342 
Old Republic International   275,600    7,129,772 
Stewart Information Services   43,152    2,615,443 
         18,718,557 
Thrifts & Mortgage Finance - 0.7%          
Axos Financial 2   160,300    7,436,317 
Walker & Dunlop   35,688    4,618,741 
         12,055,058 
Total        82,308,098 
           
Health Care – 4.8%          
Biotechnology - 0.3%          
Emergent BioSolutions 2   112,226    4,608,000 
Health Care Equipment & Supplies - 1.3%          
Accuray 2   1,523,508    5,042,811 
Bioventus Cl. A 2   574,415    8,099,252 
Orthofix Medical 2   101,396    3,315,649 
Varex Imaging 2   263,746    5,615,152 
         22,072,864 
Health Care Providers & Services - 2.6%          
ATI Physical Therapy Cl. A 2,4   852,300    1,602,324 
Community Health Systems 2   465,514    5,525,651 
Covetrus 2   170,000    2,854,300 
Cross Country Healthcare 2   441,620    9,569,905 
InnovAge Holding 2,4   363,000    2,330,460 
Option Care Health 2   243,471    6,953,532 
Owens & Minor   156,507    6,889,438 
RadNet 2   158,700    3,550,119 
Select Medical Holdings   207,400    4,975,526 
         44,251,255 
Life Sciences Tools & Services - 0.1%          
NeoGenomics 2   194,100    2,358,315 
Pharmaceuticals - 0.5%          
Organon & Co   255,603    8,928,213 
Total        82,218,647 
 
Industrials – 29.3%        
Aerospace & Defense - 4.7%          
AAR Corporation 2   269,700    13,061,571 
Aerojet Rocketdyne Holdings 2   142,100    5,591,635 
Astronics Corporation 2   753,500    9,742,755 
BWX Technologies   85,900    4,626,574 
Ducommun 2   223,986    11,734,627 
Hexcel Corporation   176,000    10,466,720 
Spirit AeroSystems Holdings Cl. A   219,900    10,750,911 
Triumph Group 2   549,716    13,896,820 
         79,871,613 
Air Freight & Logistics - 1.2%          
Atlas Air Worldwide Holdings 2,4   93,536    8,078,704 
Hub Group Cl. A 2   90,000    6,948,900 
Radiant Logistics 2   685,069    4,363,890 
         19,391,494 
Airlines - 1.6%          
Alaska Air Group 2   132,000    7,657,320 
Allegiant Travel 2   29,125    4,729,609 
JetBlue Airways 2   624,800    9,340,760 
Mesa Air Group 2   1,182,946    5,204,962 
         26,932,651 
Building Products - 2.5%          
Apogee Enterprises   129,600    6,150,816 
Gibraltar Industries 2   76,800    3,298,560 
Griffon Corporation   372,667    7,464,520 
Insteel Industries   149,233    5,520,129 
JELD-WEN Holding 2   356,713    7,234,140 
PGT Innovations 2   181,143    3,256,951 
Resideo Technologies 2,4   363,916    8,672,118 
         41,597,234 
Commercial Services & Supplies - 3.7%          
Healthcare Services Group   307,000    5,700,990 
Heritage-Crystal Clean 2   295,988    8,764,205 
Interface   503,867    6,837,475 
KAR Auction Services 2   326,880    5,900,184 
MillerKnoll   266,900    9,224,064 
Pitney Bowes   1,430,694    7,439,609 
Steelcase Cl. A   614,300    7,340,885 
VSE Corporation   256,532    11,823,560 
         63,030,972 
Construction & Engineering - 3.6%          
Arcosa   204,606    11,713,693 
Comfort Systems USA   57,710    5,136,767 
Concrete Pumping Holdings 2   838,799    5,619,953 
Construction Partners Cl. A 2   283,459    7,420,957 
Limbach Holdings 2,3   673,808    4,682,966 
Matrix Service 2   764,046    6,280,458 
Northwest Pipe 2   399,936    10,178,371 
Orion Group Holdings 2   833,053    2,065,971 
Primoris Services   334,980    7,979,224 
         61,078,360 
Electrical Equipment - 0.8%          
Babcock & Wilcox Enterprises 2   1,224,595    9,992,695 
LSI Industries   485,973    2,915,838 
Power Solutions International 1,2   343,740    1,075,906 
         13,984,439 
Machinery - 5.6%          
Barnes Group   210,500    8,459,995 
CIRCOR International 2   289,303    7,701,246 
Commercial Vehicle Group 2   858,857    7,257,342 
EnPro Industries   105,100    10,271,423 
Evercel 1,2   203,243    323,156 
Hurco Companies   77,351    2,438,103 
Hyster-Yale Materials Handling Cl. A   47,066    1,563,062 
Luxfer Holdings   480,400    8,070,720 
Manitex International 2   862,976    6,282,465 
NN 2   1,310,065    3,772,987 
Park-Ohio Holdings   185,868    2,615,163 
Shyft Group (The)   247,538    8,938,597 
Trinity Industries   339,424    11,662,609 
Twin Disc 2   327,853    5,455,474 
Wabash National   630,900    9,362,556 
Westport Fuel Systems 2   684,433    1,081,404 
         95,256,302 
Marine - 0.2%          
Diana Shipping   654,410    3,533,814 
Professional Services - 1.6%          
Heidrick & Struggles International   160,665    6,359,121 
Korn Ferry   124,945    8,113,928 
Mistras Group 2   591,507    3,909,861 
TrueBlue 2   314,836    9,095,612 
         27,478,522 
Road & Rail - 0.4%          
Daseke 2   521,300    5,249,491 
U.S. Xpress Enterprises Cl. A 2   545,928    2,118,201 
         7,367,692 
Trading Companies & Distributors - 3.4%          
Air Lease Cl. A   262,238    11,708,927 
BlueLinx Holdings 2   130,900    9,409,092 
Herc Holdings   51,519    8,608,310 
Hudson Technologies 2   742,918    4,613,521 
Univar Solutions 2   381,800    12,271,052 
WESCO International 2   88,804    11,556,952 
         58,167,854 
Total        497,690,947 
           
Information Technology – 18.8%          
Communications Equipment - 5.0%          
ADTRAN   528,400    9,748,980 
Applied Optoelectronics 2   769,700    2,809,405 
Aviat Networks 2   295,778    9,101,089 
CalAmp Corporation 2   1,066,500    7,796,115 
Cambium Networks 2   244,281    5,774,803 
Ceragon Networks 2,4   749,466    1,596,363 
Comtech Telecommunications   436,217    6,844,245 
Digi International 2   569,002    12,244,923 
DZS 2   685,329    9,505,513 
Infinera Corporation 2,4   679,346    5,889,930 
PCTEL 2,3   1,031,093    4,784,271 
Sierra Wireless 2   442,291    7,978,930 
         84,074,567 
Electronic Equipment, Instruments & Components - 4.8%          
Advanced Energy Industries   133,153    11,461,810 
Arlo Technologies 2,4   480,500    4,257,230 
Avnet   177,700    7,212,843 
Benchmark Electronics   217,200    5,438,688 
CTS Corporation   261,614    9,245,439 
Fabrinet 2   90,529    9,517,314 
Frequency Electronics 2   289,393    2,517,719 
Identiv 2   185,120    2,993,390 
Knowles Corporation 2   510,420    10,989,343 
nLIGHT 2   205,800    3,568,572 
VIA optronics ADR 2   730,832    5,846,656 
Vishay Intertechnology   422,409    8,279,216 
         81,328,220 
IT Services - 0.7%          
Conduent 2   914,900    4,720,884 
Limelight Networks 2   203,600    1,062,792 
TTEC Holdings   80,200    6,618,104 
         12,401,780 
Semiconductors & Semiconductor Equipment - 5.0%          
Alpha & Omega Semiconductor 2   114,413    6,252,670 
Amkor Technology   431,940    9,381,737 
Amtech Systems 2   618,984    6,226,979 
Cohu 2   326,276    9,657,770 
FormFactor 2   199,613    8,389,734 
Ichor Holdings 2   280,394    9,987,634 
Kulicke & Soffa Industries   152,165    8,524,283 
Onto Innovation 2   64,719    5,623,434 
Ultra Clean Holdings 2   231,627    9,818,669 
Veeco Instruments 2   425,087    11,558,116 
         85,421,026 
Software - 2.4%          
A10 Networks   532,126    7,423,158 
Avaya Holdings 2   572,654    7,255,526 
Ebix   180,400    5,980,260 
InterDigital   65,100    4,153,380 
Kaleyra 2,4   704,257    4,211,457 
Marin Software 2   538,350    1,550,448 
ON24 2   277,200    3,645,180 
SecureWorks Corp. Cl. A 2,4   420,062    5,565,821 
         39,785,230 
Technology Hardware, Storage & Peripherals - 0.9%          
Avid Technology 2   223,885    7,806,870 
Immersion Corporation 2   692,600    3,850,856 
Intevac 2   701,702    3,754,106 
         15,411,832 
Total        318,422,655 
           
Materials – 10.5%          
Chemicals - 2.9%          
AdvanSix   112,212    5,732,911 
American Vanguard   94,314    1,916,461 
Huntsman Corporation   273,700    10,266,487 
Intrepid Potash 2   67,482    5,542,972 
Livent Corporation 2,4   239,800    6,251,586 
LSB Industries 2   435,962    9,521,410 
Trecora Resources 2   630,431    5,333,446 
Tronox Holdings   240,700    4,763,453 
         49,328,726 
Containers & Packaging - 0.5%          
TriMas Corporation   258,410    8,292,377 
Metals & Mining - 6.7%          
Allegheny Technologies 2   498,514    13,380,116 
Carpenter Technology   292,842    12,293,507 
Century Aluminum 2   372,010    9,787,583 
Cleveland-Cliffs 2   389,249    12,537,710 
Coeur Mining 2   878,332    3,908,577 
Commercial Metals   282,700    11,765,974 
Ferroglobe 2   1,260,971    9,709,477 
Haynes International   309,461    13,183,039 
Major Drilling Group International 2   838,900    8,166,550 
Noranda Aluminum Holding Corporation 2,5   488,157    0 
Olympic Steel   170,995    6,576,468 
TimkenSteel Corporation 2   587,100    12,845,748 
         114,154,749 
Paper & Forest Products - 0.4%          
Glatfelter Corporation   539,445    6,678,329 
Total        178,454,181 
           
