0000928816-21-000416.txt : 20210330 0000928816-21-000416.hdr.sgml : 20210330 20210330170418 ACCESSION NUMBER: 0000928816-21-000416 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 19 CONFORMED PERIOD OF REPORT: 20210131 FILED AS OF DATE: 20210330 DATE AS OF CHANGE: 20210330 EFFECTIVENESS DATE: 20210330 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PUTNAM PREMIER INCOME TRUST CENTRAL INDEX KEY: 0000827773 IRS NUMBER: 042995046 STATE OF INCORPORATION: MA FISCAL YEAR END: 0731 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-05452 FILM NUMBER: 21787498 BUSINESS ADDRESS: STREET 1: ONE POST OFFICE SQ CITY: BOSTON STATE: MA ZIP: 02109 BUSINESS PHONE: 6172921000 N-CSRS 1 a_premierincome.htm PUTNAM PREMIER INCOME TRUST a_premierincome.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED
MANAGEMENT INVESTMENT COMPANIES




Investment Company Act file number: (811-05452)
Exact name of registrant as specified in charter: Putnam Premier Income Trust
Address of principal executive offices: 100 Federal Street, Boston, Massachusetts 02110
Name and address of agent for service: Robert T. Burns, Vice President
100 Federal Street
Boston, Massachusetts 02110
Copy to:         Bryan Chegwidden, Esq.
Ropes & Gray LLP
1211 Avenue of the Americas
New York, New York 10036
Registrant's telephone number, including area code: (617) 292-1000
Date of fiscal year end: July 31, 2021
Date of reporting period: August 1, 2020 — January 31, 2021



Item 1. Report to Stockholders:

The following is a copy of the report transmitted to stockholders pursuant to Rule 30e-1 under the Investment Company Act of 1940:



 


 

Message from the Trustees

March 17, 2021

Dear Fellow Shareholder:

The continuing hardships of the global Covid-19 pandemic remain a concern for the economy, but we have optimism for the year ahead. Infection rates have declined in early 2021. In the United States, fiscal stimulus enacted in December is reaching people and President Biden is urging Congress to provide even more support. Worldwide, more than 140 million vaccinations are just the beginning of a massive effort to counter the pandemic.

While many challenges remain, the economy is rebounding, the stock market has reached new highs, and interest rates remain low. Conditions appear to be in place for rising employment rates and increasing business activity later in the year. Businesses and policy makers need to steer a careful course, but we believe it is reasonable to anticipate improvement.

Putnam continues to employ active strategies that seek superior investment performance for you and your fellow shareholders. Putnam’s portfolio managers and analysts take a research-intensive approach that includes risk management strategies designed to serve you through changing conditions.

As always, thank you for investing with Putnam.



 


When Putnam Premier Income Trust was launched in 1988, its three-pronged focus on U.S. investment-grade bonds, high-yield corporate bonds, and non-U.S. bonds was considered innovative.

In the more than 30 years since then, the fixed-income landscape has undergone a dramatic transformation, but the spirit of ingenuity that helped launch the fund is still with it today.

A veteran portfolio management team

The fund’s managers strive to build a well-diversified portfolio that carefully balances risk and return, targeting opportunities in interest rates, credit, mortgages, and currencies from across the full spectrum of the global bond markets.

 

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Allocations are shown as a percentage of the fund’s net assets as of 1/31/21. Cash and net other assets, if any, represent the market value weights of cash, derivatives, short-term securities, and other unclassified assets in the portfolio. Summary information may differ from the portfolio schedule included in the financial statements due to the inclusion of derivative securities, any interest accruals, the use of different classifications of securities for presentation purposes, and rounding.

Allocations may not total 100% because the table includes the notional value of certain derivatives (the economic value for purposes of calculating periodic payment obligations), in addition to the market value of securities. Holdings and allocations may vary over time.

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Data are historical. Past performance does not guarantee future results. More recent returns may be less or more than those shown. Investment return and net asset value will fluctuate, and you may have a gain or a loss when you sell your shares. Performance assumes reinvestment of distributions and does not account for taxes. Fund returns in the bar chart are at NAV. See below and pages 11–13 for additional performance information, including fund returns at market price.

Index and Lipper results should be compared with fund performance at NAV.

* Source: Bloomberg Index Services Limited.

** Source: Lipper, a Refinitiv company.

The fund’s primary benchmark (ICE BofA U.S. Treasury Bill Index) was introduced on 6/30/92, which post-dates the inception of the fund’s class A shares.

Returns for the six-month period are not annualized, but cumulative.

This comparison shows your fund’s performance in the context of broad market indexes for the six months ended 1/31/21. See above and pages 11–13 for additional fund performance information. Index descriptions can be found on pages 14–15.

* Source: Bloomberg Index Services Limited.

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Bill, how would you summarize the fund’s investment environment during the reporting period?

The period began on a strong note, with risk assets broadly gaining in August. Positive earnings reports from several sectors, progress on Covid-19 vaccines, and supportive policy — including a historic stimulus package passed by the European Union — generally bolstered risk appetites. A shift in the U.S. Federal Reserve’s [Fed] inflation framework, under which the Fed will allow inflation to exceed its 2% target while continuing to support the economy, helped boost investor optimism.

Risk assets pulled back moderately in September, partly due to increased global economic concerns stemming from an upsurge in virus cases. Fading hope for another U.S. stimulus package and uncertainty surrounding the upcoming U.S. elections also weighed on investor sentiment.

During the second half of the period, news of multiple Covid-19 vaccines fueled hopes of returning to more normalcy in the economy, markets, and society. As the period came to a close, optimism about a $1.9 billion stimulus

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Credit qualities are shown as a percentage of the fund’s net assets as of 1/31/21. A bond rated BBB or higher (A-3 or higher, for short-term debt) is considered investment grade. This chart reflects the highest security rating provided by one or more of Standard & Poor’s, Moody’s, and Fitch. To-be-announced (TBA) mortgage commitments, if any, are included based on their issuer ratings. Ratings may vary over time.

Cash, derivative instruments, and net other assets are shown in the not-rated category. Payables and receivables for TBA mortgage commitments are included in the not-rated category and may result in negative weights. The fund itself has not been rated by an independent rating agency.

program proposed by the Biden administration, along with continued policy support from the Fed, further lifted market sentiment.

For the period as a whole, credit performed well, with spreads tightening across the quality spectrum. [Bond prices rise as spreads tighten and fall as spreads widen.] Yields on longer-term U.S. Treasuries rose, muting returns of indexes with a heavier government weighting. Within this environment, high-yield corporate bonds outpaced the broad investment-grade fixed-income market. Emerging-market [EM] debt also performed well, but trailed high-yield credit in U.S.-dollar terms. Convertible securities — which combine features of stocks and bonds — posted outsized gains.

The fund advanced strongly for the six-month period. Which holdings and strategies drove its performance?

Before I discuss performance, I think it’s important to highlight that the fund continued to invest outside the constraints of traditional fixed-income benchmarks, such as the Bloomberg Barclays U.S. Aggregate Bond Index. Our goal is to seek what we consider to be the best investment opportunities based on risk rather than asset class. These risks include interest rate, credit, prepayment, and liquidity.

In terms of specific strategies, our corporate credit holdings — primarily high-yield bonds and convertible securities — added the most value this period. Reflecting investor demand for risk, spreads on corporate securities continued to tighten.

Mortgage credit holdings also contributed substantially, led by our exposure to commercial mortgage-backed securities [CMBS]. January marked the sixth straight month that credit-driven mortgage securities aided the fund following a pullback in July.

Within CMBS, synthetic exposure via CMBX helped the most, complemented by cash

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bonds. [CMBX is a group of tradeable indexes that each reference a basket of 25 CMBS issued in a particular year.] While there continues to be a degree of negative sentiment toward certain property types, most notably hotels and malls, the availability of Covid-19 vaccines has sparked optimism that social-distancing measures could be meaningfully eased by the middle of 2021.

Positions in agency credit-risk transfer [CRT] securities also aided performance. A variety of factors helped agency CRTs, including housing-related government policy measures in response to Covid-19, housing market strength, and optimism about the reopening of the economy. CRTs also benefited from a growing borrower base capitalizing on lower mortgage interest rates and improved home affordability.

Holdings of EM debt across a number of countries provided a further notable boost to performance. Investments in Senegal, the Ivory Coast, the Dominican Republic, and Egypt were the top contributors. As noted above, the sector rallied in step with healthier risk dynamics and demand for higher-yielding securities.

What about strategies targeting prepayment risk?

They also contributed this period, driven by our mortgage-basis positioning. This strategy reflects our view on the yield differential between prevailing mortgage rates and U.S. Treasuries. The strategy added value as spreads on agency pass-throughs tightened during the period [meaning their prices rose relative to Treasuries].

Despite an uptick in prepayment speeds on the mortgages underlying these securities, demand remained consistent as investors embraced risk to access higher yields. Also, increased confidence that prepayment speeds may have leveled off gave investors greater assurance in their ability to build models that accurately anticipate speeds going forward.


This table shows the fund’s top holdings across three key sectors and the percentage of the fund’s net assets that each represented as of 1/31/21. Short-term investments, TBA commitments, and derivatives, if any, are excluded. Holdings may vary over time.

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What detracted from performance?

Our interest-rate and yield-curve strategy was the lone meaningful detractor this period. Rising interest rates and a steepening of the yield curve worked against the fund’s positioning.

How did you use derivatives during the period?

We used CMBX credit default swaps [CDS] to gain exposure to CMBS. We also used CDS to hedge the fund’s credit and market risks. We used bond futures and interest-rate swaps to take tactical positions at various points along the yield curve, and to hedge the risk associated with the fund’s curve positioning. We employed interest-rate swaps to gain exposure to rates in various countries. We also utilized options to hedge the fund’s interest-rate risk, to isolate the prepayment risk associated with our collateralized mortgage obligation [CMO] holdings, and to help manage overall downside risk. In addition, we used total return swaps as a hedging tool, and to help manage the portfolio’s sector exposure, as well as its inflation risk.

What is your near-term outlook?

As of January 31, there was significant optimism for 2021. We believe investors will remain focused on vaccine rollouts, corporate earnings, fiscal stimulus, and any change in stance from the Fed to see if that optimism remains justified as we progress through 2021.

In terms of our views on the various sectors in which the fund invests, we have a relatively positive medium-term outlook for corporate credit. We believe there are factors that will be supportive for the U.S. corporate bond market, such as demand for comparatively higher U.S. yields in the face of much lower yields globally.

Within the CMBS market, we believe borrowers with access to capital will continue to make investments in properties that were performing


This chart shows how the fund’s security type weightings have changed over the past six months. Allocations are shown as a percentage of the fund’s net assets. Cash and net other assets, if any, represent the market value weights of cash, derivatives, short-term securities, and other unclassified assets in the portfolio. Current period summary information may differ from the portfolio schedule included in the financial statements due to the inclusion of derivative securities, any interest accruals, the use of different classifications of securities for presentation purposes, and rounding.

Allocations may not total 100% because the table includes the notional value of certain derivatives (the economic value for purposes of calculating periodic payment obligations), in addition to the market value of securities. Holdings and allocations may vary over time.

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well before the pandemic hampered their revenue streams. As a result, we continue to have conviction in the fund’s CMBX exposure. We believe current valuations fairly compensate investors for existing risk levels and provide an attractive risk premium.

Within residential mortgage credit, against the backdrop of robust home sales and a rebound in mortgage originations, we continue to find value across numerous market segments.

In non-U.S. sovereign debt in both developed and emerging markets, we continue to favor countries that we believe have responded effectively to Covid-19.

In prepayment-sensitive areas of the market, we continue to find value in agency interest-only [IO] collateralized mortgage obligations and inverse IOs backed by jumbo loans and more seasoned collateral. Overall, we view prepayment-related opportunities as attractive sources of diversification for the fund.

Thanks for your time and for bringing us up to date, Bill.

The views expressed in this report are exclusively those of Putnam Management and are subject to change. Disclosures provide only a summary of certain changes that have occurred in the past fiscal period, which may not reflect all of the changes that have occurred since an investor purchased the fund. They are not meant as investment advice.

Please note that the holdings discussed in this report may not have been held by the fund for the entire period. Portfolio composition is subject to review in accordance with the fund’s investment strategy and may vary in the future. Current and future portfolio holdings are subject to risk. Statements in the Q&A concerning the fund’s performance or portfolio composition relative to

ABOUT DERIVATIVES

Derivatives are an increasingly common type of investment instrument, the performance of which is derived from an underlying security, index, currency, or other area of the capital markets. Derivatives employed by the fund’s managers generally serve one of two main purposes: to implement a strategy that may be difficult or more expensive to invest in through traditional securities, or to hedge unwanted risk associated with a particular position.

For example, the fund’s managers might use currency forward contracts to capitalize on an anticipated change in exchange rates between two currencies. This approach would require a significantly smaller outlay of capital than purchasing traditional bonds denominated in the underlying currencies. In another example, the managers may identify a bond that they believe is undervalued relative to its risk of default, but may seek to reduce the interest-rate risk of that bond by using interest-rate swaps, a derivative through which two parties “swap” payments based on the movement of certain rates.

Like any other investment, derivatives may not appreciate in value and may lose money. Derivatives may amplify traditional investment risks through the creation of leverage and may be less liquid than traditional securities. And because derivatives typically represent contractual agreements between two financial institutions, derivatives entail “counterparty risk,” which is the risk that the other party is unable or unwilling to pay. Putnam monitors the counterparty risks we assume. For example, Putnam often enters into collateral agreements that require the counterparties to post collateral on a regular basis to cover their obligations to the fund. Counterparty risk for exchange-traded futures and centrally cleared swaps is mitigated by the daily exchange of margin and other safeguards against default through their respective clearinghouses.

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those of the fund’s Lipper peer group may reference information produced by Lipper Inc. or through a third party.

Of special interest

Due to reduced income within the fund’s portfolio, the fund decreased its targeted distribution rate in December 2020. The fund currently expects to make monthly distributions of $0.026 per share, down from $0.035 per share. The fund’s targeted distribution rate may change from time to time or be discontinued, depending on market conditions and other factors.

HOW CLOSED-END FUNDS DIFFER FROM OPEN-END FUNDS

Closed-end funds and open-end funds share many common characteristics but also have some key differences that you should understand as you consider your portfolio strategies.

More assets at work Open-end funds are subject to ongoing sales and redemptions that can generate transaction costs for long-term shareholders. Closed-end funds, however, are typically fixed pools of capital that do not need to hold cash in connection with sales and redemptions, allowing the funds to keep more assets actively invested.

Traded like stocks Closed-end fund shares are traded on stock exchanges and, as a result, their prices fluctuate because of the influence of several factors.

They have a market price Like an open-end fund, a closed-end fund has a per-share net asset value (NAV). However, closed-end funds also have a “market price” for their shares — which is how much you pay when you buy shares of the fund, and how much you receive when you sell them.

When looking at a closed-end fund’s performance, you will usually see that the NAV and the market price differ. The market price can be influenced by several factors that cause it to vary from the NAV, including fund distributions, changes in supply and demand for the fund’s shares, changing market conditions, and investor perceptions of the fund or its investment manager. A fund’s performance at market price typically differs from its results at NAV.

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Your fund’s performance

This section shows your fund’s performance, price, and distribution information for periods ended January 31, 2021, the end of the first half of its current fiscal year. In accordance with regulatory requirements for mutual funds, we also include performance information as of the most recent calendar quarter-end. Performance should always be considered in light of a fund’s investment strategy. Data represent past performance. Past performance does not guarantee future results. More recent returns may be less or more than those shown. Investment return, net asset value, and market price will fluctuate, and you may have a gain or a loss when you sell your shares.

Fund performance Total return for periods ended 1/31/21

  Annual                 
  average                 
  Life of                 
  fund (since    Annual    Annual    Annual     
  2/29/88)  10 years  average  5 years  average  3 years  average  1 year  6 months 
NAV  6.45%  48.84%  4.06%  32.76%  5.83%  9.36%  3.03%  –0.69%  7.50% 
Market price  6.48  41.80  3.55  38.94  6.80  11.84  3.80  –7.64  1.79 

 

Performance assumes reinvestment of distributions and does not account for taxes.

Performance includes the deduction of management fees and administrative expenses.

Comparative index returns For periods ended 1/31/21

  Annual                 
  average                 
  Life of                 
  fund (since    Annual    Annual    Annual     
  2/29/88)  10 years  average  5 years  average  3 years  average  1 year  6 months 
ICE BofA U.S.                   
Treasury Bill Index  *  6.81%  0.66%  6.27%  1.22%  4.94%  1.62%  0.61%  0.06% 
Bloomberg Barclays                   
Government Bond  5.76%  36.58  3.17  16.72  3.14  16.81  5.32  4.42  –2.62 
Index                   
Lipper General Bond                   
Funds (closed-end)  7.31  120.75  7.89  55.45  9.11  19.41  6.06  5.26  11.05 
category average                   

 

Index and Lipper results should be compared to fund performance at net asset value.

* The fund’s primary benchmark (ICE BofA U.S. Treasury Bill Index) was introduced on 6/30/92, which post-dates the inception of the fund’s class A shares.

Over the 6-month, 1-year, 3-year, 5-year, 10-year, and life-of-fund periods ended 1/31/21, there were 62, 56, 36, 29, 18, and 3 funds, respectively, in this Lipper category.

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Fund price and distribution information For the six-month period ended 1/31/21

Distributions     
Number  6 
Income  $0.192 
Capital gains   
Total  $0.192 
Share value  NAV  Market price 
7/31/20  $4.80  $4.74 
1/31/21  4.96  4.63 
Current dividend rate*  6.29%  6.74% 

 

The classification of distributions, if any, is an estimate. Final distribution information will appear on your year-end tax forms.

* Most recent distribution, including any return of capital and excluding capital gains, annualized and divided by NAV or market price at end of period.

Fund performance as of most recent calendar quarter Total return for periods ended 12/31/20

  Annual                 
  average                 
  Life of                 
  fund (since    Annual    Annual    Annual     
  2/29/88)  10 years  average  5 years  average  3 years  average  1 year  6 months 
NAV  6.46%  50.70%  4.19%  26.70%  4.85%  11.09%  3.57%  –1.09%  8.17% 
Market price  6.49  46.58  3.90  33.33  5.92  9.53  3.08  –6.65  2.41 

 

See the discussion following the fund performance table on page 11 for information about the calculation of fund performance.

 

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Consider these risks before investing

Emerging-market securities carry illiquidity and volatility risks. Lower-rated bonds may offer higher yields in return for more risk. Funds that invest in government securities are not guaranteed. Mortgage-backed securities are subject to prepayment risk and the risk that they may increase in value when interest rates decline and decline in value when interest rates rise. Bond investments are subject to interest-rate risk (the risk of bond prices falling if interest rates rise) and credit risk (the risk of an issuer defaulting on interest or principal payments). Interest-rate risk is generally greater for longer-term bonds, and credit risk is generally greater for below-investment-grade bonds. Risks associated with derivatives include increased investment exposure (which may be considered leverage) and, in the case of over-the-counter instruments, the potential inability to terminate or sell derivatives positions and the potential failure of the other party to the instrument to meet its obligations. Unlike bonds, funds that invest in bonds have fees and expenses. The value of investments in the fund’s portfolio may fall or fail to rise over extended periods of time for a variety of reasons, including general economic, political, or financial market conditions; investor sentiment and market perceptions; government actions; geopolitical events or changes; and factors related to a specific issuer, geography, industry, or sector. These and other factors may lead to increased volatility and reduced liquidity in the fund’s portfolio holdings. International investing involves currency, economic, and political risks. You can lose money by investing in the fund. The fund’s shares trade on a stock exchange at market prices, which may be lower than the fund’s net asset value.