Real Estate – 2.5%          
Equity Real Estate Investment Trusts (REITs) - 2.1%          
Alexander & Baldwin   310,500    7,200,495 
Braemar Hotels & Resorts   489,753    3,026,673 
Chatham Lodging Trust 2   260,800    3,596,432 
Macerich Company   611,700    9,566,988 
Ryman Hospitality Properties 2   45,271    4,199,791 
Tanger Factory Outlet Centers   518,600    8,914,734 
         36,505,113 
Real Estate Management & Development - 0.4%          
Realogy Holdings 2   399,820    6,269,178 
Total        42,774,291 
           
TOTAL COMMON STOCKS          
(Cost $1,346,777,772)        1,630,374,312 
           
REPURCHASE AGREEMENT – 3.6%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $60,498,812 (collateralized

by obligations of various U.S. Government

Agencies, 0.125% due 10/15/24, valued at $61,708,824)
(Cost $60,498,812)

        60,498,812 
           
COLLATERAL RECEIVED FOR SECURITIES          
LOANED – 0.2%          

Money Market Funds

Federated Government Obligations Fund -

Institutional Shares (7 day yield-0.14%)
(Cost $4,096,215)

   4,096,215    4,096,215 
           
TOTAL INVESTMENTS – 99.9%          
(Cost $1,411,372,799)        1,694,969,339 
           
CASH AND OTHER ASSETS          
LESS LIABILITIES – 0.1%        1,475,033 
           
NET ASSETS – 100.0%       $1,696,444,372 

 

 

 

SCHEDULES OF INVESTMENTS

ROYCE PENNSYLVANIA MUTUAL FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 96.9%          
           
Communication Services – 2.3%          
Diversified Telecommunication Services - 0.2%          
Liberty Latin America Cl. C 2   375,620   $3,602,196 
Entertainment - 0.3%          
Chicken Soup for the Soul          
Entertainment Cl. A 2   33,785    269,942 
IMAX Corporation 2   240,219    4,547,346 
World Wrestling Entertainment Cl. A   38,514    2,404,814 
         7,222,102 
Interactive Media & Services - 1.1%          
QuinStreet 2   78,343    908,779 
Ziff Davis 2   173,659    16,806,718 
ZipRecruiter Cl. A 2   126,800    2,913,864 
         20,629,361 
Media - 0.7%          
Magnite 2   200,100    2,643,321 
Media General (Rights) 2,5   102,272    0 
New York Times Cl. A   165,886    7,604,214 
TechTarget 2,4   41,200    3,348,736 
         13,596,271 
Total        45,049,930 
           
Consumer Discretionary – 9.3%          
Auto Components - 1.9%          
Dorman Products 2   98,232    9,334,987 
Fox Factory Holding Corporation 2   17,800    1,743,510 
Gentex Corporation   294,056    8,577,613 
LCI Industries   67,565    7,013,923 
Patrick Industries   96,957    5,846,507 
Standard Motor Products   36,568    1,577,543 
Stoneridge 2   103,047    2,139,256 
         36,233,339 
Automobiles - 0.3%          
Winnebago Industries   113,253    6,119,060 
Distributors - 0.2%          
LKQ Corporation   76,921    3,492,983 
Diversified Consumer Services - 0.2%          
H&R Block   72,077    1,876,885 
Lincoln Educational Services 2   368,796    2,636,891 
         4,513,776 
Hotels, Restaurants & Leisure - 1.2%          
Century Casinos 2   490,241    5,858,380 
Scientific Games 2   214,147    12,581,136 
Texas Roadhouse   41,400    3,466,422 
         21,905,938 
Household Durables - 1.1%          
La-Z-Boy   127,542    3,363,283 
Legacy Housing 2   97,929    2,101,556 
M/I Homes 2   55,123    2,444,705 
PulteGroup   100,553    4,213,171 
Skyline Champion 2   176,864    9,706,296 
         21,829,011 
Internet & Direct Marketing Retail - 0.0%        
1-800-FLOWERS.COM Cl. A 2   23,842    304,224 
Leisure Products - 0.9%          
Brunswick Corporation   60,869    4,923,694 
Malibu Boats Cl. A 2   68,738    3,987,491 
MasterCraft Boat Holdings 2   367,185    9,036,423 
         17,947,608 
Multiline Retail - 0.2%          
Franchise Group Cl. A   78,752    3,262,695 
Specialty Retail - 2.3%          
Aaron’s Company (The)   193,427    3,884,014 
American Eagle Outfitters   187,369    3,147,799 
Asbury Automotive Group 2   93,172    14,926,154 
Haverty Furniture   149,042    4,086,732 
JOANN   112,561    1,284,321 
Lazydays Holdings 2,4   220,273    4,445,109 
OneWater Marine Cl. A   117,310    4,041,330 
Shoe Carnival   270,778    7,895,886 
         43,711,345 
Textiles, Apparel & Luxury Goods - 1.0%          
Levi Strauss & Co. Cl. A   185,054    3,656,667 
Movado Group   106,601    4,162,769 
Ralph Lauren Cl. A   65,651    7,447,450 
Wolverine World Wide   202,047    4,558,180 
         19,825,066 
Total        179,145,045 
           
Consumer Staples – 1.3%          
Food Products - 0.4%          
Nomad Foods 2   150,865    3,406,532 
Seneca Foods Cl. A 2   92,085    4,746,061 
         8,152,593 
Household Products - 0.3%          
Spectrum Brands Holdings   56,786    5,038,054 
Personal Products - 0.6%          
Inter Parfums   129,303    11,385,129 
Total        24,575,776 
           
Energy – 2.2%          
Energy Equipment & Services - 1.3%          
Computer Modelling Group   2,652,180    11,371,184 
Pason Systems   1,108,148    13,570,968 
         24,942,152 
Oil, Gas & Consumable Fuels - 0.9%          
Antero Resources 2   194,324    5,932,712 
Oasis Petroleum   13,600    1,989,680 
PDC Energy   79,158    5,753,203 
Whiting Petroleum   35,100    2,861,001 
         16,536,596 
Total        41,478,748 
           
Financials – 18.5%          
Banks - 6.1%          
Bank of N.T. Butterfield & Son   103,700    3,720,756 
BankUnited   144,636    6,358,199 
BOK Financial   40,738    3,827,335 
First Bancshares (The)   170,787    5,748,690 
First Citizens BancShares Cl. A   40,878    27,208,397 
First Hawaiian   357,648    9,974,803 
German American Bancorp   32,857    1,248,237 
Home BancShares   235,138    5,314,119 
Independent Bank Group   116,232    8,271,069 
National Bankshares   76,534    2,846,300 
Origin Bancorp   90,332    3,820,140 
Popular   189,632    15,500,520 
Signature Bank   23,523    6,903,765 
Texas Capital Bancshares 2   27,554    1,579,120 
Triumph Bancorp 2   151,517    14,245,628 
         116,567,078 
Capital Markets - 5.5%          
Ares Management Cl. A   115,176    9,355,746 
Artisan Partners Asset Management Cl. A   181,499    7,141,986 
B. Riley Financial   33,002    2,308,820 
Evercore Cl. A   44,556    4,959,974 
GCM Grosvenor Cl. A   1,377,722    13,377,681 
Houlihan Lokey Cl. A   94,918    8,333,800 
Lazard Cl. A   80,948    2,792,706 
MarketWise Cl. A 2   500,000    2,360,000 
Moelis & Company Cl. A   69,834    3,278,706 
Morningstar   46,838    12,794,736 
Newtek Business Services   81,498    2,175,997 
SEI Investments   303,597    18,279,575 
Silvercrest Asset Management Group Cl. A   168,399    3,443,760 
Sprott   181,064    9,078,184 
TMX Group   56,620    5,823,461 
         105,505,132 
Consumer Finance - 0.1%          
PROG Holdings 2   74,823    2,152,658 
Diversified Financial Services - 0.2%          
Compass Diversified Holdings   203,369    4,834,081 
Insurance - 6.3%          
Alleghany Corporation 2   12,719    10,772,993 
AMERISAFE   106,723    5,300,931 
Assured Guaranty   106,823    6,800,352 
Axis Capital Holdings   98,513    5,957,081 
CNO Financial Group   216,387    5,429,150 
E-L Financial   24,818    17,529,332 
Employers Holdings   76,924    3,155,422 
First American Financial   31,619    2,049,544 
Hagerty Cl. A 2   35,700    385,203 
International General Insurance Holdings   256,236    1,978,142 
James River Group Holdings   589,717    14,589,599 
Old Republic International   190,275    4,922,414 
ProAssurance Corporation   304,019    8,172,031 
RenaissanceRe Holdings   36,405    5,770,556 
RLI Corp.   72,547    8,025,875 
Safety Insurance Group   63,654    5,782,966 
Stewart Information Services   39,873    2,416,702 
Tiptree   214,120    2,751,442 
Trean Insurance Group 2   507,378    2,379,603 
White Mountains Insurance Group   4,936    5,608,481 
         119,777,819 
Thrifts & Mortgage Finance - 0.3%          
Timberland Bancorp   99,201    2,679,419 
TrustCo Bank Corp NY   81,163    2,591,534 
         5,270,953 
Total        354,107,721 
 
Health Care – 7.8%        
Biotechnology - 0.8%        
CareDx 2   100,005    3,699,185 
Catalyst Pharmaceuticals 2   508,547    4,215,855 
Ironwood Pharmaceuticals Cl. A 2   427,400    5,376,692 
MeiraGTx Holdings 2   95,578    1,323,755 
         14,615,487 
Health Care Equipment & Supplies - 4.3%          
AtriCure 2   24,482    1,607,733 
Atrion Corporation   8,442    6,019,146 
Bioventus Cl. A 2   331,782    4,678,126 
Colfax 2,4   319,220    12,701,764 
Cutera 2   47,300    3,263,700 
Haemonetics Corporation 2   253,046    15,997,568 
Meridian Bioscience 2   397,993    10,331,898 
Mesa Laboratories   76,983    19,621,427 
Natus Medical 2   101,650    2,671,362 
OrthoPediatrics Corp. 2   55,623    3,003,086 
Profound Medical 2   52,098    468,826 
Surmodics 2   42,305    1,917,685 
         82,282,321 
Health Care Providers & Services - 0.7%          
Cross Country Healthcare 2   70,227    1,521,819 
Encompass Health   105,038    7,469,252 
Molina Healthcare 2   11,239    3,749,218 
Sharps Compliance 2   145,130    856,267 
         13,596,556 
Health Care Technology - 0.3%          
Simulations Plus   113,805    5,801,779 
Life Sciences Tools & Services - 1.4%          
Azenta 2   79,518    6,590,452 
Bio-Techne   7,868    3,407,159 
Harvard Bioscience 2   243,940    1,514,867 
Maravai LifeSciences Holdings Cl. A 2   122,100    4,306,467 
MaxCyte 2,4   407,474    2,848,243 
Quanterix Corporation 2   30,848    900,453 
Repligen Corporation 2,4   31,750    5,971,858 
Stevanato Group 2   85,200    1,714,224 
         27,253,723 
Pharmaceuticals - 0.3%          
Collegium Pharmaceutical 2   48,600    989,496 
Harmony Biosciences Holdings 2,4   65,294    3,176,553 
Supernus Pharmaceuticals 2,4   41,033    1,326,187 
         5,492,236 
Total        149,042,102 
           
Industrials – 26.7%          
Aerospace & Defense - 1.0%          
HEICO Corporation   80,074    12,294,562 
Vectrus 2   166,690    5,977,503 
         18,272,065 
Air Freight & Logistics - 1.5%          
Forward Air   227,801    22,274,382 
Hub Group Cl. A 2   95,106    7,343,134 
         29,617,516 
Airlines - 0.2%          
Sun Country Airlines Holdings 2   146,370    3,831,967 
Building Products - 3.0%          
Advanced Drainage Systems   36,852    4,378,386 
AZEK Company (The) Cl. A 2   8,899    221,051 
Builders FirstSource 2   281,365    18,159,297 
Carlisle Companies   22,447    5,520,166 
Gibraltar Industries 2   67,046    2,879,626 
Hayward Holdings 2,4   186,380    3,097,636 
Quanex Building Products   156,245    3,279,583 
Simpson Manufacturing   58,844    6,416,350 
UFP Industries   149,028    11,499,000 
Zurn Water Solutions   57,008    2,018,083 
         57,469,178 
Commercial Services & Supplies - 1.3%          
Deluxe Corporation   175,875    5,318,460 
Driven Brands Holdings 2   120,900    3,177,252 
Healthcare Services Group   352,937    6,554,040 
Heritage-Crystal Clean 2   151,087    4,473,686 
IAA 2   128,210    4,904,033 
         24,427,471 
Construction & Engineering - 3.8%          
Arcosa   418,367    23,951,511 
Construction Partners Cl. A 2   141,106    3,694,155 
EMCOR Group   17,438    1,964,042 
Great Lakes Dredge & Dock 2   445,678    6,252,862 
Northwest Pipe 2   79,274    2,017,523 
NV5 Global 2   10,870    1,448,971 
Primoris Services   121,607    2,896,679 
Sterling Construction 2   147,904    3,963,827 
Valmont Industries   77,271    18,436,861 
WillScot Mobile Mini Holdings Corp. 2   195,025    7,631,328 
         72,257,759 
Electrical Equipment - 1.0%          
American Superconductor 2   93,326    710,211 
Encore Wire   38,532    4,395,345 
GrafTech International   565,705    5,442,082 
Preformed Line Products   141,776    8,991,434 
         19,539,072 
Machinery - 5.8%          
CIRCOR International 2   118,897    3,165,038 
Crane Co.   26,825    2,904,611 
Douglas Dynamics   55,689    1,926,282 
ESCO Technologies   80,939    5,659,255 
Graham Corporation 2   91,849    708,156 
Helios Technologies   69,419    5,570,875 
Hurco Companies   31,802    1,002,399 
John Bean Technologies   110,807    13,127,305 
Kadant   95,353    18,516,599 
Lincoln Electric Holdings   123,611    17,034,832 
Lindsay Corporation   67,056    10,528,463 
Meritor 2   57,854    2,057,867 
Middleby Corporation (The) 2   51,809    8,493,567 
Miller Industries   324,674    9,142,820 
Mueller Industries   37,408    2,026,391 
RBC Bearings 2   44,677    8,661,977 
Westport Fuel Systems 2   165,989    262,263 
         110,788,700 
Marine - 0.4%          
Clarkson 1   30,004    1,448,459 
Kirby Corporation 2   95,774    6,913,925 
         8,362,384 
Professional Services - 3.4%          
CBIZ 2   5,000    209,850 
Forrester Research 2   335,718    18,941,209 
Heidrick & Struggles International   203,712    8,062,921 
KBR   513,108    28,082,401 
Korn Ferry   135,287    8,785,538 
LifeWorks   48,100    831,838 
ManpowerGroup   5,587    524,731 
         65,438,488 
Road & Rail - 2.1%          
ArcBest   74,487    5,996,203 
Landstar System   95,190    14,357,508 
Saia 2   33,831    8,248,674 
Schneider National Cl. B   173,275    4,418,513 
Universal Logistics Holdings   299,946    6,043,912 
Werner Enterprises   7,747    317,627 
         39,382,437 
Trading Companies & Distributors - 3.2%          
Air Lease Cl. A   440,477    19,667,298 
Applied Industrial Technologies   90,534    9,294,220 
EVI Industries 2,4   332,790    6,186,566 
Lawson Products 2   29,194    1,125,137 
MSC Industrial Direct Cl. A   48,118    4,100,135 
Richelieu Hardware   355,741    12,958,801 
Transcat 2   96,894    7,861,979 
         61,194,136 
Total        510,581,173 
           
Information Technology – 18.5%          
Communications Equipment - 0.7%          
Aviat Networks 2   16,600    510,782 
Calix 2   141,147    6,056,618 
Digi International 2   307,783    6,623,490 
         13,190,890 
Electronic Equipment, Instruments & Components - 6.4%          
Belden   46,126    2,555,380 
Cognex Corporation   89,061    6,871,056 
ePlus 2   52,776    2,958,623 
Fabrinet 2   83,247    8,751,757 
FARO Technologies 2   184,874    9,598,658 
Flex 2   198,200    3,676,610 
II-VI 2   74,009    5,364,912 
Insight Enterprises 2   11,710    1,256,717 
Jabil   73,259    4,522,278 
Kimball Electronics 2   348,872    6,973,951 
Littelfuse   7,222    1,801,239 
Luna Innovations 2   766,388    5,908,852 
National Instruments   14,541    590,219 
nLIGHT 2   167,461    2,903,774 
PAR Technology 2   231,475    9,337,702 
PowerFleet 2   155,315    461,286 
Rogers Corporation 2   30,454    8,274,352 
Sanmina Corporation 2   133,023    5,376,790 
TD SYNNEX   36,891    3,807,520 
Teledyne Technologies 2   7,400    3,497,462 
Vishay Intertechnology   336,054    6,586,658 
Vishay Precision Group 2   133,126    4,280,001 
Vontier Corporation   655,029    16,631,186 
         121,986,983 
IT Services - 1.7%          
Computer Services 1   156,263    7,735,019 
Hackett Group (The)   78,237    1,804,145 
Repay Holdings Cl. A 2   712,349    10,521,395 
Shift4 Payments Cl. A 2,4   209,323    12,963,373 
         33,023,932 
Semiconductors & Semiconductor Equipment - 6.9%          
Amkor Technology   180,962    3,930,495 
Axcelis Technologies 2   39,172    2,958,661 
Camtek 2   79,224    2,413,163 
Cirrus Logic 2   164,966    13,987,467 
CMC Materials   27,293    5,060,122 
Cohu 2   372,485    11,025,556 
CyberOptics Corporation 2   145,326    5,897,329 
FormFactor 2   263,962    11,094,323 
Ichor Holdings 2   29,770    1,060,407 
Kulicke & Soffa Industries   337,976    18,933,416 
MKS Instruments   72,113    10,816,950 
Nova 2,4   90,867    9,893,599 
NVE Corporation   43,178    2,351,906 
Onto Innovation 2   162,146    14,088,866 
Photronics 2   141,017    2,393,058 
Power Integrations   50,300    4,661,804 
SiTime Corporation 2,4   34,435    8,533,682 
Ultra Clean Holdings 2   84,806    3,594,926 
         132,695,730 
Software - 2.2%          
Agilysys 2   103,204    4,115,775 
Avalara 2   66,800    6,647,268 
CDK Global   68,313    3,325,477 
ChannelAdvisor Corporation 2   246,094    4,077,778 
Consensus Cloud Solutions 2   31,600    1,900,108 
Dolby Laboratories Cl. A   94,227    7,370,436 
Fair Isaac 2   1,106    515,905 
PagerDuty 2,4   170,344    5,824,061 
Teradata Corporation 2   90,063    4,439,205 
Xperi Holding Corporation   158,800    2,750,416 
         40,966,429 
Technology Hardware, Storage & Peripherals - 0.6%          
AstroNova 2   81,672    1,238,964 
Avid Technology 2   300,986    10,495,382 
         11,734,346 
Total        353,598,310 
           
Materials – 8.2%          
Chemicals - 5.5%          
Aspen Aerogels 2   126,230    4,352,410 
Balchem Corporation   68,346    9,342,898 
Element Solutions   1,283,405    28,106,570 
Huntsman Corporation   201,377    7,553,651 
Innospec   245,087    22,682,802 
Minerals Technologies   212,390    14,049,599 
Mosaic Company (The)   106,000    7,049,000 
Quaker Chemical   68,219    11,788,925 
         104,925,855 
Construction Materials - 0.1%          
Eagle Materials   17,022    2,184,944 
Containers & Packaging - 0.5%          
Graphic Packaging Holding Company   269,322    5,397,213 
Silgan Holdings   84,832    3,921,783 
         9,318,996 
Metals & Mining - 1.2%          
Alamos Gold Cl. A   1,272,092    10,684,291 
Haynes International   62,674    2,669,912 
Reliance Steel & Aluminum   48,802    8,947,847 
         22,302,050 
Paper & Forest Products - 0.9%          
Louisiana-Pacific   135,554    8,420,615 
Stella-Jones   307,177    9,231,404 
         17,652,019 
Total        156,383,864 
           