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Terms and definitions

Important terms

Total return shows how the value of the fund’s shares changed over time, assuming you held the shares through the entire period and reinvested all distributions in the fund.

Net asset value (NAV) is the value of all your fund’s assets, minus any liabilities, divided by the number of outstanding shares.

Market price is the current trading price of one share of the fund. Market prices are set by transactions between buyers and sellers on exchanges such as the New York Stock Exchange.

Fixed-income terms

Current rate is the annual rate of return earned from dividends or interest of an investment. Current rate is expressed as a percentage of the price of a security, fund share, or principal investment.

Mortgage-backed security (MBS), also known as a mortgage “pass-through,” is a type of asset-backed security that is secured by a mortgage or collection of mortgages. The following are types of MBSs:

Agency credit-risk transfer security (CRT) is backed by a reference pool of agency mortgages. Unlike a regular agency pass-through, the principal invested in a CRT is not backed by a U.S. government agency. To compensate investors for this risk, a CRT typically offers a higher yield than conventional pass-through securities. Similar to a CMBS, a CRT is structured into various tranches for investors, offering different levels of risk and yield based on the underlying reference pool.

Agency “pass-through” has its principal and interest backed by a U.S. government agency, such as the Federal National Mortgage Association (Fannie Mae), Government National Mortgage Association (Ginnie Mae), and Federal Home Loan Mortgage Corporation (Freddie Mac).

Collateralized mortgage obligation (CMO) represents claims to specific cash flows from pools of home mortgages. The streams of principal and interest payments on the mortgages are distributed to the different classes of CMO interests in “tranches.” Each tranche may have different principal balances, coupon rates, prepayment risks, and maturity dates. A CMO is highly sensitive to changes in interest rates and any resulting change in the rate at which homeowners sell their properties, refinance, or otherwise prepay loans. CMOs are subject to prepayment, market, and liquidity risks.

° Interest-only (IO) security is a type of CMO in which the underlying asset is the interest portion of mortgage, Treasury, or bond payments.

Non-agency residential mortgage-backed security (RMBS) is an MBS not backed by Fannie Mae, Ginnie Mae, or Freddie Mac. One type of RMBS is an Alt-A mortgage-backed security.

Commercial mortgage-backed security (CMBS) is secured by the loan on a commercial property.

Yield curve is a graph that plots the yields of bonds with equal credit quality against their differing maturity dates, ranging from shortest to longest. It is used as a benchmark for other debt, such as mortgage or bank lending rates.

Comparative indexes

Bloomberg Barclays Government Bond Index is an unmanaged index of U.S. Treasury and agency securities.

Bloomberg Barclays U.S. Aggregate Bond Index is an unmanaged index of U.S. investment-grade fixed-income securities.

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CMBX Index is a group of tradeable indexes that reference a basket of 25 CMBS issued in a particular year.

ICE BofA (Intercontinental Exchange Bank of America) U.S. Treasury Bill Index is an unmanaged index that tracks the performance of U.S. dollar-denominated U.S. Treasury bills publicly issued in the U.S. domestic market. Qualifying securities must have a remaining term of at least one month to final maturity and a minimum amount outstanding of $1 billion.

S&P 500 Index is an unmanaged index of common stock performance.

Indexes assume reinvestment of all distributions and do not account for fees. Securities and performance of a fund and an index will differ. You cannot invest directly in an index.

BLOOMBERG® is a trademark and service mark of Bloomberg Finance L.P. and its affiliates (collectively “Bloomberg”). BARCLAYS® is a trademark and service mark of Barclays Bank Plc (collectively with its affiliates, “Barclays”), used under license. Bloomberg or Bloomberg’s licensors, including Barclays, own all proprietary rights in the Bloomberg Barclays Indices. Neither Bloomberg nor Barclays approves or endorses this material, or guarantees the accuracy or completeness of any information herein, or makes any warranty, express or limited, as to the results to be obtained therefrom, and to the maximum extent allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

ICE Data Indices, LLC (“ICE BofA”), used with permission. ICE BofA permits use of the ICE BofA indices and related data on an “as is” basis; makes no warranties regarding same; does not guarantee the suitability, quality, accuracy, timeliness, and/or completeness of the ICE BofA indices or any data included in, related to, or derived therefrom; assumes no liability in connection with the use of the foregoing; and does not sponsor, endorse, or recommend Putnam Investments, or any of its products or services.

Lipper, a Refinitiv company, is a third-party industry-ranking entity that ranks mutual funds. Its rankings do not reflect sales charges. Lipper rankings are based on total return at net asset value relative to other funds that have similar current investment styles or objectives as determined by Lipper. Lipper may change a fund’s category assignment at its discretion. Lipper category averages reflect performance trends for funds within a category.

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Other information for shareholders

Important notice regarding share repurchase program

In September 2020, the Trustees of your fund approved the renewal of a share repurchase program that had been in effect since 2005. This renewal allows your fund to repurchase, in the 365 days beginning October 1, 2020, up to 10% of the fund’s common shares outstanding as of September 30, 2020.

Important notice regarding delivery of shareholder documents

In accordance with Securities and Exchange Commission (SEC) regulations, Putnam sends a single copy of annual and semiannual shareholder reports, prospectuses, and proxy statements to Putnam shareholders who share the same address, unless a shareholder requests otherwise. If you prefer to receive your own copy of these documents, please call Putnam at 1-800-225-1581, and Putnam will begin sending individual copies within 30 days.

Proxy voting

Putnam is committed to managing our mutual funds in the best interests of our shareholders. The Putnam funds’ proxy voting guidelines and procedures, as well as information regarding how your fund voted proxies relating to portfolio securities during the 12-month period ended June 30, 2020, are available in the Individual Investors section of putnam.com and on the SEC’s website, www.sec.gov. If you have questions about finding forms on the SEC’s website, you may call the SEC at 1-800-SEC-0330. You may also obtain the Putnam funds’ proxy voting guidelines and procedures at no charge by calling Putnam’s Shareholder Services at 1-800-225-1581.

Fund portfolio holdings

The fund will file a complete schedule of its portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-PORT within 60 days of the end of such fiscal quarter. Shareholders may obtain the fund’s Form N-PORT on the SEC’s website at www.sec.gov.

Prior to its use of Form N-PORT, the fund filed its complete schedule of its portfolio holdings with the SEC on Form N-Q, which is available online at www.sec.gov.

Trustee and employee fund ownership

Putnam employees and members of the Board of Trustees place their faith, confidence, and, most importantly, investment dollars in Putnam mutual funds. As of January 31, 2021, Putnam employees had approximately $541,000,000 and the Trustees had approximately $76,000,000 invested in Putnam mutual funds. These amounts include investments by the Trustees’ and employees’ immediate family members as well as investments through retirement and deferred compensation plans.

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Summary of Putnam closed-end funds’ amended and restated dividend reinvestment plans

Putnam Managed Municipal Income Trust, Putnam Master Intermediate Income Trust, Putnam Municipal Opportunities Trust and Putnam Premier Income Trust (each, a “Fund” and collectively, the “Funds”) each offer a dividend reinvestment plan (each, a “Plan” and collectively, the “Plans”). If you participate in a Plan, all income dividends and capital gain distributions are automatically reinvested in Fund shares by the Fund’s agent, Putnam Investor Services, Inc. (the “Agent”). If you are not participating in a Plan, every month you will receive all dividends and other distributions in cash, paid by check and mailed directly to you.

Upon a purchase (or, where applicable, upon registration of transfer on the shareholder records of a Fund) of shares of a Fund by a registered shareholder, each such shareholder will be deemed to have elected to participate in that Fund’s Plan. Each such shareholder will have all distributions by a Fund automatically reinvested in additional shares, unless such shareholder elects to terminate participation in a Plan by instructing the Agent to pay future distributions in cash. Shareholders who were not participants in a Plan as of January 31, 2010, will continue to receive distributions in cash but may enroll in a Plan at any time by contacting the Agent.

If you participate in a Fund’s Plan, the Agent will automatically reinvest subsequent distributions, and the Agent will send you a confirmation in the mail telling you how many additional shares were issued to your account.

To change your enrollment status or to request additional information about the Plans, you may contact the Agent either in writing, at P.O. Box 8383, Boston, MA 02266-8383, or by telephone at 1-800-225-1581 during normal East Coast business hours.

How you acquire additional shares through a Plan If the market price per share for your Fund’s shares (plus estimated brokerage commissions) is greater than or equal to their net asset value per share on the payment date for a distribution, you will be issued shares of the Fund at a value equal to the higher of the net asset value per share on that date or 95% of the market price per share on that date.

If the market price per share for your Fund’s shares (plus estimated brokerage commissions) is less than their net asset value per share on the payment date for a distribution, the Agent will buy Fund shares for participating accounts in the open market. The Agent will aggregate open-market purchases on behalf of all participants, and the average price (including brokerage commissions) of all shares purchased by the Agent will be the price per share allocable to each participant. The Agent will generally complete these open-market purchases within five business days following the payment date. If, before the Agent has completed open-market purchases, the market price per share (plus estimated brokerage commissions) rises to exceed the net asset value per share on the payment date, then the purchase price may exceed the net asset value per share, potentially resulting in the acquisition of fewer shares than if the distribution had been paid in newly issued shares.

How to withdraw from a Plan Participants may withdraw from a Fund’s Plan at any time by notifying the Agent, either in writing or by telephone. Such withdrawal will be effective immediately if notice is received by the Agent with sufficient time prior to any distribution record date; otherwise, such withdrawal will be effective with respect to any subsequent distribution following notice of withdrawal. There is no penalty for withdrawing from or not participating in a Plan.

Plan administration The Agent will credit all shares acquired for a participant under a Plan to the account in which the participant’s common shares are held. Each participant will

Premier Income Trust 17 

 


 

be sent reasonably promptly a confirmation by the Agent of each acquisition made for his or her account.

About brokerage fees Each participant pays a proportionate share of any brokerage commissions incurred if the Agent purchases additional shares on the open market, in accordance with the Plans. There are no brokerage charges applied to shares issued directly by the Funds under the Plans.

About taxes and Plan amendments Reinvesting dividend and capital gain distributions in shares of the Funds does not relieve you of tax obligations, which are the same as if you had received cash distributions. The Agent supplies tax information to you and to the IRS annually. Each Fund reserves the right to amend or terminate its Plan upon 30 days’ written notice. However, the Agent may assign its rights, and delegate its duties, to a successor agent with the prior consent of a Fund and without prior notice to Plan participants.

If your shares are held in a broker or nominee name If your shares are held in the name of a broker or nominee offering a dividend reinvestment service, consult your broker or nominee to ensure that an appropriate election is made on your behalf. If the broker or nominee holding your shares does not provide a reinvestment service, you may need to register your shares in your own name in order to participate in a Plan.

In the case of record shareholders such as banks, brokers or nominees that hold shares for others who are the beneficial owners of such shares, the Agent will administer the Plan on the basis of the number of shares certified by the record shareholder as representing the total amount registered in such shareholder’s name and held for the account of beneficial owners who are to participate in the Plan.

18 Premier Income Trust 

 


 

Financial statements

These sections of the report, as well as the accompanying Notes, constitute the fund’s financial statements.

The fund’s portfolio lists all the fund’s investments and their values as of the last day of the reporting period. Holdings are organized by asset type and industry sector, country, or state to show areas of concentration and diversification.

Statement of assets and liabilities shows how the fund’s net assets and share price are determined. All investment and non-investment assets are added together. Any unpaid expenses and other liabilities are subtracted from this total. The result is divided by the number of shares to determine the net asset value per share. (For funds with preferred shares, the amount subtracted from total assets includes the liquidation preference of preferred shares.)

Statement of operations shows the fund’s net investment gain or loss. This is done by first adding up all the fund’s earnings — from dividends and interest income — and subtracting its operating expenses to determine net investment income (or loss). Then, any net gain or loss the fund realized on the sales of its holdings — as well as any unrealized gains or losses over the period — is added to or subtracted from the net investment result to determine the fund’s net gain or loss for the fiscal period.

Statement of changes in net assets shows how the fund’s net assets were affected by the fund’s net investment gain or loss, by distributions to shareholders, and by changes in the number of the fund’s shares. It lists distributions and their sources (net investment income or realized capital gains) over the current reporting period and the most recent fiscal year-end. The distributions listed here may not match the sources listed in the Statement of operations because the distributions are determined on a tax basis and may be paid in a different period from the one in which they were earned. Dividend sources are estimated at the time of declaration. Actual results may vary. Any non-taxable return of capital cannot be determined until final tax calculations are completed after the end of the fund’s fiscal year.

Financial highlights provide an overview of the fund’s investment results, per-share distributions, expense ratios, net investment income ratios, and portfolio turnover in one summary table, reflecting the five most recent reporting periods. In a semiannual report, the highlights table also includes the current reporting period.

Premier Income Trust 19 

 


 

The fund’s portfolio 1/31/21 (Unaudited)

U.S. GOVERNMENT AND AGENCY  Principal   
MORTGAGE OBLIGATIONS (75.6%)*  amount  Value 
U.S. Government Guaranteed Mortgage Obligations (2.5%)     
Government National Mortgage Association Pass-Through Certificates     
5.50%, 5/20/49  $164,023  $188,286 
5.00%, with due dates from 5/20/49 to 3/20/50  513,815  580,693 
4.50%, with due dates from 10/20/49 to 1/20/50  314,177  349,629 
4.00%, TBA, 2/1/51  9,000,000  9,618,750 
4.00%, with due dates from 8/20/49 to 1/20/50  364,981  405,728 
3.50%, with due dates from 8/20/49 to 3/20/50  1,463,492  1,603,872 
    12,746,958 
U.S. Government Agency Mortgage Obligations (73.1%)     
Federal National Mortgage Association Pass-Through Certificates     
5.00%, with due dates from 1/1/49 to 8/1/49  255,611  285,875 
4.50%, 5/1/49  83,581  92,459 
Uniform Mortgage-Backed Securities     
5.50%, TBA, 2/1/51  5,000,000  5,575,050 
4.50%, TBA, 2/1/51  5,000,000  5,432,813 
4.00%, TBA, 2/1/51  64,000,000  68,600,000 
3.50%, TBA, 3/1/51  59,000,000  62,710,545 
3.50%, TBA, 2/1/51  79,000,000  83,925,160 
3.00%, TBA, 2/1/51  53,000,000  55,724,529 
2.50%, TBA, 2/1/51  35,000,000  36,853,908 
2.00%, TBA, 2/1/51  46,000,000  47,451,875 
1.50%, TBA, 2/1/51  4,000,000  4,012,500 
    370,664,714 
Total U.S. government and agency mortgage obligations (cost $382,462,949)  $383,411,672 

 

  Principal   
U.S. TREASURY OBLIGATIONS (0.3%)*  amount  Value 
U.S. Treasury Inflation Index Notes 0.125%, 1/15/30 i   $114,303  $129,564 
U.S. Treasury Notes     
1.875%, 2/28/22 i   723,000  742,521 
1.75%, 1/31/23 i   285,000  294,220 
1.625%, 9/30/26i   126,000  134,250 
Total U.S. treasury obligations (cost $1,300,555)    $1,300,555 

 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)*  amount  Value 
Agency collateralized mortgage obligations (22.2%)     
Federal Home Loan Mortgage Corporation     
REMICs IFB Ser. 3408, Class EK, ((-4.024 x 1 Month US LIBOR)     
+ 25.79%), 25.284%, 4/15/37  $51,700  $95,646 
REMICs IFB Ser. 3072, Class SM, ((-3.667 x 1 Month US LIBOR)     
+ 23.80%), 23.333%, 11/15/35  105,915  188,529 
REMICs IFB Ser. 3852, Class SC, IO, ((-1 x 1 Month US LIBOR)     
+ 6.65%), 6.524%, 4/15/40  2,436,339  231,574 
REMICs IFB Ser. 5011, Class SA, IO, ((-1 x 1 Month US LIBOR)     
+ 6.25%), 6.12%, 9/25/50  14,803,709  2,891,312 
REMICs IFB Ser. 4742, Class S, IO, ((-1 x 1 Month US LIBOR)     
+ 6.20%), 6.074%, 12/15/47  3,743,230  449,188 

 

20 Premier Income Trust 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Agency collateralized mortgage obligations cont.     
Federal Home Loan Mortgage Corporation     
REMICs IFB Ser. 4839, Class WS, IO, ((-1 x 1 Month US LIBOR)     
+ 6.10%), 5.974%, 8/15/56  $7,494,652  $1,742,507 
REMICs IFB Ser. 4678, Class MS, IO, ((-1 x 1 Month US LIBOR)     
+ 6.10%), 5.974%, 4/15/47  1,766,578  337,981 
REMICs IFB Ser. 4945, Class SL, IO, ((-1 x 1 Month US LIBOR)     
+ 6.05%), 5.92%, 1/25/50  12,217,057  1,936,626 
REMICs Ser. 4813, IO, 5.50%, 8/15/48  4,390,340  914,414 
REMICs Ser. 4077, Class IK, IO, 5.00%, 7/15/42  2,553,772  383,066 
REMICs Ser. 4984, Class IL, IO, 4.50%, 6/25/50  10,913,823  1,775,430 
REMICs Ser. 4122, Class TI, IO, 4.50%, 10/15/42  1,384,926  176,183 
REMICs Ser. 4000, Class PI, IO, 4.50%, 1/15/42  765,508  85,717 
REMICs Ser. 4024, Class PI, IO, 4.50%, 12/15/41  1,153,652  112,662 
REMICs Ser. 4546, Class TI, IO, 4.00%, 12/15/45  2,059,366  198,143 
REMICs Ser. 4425, IO, 4.00%, 1/15/45  2,756,418  320,434 
REMICs Ser. 4452, Class QI, IO, 4.00%, 11/15/44  2,920,839  480,843 
REMICs Ser. 4193, Class PI, IO, 4.00%, 3/15/43  1,977,825  255,897 
REMICs Ser. 4062, Class DI, IO, 4.00%, 9/15/39  902,885  9,665 
REMICs Ser. 4604, Class QI, IO, 3.50%, 7/15/46  5,056,267  360,259 
REMICs Ser. 4580, Class ID, IO, 3.50%, 8/15/45  3,127,594  182,723 
REMICs Ser. 4560, Class PI, IO, 3.50%, 5/15/45  904,180  51,990 
REMICs Ser. 4501, Class BI, IO, 3.50%, 10/15/43  1,568,264  29,811 
REMICs Ser. 4105, Class HI, IO, 3.50%, 7/15/41  1,108,835  82,751 
Strips Ser. 304, Class C37, IO, 3.50%, 12/15/27  1,025,643  65,102 
REMICs Ser. 5051, Class BI, IO, 3.00%, 11/25/50  21,224,949  2,673,053 
REMICs Ser. 4165, Class TI, IO, 3.00%, 12/15/42  4,685,694  432,208 
REMICs Ser. 4183, Class MI, IO, 3.00%, 2/15/42  2,132,787  133,565 
REMICs Ser. 4210, Class PI, IO, 3.00%, 12/15/41  770,131  23,381 
Structured Pass-Through Certificates FRB Ser. 57, Class 1AX, IO,     
0.38%, 7/25/43 W   1,975,242  19,752 
REMICs Ser. 3326, Class WF, zero %, 10/15/35  1,951  1,755 
Federal National Mortgage Association     
REMICs IFB Ser. 06-62, Class PS, ((-6 x 1 Month US LIBOR)     
+ 39.90%), 39.12%, 7/25/36  71,668  137,602 
REMICs IFB Ser. 07-53, Class SP, ((-3.667 x 1 Month US LIBOR)     
+ 24.20%), 23.657%, 6/25/37  77,179  135,835 
REMICs IFB Ser. 08-24, Class SP, ((-3.667 x 1 Month US LIBOR)     
+ 23.28%), 22.807%, 2/25/38  60,783  83,062 
REMICs IFB Ser. 05-75, Class GS, ((-3 x 1 Month US LIBOR)     
+ 20.25%), 19.86%, 8/25/35  57,012  78,493 
REMICs IFB Ser. 05-83, Class QP, ((-2.6 x 1 Month US LIBOR)     
+ 17.39%), 17.056%, 11/25/34  63,071  75,685 
REMICs IFB Ser. 12-36, Class SN, IO, ((-1 x 1 Month US LIBOR)     
+ 6.45%), 6.32%, 4/25/42  1,383,391  240,024 
REMICs IFB Ser. 10-35, Class SG, IO, ((-1 x 1 Month US LIBOR)     
+ 6.40%), 6.27%, 4/25/40  1,173,486  232,983 
REMICs IFB Ser. 18-20, Class SB, IO, ((-1 x 1 Month US LIBOR)     
+ 6.25%), 6.12%, 3/25/48  5,913,920  1,050,774 
REMICs IFB Ser. 18-38, Class SA, IO, ((-1 x 1 Month US LIBOR)     
+ 6.20%), 6.07%, 6/25/48  13,715,856  2,053,168 