Real Estate – 2.1%          
Real Estate Management & Development - 2.1%          
Altus Group   34,800    1,405,752 
Colliers International Group   17,150    2,236,360 
Cushman & Wakefield 2   133,602    2,740,177 
FRP Holdings 2   163,864    9,471,339 
Kennedy-Wilson Holdings   660,936    16,120,229 
Marcus & Millichap   179,068    9,433,302 
Total        41,407,159 
           
TOTAL COMMON STOCKS          
(Cost $1,344,371,549)        1,855,369,828 
           
REPURCHASE AGREEMENT – 2.4%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $45,835,386 (collateralized

by obligations of various U.S. Government

Agencies, 0.125% due 10/15/24, valued at $46,752,137)
(Cost $45,835,386)

        45,835,386 
           
COLLATERAL RECEIVED FOR SECURITIES          
LOANED – 0.2%          

Money Market Funds

Federated Government Obligations Fund -

Institutional Shares (7 day yield-0.14%)
(Cost $3,313,100)

   3,313,100    3,313,100 
           
TOTAL INVESTMENTS – 99.5%          
(Cost $1,393,520,035)        1,904,518,314 
           
CASH AND OTHER ASSETS          
LESS LIABILITIES – 0.5%        9,131,768 
           
NET ASSETS – 100.0%       $1,913,650,082 

 

 

 

SCHEDULES OF INVESTMENTS

ROYCE PREMIER FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 96.0%          
           
Communication Services – 1.7%          
Interactive Media & Services - 1.7%          
Ziff Davis 2   278,700   $26,972,586 
Total        26,972,586 
           
Consumer Discretionary – 8.2%          
Auto Components - 2.9%          
Dorman Products 2   340,644    32,371,399 
LCI Industries   119,738    12,430,002 
         44,801,401 
Distributors - 1.3%          
Pool Corporation   50,355    21,292,612 
Leisure Products - 1.8%          
Brunswick Corporation   340,791    27,566,584 
Textiles, Apparel & Luxury Goods - 2.2%          
Ralph Lauren Cl. A   309,340    35,091,529 
Total        128,752,126 
           
Consumer Staples – 2.1%          
Personal Products - 2.1%          
Inter Parfums   378,903    33,362,409 
Total        33,362,409 
           
Financials – 12.2%          
Capital Markets - 9.7%          
Ares Management Cl. A   281,593    22,873,799 
GCM Grosvenor Cl. A   2,169,600    21,066,816 
Lazard Cl. A   394,401    13,606,835 
Morningstar   135,516    37,018,906 
SEI Investments   604,571    36,401,220 
TMX Group   194,583    20,013,184 
         150,980,760 
Insurance - 2.5%          
Alleghany Corporation 2   46,077    39,027,219 
Total        190,007,979 
           
Health Care – 7.9%          
Health Care Equipment & Supplies - 6.5%          
Colfax 2   606,773    24,143,498 
Haemonetics Corporation 2   377,779    23,883,188 
Meridian Bioscience 2   819,804    21,282,112 
Mesa Laboratories   130,364    33,227,176 
         102,535,974 
Life Sciences Tools & Services - 1.4%          
Bio-Techne   49,448    21,412,962 
Total        123,948,936 
           
Industrials – 31.8%          
Aerospace & Defense - 1.8%          
Woodward   232,215    29,005,976 
 
Air Freight & Logistics - 2.4%        
Forward Air   378,038    36,964,556 
Building Products - 1.7%          
Simpson Manufacturing   238,603    26,017,271 
Commercial Services & Supplies - 1.3%          
Ritchie Bros. Auctioneers   336,521    19,864,835 
Construction & Engineering - 5.2%          
Arcosa   705,620    40,396,745 
Valmont Industries   170,599    40,704,921 
         81,101,666 
Machinery - 12.6%          
ESCO Technologies   302,017    21,117,029 
John Bean Technologies   301,650    35,736,475 
Kadant   165,402    32,119,414 
Lincoln Electric Holdings   342,511    47,201,441 
Lindsay Corporation   262,511    41,216,852 
RBC Bearings 2   99,294    19,251,121 
         196,642,332 
Professional Services - 2.7%          
Forrester Research 2   746,762    42,132,312 
Road & Rail - 1.6%          
Landstar System   171,603    25,882,880 
Trading Companies & Distributors - 2.5%          
Air Lease Cl. A   867,135    38,717,578 
Total        496,329,406 
           
Information Technology – 19.9%          
Electronic Equipment, Instruments & Components - 7.3%          
Cognex Corporation   333,546    25,733,074 
FARO Technologies 2   418,082    21,706,818 
National Instruments   539,875    21,913,526 
Rogers Corporation 2   63,656    17,295,335 
Vontier Corporation   1,070,176    27,171,769 
         113,820,522 
IT Services - 2.1%          
Computer Services 1   677,800    33,551,100 
Semiconductors & Semiconductor Equipment - 7.6%          
Cirrus Logic 2   307,595    26,080,980 
CMC Materials   126,510    23,454,954 
FormFactor 2   677,676    28,482,722 
MKS Instruments   268,741    40,311,150 
         118,329,806 
Software - 1.0%          
Fair Isaac 2   35,443    16,532,742 
Technology Hardware, Storage & Peripherals - 1.9%          
Avid Technology 2   837,784    29,213,528 
Total        311,447,698 
           
Materials – 8.9%          
Chemicals - 4.5%          
Innospec   470,794    43,571,985 
Quaker Chemical   157,813    27,271,664 
         70,843,649 
Metals & Mining - 2.4%          
Reliance Steel & Aluminum   204,312    37,460,605 
Paper & Forest Products - 2.0%          
Stella-Jones   1,012,691    30,433,789 
Total        138,738,043 
 
Real Estate – 3.3%        
Real Estate Management & Development - 3.3%        
Kennedy-Wilson Holdings   2,099,335    51,202,781 
Total        51,202,781 
           
TOTAL COMMON STOCKS          
(Cost $884,722,400)        1,500,761,964 
           
REPURCHASE AGREEMENT – 3.7%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $57,424,103 (collateralized

by obligations of various U.S. Government

Agencies, 0.125% due 10/15/24, valued at $58,572,646)
(Cost $57,424,103)

        57,424,103 
           
TOTAL INVESTMENTS – 99.7%          
(Cost $942,146,503)        1,558,186,067 
           
CASH AND OTHER ASSETS          
LESS LIABILITIES – 0.3%        4,340,071 
           
NET ASSETS – 100.0%       $1,562,526,138 

 

 

SCHEDULES OF INVESTMENTS

ROYCE SMALL-CAP VALUE FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 96.7%          
           
Communication Services – 2.1%          
Entertainment - 0.8%          
SciPlay Corporation Cl. A 2   70,868   $915,614 
Media - 1.3%          
Entravision Communications Cl. A   152,908    980,140 
Saga Communications Cl. A   29,337    670,351 
         1,650,491 
Total        2,566,105 
           
Consumer Discretionary – 17.1%          
Diversified Consumer Services - 1.6%          
Lincoln Educational Services 2   271,218    1,939,209 
Household Durables - 4.6%          
La-Z-Boy   63,702    1,679,822 
M/I Homes 2   21,698    962,306 
Meritage Homes 2   12,005    951,156 
PulteGroup   51,100    2,141,090 
         5,734,374 
Leisure Products - 1.9%          
Malibu Boats Cl. A 2   18,790    1,090,008 
MasterCraft Boat Holdings 2   49,665    1,222,255 
         2,312,263 
Specialty Retail - 9.0%          
Aaron's Company (The)   111,238    2,233,659 
American Eagle Outfitters   96,161    1,615,505 
Container Store Group (The) 2   115,467    943,365 
Haverty Furniture   49,773    1,364,776 
Lazydays Holdings 2,4   97,166    1,960,810 
OneWater Marine Cl. A   31,488    1,084,762 
Shoe Carnival   67,783    1,976,552 
         11,179,429 
Total        21,165,275 
           
Consumer Staples – 0.7%          
Food & Staples Retailing - 0.7%          
Village Super Market Cl. A   36,714    899,493 
Total        899,493 
           
Energy – 4.5%          
Oil, Gas & Consumable Fuels - 4.5%          
Civitas Resources   22,700    1,355,417 
Dorchester Minerals L.P.   53,604    1,391,024 
Oasis Petroleum   7,900    1,155,770 
SilverBow Resources 2   13,300    425,600 
Whiting Petroleum   15,500    1,263,405 
Total        5,591,216 
           
Financials – 21.5%          
Banks - 8.3%          
Ames National   30,293    753,084 
Bank of Princeton   22,968    662,627 
Camden National   15,023    706,682 
Chemung Financial   15,857    740,363 
Citizens Community Bancorp   47,239    713,781 
City Holding Company   7,567    595,523 
CNB Financial   33,581    883,852 
Financial Institutions   23,978    722,457 
Landmark Bancorp   22,175    583,868 
Mid Penn Bancorp   9,444    253,194 
MidWestOne Financial Group   18,504    612,482 
National Bankshares   50,636    1,883,153 
Unity Bancorp   45,247    1,266,011 
         10,377,077 
Capital Markets - 3.8%          
Evercore Cl. A   23,142    2,576,168 
Houlihan Lokey Cl. A   7,290    640,062 
Moelis & Company Cl. A   31,282    1,468,690 
         4,684,920 
Consumer Finance - 0.4%          
PROG Holdings 2   16,371    470,994 
Insurance - 6.1%          
CNO Financial Group   92,900    2,330,861 
Employers Holdings   44,477    1,824,447 
Heritage Insurance Holdings   51,217    365,689 
James River Group Holdings   56,729    1,403,475 
Tiptree   126,988    1,631,796 
         7,556,268 
Thrifts & Mortgage Finance - 2.9%          
Southern Missouri Bancorp   2,448    122,278 
Timberland Bancorp   54,119    1,461,754 
TrustCo Bank Corp NY   42,211    1,347,797 
Western New England Bancorp   73,813    659,888 
         3,591,717 
Total        26,680,976 
           
Health Care – 8.2%          
Biotechnology - 4.1%          
Catalyst Pharmaceuticals 2   316,032    2,619,905 
Ironwood Pharmaceuticals Cl. A 2   139,551    1,755,552 
Vanda Pharmaceuticals 2   58,916    666,340 
         5,041,797 
Health Care Providers & Services - 2.3%          
Cross Country Healthcare 2   41,009    888,665 
Ensign Group (The)   1,857    167,148 
Molina Healthcare 2   5,440    1,814,730 
         2,870,543 
Pharmaceuticals - 1.8%          
Collegium Pharmaceutical 2   62,192    1,266,229 
SIGA Technologies 2   146,623    1,039,557 
         2,305,786 
Total        10,218,126 
           
Industrials – 18.9%          
Aerospace & Defense - 1.2%          
Vectrus 2   40,464    1,451,039 
Building Products - 2.4%          
Builders FirstSource 2   9,241    596,414 
Quanex Building Products   61,195    1,284,483 
UFP Industries   13,900    1,072,524 
         2,953,421 
Construction & Engineering - 3.6%        
Northwest Pipe 2   28,034    713,465 
Primoris Services   68,799    1,638,792 
Sterling Construction 2   77,856    2,086,541 
         4,438,798 
Machinery - 1.0%          
Miller Industries   44,704    1,258,865 
Professional Services - 5.5%          
Barrett Business Services   12,694    983,404 
Heidrick & Struggles International   43,771    1,732,456 
Kforce   4,795    354,686 
Korn Ferry   20,664    1,341,920 
Mastech Digital 2   24,931    460,975 
Resources Connection   115,913    1,986,749 
         6,860,190 
Road & Rail - 5.2%          
ArcBest   29,128    2,344,804 
Heartland Express   44,162    621,359 
Schneider National Cl. B   93,950    2,395,725 
Werner Enterprises   25,776    1,056,816 
         6,418,704 
Total        23,381,017 
           
Information Technology – 22.7%          
Communications Equipment - 1.1%          
Aviat Networks 2   43,293    1,332,125 
Electronic Equipment, Instruments & Components - 14.2%          
ePlus 2   33,007    1,850,372 
Flex 2   127,381    2,362,918 
Insight Enterprises 2   5,807    623,207 
Jabil   39,075    2,412,100 
Kimball Electronics 2   92,767    1,854,412 
PC Connection   14,027    734,875 
Sanmina Corporation 2   75,640    3,057,369 
TD SYNNEX   22,066    2,277,432 
Vishay Intertechnology   120,304    2,357,958 
         17,530,643 
IT Services - 0.8%          
Computer Task Group 2   11,080    108,252 
IBEX 2   58,114    926,337 
         1,034,589 
Semiconductors & Semiconductor Equipment - 5.5%          
Amkor Technology   99,100    2,152,452 
Cohu 2   53,509    1,583,867 
Kulicke & Soffa Industries   51,565    2,888,671 
MKS Instruments   1,580    237,000 
         6,861,990 
Software - 1.1%          
Xperi Holding Corporation   76,000    1,316,320 
Total        28,075,667 
           
Real Estate – 1.0%          
Real Estate Management & Development - 1.0%          
Marcus & Millichap   13,489    710,601 
RMR Group (The) Cl. A   16,245    505,219 
Total        1,215,820 
           
TOTAL COMMON STOCKS          
(Cost $99,971,419)        119,793,695 

 

REPURCHASE AGREEMENT – 4.2%        

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $5,219,607 (collateralized

by obligations of various U.S. Government

Agencies, 0.125% due 10/15/24, valued at $5,324,075)

        
(Cost $5,219,607)        5,219,607 
           

COLLATERAL RECEIVED FOR SECURITIES

LOANED – 0.2%

          
Money Market Funds          

Federated Government Obligations Fund -

Institutional Shares (7 day yield-0.14%)

          
(Cost $287,000)   287,000    287,000 
           
TOTAL INVESTMENTS – 101.1%          
(Cost $105,478,026)        125,300,302 
           
LIABILITIES LESS CASH          
AND OTHER ASSETS – (1.1)%        (1,422,545)
           
NET ASSETS – 100.0%       $123,877,757 

 

 

 

SCHEDULES OF INVESTMENTS

ROYCE SMALLER-COMPANIES GROWTH FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 96.3%          
           
Communication Services – 2.6%          
Entertainment - 1.2%          
Sea Cl. A ADR 2   23,000   $2,755,170 
Interactive Media & Services - 1.4%          
Enthusiast Gaming Holdings 2   1,403,100    3,389,483 
Total        6,144,653 
           
Consumer Discretionary – 8.1%          
Hotels, Restaurants & Leisure - 2.7%          
Bragg Gaming Group 2   227,000    1,637,835 
Papa John's International   27,000    2,842,560 
Texas Roadhouse   23,000    1,925,790 
         6,406,185 
Household Durables - 1.2%          
Lovesac Company (The) 2   52,666    2,847,124 
Internet & Direct Marketing Retail - 0.6%          
CarParts.com 2,4   220,000    1,474,000 
Leisure Products - 1.2%          
Callaway Golf 2   126,000    2,950,920 
Specialty Retail - 2.4%          
Lithia Motors   13,000    3,901,560 
Warby Parker Cl. A 2,4   55,000    1,859,550 
         5,761,110 
Total        19,439,339 
           
Consumer Staples – 2.6%          
Food Products - 1.9%          
Freshpet 2,4   44,000    4,516,160 
Household Products - 0.7%          
Central Garden & Pet Cl. A 2   45,000    1,835,100 
Total        6,351,260 
           
Financials – 5.6%          
Banks - 1.8%          
Primis Financial   4,000    55,920 
Seacoast Banking Corporation of Florida   82,000    2,871,640 
Triumph Bancorp 2   14,000    1,316,280 
         4,243,840 
Capital Markets - 0.4%          
MarketAxess Holdings   3,000    1,020,600 
Consumer Finance - 0.8%          
LendingTree 2   15,000    1,795,050 
Insurance - 2.6%          
BRP Group Cl. A 2   148,000    3,970,840 
Trupanion 2   26,000    2,317,120 
         6,287,960 
Total        13,347,450 
           
Health Care – 25.7%          
Biotechnology - 6.8%          
Avid Bioservices 2,4   154,000    3,136,980 
BiomX 2,4   320,655    618,864 
CareDx 2   102,000    3,772,980 
Halozyme Therapeutics 2   32,000    1,276,160 
MeiraGTx Holdings 2   157,000    2,174,450 
Oxford Biomedica 1,2   224,000    1,981,265 
PureTech Health 1,2   846,000    2,199,715 
Synlogic 2   484,041    1,161,698 
         16,322,112 
Health Care Equipment & Supplies - 10.4%          
Alphatec Holdings 2   254,000    2,921,000 
Axonics 2,4   64,000    4,006,400 
CryoPort 2   48,198    1,682,592 
CytoSorbents Corporation 2   349,000    1,113,310 
InMode 2   90,000    3,321,900 
Lantheus Holdings 2   34,000    1,880,540 
Neuronetics 2   253,500    768,105 
Profound Medical 2   73,000    656,921 
SI-BONE 2   82,000    1,853,200 
STAAR Surgical 2   50,000    3,995,500 
TransMedics Group 2   87,000    2,343,780 
ViewRay 2   100,000    392,000 
         24,935,248 
Health Care Providers & Services - 3.6%          
Greenbrook TMS 2   223,500    840,360 
Joint Corp. (The) 2   45,000    1,592,550 
Pennant Group 2   74,000    1,378,620 
Progyny 2   80,000    4,112,000 
Sharps Compliance 2   102,000    601,800 
         8,525,330 
Health Care Technology - 3.2%          
CareCloud 2,4   162,000    834,300 
Inspire Medical Systems 2   20,488    5,259,065 
OptimizeRx Corporation 2   44,000    1,659,240 
         7,752,605 
Life Sciences Tools & Services - 1.2%          
Harvard Bioscience 2   63,600    394,956 
West Pharmaceutical Services   6,000    2,464,260 
         2,859,216 
Pharmaceuticals - 0.5%          
Harmony Biosciences Holdings 2,4   26,000    1,264,900 
Total        61,659,411 
           
Industrials – 17.1%          
Aerospace & Defense - 1.2%          
AeroVironment 2   31,000    2,918,340 
Commercial Services & Supplies - 2.9%          
ACV Auctions Cl. A 2   222,000    3,287,820 
VSE Corporation   82,000    3,779,380 
         7,067,200 
Construction & Engineering - 1.4%          
Ameresco Cl. A 2   41,000    3,259,500 
Electrical Equipment - 2.1%          
American Superconductor 2   226,349    1,722,516 
EnerSys   29,000    2,162,530 
Enovix Corporation 2   80,000    1,141,600 
         5,026,646 
Machinery - 4.0%          
ATS Automation Tooling Systems 2   128,000    4,617,686 
Chart Industries 2,4   20,000    3,435,400 
Velo3D 2,4   162,000    1,508,220 
         9,561,306 
Professional Services - 3.0%          
ASGN 2   26,000    3,034,460 
Atlas Technical Consultants Cl. A 2   349,000    4,201,960 
         7,236,420 
Trading Companies & Distributors - 2.5%          
Lawson Products 2   157,000    6,050,780 
Total        41,120,192 
 