 

Premier Income Trust 21 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Agency collateralized mortgage obligations cont.     
Federal National Mortgage Association     
REMICs IFB Ser. 17-32, Class SA, IO, ((-1 x 1 Month US LIBOR)     
+ 6.15%), 6.02%, 5/25/47  $12,992,892  $2,269,209 
REMICs IFB Ser. 13-18, Class SB, IO, ((-1 x 1 Month US LIBOR)     
+ 6.15%), 6.02%, 10/25/41  442,595  26,089 
REMICs Ser. 16-3, Class NI, IO, 6.00%, 2/25/46  3,238,022  692,327 
REMICs Ser. 10-99, Class NI, IO, 6.00%, 9/25/40  3,067,069  585,050 
REMICs Ser. 11-59, Class BI, IO, 6.00%, 8/25/40  83,572  73 
REMICs IFB Ser. 16-96, Class ST, IO, ((-1 x 1 Month US LIBOR)     
+ 6.10%), 5.97%, 12/25/46  4,894,875  973,144 
REMICs IFB Ser. 16-78, Class CS, IO, ((-1 x 1 Month US LIBOR)     
+ 6.10%), 5.97%, 5/25/39  16,002,018  2,885,404 
REMICs IFB Ser. 19-43, Class JS, IO, ((-1 x 1 Month US LIBOR)     
+ 6.05%), 5.92%, 8/25/49  6,893,638  1,042,697 
REMICs FRB Ser. 20-12, Class SK, IO, ((-1 x 1 Month US LIBOR)     
+ 6.05%), 5.902%, 3/25/50  8,680,579  1,690,977 
REMICs FRB Ser. 19-61, Class S, IO, ((-1 x 1 Month US LIBOR)     
+ 6.00%), 5.87%, 11/25/49  14,173,097  1,984,234 
REMICs Ser. 13-107, Class SB, IO, ((-1 x 1 Month US LIBOR)     
+ 5.95%), 5.82%, 2/25/43  3,688,037  739,719 
REMICs IFB Ser. 11-101, Class SA, IO, ((-1 x 1 Month US LIBOR)     
+ 5.90%), 5.77%, 10/25/41  3,080,404  508,899 
Interest Strip Ser. 374, Class 6, IO, 5.50%, 8/25/36  143,750  23,898 
REMICs Ser. 15-30, IO, 5.50%, 5/25/45  5,056,469  962,297 
Interest Strip Ser. 378, Class 19, IO, 5.00%, 6/25/35  434,432  71,666 
REMICs Ser. 20-76, Class BI, IO, 4.50%, 11/25/50  16,858,582  2,724,313 
REMICs Ser. 12-127, Class BI, IO, 4.50%, 11/25/42  602,184  120,696 
REMICs Ser. 12-30, Class HI, IO, 4.50%, 12/25/40  2,430,317  97,213 
REMICs Ser. 20-75, Class MI, IO, 4.00%, 11/25/50  25,026,588  3,702,127 
REMICs Ser. 17-7, Class JI, IO, 4.00%, 2/25/47  2,042,664  212,661 
REMICs Ser. 17-15, Class LI, IO, 4.00%, 6/25/46  882,142  34,119 
REMICs Ser. 15-88, Class QI, IO, 4.00%, 10/25/44  1,491,165  123,229 
REMICs Ser. 13-58, Class DI, IO, 4.00%, 6/25/43  5,396,661  750,439 
REMICs Ser. 13-41, Class IP, IO, 4.00%, 5/25/43  1,489,818  176,037 
REMICs Ser. 13-44, Class PI, IO, 4.00%, 1/25/43  1,147,808  125,754 
REMICs Ser. 13-60, Class IP, IO, 4.00%, 10/25/42  1,127,579  90,206 
REMICs Ser. 12-145, Class TI, IO, 3.00%, 11/25/42  1,119,995  54,202 
REMICs Ser. 13-35, Class IP, IO, 3.00%, 6/25/42  1,389,277  64,132 
REMICs Ser. 13-53, Class JI, IO, 3.00%, 12/25/41  1,678,230  109,515 
REMICs Ser. 13-23, Class PI, IO, 3.00%, 10/25/41  898,530  20,712 
Grantor Trust Ser. 00-T6, IO, 0.717%, 11/25/40 W   1,281,230  27,162 
REMICs Ser. 99-51, Class N, PO, zero %, 9/17/29  6,013  5,472 
Government National Mortgage Association     
IFB Ser. 20-133, Class CS, IO, ((-1 x 1 Month US LIBOR) + 6.30%),     
6.169%, 9/20/50  10,074,327  2,287,285 
IFB Ser. 14-60, Class SD, IO, ((-1 x 1 Month US LIBOR) + 6.18%),     
6.049%, 4/20/44  6,487,830  1,393,744 
IFB Ser. 20-97, Class QS, IO, ((-1 x 1 Month US LIBOR) + 6.15%),     
6.019%, 7/20/50  8,982,516  1,343,054 

 

22 Premier Income Trust 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Agency collateralized mortgage obligations cont.     
Government National Mortgage Association     
IFB Ser. 19-5, Class SB, IO, ((-1 x 1 Month US LIBOR) + 6.15%),     
6.019%, 1/20/49  $7,799,113  $1,192,791 
IFB Ser. 13-129, Class SN, IO, ((-1 x 1 Month US LIBOR) + 6.15%),     
6.019%, 9/20/43  748,316  153,989 
IFB Ser. 20-63, Class SP, IO, ((-1 x 1 Month US LIBOR) + 6.10%),     
5.969%, 5/20/50  10,364,202  1,644,294 
IFB Ser. 20-63, Class PS, IO, ((-1 x 1 Month US LIBOR) + 6.10%),     
5.969%, 4/20/50  11,032,891  2,043,967 
IFB Ser. 19-96, Class SY, IO, ((-1 x 1 Month US LIBOR) + 6.10%),     
5.969%, 8/20/49  11,678,610  1,890,884 
IFB Ser. 19-83, Class SY, IO, ((-1 x 1 Month US LIBOR) + 6.10%),     
5.969%, 7/20/49  11,222,713  1,687,335 
IFB Ser. 20-15, Class CS, IO, ((-1 x 1 Month US LIBOR) + 6.05%),     
5.919%, 2/20/50  1,611,107  192,042 
IFB Ser. 20-7, Class SK, IO, ((-1 x 1 Month US LIBOR) + 6.05%),     
5.919%, 1/20/50  6,054,305  1,029,509 
IFB Ser. 19-152, Class ES, IO, ((-1 x 1 Month US LIBOR) + 6.05%),     
5.919%, 12/20/49  6,795,236  1,004,875 
IFB Ser. 19-110, Class SQ, IO, ((-1 x 1 Month US LIBOR) + 6.05%),     
5.919%, 9/20/49  11,479,222  1,829,801 
IFB Ser. 19-99, Class KS, IO, ((-1 x 1 Month US LIBOR) + 6.05%),     
5.919%, 8/20/49  806,195  114,516 
IFB Ser. 19-78, Class SJ, IO, ((-1 x 1 Month US LIBOR) + 6.05%),     
5.919%, 6/20/49  718,393  88,049 
IFB Ser. 10-90, Class ES, IO, ((-1 x 1 Month US LIBOR) + 5.95%),     
5.819%, 7/20/40  7,311,751  1,222,737 
IFB Ser. 14-119, Class SA, IO, ((-1 x 1 Month US LIBOR) + 5.60%),     
5.469%, 8/20/44  3,084,701  551,962 
Ser. 17-38, Class DI, IO, 5.00%, 3/16/47  1,371,533  250,305 
Ser. 16-42, IO, 5.00%, 2/20/46  3,524,125  624,456 
Ser. 18-127, Class ID, IO, 5.00%, 7/20/45  3,967,468  516,445 
Ser. 18-127, Class IC, IO, 5.00%, 10/20/44  5,882,619  1,078,461 
Ser. 14-76, IO, 5.00%, 5/20/44  1,383,711  234,135 
Ser. 13-3, Class IT, IO, 5.00%, 1/20/43  1,050,688  186,497 
Ser. 12-146, IO, 5.00%, 12/20/42  965,117  184,318 
Ser. 10-35, Class UI, IO, 5.00%, 3/20/40  1,394,528  255,186 
Ser. 10-20, Class UI, IO, 5.00%, 2/20/40  998,362  182,867 
Ser. 10-9, Class UI, IO, 5.00%, 1/20/40  4,532,208  859,715 
Ser. 09-121, Class UI, IO, 5.00%, 12/20/39  2,319,572  431,927 
Ser. 17-26, Class MI, IO, 5.00%, 11/20/39  4,636,236  870,703 
Ser. 15-79, Class GI, IO, 5.00%, 10/20/39  834,680  152,628 
Ser. 18-94, Class AI, IO, 4.50%, 7/20/48  3,503,346  504,830 
Ser. 16-37, Class IW, IO, 4.50%, 2/20/46  1,906,220  266,510 
Ser. 16-104, Class GI, IO, 4.50%, 1/20/46  2,931,604  410,776 
Ser. 18-127, Class IB, IO, 4.50%, 6/20/45  1,866,945  165,355 
Ser. 15-167, Class BI, IO, 4.50%, 4/16/45  1,440,786  276,343 
Ser. 13-182, Class IQ, IO, 4.50%, 12/16/43  1,932,341  325,414 
Ser. 14-100, Class LI, IO, 4.50%, 10/16/43  2,304,742  258,569 
Ser. 13-34, Class IH, IO, 4.50%, 3/20/43  1,896,394  295,066 

 

Premier Income Trust 23 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Agency collateralized mortgage obligations cont.     
Government National Mortgage Association     
Ser. 14-108, Class IP, IO, 4.50%, 12/20/42  $382,880  $31,170 
Ser. 17-42, Class IC, IO, 4.50%, 8/20/41  1,687,764  289,973 
Ser. 10-35, Class AI, IO, 4.50%, 3/20/40  1,892,486  168,610 
Ser. 10-35, Class DI, IO, 4.50%, 3/20/40  3,136,590  514,589 
Ser. 10-35, Class QI, IO, 4.50%, 3/20/40  1,731,905  285,293 
Ser. 13-151, Class IB, IO, 4.50%, 2/20/40  1,956,913  301,664 
Ser. 10-9, Class QI, IO, 4.50%, 1/20/40  1,183,989  182,097 
Ser. 09-121, Class BI, IO, 4.50%, 12/16/39  1,167,216  215,433 
Ser. 17-11, Class PI, IO, 4.00%, 12/20/46  1,213,566  81,693 
Ser. 16-29, IO, 4.00%, 2/16/46  1,638,701  260,247 
Ser. 15-186, Class AI, IO, 4.00%, 12/20/45  4,138,903  609,205 
Ser. 15-53, Class MI, IO, 4.00%, 4/16/45  2,912,380  524,228 
Ser. 15-187, Class JI, IO, 4.00%, 3/20/45  2,834,412  355,940 
Ser. 15-64, Class YI, IO, 4.00%, 11/20/44  2,474,902  270,705 
Ser. 14-149, Class IP, IO, 4.00%, 7/16/44  7,628,145  1,003,461 
Ser. 17-93, Class TI, IO, 4.00%, 3/20/44  5,164,153  272,210 
Ser. 14-4, Class IC, IO, 4.00%, 1/20/44  916,099  135,782 
Ser. 14-100, Class NI, IO, 4.00%, 6/20/43  3,487,862  245,066 
Ser. 13-165, Class IL, IO, 4.00%, 3/20/43  910,415  124,410 
Ser. 12-56, Class IB, IO, 4.00%, 4/20/42  821,896  123,363 
Ser. 12-47, Class CI, IO, 4.00%, 3/20/42  2,139,676  303,118 
Ser. 17-118, Class KI, IO, 3.50%, 10/20/46  809,315  24,279 
Ser. 18-127, Class IE, IO, 3.50%, 1/20/46  2,638,067  200,229 
Ser. 16-75, Class EI, IO, 3.50%, 8/20/45  2,688,336  175,238 
Ser. 13-76, IO, 3.50%, 5/20/43  2,797,230  330,521 
Ser. 13-28, IO, 3.50%, 2/20/43  822,257  65,813 
Ser. 13-54, Class JI, IO, 3.50%, 2/20/43  1,278,633  121,815 
Ser. 13-37, Class JI, IO, 3.50%, 1/20/43  1,950,321  188,030 
Ser. 13-14, IO, 3.50%, 12/20/42  4,173,412  361,251 
Ser. 13-27, Class PI, IO, 3.50%, 12/20/42  818,626  76,812 
Ser. 12-136, Class BI, IO, 3.50%, 11/20/42  2,405,684  371,786 
Ser. 12-140, Class IC, IO, 3.50%, 11/20/42  3,195,938  488,112 
Ser. 12-128, Class IA, IO, 3.50%, 10/20/42  3,373,691  520,890 
Ser. 12-113, Class ID, IO, 3.50%, 9/20/42  1,417,626  237,212 
Ser. 15-62, Class IL, IO, 3.50%, 2/16/42  2,840,985  184,000 
Ser. 15-52, Class KI, IO, 3.50%, 11/20/40  3,111,182  202,227 
Ser. 15-96, Class NI, IO, 3.50%, 1/20/39  1,785,027  40,552 
Ser. 14-44, Class IA, IO, 3.50%, 5/20/28  5,306,532  328,846 
Ser. 15-H10, Class BI, IO, 3.033%, 4/20/65 W   5,441,900  470,659 
Ser. 16-H09, Class BI, IO, 2.98%, 4/20/66 W   9,728,154  922,064 
Ser. 16-H18, Class QI, IO, 2.963%, 6/20/66 W   6,353,586  617,340 
Ser. 17-H16, Class JI, IO, 2.713%, 8/20/67 W   18,246,796  1,973,628 
Ser. 18-H15, Class KI, IO, 2.704%, 8/20/68 W   7,668,005  779,422 
Ser. 17-H12, Class QI, IO, 2.602%, 5/20/67 W   7,766,820  706,493 
Ser. 15-H15, Class BI, IO, 2.595%, 6/20/65 W   4,711,242  423,654 
Ser. 17-H16, Class FI, IO, 2.574%, 8/20/67 W   6,656,470  603,715 
Ser. 16-H02, Class HI, IO, 2.529%, 1/20/66 W   9,433,124  614,096 
Ser. 16-H17, Class KI, IO, 2.527%, 7/20/66 W   4,385,909  383,587 

 

24 Premier Income Trust 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Agency collateralized mortgage obligations cont.     
Government National Mortgage Association     
Ser. 16-H16, Class EI, IO, 2.494%, 6/20/66 W   $6,652,459  $591,404 
Ser. 16-H03, Class AI, IO, 2.466%, 1/20/66 W   7,345,404  538,749 
Ser. 16-H10, Class AI, IO, 2.441%, 4/20/66 W   16,389,284  965,788 
Ser. 16-H23, Class NI, IO, 2.368%, 10/20/66 W   24,919,661  2,255,229 
Ser. 17-H16, Class IH, IO, 2.362%, 7/20/67 W   12,076,897  883,292 
Ser. 16-H22, Class AI, IO, 2.32%, 10/20/66 W   9,625,520  895,385 
Ser. 17-H08, Class NI, IO, 2.21%, 3/20/67 W   11,388,338  1,012,423 
Ser. 15-H20, Class CI, IO, 2.196%, 8/20/65 W   8,537,147  826,823 
Ser. 17-H09, IO, 2.189%, 4/20/67 W   11,039,346  861,400 
Ser. 16-H06, Class DI, IO, 2.186%, 7/20/65  11,503,020  744,694 
Ser. 15-H24, Class AI, IO, 2.173%, 9/20/65 W   6,842,316  531,025 
Ser. 17-H06, Class BI, IO, 2.13%, 2/20/67 W   8,874,333  854,431 
Ser. 17-H19, Class MI, IO, 2.06%, 4/20/67 W   4,410,996  411,546 
Ser. 16-H03, Class DI, IO, 2.03%, 12/20/65 W   7,849,304  552,379 
Ser. 17-H16, Class IG, IO, 1.989%, 7/20/67 W   16,561,389  1,197,488 
Ser. 17-H11, Class DI, IO, 1.915%, 5/20/67 W   8,292,737  764,002 
Ser. 16-H06, Class CI, IO, 1.879%, 2/20/66 W   10,201,827  575,761 
Ser. 15-H25, Class EI, IO, 1.869%, 10/20/65 W   6,205,273  478,427 
Ser. 15-H20, Class AI, IO, 1.836%, 8/20/65 W   7,099,182  554,446 
FRB Ser. 15-H08, Class CI, IO, 1.807%, 3/20/65 W   5,416,273  412,048 
Ser. 15-H23, Class BI, IO, 1.765%, 9/20/65 W   8,250,598  589,918 
Ser. 18-H03, Class XI, IO, 1.762%, 2/20/68 W   9,107,264  962,638 
Ser. 16-H24, Class CI, IO, 1.711%, 10/20/66 W   5,732,147  429,659 
Ser. 16-H14, IO, 1.698%, 6/20/66 W   6,492,615  409,626 
Ser. 18-H05, Class AI, IO, 1.695%, 2/20/68 W   5,645,753  640,440 
Ser. 13-H08, Class CI, IO, 1.636%, 2/20/63 W   8,652,489  360,809 
Ser. 14-H21, Class BI, IO, 1.549%, 10/20/64 W   9,270,644  547,895 
Ser. 18-H05, Class BI, IO, 1.532%, 2/20/68 W   9,476,035  1,063,093 
Ser. 17-H02, Class BI, IO, 1.487%, 1/20/67 W   5,772,635  559,189 
Ser. 18-H02, Class EI, IO, 0.912%, 1/20/68 W   13,517,773  1,516,525 
Ser. 15-H26, Class CI, IO, 0.529%, 8/20/65 W   12,518,935  165,250 
Ser. 06-36, Class OD, PO, zero %, 7/16/36  2,274  2,047 
    112,489,162 
Commercial mortgage-backed securities (7.8%)     
Bank 144A Ser. 17-BNK9, Class D, 2.80%, 11/15/54  854,000  755,140 
Barclays Commercial Mortgage Trust 144A Ser. 19-C4, Class E,     
3.25%, 8/15/52  802,000  668,519 
Bear Stearns Commercial Mortgage Securities Trust     
FRB Ser. 07-T26, Class AJ, 5.432%, 1/12/45 W   2,285,000  1,793,725 
Ser. 05-PWR7, Class D, 5.304%, 2/11/41 W   1,026,000  790,020 
Ser. 05-PWR7, Class B, 5.214%, 2/11/41 W   471,685  471,553 
Bear Stearns Commercial Mortgage Securities Trust 144A     
FRB Ser. 07-T28, Class D, 5.718%, 9/11/42 W   828,000  445,634 
FRB Ser. 06-PW11, Class B, 5.702%, 3/11/39 (In default) † W   225,261  162,188 
FRB Ser. 06-PW14, Class XW, IO, 0.606%, 12/11/38 W   537,590  4,554 
CFCRE Commercial Mortgage Trust 144A     
FRB Ser. 11-C2, Class E, 5.739%, 12/15/47 W   1,068,000  1,035,161 
FRB Ser. 11-C2, Class F, 5.25%, 12/15/47 W   2,275,000  2,081,343 