Information Technology – 29.8%          
Communications Equipment - 1.8%          
Clearfield 2   48,000    3,130,560 
Genasys 2   404,000    1,111,000 
         4,241,560 
Electronic Equipment, Instruments & Components - 1.1%          
Iteris 2   844,474    2,516,532 
IT Services - 3.5%          
Cantaloupe 2   453,996    3,073,553 
DigitalOcean Holdings 2   22,000    1,272,700 
Limelight Networks 2   365,000    1,905,300 
Unisys Corporation 2   98,900    2,137,229 
         8,388,782 
Semiconductors & Semiconductor Equipment - 10.6%          
Ambarella 2   47,000    4,931,240 
AXT 2   216,400    1,519,128 
Canadian Solar 2,4   68,000    2,404,480 
CyberOptics Corporation 2   39,000    1,582,620 
Impinj 2,4   88,555    5,626,785 
Lattice Semiconductor 2   33,000    2,011,350 
Onto Innovation 2   43,000    3,736,270 
Silicon Laboratories 2   24,000    3,604,800 
         25,416,673 
Software - 11.4%          
Agilysys 2   40,000    1,595,200 
Descartes Systems Group (The) 2   42,033    3,079,338 
Digital Turbine 2   86,000    3,767,660 
GTY Technology Holdings 2   250,000    807,500 
Matterport Cl. A 2,4   443,000    3,597,160 
Paylocity Holding Corporation 2   7,786    1,602,125 
Ping Identity Holding Corp. 2,4   118,000    3,236,740 
Sprout Social Cl. A 2   64,000    5,127,680 
Veritone 2,4   130,000    2,376,400 
Workiva Cl. A 2   19,000    2,242,000 
         27,431,803 
Technology Hardware, Storage & Peripherals - 1.4%          
Stratasys 2   133,000    3,376,870 
Total        71,372,220 
           
Materials – 4.3%          
Chemicals - 1.0%          
Aspen Aerogels 2   36,000    1,241,280 
NanoXplore 2   289,000    1,068,016 
         2,309,296 
Metals & Mining - 3.3%          
AMG Advanced Metallurgical Group 1   34,000    1,458,597 
Core Lithium 1,2   3,876,202    3,897,217 
ioneer 1,2   5,000,000    2,539,529 
         7,895,343 
Total        10,204,639 
           
Real Estate – 0.5%          
Equity Real Estate Investment Trusts (REITs) - 0.5%          
Postal Realty Trust Cl. A   70,000    1,177,400 
Total        1,177,400 
           
TOTAL COMMON STOCKS          
(Cost $187,287,270)        230,816,564 
           
REPURCHASE AGREEMENT – 4.1%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $9,939,979 (collateralized

by obligations of various U.S. Government

Agencies, 0.375% due 9/15/24, valued at $10,138,835)

          
(Cost $9,939,979)        9,939,979 
           
COLLATERAL RECEIVED FOR SECURITIES          
LOANED – 3.0%          
Money Market Funds          

Federated Government Obligations Fund -

Institutional Shares (7 day yield-0.14%)

          
(Cost $7,248,415)   7,248,415    7,248,415 
           
TOTAL INVESTMENTS – 103.4%          
(Cost $204,475,664)        248,004,958 
           
LIABILITIES LESS CASH          
AND OTHER ASSETS – (3.4)%        (8,258,724)
           
NET ASSETS – 100.0%       $239,746,234 

 

 

 

 

SCHEDULES OF INVESTMENTS

ROYCE SPECIAL EQUITY FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 83.3%          
           
Communication Services – 3.8%          
Media - 3.8%          
TEGNA   1,551,000   $34,742,400 
Total        34,742,400 
           
Consumer Discretionary – 18.4%          
Auto Components - 5.5%          
Standard Motor Products 3   1,177,500    50,797,350 
Automobiles - 1.3%          
Winnebago Industries   218,000    11,778,540 
Diversified Consumer Services - 4.5%          
H&R Block   1,595,000    41,533,800 
Household Durables - 0.5%          
Ethan Allen Interiors   165,500    4,314,585 
Leisure Products - 3.8%          
Johnson Outdoors Cl. A   449,500    34,939,635 
Textiles, Apparel & Luxury Goods - 2.8%          
Movado Group   663,000    25,890,150 
Total        169,254,060 
           
Consumer Staples – 11.0%          
Food & Staples Retailing - 7.0%          
Ingles Markets Cl. A   727,000    64,739,350 
Food Products - 4.0%          
John B. Sanfilippo & Son   437,000    36,463,280 
Total        101,202,630 
           
Financials – 4.9%          
Capital Markets - 4.9%          
BrightSphere Investment Group   163,000    3,952,750 
Diamond Hill Investment Group   136,000    25,472,800 
Federated Hermes Cl. B   465,000    15,837,900 
Total        45,263,450 
           
Industrials – 19.2%          
Building Products - 3.3%          
Insteel Industries   302,000    11,170,980 
UFP Industries   250,000    19,290,000 
         30,460,980 
Commercial Services & Supplies - 2.5%          
Ennis   1,217,000    22,477,990 
Construction & Engineering - 1.1%          
Argan   170,000    6,900,300 
MYR Group 2   34,500    3,244,380 
         10,144,680 
Electrical Equipment - 2.8%          
Encore Wire   228,500    26,064,995 
Machinery - 9.2%          
Gencor Industries 2,3   1,066,000    10,958,480 
Hillenbrand   163,500    7,221,795 
Hurco Companies 3   580,000    18,281,600 
Miller Industries 3   685,000    19,289,600 
Mueller Industries   532,000    28,818,440 
         84,569,915 
Professional Services - 0.3%          
Resources Connection   137,500    2,356,750 
Total        176,075,310 
           
Information Technology – 11.6%          
Electronic Equipment, Instruments & Components - 3.6%          
Vishay Intertechnology   1,699,000    33,300,400 
IT Services - 1.6%          
Computer Services 1   298,100    14,755,950 
Semiconductors & Semiconductor Equipment - 6.4%          
Kulicke & Soffa Industries   727,500    40,754,550 
NVE Corporation 3   325,000    17,702,750 
         58,457,300 
Total        106,513,650 
           
Materials – 9.8%          
Chemicals - 6.5%          
Huntsman Corporation   1,600,000    60,016,000 
Construction Materials - 1.6%          
United States Lime & Minerals   122,500    14,214,900 
Paper & Forest Products - 1.7%          
Louisiana-Pacific   251,000    15,592,120 
Total        89,823,020 
           
Real Estate – 4.6%          
Real Estate Management & Development - 4.6%          
Marcus & Millichap   808,000    42,565,440 
Total        42,565,440 
           
TOTAL COMMON STOCKS          
(Cost $587,144,959)        765,439,960 
           
REPURCHASE AGREEMENT – 16.7%          

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $153,935,215 (collateralized

by obligations of various U.S. Government

Agencies, 0.125%-0.375% due 9/15/24-10/15/24, valued at $157,013,971)

          
(Cost $153,935,215)        153,935,215 
           
TOTAL INVESTMENTS – 100.0%          
(Cost $741,080,174)        919,375,175 
           
LIABILITIES LESS CASH          
AND OTHER ASSETS – (0.0)%        (354,374)
           
NET ASSETS – 100.0%       $919,020,801 

 

 

 

SCHEDULES OF INVESTMENTS

ROYCE TOTAL RETURN FUND

MARCH 31, 2022 (UNAUDITED)

 

   SHARES   VALUE 
COMMON STOCKS – 95.6%          
           
Communication Services – 1.9%          
Entertainment - 1.3%          
World Wrestling Entertainment Cl. A   240,348   $15,007,329 
Interactive Media & Services - 0.6%          
Ziff Davis 2   77,820    7,531,420 
Total        22,538,749 
           
Consumer Discretionary – 6.1%          
Hotels, Restaurants & Leisure - 1.3%          
Denny's Corporation 2   1,098,695    15,722,325 
Multiline Retail - 1.8%          
Franchise Group Cl. A   524,401    21,725,933 
Specialty Retail - 0.5%          
JOANN   505,000    5,762,050 
Textiles, Apparel & Luxury Goods - 2.5%          
Levi Strauss & Co. Cl. A   807,547    15,957,129 
Ralph Lauren Cl. A   125,145    14,196,449 
         30,153,578 
Total        73,363,886 
           
Consumer Staples – 2.3%          
Household Products - 2.3%          
Reynolds Consumer Products   316,022    9,272,086 
Spectrum Brands Holdings   206,984    18,363,620 
Total        27,635,706 
           
Energy – 4.3%          
Energy Equipment & Services - 4.3%          
Cactus Cl. A   170,659    9,683,192 
ChampionX Corporation 2   472,637    11,570,154 
Helmerich & Payne   84,373    3,609,477 
Oceaneering International 2   231,433    3,508,524 
Pason Systems   1,931,576    23,655,104 
Total        52,026,451 
           
Financials – 33.7%          
Banks - 16.8%          
Bank of N.T. Butterfield & Son   551,423    19,785,057 
BankUnited   380,547    16,728,846 
BOK Financial   140,901    13,237,649 
First Bancshares (The)   346,809    11,673,591 
First Citizens BancShares Cl. A   12,082    8,041,779 
First Hawaiian   347,961    9,704,632 
HBT Financial   432,472    7,862,341 
Home BancShares   828,867    18,732,394 
Independent Bank Group   278,599    19,825,105 
Origin Bancorp   358,728    15,170,607 
Preferred Bank   58,816    4,357,678 
QCR Holdings   168,783    9,551,430 
TowneBank   252,048    7,546,317 
Triumph Bancorp 2   81,992    7,708,888 
UMB Financial   112,270    10,908,153 
Valley National Bancorp   1,163,221    15,145,138 
Western Alliance Bancorp   62,300    5,159,686 
         201,139,291 
Capital Markets - 2.6%          
Artisan Partners Asset Management Cl. A   255,903    10,069,783 
Moelis & Company Cl. A   207,037    9,720,387 
TMX Group   116,004    11,931,204 
         31,721,374 
Diversified Financial Services - 2.1%          
Compass Diversified Holdings   1,064,512    25,303,450 
Insurance - 12.2%          
AMERISAFE   253,460    12,589,358 
Axis Capital Holdings   407,197    24,623,203 
First American Financial   163,745    10,613,951 
International General Insurance Holdings   1,851,697    14,295,101 
James River Group Holdings   199,003    4,923,334 
Old Republic International   228,728    5,917,193 
ProAssurance Corporation   652,765    17,546,323 
RenaissanceRe Holdings   154,991    24,567,623 
Stewart Information Services   231,504    14,031,458 
Trean Insurance Group 2,3   3,614,889    16,953,829 
         146,061,373 
Total        404,225,488 
           