 

Premier Income Trust 25 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Commercial mortgage-backed securities cont.     
COMM Mortgage Trust FRB Ser. 14-CR16, Class C, 4.938%, 4/10/47 W   $634,000  $686,177 
COMM Mortgage Trust 144A     
FRB Ser. 14-CR17, Class E, 4.847%, 5/10/47 W   682,000  531,960 
FRB Ser. 14-UBS3, Class D, 4.768%, 6/10/47 W   769,000  776,814 
Ser. 12-CR3, Class F, 4.75%, 10/15/45 W   1,755,510  489,079 
FRB Ser. 12-CR3, Class E, 4.75%, 10/15/45 W   791,000  396,746 
FRB Ser. 14-CR19, Class D, 4.708%, 8/10/47 W   810,000  752,821 
FRB Ser. 18-COR3, Class D, 2.811%, 5/10/51 W   771,000  637,952 
Credit Suisse Commercial Mortgage Trust FRB Ser. 06-C5, Class AX,     
IO, 1.058%, 12/15/39 W   1,642,176  16 
Credit Suisse Commercial Mortgage Trust 144A FRB Ser. 07-C4,     
Class C, 5.719%, 9/15/39 W   26,697  26,676 
Crest, Ltd. 144A Ser. 03-2A, Class E2, 8.00%, 12/28/38     
(Cayman Islands)  54,449  54,785 
CSAIL Commercial Mortgage Trust 144A FRB Ser. 15-C1, Class D,     
3.764%, 4/15/50 W   1,390,000  920,195 
DBUBS Mortgage Trust 144A     
FRB Ser. 11-LC1A, Class C, 5.535%, 11/10/46 W   507,000  506,859 
FRB Ser. 11-LC2A, Class D, 5.433%, 7/10/44 W   789,000  763,163 
GS Mortgage Securities Corp., II 144A FRB Ser. 13-GC10, Class D,     
4.402%, 2/10/46 W   1,382,000  1,230,768 
GS Mortgage Securities Trust 144A FRB Ser. 14-GC24, Class D,     
4.531%, 9/10/47 W   2,754,000  1,046,520 
JPMBB Commercial Mortgage Securities Trust FRB Ser. 13-C12,     
Class C, 4.099%, 7/15/45 W   571,000  564,867 
JPMBB Commercial Mortgage Securities Trust 144A     
FRB Ser. 14-C18, Class D, 4.794%, 2/15/47 W   2,670,000  1,479,076 
FRB Ser. 13-C14, Class E, 4.702%, 8/15/46 W   1,277,000  747,641 
FRB Ser. C14, Class D, 4.702%, 8/15/46 W   1,265,000  855,815 
FRB Ser. 14-C18, Class E, 4.294%, 2/15/47 W   914,000  370,643 
FRB Ser. 14-C25, Class D, 3.948%, 11/15/47 W   1,854,000  1,375,648 
Ser. 14-C25, Class E, 3.332%, 11/15/47 W   1,823,000  885,626 
JPMDB Commercial Mortgage Securities Trust Ser. 17-C5, Class C,     
4.512%, 3/15/50 W   680,000  668,697 
JPMorgan Chase Commercial Mortgage Securities Trust     
FRB Ser. 13-LC11, Class D, 4.167%, 4/15/46 W   1,312,000  1,013,472 
Ser. 13-LC11, Class B, 3.499%, 4/15/46  508,000  517,961 
JPMorgan Chase Commercial Mortgage Securities Trust 144A     
FRB Ser. 07-CB20, Class E, 6.28%, 2/12/51 W   757,000  113,550 
FRB Ser. 11-C3, Class F, 5.70%, 2/15/46 W   1,113,000  260,790 
FRB Ser. 11-C4, Class C, 5.342%, 7/15/46 W   514,000  514,751 
FRB Ser. 12-C6, Class E, 5.142%, 5/15/45 W   1,115,000  546,347 
FRB Ser. 13-LC11, Class E, 3.25%, 4/15/46 W   1,807,000  1,139,239 
Mezz Cap Commercial Mortgage Trust 144A FRB Ser. 07-C5, Class X,     
IO, 7.004%, 12/15/49 W   26,213   
ML-CFC Commercial Mortgage Trust FRB Ser. 06-4, Class C,     
5.324%, 12/12/49 W   1,045,923  428,829 
Morgan Stanley Bank of America Merrill Lynch Trust 144A     
FRB Ser. 13-C11, Class D, 4.352%, 8/15/46 W   1,900,000  171,000 
FRB Ser. 15-C23, Class D, 4.145%, 7/15/50 W   1,238,000  1,235,574 

 

26 Premier Income Trust 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Commercial mortgage-backed securities cont.     
Morgan Stanley Bank of America Merrill Lynch Trust 144A     
FRB Ser. 13-C10, Class E, 4.081%, 7/15/46 W   $2,860,000  $2,138,325 
FRB Ser. 13-C10, Class F, 4.081%, 7/15/46 W   1,988,000  663,688 
Ser. 14-C17, Class E, 3.50%, 8/15/47  1,025,000  613,631 
Morgan Stanley Capital I Trust     
Ser. 07-HQ11, Class C, 5.558%, 2/12/44 W   693,792  159,572 
Ser. 06-HQ10, Class B, 5.448%, 11/12/41 W   992,052  977,022 
Multifamily Connecticut Avenue Securities Trust 144A FRB     
Ser. 20-01, Class M10, 3.88%, 3/25/50  1,558,000  1,625,674 
TIAA Real Estate CDO, Ltd. 144A Ser. 03-1A, Class E, 8.00%,     
12/28/38 (In default)   1,081,996  11 
UBS-Barclays Commercial Mortgage Trust 144A     
Ser. 12-C2, Class F, 5.00%, 5/10/63 W   1,476,000  331,797 
FRB Ser. 12-C4, Class D, 4.469%, 12/10/45 W   749,000  419,571 
Ser. 13-C6, Class B, 3.875%, 4/10/46 W   651,000  664,651 
Wachovia Bank Commercial Mortgage Trust 144A FRB Ser. 04-C15,     
Class G, 5.395%, 10/15/41 W   107,337  77,282 
Wells Fargo Commercial Mortgage Trust 144A     
FRB Ser. 13-LC12, Class D, 4.274%, 7/15/46 W   456,000  182,400 
Ser. 14-LC16, Class D, 3.938%, 8/15/50  2,218,000  327,190 
WF-RBS Commercial Mortgage Trust 144A     
Ser. 11-C4, Class F, 5.00%, 6/15/44 W   2,560,000  716,800 
FRB Ser. 12-C9, Class E, 4.81%, 11/15/45 W   739,000  504,743 
FRB Ser. 12-C10, Class D, 4.427%, 12/15/45 W   1,141,000  459,607 
    39,779,858 
Residential mortgage-backed securities (non-agency) (13.7%)     
American Home Mortgage Investment Trust FRB Ser. 07-1,     
Class GA1C, (1 Month US LIBOR + 0.19%), 0.32%, 5/25/47  822,845  452,168 
Bear Stearns Alt-A Trust     
FRB Ser. 05-7, Class 21A1, 3.005%, 9/25/35 W   260,575  243,218 
FRB Ser. 05-10, Class 11A1, (1 Month US LIBOR + 0.50%),     
0.63%, 1/25/36  193,830  240,413 
Chevy Chase Funding, LLC Mortgage-Backed Certificates     
144A FRB Ser. 06-4A, Class A2, (1 Month US LIBOR + 0.18%),     
0.31%, 11/25/47  843,707  669,059 
Citigroup Mortgage Loan Trust, Inc.     
FRB Ser. 07-AR5, Class 1A1A, 3.323%, 4/25/37 W   272,310  270,668 
FRB Ser. 07-AMC3, Class A2D, (1 Month US LIBOR + 0.35%),     
0.48%, 3/25/37  2,226,190  2,034,880 
Countrywide Alternative Loan Trust     
FRB Ser. 06-OA7, Class 1A1, 2.367%, 6/25/46 W   1,191,128  1,094,528 
FRB Ser. 06-OA10, Class 1A1, (1 Month US LIBOR + 0.96%),     
1.459%, 8/25/46  309,481  294,393 
FRB Ser. 06-OA7, Class 1A2, (1 Month US LIBOR + 0.94%),     
1.439%, 6/25/46  590,585  528,746 
FRB Ser. 05-38, Class A3, (1 Month US LIBOR + 0.70%),     
0.83%, 9/25/35  626,558  561,175 
FRB Ser. 05-59, Class 1A1, (1 Month US LIBOR + 0.66%),     
0.79%, 11/20/35  1,708,005  1,556,583 

 

Premier Income Trust 27 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Residential mortgage-backed securities (non-agency) cont.     
Countrywide Alternative Loan Trust     
FRB Ser. 06-OA10, Class 2A1, (1 Month US LIBOR + 0.38%),     
0.51%, 8/25/46  $535,832  $546,549 
FRB Ser. 06-OA10, Class 3A1, (1 Month US LIBOR + 0.38%),     
0.51%, 8/25/46  741,720  619,336 
FRB Ser. 06-OA10, Class 4A1, (1 Month US LIBOR + 0.38%),     
0.51%, 8/25/46  3,696,987  3,630,812 
FRB Ser. 07-OH1, Class A1D, (1 Month US LIBOR + 0.21%),     
0.34%, 4/25/47  614,903  453,409 
Deutsche Alt-A Securities Mortgage Loan Trust FRB Ser. 06-AR4,     
Class A2, (1 Month US LIBOR + 0.38%), 0.51%, 12/25/36  777,840  401,460 
Federal Home Loan Mortgage Corporation     
Structured Agency Credit Risk Debt FRN Ser. 16-DNA3, Class B,     
(1 Month US LIBOR + 11.25%), 11.38%, 12/25/28  485,254  571,723 
Structured Agency Credit Risk Debt FRN Ser. 15-HQA2, Class B,     
(1 Month US LIBOR + 10.50%), 10.63%, 5/25/28  827,533  924,908 
Structured Agency Credit Risk Debt FRN Ser. 16-DNA1, Class B,     
(1 Month US LIBOR + 10.00%), 10.13%, 7/25/28  2,257,639  2,552,601 
Structured Agency Credit Risk Debt FRN Ser. 15-DNA3, Class B,     
(1 Month US LIBOR + 9.35%), 9.48%, 4/25/28  1,287,999  1,521,771 
Structured Agency Credit Risk Debt FRN Ser. 15-DNA1, Class B,     
(1 Month US LIBOR + 9.20%), 9.33%, 10/25/27  728,716  842,250 
Structured Agency Credit Risk Debt FRN Ser. 15-DNA2, Class B,     
(1 Month US LIBOR + 7.55%), 7.68%, 12/25/27  1,321,475  1,451,052 
Structured Agency Credit Risk Debt FRN Ser. 16-HQA1, Class M3,     
(1 Month US LIBOR + 6.35%), 6.48%, 9/25/28  193,106  204,601 
Structured Agency Credit Risk Debt FRN Ser. 17-DNA1, Class B1,     
(1 Month US LIBOR + 4.95%), 5.08%, 7/25/29  570,000  609,777 
Structured Agency Credit Risk Debt FRN Ser. 16-HQA3, Class M3,     
(1 Month US LIBOR + 3.85%), 3.98%, 3/25/29  640,000  661,990 
Structured Agency Credit Risk Debt FRN Ser. 18-HQA1, Class M2,     
(1 Month US LIBOR + 2.30%), 2.43%, 9/25/30  1,321,499  1,325,627 
Federal Home Loan Mortgage Corporation 144A     
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-DNA5,     
Class B2, (US 30 Day Average SOFR + 11.50%), 11.582%, 10/25/50  491,000  605,464 
Structured Agency Credit Risk Trust FRB Ser. 19-HQA2, Class B2,     
(1 Month US LIBOR + 11.25%), 11.38%, 4/25/49  298,000  330,957 
Structured Agency Credit Risk Trust FRB Ser. 18-HQA2, Class B2,     
(1 Month US LIBOR + 11.00%), 11.13%, 10/25/48  327,000  367,272 
Structured Agency Credit Risk Trust FRB Ser. 19-DNA1, Class B2,     
(1 Month US LIBOR + 10.75%), 10.88%, 1/25/49  315,000  351,754 
Structured Agency Credit Risk Trust FRB Ser. 19-DNA2, Class B2,     
(1 Month US LIBOR + 10.50%), 10.63%, 3/25/49  252,000  264,059 
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-DNA4,     
Class B2, (1 Month US LIBOR + 10.00%), 10.13%, 8/25/50  966,000  1,139,880 
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-HQA3,     
Class B2, (1 Month US LIBOR + 10.00%), 10.13%, 7/25/50  1,027,000  1,206,725 
Structured Agency Credit Risk Trust FRB Ser. 19-DNA3, Class B2,     
(1 Month US LIBOR + 8.15%), 8.28%, 7/25/49  342,000  355,743 
Structured Agency Credit Risk Trust FRB Ser. 18-DNA3, Class B2,     
(1 Month US LIBOR + 7.75%), 7.88%, 9/25/48  389,000  404,560 

 

28 Premier Income Trust 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Residential mortgage-backed securities (non-agency) cont.     
Federal Home Loan Mortgage Corporation 144A     
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-HQA3,     
Class B1, (1 Month US LIBOR + 5.75%), 5.88%, 7/25/50  $689,000  $739,044 
Seasoned Credit Risk Transfer Trust Ser. 19-2, Class M,     
4.75%, 8/25/58 W   685,000  711,333 
Seasoned Credit Risk Transfer Trust Ser. 19-4, Class M,     
4.50%, 2/25/59 W   346,000  356,864 
Structured Agency Credit Risk Trust FRB Ser. 18-HQA2, Class B1,     
(1 Month US LIBOR + 4.25%), 4.38%, 10/25/48  1,548,000  1,602,665 
Structured Agency Credit Risk Trust FRB Ser. 18-DNA3, Class B1,     
(1 Month US LIBOR + 3.90%), 4.03%, 9/25/48  420,000  429,370 
Structured Agency Credit Risk Trust FRB Ser. 18-DNA2, Class B1,     
(1 Month US LIBOR + 3.70%), 3.83%, 12/25/30  599,000  614,759 
Structured Agency Credit Risk Trust FRB Ser. 19-DNA1, Class M2,     
(1 Month US LIBOR + 2.65%), 2.78%, 1/25/49  390,145  393,051 
Structured Agency Credit Risk Trust FRB Ser. 19-DNA2, Class M2,     
(1 Month US LIBOR + 2.45%), 2.58%, 3/25/49  280,406  281,633 
Structured Agency Credit Risk Trust FRB Ser. 18-HQA2, Class M2,     
(1 Month US LIBOR + 2.30%), 2.43%, 10/25/48  304,200  305,170 
Federal National Mortgage Association     
Connecticut Avenue Securities FRB Ser. 16-C03, Class 2B,     
(1 Month US LIBOR + 12.75%), 12.88%, 10/25/28  238,811  292,521 
Connecticut Avenue Securities FRB Ser. 16-C02, Class 1B,     
(1 Month US LIBOR + 12.25%), 12.38%, 9/25/28  2,305,718  2,793,311 
Connecticut Avenue Securities FRB Ser. 16-C03, Class 1B,     
(1 Month US LIBOR + 11.75%), 11.88%, 10/25/28  1,291,749  1,573,061 
Connecticut Avenue Securities FRB Ser. 16-C01, Class 1B,     
(1 Month US LIBOR + 11.75%), 11.88%, 8/25/28  837,451  1,017,939 
Connecticut Avenue Securities FRB Ser. 16-C05, Class 2B,     
(1 Month US LIBOR + 10.75%), 10.88%, 1/25/29  269,053  322,722 
Connecticut Avenue Securities FRB Ser. 16-C04, Class 1B,     
(1 Month US LIBOR + 10.25%), 10.38%, 1/25/29  268,010  314,744 
Connecticut Avenue Securities FRB Ser. 16-C06, Class 1B,     
(1 Month US LIBOR + 9.25%), 9.38%, 4/25/29  398,089  445,215 
Connecticut Avenue Securities FRB Ser. 16-C03, Class 2M2,     
(1 Month US LIBOR + 5.90%), 6.03%, 10/25/28  1,435,811  1,509,238 
Connecticut Avenue Securities FRB Ser. 15-C04, Class 1M2,     
(1 Month US LIBOR + 5.70%), 5.83%, 4/25/28  2,298,391  2,440,676 
Connecticut Avenue Securities FRB Ser. 15-C04, Class 2M2,     
(1 Month US LIBOR + 5.55%), 5.68%, 4/25/28  282,627  296,694 
Connecticut Avenue Securities FRB Ser. 17-C02, Class 2B1,     
(1 Month US LIBOR + 5.50%), 5.63%, 9/25/29  1,459,000  1,552,722 
Connecticut Avenue Securities FRB Ser. 15-C03, Class 2M2,     
(1 Month US LIBOR + 5.00%), 5.13%, 7/25/25  278,728  284,117 
Connecticut Avenue Securities FRB Ser. 17-C03, Class 1B1,     
(1 Month US LIBOR + 4.85%), 4.98%, 10/25/29  2,039,000  2,197,761 
Connecticut Avenue Securities FRB Ser. 18-C04, Class 2B1,     
(1 Month US LIBOR + 4.50%), 4.63%, 12/25/30  699,000  724,119 
Connecticut Avenue Securities FRB Ser. 17-C07, Class 2B1,     
(1 Month US LIBOR + 4.45%), 4.58%, 5/25/30  180,000  187,049 

 

Premier Income Trust 29 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Residential mortgage-backed securities (non-agency) cont.     
Federal National Mortgage Association     
Connecticut Avenue Securities FRB Ser. 17-C06, Class 2B1,     
(1 Month US LIBOR + 4.45%), 4.58%, 2/25/30  $110,000  $114,675 
Connecticut Avenue Securities FRB Ser. 18-C05, Class 1B1,     
(1 Month US LIBOR + 4.25%), 4.38%, 1/25/31  630,000  651,721 
Connecticut Avenue Securities FRB Ser. 15-C02, Class 1M2,     
(1 Month US LIBOR + 4.00%), 4.13%, 5/25/25  38,783  39,355 
Connecticut Avenue Securities FRB Ser. 17-C05, Class 1B1,     
(1 Month US LIBOR + 3.60%), 3.73%, 1/25/30  427,000  441,670 
Connecticut Avenue Securities FRB Ser. 18-C01, Class 1B1,     
(1 Month US LIBOR + 3.55%), 3.68%, 7/25/30  1,003,000  1,024,314 
Connecticut Avenue Securities FRB Ser. 17-C03, Class 1M2,     
(1 Month US LIBOR + 3.00%), 3.13%, 10/25/29  2,100,778  2,135,665 
Connecticut Avenue Securities FRB Ser. 17-C04, Class 2M2,     
(1 Month US LIBOR + 2.85%), 2.98%, 11/25/29  260,808  264,886 
Connecticut Avenue Securities FRB Ser. 17-C06, Class 2M2,     
(1 Month US LIBOR + 2.80%), 2.93%, 2/25/30  191,881  194,123 
Connecticut Avenue Securities FRB Ser. 17-C07, Class 2M2,     
(1 Month US LIBOR + 2.50%), 2.63%, 5/25/30  827,129  831,921 
Connecticut Avenue Securities FRB Ser. 18-C01, Class 1M2,     
(1 Month US LIBOR + 2.25%), 2.38%, 7/25/30  125,030  125,548 
Connecticut Avenue Securities FRB Ser. 18-C06, Class 2M2,     
(1 Month US LIBOR + 2.10%), 2.23%, 3/25/31  172,790  173,030 
Federal National Mortgage Association 144A     
Connecticut Avenue Securities Trust FRB Ser. 19-R03, Class 1B1,     
(1 Month US LIBOR + 4.10%), 4.23%, 9/25/31  578,000  591,295 
Connecticut Avenue Securities Trust FRB Ser. 20-R01, Class 1B1,     
(1 Month US LIBOR + 3.25%), 3.38%, 1/25/40  459,000  448,042 
Connecticut Avenue Securities Trust FRB Ser. 19-R01, Class 2M2,     
(1 Month US LIBOR + 2.45%), 2.58%, 7/25/31  114,922  115,285 
Connecticut Avenue Securities Trust FRB Ser. 20-R01, Class 1M2,     
(1 Month US LIBOR + 2.05%), 2.18%, 1/25/40  920,000  919,999 
GSR Mortgage Loan Trust FRB Ser. 07-OA1, Class 2A3A, (1 Month     
US LIBOR + 0.31%), 0.44%, 5/25/37  810,663  678,924 
HarborView Mortgage Loan Trust FRB Ser. 05-2, Class 1A, (1 Month     
US LIBOR + 0.52%), 0.65%, 5/19/35  485,481  250,373 
JPMorgan Alternative Loan Trust FRB Ser. 07-A2, Class 12A1, IO,     
(1 Month US LIBOR + 0.20%), 0.33%, 6/25/37  778,916  374,931 
Legacy Mortgage Asset Trust 144A FRB Ser. 19-GS2, Class A2,     
4.25%, 1/25/59  730,000  729,270 
Morgan Stanley Re-REMIC Trust 144A FRB Ser. 10-R4, Class 4B,     
(1 Month US LIBOR + 0.23%), 0.648%, 2/26/37  682,100  619,553 
MortgageIT Trust FRB Ser. 05-3, Class M2, (1 Month US LIBOR     
+ 0.80%), 0.925%, 8/25/35  184,206  183,670 
Oaktown Re II, Ltd. 144A FRB Ser. 18-1A, Class M2, (1 Month     
US LIBOR + 2.85%), 2.98%, 7/25/28 (Bermuda)  2,230,000  2,243,658 
Oaktown Re, Ltd. 144A FRB Ser. 17-1A, Class B1, (1 Month US LIBOR     
+ 6.00%), 5.88%, 4/25/27 (Bermuda)  550,000  555,171 
Radnor Re, Ltd. 144A FRB Ser. 18-1, Class M2, (1 Month US LIBOR     
+ 2.70%), 2.83%, 3/25/28 (Bermuda)  620,000  622,724 

 

30 Premier Income Trust 

 


 

  Principal   
MORTGAGE-BACKED SECURITIES (43.7%)* cont.  amount  Value 
Residential mortgage-backed securities (non-agency) cont.     
Structured Asset Mortgage Investments II Trust     
FRB Ser. 06-AR7, Class A1A, (1 Month US LIBOR + 0.21%),     
0.34%, 8/25/36  $799,805  $763,814 
FRB Ser. 07-AR1, Class 2A1, (1 Month US LIBOR + 0.18%),     
0.31%, 1/25/37  802,046  701,449 
Towd Point Mortgage Trust 144A     
Ser. 19-2, Class A2, 3.75%, 12/25/58 W   1,033,000  1,152,271 
Ser. 18-5, Class M1, 3.25%, 7/25/58 W   815,000  868,770 
WaMu Mortgage Pass-Through Certificates Trust     
FRB Ser. 05-AR14, Class 1A2, 2.899%, 12/25/35 W   246,969  242,520 
FRB Ser. 05-AR13, Class A1C3, (1 Month US LIBOR + 0.98%),     
1.11%, 10/25/45  481,394  475,298 
Wells Fargo Mortgage Backed Securities Trust FRB Ser. 06-AR5,     
Class 1A1, 3.90%, 4/25/36 W   188,467  185,047 
    69,394,861 
Total mortgage-backed securities (cost $242,755,965)    $221,663,881 

 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)*  amount  Value 
Basic materials (1.4%)     
Allegheny Technologies, Inc. sr. unsec. sub. notes 5.875%, 12/1/27  $25,000  $26,253 
Allegheny Technologies, Inc. sr. unsec. unsub. notes     
7.875%, 8/15/23  329,000  359,844 
Axalta Coating Systems, LLC 144A company guaranty sr. unsec.     
notes 3.375%, 2/15/29  150,000  147,375 
Beacon Roofing Supply, Inc. 144A company guaranty sr. notes     
4.50%, 11/15/26  90,000  93,993 
Beacon Roofing Supply, Inc. 144A company guaranty sr. unsec.     
notes 4.875%, 11/1/25  190,000  192,415 
Big River Steel, LLC/BRS Finance Corp. 144A sr. notes     
6.625%, 1/31/29  250,000  269,769 
Boise Cascade Co. 144A company guaranty sr. unsec. notes     
4.875%, 7/1/30  145,000  157,506 
Builders FirstSource, Inc. 144A sr. notes 6.75%, 6/1/27  216,000  232,470 
Cemex SAB de CV 144A company guaranty sr. sub. notes 5.70%,     
1/11/25 (Mexico)  200,000  204,450 
Compass Minerals International, Inc. 144A company guaranty sr.     
unsec. notes 6.75%, 12/1/27  385,000  412,913 
Compass Minerals International, Inc. 144A company guaranty sr.     
unsec. notes 4.875%, 7/15/24  140,000  144,900 
Core & Main LP 144A sr. unsec. notes 6.125%, 8/15/25  225,000  230,063 
First Quantum Minerals, Ltd. 144A company guaranty sr. unsec.     
notes 6.875%, 3/1/26 (Canada)  295,000  307,169 
Freeport-McMoRan, Inc. company guaranty sr. unsec. bonds     
4.625%, 8/1/30 (Indonesia)  130,000  144,336 
Freeport-McMoRan, Inc. company guaranty sr. unsec. notes     
4.375%, 8/1/28 (Indonesia)  130,000  137,758 
Freeport-McMoRan, Inc. company guaranty sr. unsec. unsub.     
notes 5.45%, 3/15/43 (Indonesia)  65,000  81,250 
GCP Applied Technologies, Inc. 144A sr. unsec. notes     
5.50%, 4/15/26  453,000  462,060 

 

Premier Income Trust 31 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Basic materials cont.     
Greif, Inc. 144A company guaranty sr. unsec. notes 6.50%, 3/1/27  $392,000  $417,970 
HudBay Minerals, Inc. 144A company guaranty sr. unsec. notes     
6.125%, 4/1/29 (Canada)  60,000  63,600 
Ingevity Corp. 144A company guaranty sr. unsec. notes     
3.875%, 11/1/28  185,000  185,231 
Intelligent Packaging, Ltd., Finco, Inc./Intelligent Packaging Ltd     
Co-Issuer, LL 144A sr. notes 6.00%, 9/15/28 (Canada)  50,000  51,625 
James Hardie International Finance DAC 144A sr. unsec. bonds     
5.00%, 1/15/28 (Ireland)  200,000  212,500 
Louisiana-Pacific Corp. company guaranty sr. unsec. unsub. notes     
4.875%, 9/15/24  143,000  146,575 
Mercer International, Inc. sr. unsec. notes 6.50%, 2/1/24 (Canada)  115,000  116,978 
Mercer International, Inc. sr. unsec. notes 5.50%, 1/15/26 (Canada)  164,000  168,115 
Mercer International, Inc. 144A sr. unsec. notes 5.125%,     
2/1/29 (Canada)  150,000  152,390 
Novelis Corp. 144A company guaranty sr. unsec. bonds     
5.875%, 9/30/26  325,000  340,438 
Novelis Corp. 144A company guaranty sr. unsec. notes     
4.75%, 1/30/30  175,000  184,052 
Smurfit Kappa Treasury Funding DAC company guaranty sr. unsec.     
unsub. notes 7.50%, 11/20/25 (Ireland)  403,000  475,540 
TopBuild Corp. 144A company guaranty sr. unsec. notes     
5.625%, 5/1/26  124,000  127,720 
Tronox Finance PLC 144A company guaranty sr. unsec. notes     
5.75%, 10/1/25 (United Kingdom)  325,000  335,563 
Tronox, Inc. 144A company guaranty sr. notes 6.50%, 5/1/25  40,000  42,900 
U.S. Concrete, Inc. 144A company guaranty sr. unsec. notes     
5.125%, 3/1/29  100,000  102,126 
W.R. Grace & Co.-Conn. 144A company guaranty sr. unsec. notes     
5.625%, 10/1/24  267,000  289,751 
W.R. Grace & Co.-Conn. 144A company guaranty sr. unsec. notes     
4.875%, 6/15/27  180,000  188,765 
    7,206,363 
Capital goods (2.1%)     
Allison Transmission, Inc. 144A company guaranty sr. unsec.     
bonds 3.75%, 1/30/31  130,000  129,756 
Allison Transmission, Inc. 144A company guaranty sr. unsec. notes     
4.75%, 10/1/27  75,000  78,398 
American Axle & Manufacturing, Inc. company guaranty sr. unsec.     
notes 6.875%, 7/1/28  25,000  26,279 
Amsted Industries, Inc. 144A company guaranty sr. unsec. sub.     
notes 5.625%, 7/1/27  260,000  274,300 
Amsted Industries, Inc. 144A sr. unsec. bonds 4.625%, 5/15/30  65,000  68,169 
ARD Finance SA 144A sr. notes Ser. REGS, 6.50%, 6/30/27     
(Luxembourg) ‡‡   200,000  209,000 
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. 144A     
company guaranty sr. sub. notes 4.125%, 8/15/26 (Ireland)  470,000  484,688 
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. 144A     
company guaranty sr. unsec. notes 5.25%, 8/15/27 (Ireland)  265,000  275,401 
Clarios Global LP 144A company guaranty sr. notes 6.75%, 5/15/25  175,000  186,429 
Clean Harbors, Inc. 144A sr. unsec. bonds 5.125%, 7/15/29  100,000  108,500 

 

32 Premier Income Trust 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Capital goods cont.     
Clean Harbors, Inc. 144A sr. unsec. notes 4.875%, 7/15/27  $175,000  $184,252 
Crown Americas, LLC/Crown Americas Capital Corp. VI company     
guaranty sr. unsec. notes 4.75%, 2/1/26  570,000  591,005 
Crown Cork & Seal Co., Inc. company guaranty sr. unsec. bonds     
7.375%, 12/15/26  347,000  421,605 
GFL Environmental, Inc. 144A company guaranty sr. unsec. notes     
4.00%, 8/1/28 (Canada)  105,000  103,997 
GFL Environmental, Inc. 144A sr. notes 5.125%, 12/15/26 (Canada)  250,000  263,750 
Great Lakes Dredge & Dock Corp. company guaranty sr. unsec.     
notes 8.00%, 5/15/22  408,000  414,630 
Husky III Holding, Ltd. 144A sr. unsec. notes 13.00%, 2/15/25     
(Canada) ‡‡   335,000  361,800 
MasTec, Inc. 144A company guaranty sr. unsec. notes     
4.50%, 8/15/28  255,000  268,592 
Owens-Brockway Glass Container, Inc. 144A company guaranty sr.     
unsec. notes 6.625%, 5/13/27  105,000  113,760 
Panther BF Aggregator 2 LP/Panther Finance Co., Inc. 144A     
company guaranty sr. notes 6.25%, 5/15/26  393,000  418,541 
Panther BF Aggregator 2 LP/Panther Finance Co., Inc. 144A     
company guaranty sr. unsec. notes 8.50%, 5/15/27  280,000  296,520 
Park-Ohio Industries, Inc. company guaranty sr. unsec. notes     
6.625%, 4/15/27  379,000  380,899 
RBS Global, Inc./Rexnord, LLC 144A sr. unsec. notes     
4.875%, 12/15/25  430,000  439,348 
Staples, Inc. 144A sr. notes 7.50%, 4/15/26  785,000  800,771 
Stevens Holding Co, Inc. 144A company guaranty sr. unsec. notes     
6.125%, 10/1/26  465,000  506,664 
Tenneco, Inc. 144A company guaranty sr. notes 7.875%, 1/15/29  25,000  28,125 
TransDigm, Inc. company guaranty sr. unsec. sub. notes     
5.50%, 11/15/27  330,000  340,481 
TransDigm, Inc. 144A company guaranty sr. notes 6.25%, 3/15/26  1,512,000  1,594,616 
TransDigm, Inc. 144A company guaranty sr. unsec. sub. notes     
4.625%, 1/15/29  175,000  173,688 
Vertical US Newco, Inc. 144A company guaranty sr. notes     
5.25%, 7/15/27  360,000  378,000 
Waste Pro USA, Inc. 144A sr. unsec. notes 5.50%, 2/15/26  395,000  407,838 
WESCO Distribution, Inc. 144A company guaranty sr. unsec. unsub.     
notes 7.25%, 6/15/28  245,000  275,224 
WESCO Distribution, Inc. 144A company guaranty sr. unsec. unsub.     
notes 7.125%, 6/15/25  125,000  136,250 
    10,741,276 
Communication services (2.3%)     
Altice France SA 144A company guaranty sr. notes 7.375%,     
5/1/26 (France)  200,000  209,602 
Altice France SA 144A company guaranty sr. notes 5.50%,     
1/15/28 (France)  200,000  208,250 
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A company     
guaranty sr. unsec. bonds 5.50%, 5/1/26  590,000  611,019 
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec.     
bonds 5.375%, 6/1/29  2,321,000  2,518,285 

 

Premier Income Trust 33 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Communication services cont.     
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec.     
bonds 4.50%, 5/1/32  $185,000  $192,400 
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec.     
bonds 4.50%, 8/15/30  130,000  136,906 
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec.     
notes 5.00%, 2/1/28  444,000  466,422 
CommScope Technologies, LLC 144A company guaranty sr. unsec.     
notes 6.00%, 6/15/25  185,000  188,700 
CSC Holdings, LLC sr. unsec. unsub. bonds 5.25%, 6/1/24  270,000  290,588 
CSC Holdings, LLC 144A sr. unsec. bonds 5.75%, 1/15/30  220,000  237,050 
CSC Holdings, LLC 144A sr. unsec. bonds 4.625%, 12/1/30  200,000  204,000 
DISH DBS Corp. company guaranty sr. unsec. unsub. notes     
5.875%, 11/15/24  544,000  563,731 
Equinix, Inc. sr. unsec. notes 5.375%, 5/15/27 R   197,000  213,829 
Frontier Communications Corp. 144A company guaranty sr. notes     
5.875%, 10/15/27  195,000  209,996 
Frontier Communications Corp. 144A notes 6.75%, 5/1/29  235,000  247,925 
Intelsat Jackson Holdings SA 144A company guaranty sr. notes     
8.00%, 2/15/24 (Luxembourg)  15,000  15,375 
Level 3 Financing, Inc. company guaranty sr. unsec. unsub. notes     
5.25%, 3/15/26  383,000  394,950 
Level 3 Financing, Inc. 144A company guaranty sr. unsec. notes     
4.625%, 9/15/27  175,000  182,219 
Level 3 Financing, Inc. 144A company guaranty sr. unsec. unsub.     
notes 3.625%, 1/15/29  125,000  124,377 
Quebecor Media, Inc. sr. unsec. unsub. notes 5.75%,     
1/15/23 (Canada)  88,000  94,600 
Sprint Capital Corp. company guaranty sr. unsec. unsub. notes     
6.875%, 11/15/28  583,000  749,990 
Sprint Corp. company guaranty sr. unsec. notes 7.625%, 3/1/26  280,000  345,100 
Sprint Corp. company guaranty sr. unsec. sub. notes     
7.875%, 9/15/23  579,000  668,745 
Sprint Corp. company guaranty sr. unsec. sub. notes     
7.25%, 9/15/21  420,000  433,860 
Sprint Spectrum Co., LLC/Sprint Spectrum Co. II, LLC/Sprint     
Spectrum Co. III, LLC 144A company guaranty sr. notes     
3.36%, 9/20/21  54,375  54,856 
T-Mobile USA, Inc. company guaranty sr. unsec. bonds     
2.875%, 2/15/31  175,000  176,621 
T-Mobile USA, Inc. company guaranty sr. unsec. notes     
5.375%, 4/15/27  43,000  45,813 
T-Mobile USA, Inc. company guaranty sr. unsec. notes     
4.00%, 4/15/22  100,000  102,535 
T-Mobile USA, Inc. company guaranty sr. unsec. notes     
2.625%, 2/15/29  125,000  125,650 
T-Mobile USA, Inc. company guaranty sr. unsec. unsub. bonds     
4.75%, 2/1/28  326,000  348,201 
T-Mobile USA, Inc. company guaranty sr. unsec. unsub. notes     
4.50%, 2/1/26  125,000  127,875 
T-Mobile USA, Inc. 144A company guaranty sr. notes     
3.875%, 4/15/30  110,000  124,450 

 

34 Premier Income Trust 

 


 

    Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.    amount  Value 
Communication services cont.       
T-Mobile USA, Inc. 144A company guaranty sr. notes       
3.75%, 4/15/27    $280,000  $314,667 
Videotron, Ltd./Videotron Ltee. 144A sr. unsec. notes 5.125%,       
4/15/27 (Canada)    170,000  179,877 
Virgin Media Finance PLC 144A sr. unsec. bonds 5.00%, 7/15/30       
(United Kingdom)    200,000  205,750 
Virgin Media Secured Finance PLC 144A company guaranty sr.       
bonds 5.00%, 4/15/27 (United Kingdom)  GBP  255,000  366,335 
Zayo Group Holdings, Inc. 144A sr. notes 4.00%, 3/1/27    $50,000  50,141 
Ziggo BV 144A company guaranty sr. notes 5.50%,       
1/15/27 (Netherlands)    150,000  157,322 
      11,888,012 
Consumer cyclicals (5.0%)       
American Builders & Contractors Supply Co., Inc. 144A company       
guaranty sr. unsec. notes 5.875%, 5/15/26    85,000  88,081 
American Builders & Contractors Supply Co., Inc. 144A sr. notes       
4.00%, 1/15/28    130,000  134,063 
BCPE Ulysses Intermediate, Inc. 144A sr. unsec. notes 7.75%,       
4/1/27 ‡‡     235,000  233,825 
Boyd Gaming Corp. company guaranty sr. unsec. notes       
6.00%, 8/15/26    135,000  139,556 
Boyd Gaming Corp. company guaranty sr. unsec. notes       
4.75%, 12/1/27    360,000  370,350 
Brookfield Residential Properties, Inc./Brookfield Residential       
US Corp. 144A company guaranty sr. unsec. notes 6.25%,       
9/15/27 (Canada)    120,000  126,600 
Carnival Corp. 144A sr. notes 11.50%, 4/1/23    115,000  130,525 
Carriage Services, Inc. 144A sr. unsec. notes 6.625%, 6/1/26    125,000  131,875 
Cinemark USA, Inc. company guaranty sr. unsec. notes       
5.125%, 12/15/22    165,000  161,288 
Cinemark USA, Inc. company guaranty sr. unsec. sub. notes       
4.875%, 6/1/23    420,000  403,725 
Cinemark USA, Inc. 144A company guaranty sr. notes 8.75%, 5/1/25    50,000  53,703 
Clear Channel Outdoor Holdings, Inc. 144A company guaranty sr.       
notes 5.125%, 8/15/27    180,000  183,825 
Cornerstone Building Brands, Inc. 144A company guaranty sr.       
unsec. sub. notes 8.00%, 4/15/26    18,000  18,810 
CRC Escrow Issuer, LLC/CRC Finco, Inc. 144A company guaranty sr.       
unsec. notes 5.25%, 10/15/25    700,000  700,000 
Diamond Sports Group, LLC/Diamond Sports Finance Co. 144A sr.       
notes 5.375%, 8/15/26    526,000  424,745 
eG Global Finance PLC 144A company guaranty sr. notes 6.75%,       
2/7/25 (United Kingdom)    200,000  206,000 
Entercom Media Corp. 144A company guaranty notes       
6.50%, 5/1/27    544,000  557,600 
Entercom Media Corp. 144A company guaranty sr. unsec. notes       
7.25%, 11/1/24    228,000  230,850 
Ford Motor Co. sr. unsec. unsub. notes 9.00%, 4/22/25    336,000  408,636 
Ford Motor Credit Co., LLC sr. unsec. unsub. notes 5.125%, 6/16/25    200,000  217,250 
Ford Motor Credit Co., LLC sr. unsec. unsub. notes 4.271%, 1/9/27    260,000  273,975 
Gap, Inc. (The) 144A sr. notes 8.625%, 5/15/25    95,000  106,323 

 

Premier Income Trust 35 

 


 

    Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.    amount  Value 
Consumer cyclicals cont.       
Gap, Inc. (The) 144A sr. notes 8.375%, 5/15/23    $169,000  $194,456 
Gartner, Inc. 144A company guaranty sr. unsec. bonds       
3.75%, 10/1/30    100,000  103,250 
Gartner, Inc. 144A company guaranty sr. unsec. notes       
4.50%, 7/1/28    50,000  52,735 
Gray Television, Inc. 144A company guaranty sr. unsec. notes       
4.75%, 10/15/30    130,000  129,675 
Gray Television, Inc. 144A sr. unsec. notes 7.00%, 5/15/27    259,000  282,310 
Hanesbrands, Inc. 144A company guaranty sr. unsec. notes       
5.375%, 5/15/25    105,000  111,694 
Hanesbrands, Inc. 144A company guaranty sr. unsec. unsub. notes       
4.625%, 5/15/24    270,000  284,959 
Hilton Worldwide Finance, LLC/Hilton Worldwide Finance Corp.       
company guaranty sr. unsec. notes 4.875%, 4/1/27    196,000  204,962 
Howard Hughes Corp. (The) 144A sr. unsec. notes 5.375%, 3/15/25    281,000  289,714 
iHeartCommunications, Inc. company guaranty sr. notes       
6.375%, 5/1/26    287,372  306,142 
iHeartCommunications, Inc. company guaranty sr. unsec. notes       
8.375%, 5/1/27    614,739  656,234 
IHS Markit, Ltd. sr. unsec. sub. bonds 4.75%, 8/1/28       
(United Kingdom)    145,000  174,181 
IHS Markit, Ltd. 144A company guaranty notes 4.75%, 2/15/25       
(United Kingdom)    339,000  385,613 
Iron Mountain, Inc. 144A company guaranty sr. unsec. bonds       
5.25%, 3/15/28 R     428,000  450,470 
Iron Mountain, Inc. 144A company guaranty sr. unsec. notes       
4.875%, 9/15/27 R     291,000  303,731 
JELD-WEN, Inc. 144A company guaranty sr. unsec. notes       
4.875%, 12/15/27    147,000  154,350 
JELD-WEN, Inc. 144A company guaranty sr. unsec. notes       
4.625%, 12/15/25    155,000  158,100 
JELD-WEN, Inc. 144A sr. notes 6.25%, 5/15/25    68,000  73,015 
L Brands, Inc. company guaranty sr. unsec. notes 7.50%,       
perpetual maturity    284,000  320,210 
L Brands, Inc. company guaranty sr. unsec. sub. bonds       
6.875%, 11/1/35    220,000  255,044 
L Brands, Inc. 144A company guaranty sr. notes 6.875%, 7/1/25    65,000  70,781 
L Brands, Inc. 144A company guaranty sr. unsec. notes       
9.375%, 7/1/25    50,000  61,750 
L Brands, Inc. 144A company guaranty sr. unsec. unsub. bonds       
6.625%, 10/1/30    120,000  134,999 
La Financiere Atalian SASU company guaranty sr. unsec. notes       
Ser. REGS, 4.00%, 5/15/24 (France)  EUR  200,000  227,837 
Levi Strauss & Co. sr. unsec. unsub. notes 5.00%, 5/1/25    $110,000  112,926 
LHMC Finco SARL sr. notes Ser. REGS, 6.25%,       
12/20/23 (Luxembourg)  EUR  235,000  278,442 
Lions Gate Capital Holdings, LLC 144A company guaranty sr.       
unsec. notes 5.875%, 11/1/24    $404,000  412,080 
Lions Gate Capital Holdings, LLC 144A sr. unsec. notes       
6.375%, 2/1/24    255,000  260,738 

 

36 Premier Income Trust 

 


 

    Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.    amount  Value 
Consumer cyclicals cont.       
Live Nation Entertainment, Inc. 144A company guaranty sr. unsec.       
sub. notes 5.625%, 3/15/26    $218,000  $223,723 
Live Nation Entertainment, Inc. 144A sr. notes 6.50%, 5/15/27    130,000  144,418 
Macy’s, Inc. 144A company guaranty sr. unsec. notes       
8.375%, 6/15/25    65,000  71,988 
Marriott International, Inc. sr. unsec. notes Ser. EE, 5.75%, 5/1/25    90,000  104,385 
Masonite International Corp. 144A company guaranty sr. unsec.       
notes 5.375%, 2/1/28    100,000  107,061 
Mattamy Group Corp. 144A sr. unsec. notes 5.25%,       
12/15/27 (Canada)    355,000  373,638 
Mattamy Group Corp. 144A sr. unsec. notes 4.625%,       
3/1/30 (Canada)    280,000  290,500 
Mattel, Inc. 144A company guaranty sr. unsec. notes       
5.875%, 12/15/27    380,000  419,037 
Meredith Corp. company guaranty sr. unsec. notes 6.875%, 2/1/26    498,000  500,490 
Meredith Corp. 144A company guaranty sr. unsec. notes       
6.50%, 7/1/25    240,000  253,800 
Motion Bondco DAC company guaranty sr. notes Ser. REGS, 4.50%,       
11/15/27 (Ireland)  EUR  245,000  276,781 
MPH Acquisition Holdings, LLC 144A company guaranty sr. unsec.       
notes 5.75%, 11/1/28    $130,000  128,863 
Navistar International Corp. 144A sr. unsec. notes 6.625%, 11/1/25    247,000  257,473 
Nexstar Broadcasting, Inc. 144A sr. unsec. notes 4.75%, 11/1/28    125,000  128,750 
Nexstar Escrow, Inc. 144A sr. unsec. notes 5.625%, 7/15/27    355,000  376,818 
Nielsen Co. Luxembourg SARL (The) 144A company guaranty sr.       
unsec. notes 5.00%, 2/1/25 (Luxembourg)    405,000  416,138 
Nielsen Finance, LLC/Nielsen Finance Co. 144A company guaranty       
sr. unsec. notes 5.625%, 10/1/28    175,000  187,324 
Nordstrom, Inc. 144A sr. notes 8.75%, 5/15/25    225,000  251,744 
Outfront Media Capital, LLC/Outfront Media Capital Corp. 144A       
company guaranty sr. unsec. notes 6.25%, 6/15/25    232,000  245,630 
Outfront Media Capital, LLC/Outfront Media Capital Corp. 144A sr.       
unsec. bonds 4.625%, 3/15/30    75,000  74,813 
Penske Automotive Group, Inc. company guaranty sr. unsec. notes       
3.50%, 9/1/25    50,000  51,128 
PM General Purchaser, LLC 144A sr. notes 9.50%, 10/1/28    370,000  406,501 
Prime Security Services Borrower, LLC/Prime Finance, Inc. 144A       
company guaranty sr. notes 3.375%, 8/31/27    125,000  123,638 
Prime Security Services Borrower, LLC/Prime Finance, Inc. 144A       
notes 6.25%, 1/15/28    250,000  266,250 
PulteGroup, Inc. company guaranty sr. unsec. unsub. notes       
7.875%, 6/15/32    155,000  228,238 
PulteGroup, Inc. company guaranty sr. unsec. unsub. notes       
5.50%, 3/1/26    400,000  477,040 
QVC, Inc. company guaranty sr. notes 4.375%, 9/1/28    220,000  228,800 
Sabre GLBL, Inc. 144A company guaranty sr. notes 9.25%, 4/15/25    606,000  718,989 
Scientific Games International, Inc. 144A company guaranty sr.       
notes 5.00%, 10/15/25    150,000  154,584 
Scientific Games International, Inc. 144A company guaranty sr.       
unsec. notes 8.25%, 3/15/26    230,000  243,199 

 

Premier Income Trust 37 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Consumer cyclicals cont.     
Scotts Miracle-Gro, Co. (The) company guaranty sr. unsec. notes     
4.50%, 10/15/29  $368,000  $394,680 
Shift4 Payments, LLC/Shift4 Payments Finance Sub, Inc. 144A     
company guaranty sr. unsec. notes 4.625%, 11/1/26  265,000  276,263 
Sinclair Television Group, Inc. 144A company guaranty sr. unsec.     
bonds 5.50%, 3/1/30  215,000  221,581 
Sinclair Television Group, Inc. 144A sr. bonds 4.125%, 12/1/30  130,000  129,513 
Sirius XM Radio, Inc. 144A sr. unsec. bonds 5.00%, 8/1/27  819,000  859,950 
Six Flags Theme Parks, Inc. 144A company guaranty sr. notes     
7.00%, 7/1/25  255,000  274,763 
Spectrum Brands, Inc. 144A company guaranty sr. unsec. bonds     
5.00%, 10/1/29  125,000  132,288 
Standard Industries, Inc. 144A sr. unsec. bonds 3.375%, 1/15/31  205,000  202,438 
Standard Industries, Inc. 144A sr. unsec. notes 4.75%, 1/15/28  25,000  26,351 
Station Casinos, LLC 144A sr. unsec. notes 4.50%, 2/15/28  250,000  245,000 
Taylor Morrison Communities, Inc. 144A sr. unsec. bonds     
5.125%, 8/1/30  275,000  302,500 
Taylor Morrison Communities, Inc. 144A sr. unsec. notes     
5.75%, 1/15/28  105,000  118,388 
TRI Pointe Group, Inc. sr. unsec. notes 5.70%, 6/15/28  125,000  140,313 
Univision Communications, Inc. 144A company guaranty sr. notes     
9.50%, 5/1/25  134,000  146,395 
Univision Communications, Inc. 144A company guaranty sr. notes     
6.625%, 6/1/27  255,000  268,184 
Urban One, Inc. 144A company guaranty sr. notes 7.375%, 2/1/28  25,000  25,462 
Valvoline, Inc. 144A company guaranty sr. unsec. unsub. notes     
4.25%, 2/15/30  325,000  339,625 
Weekley Homes, LLC/Weekley Finance Corp. 144A sr. unsec. notes     
4.875%, 9/15/28  50,000  52,000 
WMG Acquisition Corp. 144A company guaranty sr. bonds     
3.00%, 2/15/31  205,000  198,594 
Wolverine World Wide, Inc. 144A company guaranty sr. unsec.     
bonds 5.00%, 9/1/26  229,000  234,153 
Wolverine World Wide, Inc. 144A company guaranty sr. unsec.     
notes 6.375%, 5/15/25  155,000  164,688 
Wynn Las Vegas, LLC/Wynn Las Vegas Capital Corp. 144A company     
guaranty sr. unsec. sub. notes 5.25%, 5/15/27  338,000  343,155 
Wynn Resorts Finance, LLC/Wynn Resorts Capital Corp. 144A sr.     
unsec. bonds 5.125%, 10/1/29  550,000  567,875 
Wynn Resorts Finance, LLC/Wynn Resorts Capital Corp. 144A sr.     
unsec. notes 7.75%, 4/15/25  80,000  85,906 
    25,233,809 
Consumer staples (1.4%)     
1011778 BC ULC/New Red Finance, Inc. 144A bonds 4.00%,     
10/15/30 (Canada)  170,000  169,363 
1011778 BC ULC/New Red Finance, Inc. 144A company guaranty     
notes 4.375%, 1/15/28 (Canada)  182,000  185,640 
1011778 BC ULC/New Red Finance, Inc. 144A company guaranty sr.     
notes 3.875%, 1/15/28 (Canada)  225,000  227,813 
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons,     
LLC 144A company guaranty sr. unsec. notes 4.875%, 2/15/30  75,000  80,159 

 

38 Premier Income Trust 

 


 

    Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.    amount  Value 
Consumer staples cont.       
Avient Corp. 144A sr. unsec. notes 5.75%, 5/15/25    $80,000  $84,900 
CDW, LLC/CDW Finance Corp. company guaranty sr. unsec. notes       
3.25%, 2/15/29    40,000  40,257 
Go Daddy Operating Co, LLC/GD Finance Co., Inc. 144A company       
guaranty sr. unsec. notes 5.25%, 12/1/27    125,000  131,692 
Golden Nugget, Inc. 144A sr. unsec. notes 6.75%, 10/15/24    505,000  506,162 
IRB Holding Corp. 144A company guaranty sr. notes 7.00%, 6/15/25    130,000  140,901 
Itron, Inc. 144A company guaranty sr. unsec. notes 5.00%, 1/15/26    182,000  185,640 
KFC Holding Co./Pizza Hut Holdings, LLC/Taco Bell of America, LLC       
144A company guaranty sr. unsec. notes 5.25%, 6/1/26    295,000  306,063 
KFC Holding Co./Pizza Hut Holdings, LLC/Taco Bell of America, LLC       
144A company guaranty sr. unsec. notes 4.75%, 6/1/27    235,000  246,750 
Kraft Heinz Co. (The) company guaranty sr. unsec. notes       
5.00%, 7/15/35    349,000  412,738 
Kraft Heinz Co. (The) company guaranty sr. unsec. notes       
3.00%, 6/1/26    381,000  402,689 
Kraft Heinz Foods Co. company guaranty sr. unsec. sub. notes       
3.875%, 5/15/27    37,000  40,480 
Lamb Weston Holdings, Inc. 144A company guaranty sr. unsec.       
notes 4.875%, 5/15/28    185,000  204,832 
Lamb Weston Holdings, Inc. 144A company guaranty sr. unsec.       
unsub. notes 4.875%, 11/1/26    350,000  363,125 
Lamb Weston Holdings, Inc. 144A company guaranty sr. unsec.       
unsub. notes 4.625%, 11/1/24    85,000  88,553 
Loxam SAS notes 3.75%, 7/15/26 (France)  EUR  200,000  244,569 
Match Group Holdings II, LLC 144A sr. unsec. notes 4.125%, 8/1/30    $285,000  293,550 
Match Group, Inc. 144A sr. unsec. bonds 5.00%, 12/15/27    260,000  274,300 
Match Group, Inc. 144A sr. unsec. unsub. notes 4.625%, 6/1/28    130,000  136,738 
Netflix, Inc. sr. unsec. notes 6.375%, 5/15/29    135,000  174,573 
Netflix, Inc. sr. unsec. notes 4.875%, 4/15/28    95,000  111,659 
Netflix, Inc. sr. unsec. unsub. notes 5.875%, 11/15/28    510,000  640,050 
Netflix, Inc. 144A sr. unsec. bonds 5.375%, 11/15/29    135,000  168,413 
Netflix, Inc. 144A sr. unsec. bonds 4.875%, 6/15/30    75,000  90,654 
Newell Brands, Inc. sr. unsec. notes 4.875%, 6/1/25    143,000  157,479 
Newell Brands, Inc. sr. unsec. unsub. notes 4.70%, 4/1/26    235,000  260,263 
Prestige Brands, Inc. 144A company guaranty sr. unsec. notes       
5.125%, 1/15/28    210,000  223,319 
TripAdvisor, Inc. 144A company guaranty sr. unsec. notes       
7.00%, 7/15/25    124,000  133,936 
Yum! Brands, Inc. sr. unsec. sub. bonds 3.625%, 3/15/31    125,000  122,644 
Yum! Brands, Inc. 144A sr. unsec. bonds 4.75%, 1/15/30    125,000  134,175 
Yum! Brands, Inc. 144A sr. unsec. notes 7.75%, 4/1/25    50,000  54,881 
      7,038,960 
Energy (3.1%)       
Aker BP ASA 144A sr. unsec. notes 5.875%, 3/31/25 (Norway)    500,000  516,127 
Aker BP ASA 144A sr. unsec. notes 3.75%, 1/15/30 (Norway)    265,000  279,575 
Antero Resources Corp. company guaranty sr. unsec. sub. notes       
5.125%, 12/1/22    82,000  82,016 
Apache Corp. sr. unsec. unsub. notes 5.10%, 9/1/40    133,000  134,670 
Apache Corp. sr. unsec. unsub. notes 4.875%, 11/15/27    75,000  77,063 

 