Health Care – 0.8%          
Health Care Providers & Services - 0.8%          
Patterson Companies   298,291    9,655,680 
Total        9,655,680 
           
Industrials – 21.2%          
Building Products - 3.6%          
Carlisle Companies   37,194    9,146,748 
Fortune Brands Home & Security   156,967    11,659,509 
Simpson Manufacturing   64,000    6,978,560 
UFP Industries   206,999    15,972,043 
         43,756,860 
Commercial Services & Supplies - 2.6%          
Deluxe Corporation   447,073    13,519,487 
Healthcare Services Group   685,475    12,729,271 
Loomis 1   181,992    4,976,017 
         31,224,775 
Electrical Equipment - 2.8%          
GrafTech International   1,961,721    18,871,756 
nVent Electric   430,434    14,970,495 
         33,842,251 
Machinery - 5.3%          
Crane Co.   112,439    12,174,895 
Douglas Dynamics   527,879    18,259,335 
Lincoln Electric Holdings   79,666    10,978,771 
Timken Company (The)   359,313    21,810,299 
         63,223,300 
Professional Services - 2.8%          
Barrett Business Services   198,127    15,348,899 
KBR   331,054    18,118,585 
         33,467,484 
Trading Companies & Distributors - 4.1%          
Applied Industrial Technologies   207,160    21,267,046 
Global Industrial   311,339    10,034,456 
MSC Industrial Direct Cl. A   208,510    17,767,137 
         49,068,639 
Total        254,583,309 
           
Information Technology – 12.3%          
Electronic Equipment, Instruments & Components - 4.3%          
Avnet   140,509    5,703,260 
PC Connection   192,334    10,076,378 
Vontier Corporation   1,419,853    36,050,068 
         51,829,706 
IT Services - 2.2%          
EVERTEC   244,189    9,994,656 
Hackett Group (The)   688,755    15,882,690 
         25,877,346 
Semiconductors & Semiconductor Equipment - 1.7%          
Kulicke & Soffa Industries   202,784    11,359,960 
MKS Instruments   58,205    8,730,750 
         20,090,710 
Software - 4.1%          
CDK Global   422,530    20,568,760 
Consensus Cloud Solutions 2   98,500    5,922,805 
Teradata Corporation 2   459,667    22,656,987 
         49,148,552 
Total        146,946,314 
           
Materials – 9.8%          
Chemicals - 5.0%          
Element Solutions   1,124,566    24,627,996 
Innospec   135,357    12,527,290 
Minerals Technologies   340,380    22,516,137 
         59,671,423 
Containers & Packaging - 4.8%          
Graphic Packaging Holding Company   1,171,060    23,468,042 
Silgan Holdings   500,871    23,155,266 
TriMas Corporation   356,840    11,450,996 
         58,074,304 
Total        117,745,727 
           
Real Estate – 3.2%          
Real Estate Management & Development - 3.2%          
Cushman & Wakefield 2   813,244    16,679,634 
Kennedy-Wilson Holdings   873,197    21,297,275 
Total        37,976,909 
           
TOTAL COMMON STOCKS          
(Cost $939,038,395)        1,146,698,219 
           
PREFERRED STOCK – 2.0%          
Information Technology – 2.0%          
Electronic Equipment, Instruments & Components - 2.0%          
II-VI Series A Conv.   80,724    23,824,074 
(Cost $20,862,360)        23,824,074 
           
REPURCHASE AGREEMENT – 2.9%        

Fixed Income Clearing Corporation,

0.00% dated 3/31/22, due 4/1/22,

maturity value $34,640,241 (collateralized  

by obligations of various U.S. Government  

Agencies, 0.125% due 10/15/24, valued at $35,333,106)

       
(Cost $34,640,241)        34,640,241 
         
TOTAL INVESTMENTS – 100.5%         
(Cost $994,540,996)       1,205,162,534 
      

LIABILITIES LESS CASH

AND OTHER ASSETS – (0.5)%

       (5,468,418)
      
NET ASSETS – 100.0%      $1,199,694,116 

 

ADR – American Depository Receipt

1These securities are defined as Level 2 securities due to fair value being based on quoted prices for similar securities and/or due to the application of fair value factors.

2Non-income producing.

3At March 31, 2022, the Fund owned 5% or more of the Company’s outstanding voting securities thereby making the Company an Affiliated Company as that term is defined in the Investment Company Act of 1940.

4All or a portion of these securities were on loan at March 31, 2022.

5Securities for which market quotations are not readily available represent 0.2%, 0.0% and 0.0% of net assets for Royce Micro-Cap Fund, Royce Opportunity Fund and Royce Pennyslvania Mutual Fund. These securities have been valued at their fair value under procedures approved by the Fund’s Board of Trustees. These securities are defined as Level 3 securities due to the use of significant unobservable inputs in the determination of fair value.

 

Securities of Royce International Premier Fund are categorized by the country of their headquarters.

 

Tax Information:

At March 31, 2022, net unrealized appreciation (depreciation) based on identified cost for tax purposes was as follows:

 

       

Net Unrealized

Appreciation

    Gross Unrealized 
   Tax Basis Cost   (Depreciation)   Appreciation   (Depreciation) 
Royce Dividend Value Fund  $27,975,645   $39,225,159   $39,711,942   $486,783 
Royce Global Financial Services Fund   18,335,412    15,677,686    17,241,789    1,564,103 
Royce International Premier Fund   1,018,492,420    40,214,066    172,555,768    132,341,702 
Royce Micro-Cap Fund   266,268,225    91,925,766    120,850,355    28,924,589 
Royce Opportunity Fund   1,416,177,801    278,791,538    392,084,735    113,293,197 
Royce Pennsylvania Mutual Fund   1,397,360,467    507,157,847    579,356,468    72,198,621 
Royce Premier Fund   942,484,739    615,701,328    648,141,377    32,440,049 
Royce Small-Cap Value Fund   105,612,369    19,687,933    23,241,374    3,553,441 
Royce Smaller-Companies Growth Fund   204,672,597    43,332,361    59,852,881    16,520,520 
Royce Special Equity Fund   741,103,230    178,271,945    191,588,656    13,316,711 
Royce Total Return Fund   996,368,392    208,794,142    260,040,906    51,246,764 

 

The primary cause of the difference between book and tax basis cost is the timing of the recognition of losses on securities sold.

 

Valuation of Investments:

Investment transactions are accounted for on the trade date. Securities are valued as of the close of trading on the New York Stock Exchange (“NYSE”) (generally 4:00 p.m. Eastern time) on the valuation date. Securities that trade on an exchange, and securities traded on Nasdaq’s Electronic Bulletin Board, are valued at their last reported sales price or Nasdaq official closing price taken from the primary market in which each security trades or, if no sale is reported for such day, at their highest bid price. Other over-the-counter securities for which market quotations are readily available are valued at their highest bid price, except in the case of some bonds and other fixed income securities which may be valued by reference to other securities with comparable ratings, interest rates and maturities, using established independent pricing services. The Funds value their non-U.S. dollar denominated securities in U.S. dollars daily at the prevailing foreign currency exchange rates as quoted by a major bank. Securities for which market quotations are not readily available are valued at their fair value in accordance with the provisions of the Investment Company Act of 1940 (“1940 Act”), under procedures approved by the Trust’s Board of Trustees, and are reported as Level 3 securities. As a general principle, the fair value of a security is the amount which the Fund might reasonably expect to receive for the security upon its current sale. However, in light of the judgment involved in fair valuations, there can be no assurance that a fair value assigned to a particular security will be the amount which the Fund might be able to receive upon its current sale. In addition, if, between the time trading ends on a particular security and the close of the customary trading session on the NYSE, events occur that are significant and may make the closing price unreliable, a Fund may fair value the security. The Funds use an independent pricing service to provide fair value estimates for relevant non-U.S. equity securities on days when the U.S. market volatility exceeds a certain threshold. This pricing service uses proprietary correlations it has developed between the movement of prices of non-U.S. equity securities and indices of U.S.-traded securities, futures contracts and other indications to estimate the fair value of relevant non-U.S. securities. When fair value pricing is employed, the prices of securities used by a Fund may differ from quoted or published prices for the same security. Investments in money market funds are valued at net asset value per share.

 

Various inputs are used in determining the value of each Fund’s investments, as noted above. These inputs are summarized in the three broad levels below:

Level 1 –  quoted prices in active markets for identical securities.

Level 2 – other significant observable inputs (including quoted prices for similar securities, foreign securities that may be fair valued and repurchase agreements). The table below includes all Level 2 securities. Level 2 securities with values based on quoted prices for similar securities and/or foreign securities that were fair valued are noted in the Schedules of Investments.

Level 3 – significant unobservable inputs (including last trade price before trading was suspended, or at a discount thereto for lack of marketability or otherwise, market price information regarding other securities, information received from the company and/or published documents, including SEC filings and financial statements, or other publicly available information).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. 

The following is a summary of the inputs used to value each Fund’s investments as of March 31, 2022. For a detailed breakout of common stocks by sector classification or country, please refer to the Schedules of Investments.