Premier Income Trust 39 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Energy cont.     
Apache Corp. sr. unsec. unsub. notes 4.625%, 11/15/25  $50,000  $51,031 
Apache Corp. sr. unsec. unsub. notes 4.375%, 10/15/28  83,000  83,000 
Callon Petroleum Co. company guaranty sr. unsec. unsub. notes     
6.25%, 4/15/23  195,000  144,788 
Cenovus Energy, Inc. sr. unsec. bonds 6.75%, 11/15/39 (Canada)  214,000  278,200 
ChampionX corp. company guaranty sr. unsec. notes     
6.375%, 5/1/26  286,000  300,014 
Cheniere Corpus Christi Holdings, LLC company guaranty sr. notes     
5.125%, 6/30/27  570,000  675,455 
Chevron USA, Inc. company guaranty sr. unsec. bonds     
6.00%, 3/1/41  26,000  37,937 
Comstock Resources, Inc. 144A company guaranty sr. unsec. notes     
7.50%, 5/15/25  143,000  146,218 
Continental Resources, Inc. company guaranty sr. unsec. notes     
4.375%, 1/15/28  227,000  232,675 
Continental Resources, Inc. company guaranty sr. unsec. unsub.     
notes 4.50%, 4/15/23  231,000  237,085 
Continental Resources, Inc. 144A company guaranty sr. unsec.     
bonds 5.75%, 1/15/31  130,000  140,699 
DCP Midstream Operating LP company guaranty sr. unsec. notes     
5.625%, 7/15/27  124,000  134,850 
DCP Midstream Operating LP 144A company guaranty sr. unsec.     
unsub. bonds 6.75%, 9/15/37  118,000  130,390 
Devon Energy Corp. sr. unsec. unsub. bonds 7.875%, 9/30/31  125,000  173,125 
Devon Energy Corp. sr. unsec. unsub. bonds 5.60%, 7/15/41  98,000  117,151 
Diamondback Energy, Inc. company guaranty sr. unsec. unsub.     
notes 5.375%, 5/31/25  106,000  109,878 
Diamondback Energy, Inc. sr. unsec. notes 4.75%, 5/31/25  135,000  152,666 
Double Eagle III Midco 1 LLC/Double Eagle Finance Corp. 144A sr.     
unsec. notes 7.75%, 12/15/25  260,000  270,400 
Endeavor Energy Resources LP/EER Finance, Inc. 144A sr. unsec.     
bonds 5.75%, 1/30/28  438,000  464,280 
Endeavor Energy Resources LP/EER Finance, Inc. 144A sr. unsec.     
notes 6.625%, 7/15/25  255,000  272,372 
Energy Transfer Operating LP jr. unsec. sub. FRB Ser. B, 6.625%,     
perpetual maturity  41,000  35,055 
EQT Corp. sr. unsec. notes 5.00%, 1/15/29  25,000  27,188 
Global Partners LP/GLP Finance Corp. 144A company guaranty sr.     
unsec. notes 6.875%, 1/15/29  40,000  42,800 
Hess Midstream Operations LP 144A company guaranty sr. unsec.     
notes 5.125%, 6/15/28  236,000  244,921 
Hess Midstream Operations LP 144A company guaranty sr. unsec.     
sub. notes 5.625%, 2/15/26  464,000  479,702 
Holly Energy Partners LP/Holly Energy Finance Corp. 144A     
company guaranty sr. unsec. notes 5.00%, 2/1/28  125,000  125,900 
Indigo Natural Resources, LLC 144A sr. unsec. notes     
6.875%, 2/15/26  159,000  164,756 
MEG Energy Corp. 144A notes 6.50%, 1/15/25 (Canada)  314,000  323,451 
Nabors Industries, Inc. 144A company guaranty sr. unsec. notes     
9.00%, 2/1/25  257,000  260,855 
Newfield Exploration Co. sr. unsec. unsub. notes 5.625%, 7/1/24  54,000  58,455 

 

40 Premier Income Trust 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Energy cont.     
Newfield Exploration Co. sr. unsec. unsub. notes 5.375%, 1/1/26  $43,000  $46,954 
Northriver Midstream Finance LP 144A sr. notes 5.625%,     
2/15/26 (Canada)  142,000  145,373 
Occidental Petroleum Corp. sr. unsec. sub. notes 6.45%, 9/15/36  202,000  221,670 
Occidental Petroleum Corp. sr. unsec. sub. notes 4.85%, 3/15/21  156,000  156,000 
Occidental Petroleum Corp. sr. unsec. unsub. notes 3.50%, 6/15/25  129,000  125,130 
Pertamina Persero PT 144A sr. unsec. unsub. notes 4.875%,     
5/3/22 (Indonesia)  270,000  282,549 
Pertamina Persero PT 144A sr. unsec. unsub. notes 4.30%,     
5/20/23 (Indonesia)  400,000  428,000 
Petrobras Global Finance BV company guaranty sr. unsec. unsub.     
bonds 7.375%, 1/17/27 (Brazil)  1,863,000  2,327,819 
Petrobras Global Finance BV company guaranty sr. unsec. unsub.     
notes 5.999%, 1/27/28 (Brazil)  378,000  442,260 
Petrobras Global Finance BV company guaranty sr. unsec. unsub.     
notes 5.299%, 1/27/25 (Brazil)  300,000  341,100 
Petroleos de Venezuela SA company guaranty sr. unsec. bonds     
Ser. REGS, 6.00%, 11/15/26 (Venezuela) (In default)   689,000  24,115 
Petroleos de Venezuela SA company guaranty sr. unsec. unsub.     
notes 5.375%, 4/12/27 (Venezuela) (In default)   972,000  34,020 
Petroleos de Venezuela SA 144A company guaranty sr. unsec.     
notes 6.00%, 11/15/26 (Venezuela) (In default)   2,345,000  82,075 
Petroleos Mexicanos company guaranty sr. unsec. unsub. FRB     
7.69%, 1/23/50 (Mexico)  931,000  880,242 
Rattler Midstream LP 144A company guaranty sr. unsec. notes     
5.625%, 7/15/25  180,000  188,550 
SM Energy Co. sr. unsec. notes 6.625%, 1/15/27  322,000  286,580 
SM Energy Co. sr. unsec. sub. notes 5.00%, 1/15/24  99,000  91,575 
SM Energy Co. sr. unsec. unsub. notes 6.75%, 9/15/26  133,000  120,033 
SM Energy Co. sr. unsec. unsub. notes 6.125%, 11/15/22  211,000  203,615 
SM Energy Co. 144A company guaranty notes 10.00%, 1/15/25  70,000  77,613 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. 144A     
company guaranty sr. unsec. notes 5.50%, 1/15/28  282,000  281,295 
Targa Resources Partners LP/Targa Resources Partners Finance     
Corp. company guaranty sr. unsec. notes 6.875%, 1/15/29  80,000  88,300 
Targa Resources Partners LP/Targa Resources Partners Finance     
Corp. company guaranty sr. unsec. notes 6.50%, 7/15/27  410,000  440,750 
Targa Resources Partners LP/Targa Resources Partners Finance     
Corp. company guaranty sr. unsec. notes 5.50%, 3/1/30  75,000  79,734 
Transocean Pontus, Ltd. 144A company guaranty sr. notes 6.125%,     
8/1/25 (Cayman Islands)  101,400  95,823 
Transocean Poseidon, Ltd. 144A company guaranty sr. notes     
6.875%, 2/1/27  190,000  171,000 
Viper Energy Partners LP 144A company guaranty sr. unsec. notes     
5.375%, 11/1/27  80,000  84,000 
WPX Energy, Inc. sr. unsec. notes 8.25%, 8/1/23  60,000  69,013 
WPX Energy, Inc. sr. unsec. notes 5.75%, 6/1/26  65,000  68,218 
WPX Energy, Inc. sr. unsec. notes 4.50%, 1/15/30  100,000  105,950 
WPX Energy, Inc. sr. unsec. sub. notes 5.875%, 6/15/28  400,000  433,104 
WPX Energy, Inc. sr. unsec. sub. notes 5.25%, 10/15/27  225,000  237,209 
    15,664,417 

 

Premier Income Trust 41 

 


 

    Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.    amount  Value 
Financials (3.5%)       
AG Issuer, LLC 144A sr. notes 6.25%, 3/1/28    $235,000  $245,549 
Alliant Holdings Intermediate, LLC/Alliant Holdings Co-Issuer 144A       
sr. notes 4.25%, 10/15/27    60,000  61,020 
Alliant Holdings Intermediate, LLC/Alliant Holdings Co-Issuer 144A       
sr. unsec. notes 6.75%, 10/15/27    190,000  200,925 
Ally Financial, Inc. company guaranty sr. unsec. notes       
8.00%, 11/1/31    1,216,000  1,763,434 
American International Group, Inc. jr. unsec. sub. FRB       
8.175%, 5/15/58    20,000  29,174 
Banca Monte dei Paschi di Siena SpA sr. unsec. unsub. notes       
Ser. EMTN, 2.625%, 4/28/25 (Italy)  EUR  230,000  288,894 
Bank of America Corp. jr. unsec. sub. FRN Ser. AA, 6.10%,       
perpetual maturity    $148,000  166,500 
CIT Group, Inc. sr. unsec. unsub. notes 5.25%, 3/7/25    578,000  663,978 
CNO Financial Group, Inc. sr. unsec. notes 5.25%, 5/30/29    225,000  270,234 
Deutsche Bank AG jr. unsec. sub. FRN 6.00%, perpetual       
maturity (Germany)    200,000  194,250 
Diversified Healthcare Trust company guaranty sr. unsec. notes       
9.75%, 6/15/25 R     510,000  578,533 
Dresdner Funding Trust I 144A jr. unsec. sub. notes 8.151%, 6/30/31    200,000  293,500 
ESH Hospitality, Inc. 144A company guaranty sr. unsec. notes       
5.25%, 5/1/25 R     95,000  96,900 
Fairfax Financial Holdings, Ltd. sr. unsec. notes 4.85%,       
4/17/28 (Canada)    170,000  190,447 
Freedom Mortgage Corp. 144A sr. unsec. notes 8.125%, 11/15/24    120,000  124,500 
GLP Capital LP/GLP Financing II, Inc. company guaranty sr. unsec.       
notes 5.25%, 6/1/25    250,000  282,950 
GLP Capital LP/GLP Financing II, Inc. company guaranty sr. unsec.       
unsub. notes 5.375%, 4/15/26    185,000  211,899 
goeasy, Ltd. 144A company guaranty sr. unsec. notes 5.375%,       
12/1/24 (Canada)    255,000  265,838 
Icahn Enterprises LP/Icahn Enterprises Finance Corp. company       
guaranty sr. unsec. notes 6.75%, 2/1/24    210,000  214,200 
Icahn Enterprises LP/Icahn Enterprises Finance Corp. company       
guaranty sr. unsec. notes 6.25%, 5/15/26    237,000  250,411 
Icahn Enterprises LP/Icahn Enterprises Finance Corp. company       
guaranty sr. unsec. notes 4.75%, 9/15/24    150,000  157,898 
International Lease Finance Corp. sr. unsec. unsub. notes       
5.875%, 8/15/22    20,000  21,549 
Intesa Sanpaolo SpA 144A company guaranty jr. unsec. sub. FRB       
7.70%, perpetual maturity (Italy)    200,000  224,500 
iStar, Inc. sr. unsec. notes 5.50%, 2/15/26 R     205,000  207,563 
iStar, Inc. sr. unsec. notes 4.75%, 10/1/24 R     347,000  355,923 
iStar, Inc. sr. unsec. notes 4.25%, 8/1/25 R     270,000  265,275 
Itau Unibanco Holding SA/Cayman Islands 144A unsec. sub. FRB       
3.875%, 4/15/31 (Brazil)    2,050,000  2,053,055 
Ladder Capital Finance Holdings, LLLP/Ladder Capital       
Finance Corp. 144A company guaranty sr. unsec. unsub. notes       
5.25%, 10/1/25 R     360,000  359,100 
Ladder Capital Finance Holdings, LLLP/Ladder Capital Finance       
Corp. 144A sr. unsec. notes 4.25%, 2/1/27 R     250,000  242,500 

 

42 Premier Income Trust 

 


 

    Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.    amount  Value 
Financials cont.       
LPL Holdings, Inc. 144A company guaranty sr. unsec. notes       
5.75%, 9/15/25    $475,000  $490,618 
Nationstar Mortgage Holdings, Inc. 144A company guaranty sr.       
unsec. notes 6.00%, 1/15/27    55,000  58,163 
Nationstar Mortgage Holdings, Inc. 144A company guaranty sr.       
unsec. notes 5.50%, 8/15/28    203,000  209,598 
Nationstar Mortgage Holdings, Inc. 144A company guaranty sr.       
unsec. notes 5.125%, 12/15/30    75,000  77,813 
NatWest Group PLC sr. unsec. unsub. notes 3.875%, 9/12/23       
(United Kingdom)    235,000  253,850 
PennyMac Financial Services, Inc. 144A company guaranty sr.       
unsec. notes 5.375%, 10/15/25    240,000  251,400 
Provident Funding Associates LP/PFG Finance Corp. 144A sr.       
unsec. notes 6.375%, 6/15/25    525,000  535,500 
Service Properties Trust company guaranty sr. unsec. unsub.       
notes 7.50%, 9/15/25 R     88,000  99,497 
Springleaf Finance Corp. company guaranty sr. unsec. notes       
8.875%, 6/1/25    105,000  117,191 
Springleaf Finance Corp. company guaranty sr. unsec. unsub.       
notes 6.875%, 3/15/25    393,000  450,968 
Springleaf Finance Corp. company guaranty sr. unsec. unsub.       
notes 5.375%, 11/15/29    265,000  291,500 
Starwood Property Trust, Inc. sr. unsec. notes 4.75%, 3/15/25 R     330,000  332,379 
Stichting AK Rabobank Certificaten jr. unsec. sub. FRN 6.50%,       
perpetual maturity (Netherlands)  EUR  252,125  400,816 
TMX Finance, LLC/TitleMax Finance Corp. 144A sr. notes       
11.125%, 4/1/23    $178,000  176,888 
VTB Bank OJSC Via VTB Capital SA 144A unsec. sub. bonds 6.95%,       
10/17/22 (Russia)    3,280,000  3,501,400 
      17,528,080 
Health care (1.7%)       
Bausch Health Americas, Inc. 144A sr. unsec. notes 8.50%, 1/31/27    611,000  678,210 
Bausch Health Cos., Inc. 144A company guaranty sr. unsec. notes       
7.25%, 5/30/29    235,000  262,025 
Bausch Health Cos., Inc. 144A company guaranty sr. unsec. notes       
7.00%, 1/15/28    115,000  124,453 
Bausch Health Cos., Inc. 144A company guaranty sr. unsec. notes       
6.25%, 2/15/29    180,000  193,725 
Bausch Health Cos., Inc. 144A company guaranty sr. unsec. notes       
6.125%, 4/15/25    370,000  379,139 
Bausch Health Cos., Inc. 144A company guaranty sr. unsec. notes       
5.00%, 2/15/29    100,000  102,366 
Bausch Health Cos., Inc. 144A company guaranty sr. unsub. notes       
7.00%, 3/15/24    355,000  362,721 
Centene Corp. sr. unsec. bonds 3.00%, 10/15/30    120,000  125,514 
Centene Corp. sr. unsec. notes 4.625%, 12/15/29    560,000  618,800 
Centene Corp. 144A sr. unsec. notes 5.375%, 8/15/26    206,000  216,043 
Centene Escrow I Corp. 144A sr. unsec. notes 5.375%, 6/1/26    184,000  193,200 
CHS/Community Health Systems, Inc. 144A company guaranty sr.       
notes 6.00%, 1/15/29    25,000  26,625 

 

Premier Income Trust 43 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Health care cont.     
CHS/Community Health Systems, Inc. 144A company guaranty sr.     
notes 5.625%, 3/15/27  $100,000  $105,000 
CHS/Community Health Systems, Inc. 144A company guaranty sr.     
unsec. sub. notes 6.875%, 4/1/28  235,000  213,897 
Elanco Animal Health, Inc. sr. unsec. notes Ser. WI, 5.90%, 8/28/28  290,000  346,405 
Emergent BioSolutions, Inc. 144A company guaranty sr. unsec.     
notes 3.875%, 8/15/28  75,000  76,991 
Global Medical Response, Inc. 144A sr. notes 6.50%, 10/1/25  125,000  129,156 
HCA, Inc. company guaranty sr. bonds 5.25%, 6/15/26  256,000  302,327 
HCA, Inc. company guaranty sr. notes 4.125%, 6/15/29  155,000  178,488 
HCA, Inc. company guaranty sr. unsec. notes 5.375%, 9/1/26  540,000  612,771 
HCA, Inc. company guaranty sr. unsec. notes 3.50%, 9/1/30  125,000  129,584 
Jaguar Holding Co. II/PPD Development LP 144A company     
guaranty sr. unsec. notes 5.00%, 6/15/28  80,000  85,000 
Jaguar Holding Co. II/PPD Development LP 144A company     
guaranty sr. unsec. notes 4.625%, 6/15/25  50,000  52,438 
Service Corp. International sr. unsec. bonds 5.125%, 6/1/29  350,000  385,214 
Service Corp. International sr. unsec. notes 3.375%, 8/15/30  95,000  96,425 
Tenet Healthcare Corp. company guaranty sr. notes     
4.625%, 7/15/24  660,000  672,342 
Tenet Healthcare Corp. 144A company guaranty notes     
6.25%, 2/1/27  63,000  66,365 
Tenet Healthcare Corp. 144A company guaranty sr. notes     
7.50%, 4/1/25  65,000  70,230 
Tenet Healthcare Corp. 144A company guaranty sr. notes     
5.125%, 11/1/27  525,000  553,875 
Tenet Healthcare Corp. 144A company guaranty sr. notes     
4.875%, 1/1/26  755,000  787,563 
Teva Pharmaceutical Finance Netherlands III BV company     
guaranty sr. unsec. notes 6.75%, 3/1/28 (Israel)  385,000  430,757 
Teva Pharmaceutical Finance Netherlands III BV company     
guaranty sr. unsec. notes 6.00%, 4/15/24 (Israel)  250,000  263,288 
    8,840,937 
Technology (0.9%)     
CommScope Finance, LLC 144A sr. notes 6.00%, 3/1/26  40,000  42,350 
CommScope Finance, LLC 144A sr. notes 5.50%, 3/1/24  230,000  236,325 
Crowdstrike Holdings, Inc. company guaranty sr. unsec. notes     
3.00%, 2/15/29  125,000  126,484 
Dell International, LLC/EMC Corp. 144A company guaranty sr.     
notes 5.85%, 7/15/25  85,000  100,905 
Diamond 1 Finance Corp./Diamond 2 Finance Corp. 144A     
company guaranty sr. notes 6.02%, 6/15/26  583,000  703,001 
Diamond 1 Finance Corp./Diamond 2 Finance Corp. 144A     
company guaranty sr. unsec. notes 7.125%, 6/15/24  333,000  346,403 
Diebold Nixdorf, Inc. company guaranty sr. unsec. sub. notes     
8.50%, 4/15/24  235,000  239,700 
Diebold Nixdorf, Inc. 144A company guaranty sr. notes     
9.375%, 7/15/25  119,000  131,644 
Dun & Bradstreet Corp. (The) 144A sr. notes 6.875%, 8/15/26  75,000  80,250 
Microchip Technology, Inc. 144A company guaranty sr. unsec.     
notes 4.25%, 9/1/25  492,000  515,226 

 