 

   Level 1   Level 2   Level 3   Total 
Royce Dividend Value Fund                
Common Stocks  $54,789,223   $10,278,112   $   $65,067,335 
Repurchase Agreement       2,133,469        2,133,469 
Royce Global Financial Services Fund                    
Common Stocks   27,992,562    5,804,493        33,797,055 
Repurchase Agreement       216,043        216,043 
Royce International Premier Fund                    
Common Stocks   82,928,953    906,425,140        989,354,093 
Preferred Stocks       22,407,219        22,407,219 
Repurchase Agreement       46,945,174        46,945,174 
Royce Micro-Cap Fund                    
Common Stocks   337,041,081    8,856,621    646,850    346,544,552 
Repurchase Agreement       11,649,439        11,649,439 
Royce Opportunity Fund                    
Common Stocks   1,624,078,847    6,295,465    0    1,630,374,312 
Repurchase Agreement       60,498,812        60,498,812 
Money Market Fund/Collateral Received for Securities Loaned   4,096,215            4,096,215 
Royce Pennsylvania Mutual Fund                    
Common Stocks   1,846,186,350    9,183,478    0    1,855,369,828 
Repurchase Agreement       45,835,386        45,835,386 
Money Market Fund/Collateral Received for Securities Loaned   3,313,100            3,313,100 
Royce Premier Fund                    
Common Stocks   1,467,210,864    33,551,100        1,500,761,964 
Repurchase Agreement       57,424,103        57,424,103 
Royce Small-Cap Value Fund                    
Common Stocks   119,793,695            119,793,695 
Repurchase Agreement       5,219,607        5,219,607 
Money Market Fund/Collateral Received for Securities Loaned   287,000            287,000 
Royce Smaller-Companies Growth Fund                    
Common Stocks   218,740,242    12,076,322        230,816,564 
Repurchase Agreement       9,939,979        9,939,979 
Money Market Fund/Collateral Received for Securities Loaned   7,248,415            7,248,415 
Royce Special Equity Fund                    
Common Stocks   750,684,010    14,755,950        765,439,960 
Repurchase Agreement       153,935,215        153,935,215 
Royce Total Return Fund                    
Common Stocks   1,141,722,202    4,976,017        1,146,698,219 
Preferred Stocks   23,824,074            23,824,074 
Repurchase Agreement       34,640,241        34,640,241 

 

Level 3 Reconciliation:

 

   Balance as
of 12/31/21
   Purchases   Sales   Transfers In   Realized
Gain (Loss)
   Unrealized
Gain (Loss)
   Balance as
of 3/31/22
 
Royce Micro-Cap Fund                            
Common Stocks  $666,497   $   $966,000   $   $319,352   $627,001   $646,850 
Royce Opportunity Fund                                   
Common Stocks   49                    (49)   0 
Royce Pennsylvania Mutual Fund                                   
Common Stocks   0                        0 
Royce Total Return Fund                                   
Common Stocks   0        0        0         

 

 

Repurchase Agreements:

The Funds may enter into repurchase agreements with institutions that the Funds’ investment adviser has determined are creditworthy. Each Fund restricts repurchase agreements to maturities of no more than seven days. Securities pledged as collateral for repurchase agreements, which are held until maturity of the repurchase agreements, are marked-to-market daily and maintained at a value at least equal to the principal amount of the repurchase agreement (including accrued interest). Repurchase agreements could involve certain risks in the event of default or insolvency of the counter-party, including possible delays or restrictions upon the ability of each Fund to dispose of its underlying securities. The remaining contractual maturities of repurchase agreements held by the Funds at March 31, 2022 are overnight and continuous.

 

Securities Lending: 

The Funds loan securities through a lending agent, State Street Bank and Trust Company, to qualified institutional investors for the purpose of earning additional income. The lending agent receives and holds collateral from such borrowers to secure their obligations to the Funds. Such loans must be secured at all times by collateral in an amount at least equal to the market value of the loaned securities. The market values of the loaned securities and the collateral fluctuate and are determined at the close of each business day by the lending agent. Borrowers are required to post additional collateral to the lending agent on the next succeeding business day in the event of a collateral shortfall. Counterparty risk is further reduced by loaning securities only to parties that participate in a Global Securities Lending Program organized and monitored by the lending agent and that are deemed by it to satisfy its requirements and by having the lending agent enter into securities lending agreements with such borrowers. The lending agent is not affiliated with Royce.

 

Collateral may be in the form of cash or U.S. Treasuries. Cash collateral is invested in certain money market pooled investment vehicles. The Funds record a liability in their respective Statements of Assets and Liabilities for the return of such cash collateral during periods in which securities are on loan. The Funds bear the risk of loss for any decrease in the market value of the loaned securities or the investments purchased with cash collateral received from the borrowers.

 

Pursuant to the agreement in place between the Funds and the lending agent, if a borrower fails to return loaned securities, and the cash collateral being maintained by the lending agent on behalf of such borrower is insufficient to cover the value of loaned securities and provided such collateral insufficiency is not the result of investment losses, the lending agent shall, at its option, either replace the loaned securities or pay the amount of the shortfall to the Funds. In the event of the bankruptcy of a borrower, the Funds could experience delay in recovering the loaned securities or only recover cash or a security of equivalent value.

 

Loans of securities generally do not have stated maturity dates, and the Funds may recall a security at any time. The Funds’ securities lending income consists of the income earned on investing cash collateral, plus any premium payments received for lending certain securities, less any rebates paid to borrowers and lending agent fees associated with the loan. Pursuant to the agreement in place between the Funds and the lending agent, the Funds are responsible for any shortfall in the event the value of the investments purchased with cash collateral is insufficient to pay the rebate fee to the borrower.

 

The following table presents cash collateral and the market value of securities on loan collateralized by cash collateral held by the Funds at March 31, 2022:

 

   Cash Collateral1   Securities on Loan
Collateralized by Cash Collateral
   Net Amount 
Royce Opportunity Fund  $4,096,215   $(3,759,020)  $337,195 
Royce Pennsylvania Mutual Fund   3,313,100    (3,242,068)   71,032 
Royce Small-Cap Value Fund   287,000    (282,520)   4,480 
Royce Smaller-Companies Growth Fund   7,248,415    (6,690,779)   557,636 

 

1 The contractual maturity of cash collateral is overnight and continuous.

 

The following table presents non-cash collateral and the market value of securities on loan collateralized by non-cash collateral held by the Funds’ custodian at March 31, 2022:

 

       Securities on Loan     
   Non-Cash Collateral   Collateralized by Non-Cash Collateral   Net Amount 
Royce Micro-Cap Fund  $2,628,770   $(2,551,656)  $77,114 
Royce Opportunity Fund   17,292,937    (16,827,937)   465,000 
Royce Pennsylvania Mutual Fund   25,067,489    (24,482,482)   585,007 
Royce Small-Cap Value Fund   51,203    (49,700)   1,503 
Royce Smaller-Companies Growth Fund   21,136,413    (20,641,354)   495,059 

 

 

Transactions in Affiliated Companies:

An “Affiliated Company,” as defined in the 1940 Act, is a company in which a fund owns 5% or more of the company’s outstanding voting securities at any time during the period. The following transactions were effected in shares of such companies for the three months ended March 31, 2022:

 

Affiliated Company1  Shares
12/31/21
   Market
Value
12/31/21
   Costs of
Purchases
   Proceeds
from Sales
   Realized
Gain
(Loss)
   Change in Net
Unrealized
Appreciation
(Depreciation)
   Dividend
Income
   Shares
3/31/22
   Market
Value
3/31/22
 

Royce International Premier Fund

Australia – 2.0%

                          
Bravura Solutions2,3  15,808,630   $28,408,875   $736,852   $   $   $(7,553,755)  $440,705    16,315,230   $21,591,972 
        28,408,875                  (7,553,755)   440,705         21,591,972 

Royce Opportunity Fund

Health Care – 0.0%

                          
Health Care Equipment & Supplies – 0.0%                          
IntriCon Corporation4,5  486,447    7,865,848        11,579,543    2,355,413    1,358,282               
        7,865,848              2,355,413    1,358,282               
Industrials – 0.3%                               
Construction & Engineering – 0.3%                          
Limbach Holdings2,4  635,423    5,718,807    285,356            (1,321,197)       673,808    4,682,966 
        5,718,807                  (1,321,197)            4,682,966 
Information Technology – 0.3%                          
Communications Equipment – 0.3%                          
PCTEL2,4  1,000,593    5,673,362    146,489            (1,035,580)       1,031,093    4,784,271 
        5,673,362                  (1,035,580)            4,784,271 
        19,258,017              2,355,413    (998,495)            9,467,237 
                                             

Royce Special Equity Fund

Consumer Discretionary – 5.5%

                          
Auto Components – 5.5%                          
Standard Motor Products2  1,171,500    61,374,885    265,350            (10,842,885)   316,305    1,177,500    50,797,350 
Household Durables – 0.0%                          
Flexsteel Industries5  767,500    20,615,050        14,352,219    (13,061,794)   6,798,963               
Hooker Furniture5  1,137,000    26,469,360        21,153,315    (7,013,961)   1,697,916    220,000           
        47,084,410              (20,075,755)   8,496,879    220,000           
        108,459,295              (20,075,755)   (2,346,006)   536,305         50,797,350 
Industrials – 5.3%                               
Machinery – 5.3%                               
Gencor Industries2,4  1,066,000    12,290,980                (1,332,500)       1,066,000    10,958,480 
Hurco Companies2  580,000    17,226,000                1,055,600    87,000    580,000    18,281,600 
Miller Industries2  754,000    25,183,600    316,991    2,237,528    29,551    (4,003,014)   137,610    685,000    19,289,600 
        54,700,580              29,551    (4,279,914)   224,610         48,529,680 
Information Technology – 1.9%                          
Semiconductors & Semiconductor Equipment – 1.9%                          
NVE Corporation2  300,100    20,496,830    1,467,034            (4,261,114)   307,500    325,000    17,702,750 
        20,496,830                  (4,261,114)   307,500         17,702,750 
        183,656,705              (20,046,204)   (10,887,034)   1,068,415         117,029,780 
Royce Total Return Fund                          
Financials – 1.4%                               
Insurance – 1.4%                               
Trean Insurance Group2,4  2,821,597    25,140,429    4,172,397    1,056,668    (25,504)   (11,276,825)       3,614,889    16,953,829 
        25,140,429              (25,504)   (11,276,825)            16,953,829 

 

1Percentages represent the percentages of the investments in Affiliated Companies of the Funds’s net assets.

2At March 31, 2022, the Fund owned 5% or more of the Company’s outstanding voting securities thereby making the Company an Affiliated Company as that term is defined in the Investment Company Act of 1940.

3These securities are defined as Level 2 securities due to fair value being based on quoted prices for similar securities and/or due to the application of fair value factors.

4Non-income producing.

5Not an Affiliated Company at March 31, 2022.

 

Other information regarding the Fund is available in the Fund’s most recent Prospectus and Report to Shareholders. This information is available through Royce Investment Partners (www.royceinvest.com) and on the Securities and Exchange Commission’s website (www.sec.gov).