44 Premier Income Trust 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Technology cont.     
Plantronics, Inc. 144A company guaranty sr. unsec. notes     
5.50%, 5/31/23  $628,000  $630,355 
Qorvo, Inc. 144A company guaranty sr. unsec. bonds     
3.375%, 4/1/31  125,000  127,813 
SS&C Technologies, Inc. 144A company guaranty sr. unsec. notes     
5.50%, 9/30/27  449,000  475,379 
Tempo Acquisition, LLC/Tempo Acquisition Finance Corp. 144A     
company guaranty sr. notes 5.75%, 6/1/25  105,000  112,056 
TTM Technologies, Inc. 144A company guaranty sr. unsec. notes     
5.625%, 10/1/25  436,000  444,720 
Western Digital Corp. company guaranty sr. unsec. notes     
4.75%, 2/15/26  94,000  104,223 
    4,416,834 
Transportation (0.1%)     
Delta Air Lines Inc/SkyMiles IP, Ltd. 144A company guaranty sr.     
notes 4.75%, 10/20/28  375,000  414,883 
    414,883 
Utilities and power (1.0%)     
AES Corp. (The) 144A sr. unsec. notes 3.30%, 7/15/25  85,000  92,414 
Buckeye Partners LP sr. unsec. bonds 5.85%, 11/15/43  122,000  121,695 
Buckeye Partners LP sr. unsec. notes 3.95%, 12/1/26  67,000  67,488 
Buckeye Partners LP 144A sr. unsec. notes 4.50%, 3/1/28  100,000  103,292 
Calpine Corp. 144A company guaranty sr. notes 5.25%, 6/1/26  126,000  130,095 
Calpine Corp. 144A company guaranty sr. notes 4.50%, 2/15/28  380,000  390,925 
Calpine Corp. 144A sr. unsec. notes 4.625%, 2/1/29  25,000  25,250 
Colorado Interstate Gas Co., LLC company guaranty sr. unsec.     
notes 6.85%, 6/15/37  615,000  786,266 
NRG Energy, Inc. company guaranty sr. unsec. notes     
7.25%, 5/15/26  206,000  216,043 
NRG Energy, Inc. company guaranty sr. unsec. notes     
6.625%, 1/15/27  62,000  65,139 
NRG Energy, Inc. company guaranty sr. unsec. notes     
5.75%, 1/15/28  125,000  135,903 
NRG Energy, Inc. 144A company guaranty sr. bonds 4.45%, 6/15/29  325,000  369,294 
NRG Energy, Inc. 144A company guaranty sr. notes 3.75%, 6/15/24  385,000  418,828 
NRG Energy, Inc. 144A sr. unsec. bonds 5.25%, 6/15/29  109,000  119,900 
Pacific Gas and Electric Co. bonds 2.50%, 2/1/31  400,000  397,441 
Pacific Gas and Electric Co. company guaranty sr. unsec. unsub.     
notes 2.95%, 3/1/26  240,000  253,947 
Pacific Gas and Electric Co. sr. notes 3.30%, 3/15/27  65,000  69,623 
PG&E Corp. sr. sub. notes 5.00%, 7/1/28  235,000  253,559 
Texas Competitive Electric Holdings Co., LLC/TCEH Finance, Inc.     
escrow company guaranty sr. notes 11.50%, 10/1/21 F   205,000  205 
Vistra Operations Co., LLC 144A company guaranty sr. notes     
4.30%, 7/15/29  115,000  131,182 
Vistra Operations Co., LLC 144A company guaranty sr. notes     
3.55%, 7/15/24  65,000  70,382 
Vistra Operations Co., LLC 144A company guaranty sr. unsec. notes     
5.625%, 2/15/27  152,000  160,944 

 

Premier Income Trust 45 

 


 

  Principal   
CORPORATE BONDS AND NOTES (22.5%)* cont.  amount  Value 
Utilities and power cont.     
Vistra Operations Co., LLC 144A company guaranty sr. unsec. notes     
5.50%, 9/1/26  $369,000  $384,343 
Vistra Operations Co., LLC 144A company guaranty sr. unsec. sub.     
notes 5.00%, 7/31/27  165,000  174,290 
    4,938,448 
Total corporate bonds and notes (cost $109,875,758)    $113,912,019 

 

FOREIGN GOVERNMENT AND AGENCY  Principal   
BONDS AND NOTES (13.6%)*  amount  Value 
Argentina (Republic of) 144A sr. unsec. notes 7.125%,     
2/1/29 (Argentina)  $2,407,903  $1,541,058 
Bahrain (Kingdom of) 144A sr. unsec. notes 7.375%,     
5/14/30 (Bahrain)  2,130,000  2,465,445 
Buenos Aires (Province of) sr. unsec. unsub. bonds Ser. REGS,     
7.875%, 6/15/27 (Argentina) (In default)   900,000  329,277 
Buenos Aires (Province of) sr. unsec. unsub. notes Ser. REGS,     
6.50%, 2/15/23 (Argentina) (In default)   700,000  256,660 
Buenos Aires (Province of) 144A sr. unsec. unsub. bonds 7.875%,     
6/15/27 (Argentina) (In default)   1,990,000  728,067 
Buenos Aires (Province of) 144A sr. unsec. unsub. notes 10.875%,     
1/26/22 (Argentina) (In default)   33,333  13,858 
Buenos Aires (Province of) 144A sr. unsec. unsub. notes 9.125%,     
3/16/24 (Argentina) (In default)   2,618,000  960,239 
Chile (Republic of) sr. unsec. unsub. bonds 3.50%, 1/25/50 (Chile)  740,000  812,446 
Cordoba (Province of) sr. unsec. unsub. notes Ser. REGS, 7.45%,     
6/1/27 (Argentina)  2,664,000  1,782,216 
Cordoba (Province of) 144A sr. unsec. unsub. notes 7.125%,     
12/10/25 (Argentina)  1,029,088  761,525 
Dominican (Republic of) sr. unsec. unsub. bonds Ser. REGS,     
5.875%, 1/30/60 (Dominican Republic)  1,325,000  1,387,275 
Dominican (Republic of) sr. unsec. unsub. notes 7.50%, 5/6/21     
(Dominican Republic)  58,333  58,917 
Dominican (Republic of) sr. unsec. unsub. notes Ser. REGS, 6.875%,     
1/29/26 (Dominican Republic)  1,405,000  1,657,900 
Dominican (Republic of) sr. unsec. unsub. notes Ser. REGS, 6.00%,     
7/19/28 (Dominican Republic)  1,350,000  1,568,025 
Dominican (Republic of) 144A sr. unsec. notes 4.50%, 1/30/30     
(Dominican Republic)  230,000  240,465 
Dominican (Republic of) 144A sr. unsec. unsub. bonds 5.50%,     
1/27/25 (Dominican Republic)  1,650,000  1,835,625 
Egypt (Arab Republic of) sr. unsec. bonds Ser. REGS, 7.053%,     
1/15/32 (Egypt)  1,490,000  1,588,653 
Egypt (Arab Republic of) sr. unsec. notes Ser. REGS, 7.60%,     
3/1/29 (Egypt)  368,000  413,998 
Egypt (Arab Republic of) sr. unsec. unsub. notes Ser. REGS, 5.875%,     
6/11/25 (Egypt)  880,000  953,682 
Egypt (Arab Republic of) 144A sr. unsec. bonds 8.875%,     
5/29/50 (Egypt)  920,000  1,040,778 
Egypt (Arab Republic of) 144A sr. unsec. bonds 7.053%,     
1/15/32 (Egypt)  1,030,000  1,099,525 

 

46 Premier Income Trust 

 


 

FOREIGN GOVERNMENT AND AGENCY    Principal   
BONDS AND NOTES (13.6%)* cont.    amount  Value 
Egypt (Arab Republic of) 144A sr. unsec. notes 5.75%,       
5/29/24 (Egypt)    $780,000  $839,530 
El Salvador (Republic of) sr. unsec. unsub. bonds Ser. REGS,       
7.625%, 2/1/41 (El Salvador)    475,000  457,188 
El Salvador (Republic of) sr. unsec. unsub. notes Ser. REGS, 6.375%,       
1/18/27 (El Salvador)    321,000  312,173 
El Salvador (Republic of) sr. unsec. unsub. notes Ser. REGS, 5.875%,       
1/30/25 (El Salvador)    700,000  679,000 
Ghana (Republic of) sr. unsec. bonds Ser. REGS, 8.95%,       
3/26/51 (Ghana)    1,890,000  1,925,438 
Ghana (Republic of) sr. unsec. bonds Ser. REGS, 8.125%,       
3/26/32 (Ghana)    2,110,000  2,197,038 
Indonesia (Republic of) sr. unsec. unsub. notes Ser. REGS, 4.75%,       
1/8/26 (Indonesia)    2,370,000  2,752,186 
Indonesia (Republic of) sr. unsec. unsub. notes Ser. REGS, 4.125%,       
1/15/25 (Indonesia)    760,000  846,437 
Indonesia (Republic of) 144A sr. unsec. notes 4.75%,       
1/8/26 (Indonesia)    300,000  348,380 
Indonesia (Republic of) 144A sr. unsec. unsub. bonds 6.625%,       
2/17/37 (Indonesia)    640,000  909,645 
Indonesia (Republic of) 144A sr. unsec. unsub. notes 4.35%,       
1/8/27 (Indonesia)    1,265,000  1,461,074 
Indonesia (Republic of) 144A sr. unsec. unsub. notes 3.375%,       
4/15/23 (Indonesia)    1,355,000  1,432,919 
Ivory Coast (Republic of) sr. unsec. unsub. bonds Ser. REGS,       
6.125%, 6/15/33 (Ivory Coast)    4,755,000  5,230,500 
Ivory Coast (Republic of) sr. unsec. unsub. bonds Ser. REGS, 5.75%,       
12/31/32 (Ivory Coast)    1,456,306  1,472,690 
Ivory Coast (Republic of) sr. unsec. unsub. notes Ser. REGS, 6.375%,       
3/3/28 (Ivory Coast)    630,000  705,581 
Ivory Coast (Republic of) sr. unsec. unsub. notes Ser. REGS, 5.375%,       
7/23/24 (Ivory Coast)    300,000  322,125 
Ivory Coast (Republic of) sr. unsec. unsub. notes Ser. REGS, 4.75%,       
3/13/28 (Senegal)  EUR  140,000  180,019 
Ivory Coast (Republic of) 144A sr. unsec. unsub. bonds 5.25%,       
3/22/30 (Ivory Coast)  EUR  760,000  980,873 
Jamaica (Government of) sr. unsec. unsub. bonds 8.00%,       
3/15/39 (Jamaica)    $127,000  180,785 
Kenya (Republic of) sr. unsec. bonds Ser. REGS, 8.00%,       
5/22/32 (Kenya)    2,150,000  2,469,787 
Kenya (Republic of) sr. unsec. notes Ser. REGS, 7.00%,       
5/22/27 (Kenya)    1,000,000  1,120,924 
Kenya (Republic of) sr. unsec. unsub. notes Ser. REGS, 6.875%,       
6/24/24 (Kenya)    760,000  838,850 
Mongolia (Government of) sr. unsec. notes Ser. REGS, 5.125%,       
4/7/26 (Mongolia)    670,000  716,067 
Mongolia International Bond sr. unsec. unsub. notes Ser. REGS,       
5.125%, 12/5/22 (Mongolia)    690,000  712,428 
Oman (Sultanate of) sr. unsec. notes Ser. REGS, 6.00%,       
8/1/29 (Oman)    817,000  850,669 
Senegal (Republic of) sr. unsec. unsub. bonds Ser. REGS, 6.75%,       
3/13/48 (Senegal)    3,900,000  4,158,375 

 

Premier Income Trust 47 

 


 

FOREIGN GOVERNMENT AND AGENCY    Principal   
BONDS AND NOTES (13.6%)* cont.    amount  Value 
Senegal (Republic of) unsec. bonds Ser. REGS, 6.25%,       
5/23/33 (Senegal)    $3,605,000  $3,951,981 
South Africa (Republic of) sr. unsec. unsub. bonds 6.30%, 6/22/48     
(South Africa)    230,000  235,510 
South Africa (Republic of) sr. unsec. unsub. notes 5.875%, 9/16/25     
(South Africa)    830,000  936,170 
South Africa (Republic of) sr. unsec. unsub. notes 4.85%, 9/27/27     
(South Africa)    805,000  854,287 
Turkey (Republic of) sr. unsec. unsub. notes 6.35%,       
8/10/24 (Turkey)    940,000  1,009,325 
Turkey (Republic of) unsec. notes 10.60%, 2/11/26 (Turkey)  TRY  12,297,000  1,539,400 
United Mexican States sr. unsec. bonds 2.659%, 5/24/31 (Mexico)  $2,230,000  2,217,824 
Venezuela (Bolivarian Republic of) sr. unsec. bonds 7.00%,       
3/31/38 (Venezuela)    650,000  59,800 
Venezuela (Republic of) sr. unsec. notes 9.00%, 5/7/23 (Venezuela)     
(In default)     1,652,000  156,940 
Venezuela (Republic of) sr. unsec. notes 7.65%, 4/21/25       
(Venezuela) (In default)     439,000  41,705 
Venezuela (Republic of) sr. unsec. unsub. notes 8.25%, 10/13/24       
(Venezuela) (In default)     2,674,000  254,030 
Vietnam (Socialist Republic of) sr. unsec. notes Ser. REGS, 4.80%,     
11/19/24 (Vietnam)    1,720,000  1,935,000 
Total foreign government and agency bonds and notes (cost $70,664,884)    $68,788,287 

 

  Principal   
CONVERTIBLE BONDS AND NOTES (8.0%)*  amount  Value 
Capital goods (0.2%)     
Fortive Corp. cv. company guaranty sr. unsec. notes     
0.875%, 2/15/22  $423,000  $428,276 
Middleby Corp. (The) 144A cv. sr. unsec. unsub. notes 1.00%, 9/1/25  366,000  460,474 
    888,750 
Communication services (0.5%)     
DISH Network Corp. cv. sr. unsec. notes 3.375%, 8/15/26  805,000  742,285 
Liberty Broadband Corp. 144A cv. sr. unsec. bonds 1.25%, 9/30/50  502,000  500,494 
Liberty Media Corp. cv. sr. unsec. bonds 1.375%, 10/15/23  84,000  102,799 
Liberty Media Corp. cv. sr. unsec. unsub. bonds 0.50%, 12/1/50  175,000  179,568 
Liberty Media Corp. 144A cv. sr. unsec. unsub. bonds     
2.75%, 12/1/49  415,000  432,430 
Vonage Holdings Corp. cv. sr. unsec. notes 1.75%, 6/1/24  390,000  414,753 
    2,372,329 
Consumer cyclicals (1.5%)     
Alarm.com Holdings, Inc. 144A cv. sr. unsec. notes zero %, 1/15/26  245,000  243,166 
Booking Holdings, Inc. 144A cv. sr. unsec. notes 0.75%, 5/1/25  570,000  774,833 
Burlington Stores, Inc. 144A cv. sr. unsec. notes 2.25%, 4/15/25  410,000  548,690 
Callaway Golf Co. 144A cv. sr. unsec. notes 2.75%, 5/1/26  142,000  253,868 
Carnival Corp. 144A cv. company guaranty notes 5.75%, 4/1/23  140,000  294,210 
Cinemark Holdings, Inc. 144A cv. sr. unsec. notes 4.50%, 8/15/25  239,000  389,589 
Dick’s Sporting Goods, Inc. 144A cv. sr. unsec. notes 3.25%, 4/15/25  138,000  283,085 
FTI Consulting, Inc. cv. sr. unsec. notes 2.00%, 8/15/23  288,000  357,552 
Horizon Global Corp. cv. sr. unsec. unsub. notes 2.75%, 7/1/22  47,000  42,746 
Liberty Media Corp. cv. sr. unsec. notes 1.00%, 1/30/23  221,000  267,514 

 

48 Premier Income Trust 

 


 

  Principal   
CONVERTIBLE BONDS AND NOTES (8.0%)* cont.  amount  Value 
Consumer cyclicals cont.     
Live Nation Entertainment, Inc. cv. sr. unsec. notes 2.50%, 3/15/23  $423,000  $512,942 
National Vision Holdings, Inc. 144A cv. sr. unsec. notes     
2.50%, 5/15/25  240,000  394,920 
NCL Corp, Ltd. 144A cv. company guaranty notes 5.375%, 8/1/25  338,000  523,136 
Penn National Gaming, Inc. cv. sr. unsec. notes 2.75%, 5/15/26  35,000  157,509 
RH 144A cv. sr. unsec. notes zero %, 9/15/24  85,000  194,894 
Royal Caribbean Cruises, Ltd. 144A cv. sr. unsec. notes     
2.875%, 11/15/23  691,000  781,171 
Sabre GLBL, Inc. 144A cv. company guaranty sr. unsec. notes     
4.00%, 4/15/25  120,000  198,359 
Shift4 Payments, Inc. 144A cv. sr. unsec. sub. notes     
zero %, 12/15/25  241,000  275,775 
Square, Inc. 144A cv. sr. unsec. notes 0.125%, 3/1/25  102,000  192,381 
Square, Inc. 144A cv. sr. unsec. sub. notes 0.25%, 11/1/27  100,000  112,829 
Square, Inc. 144A cv. sr. unsec. sub. notes zero %, 5/1/26  100,000  112,007 
Under Armour, Inc. 144A cv. sr. unsec. notes 1.50%, 6/1/24  175,000  290,686 
Vail Resorts, Inc. 144A cv. sr. unsec. sub. notes zero %, 1/1/26  307,000  309,303 
Winnebago Industries, Inc. cv. sr. unsec. notes 1.50%, 4/1/25  183,000  238,792 
    7,749,957 
Consumer staples (0.6%)     
Bloomin’ Brands, Inc. 144A cv. sr. unsec. notes 5.00%, 5/1/25  100,000  196,500 
Chegg, Inc. 144A cv. sr. unsec. notes zero %, 9/1/26  247,000  286,150 
Etsy, Inc. 144A cv. sr. unsec. notes 0.125%, 9/1/27  239,000  317,040 
IAC Financeco 2, Inc. 144A cv. company guaranty sr. unsec. notes     
0.875%, 6/15/26  432,000  742,125 
Lyft, Inc. 144A cv. sr. unsec. notes 1.50%, 5/15/25  303,000  418,230 
Uber Technologies, Inc. 144A cv. sr. unsec. notes zero %, 12/15/25  202,000  210,550 
Wayfair, Inc. 144A cv. sr. unsec. notes 0.625%, 10/1/25  419,000  426,970 
Zillow Group, Inc. cv. sr. unsec. notes 2.75%, 5/15/25  124,000  259,470 
Zillow Group, Inc. cv. sr. unsec. sub. notes 1.375%, 9/1/26  97,000  293,367 
    3,150,402 
Energy (0.3%)     
Pioneer Natural Resources Co. 144A cv. sr. unsec. notes     
0.25%, 5/15/25  556,000  766,787 
SolarEdge Technologies, Inc. 144A cv. sr. unsec. notes zero %,     
9/15/25 (Israel)  160,000  212,320 
Sunrun, Inc. 144A cv. sr. unsec. notes zero %, 2/1/26  199,000  201,659 
Transocean, Inc. cv. company guaranty sr. unsec. sub. notes     
0.50%, 1/30/23  215,000  135,450 
    1,316,216 
Financials (0.3%)     
Blackstone Mortgage Trust, Inc. cv. sr. unsec. notes     
4.75%, 3/15/23 R   238,000  238,698 
Encore Capital Group, Inc. cv. company guaranty sr. unsec. unsub.     
notes 3.25%, 3/15/22  183,000  183,092 
IH Merger Sub, LLC cv. company guaranty sr. unsec. notes     
3.50%, 1/15/22 R   212,000  281,061 
JPMorgan Chase Financial Co., LLC cv. company guaranty sr.     
unsec. notes 0.25%, 5/1/23  240,000  255,600 

 

Premier Income Trust 49 

 


 

  Principal   
CONVERTIBLE BONDS AND NOTES (8.0%)* cont.  amount  Value 
Financials cont.     
LendingTree, Inc. 144A cv. sr. unsec. notes 0.50%, 7/15/25  $215,000  $221,098 
Redfin Corp. 144A cv. sr. unsec. notes zero %, 10/15/25  300,000  367,433 
    1,546,982 
Health care (1.2%)     
1Life Healthcare, Inc. 144A cv. sr. unsec. notes 3.00%, 6/15/25  271,000  379,075 
BioMarin Pharmaceutical, Inc. 144A cv. sr. unsec. sub. notes     
1.25%, 5/15/27  349,000  364,770 
CONMED Corp. cv. sr. unsec. notes 2.625%, 2/1/24  206,000  288,602 
DexCom, Inc. 144A cv. sr. unsec. unsub. notes 0.25%, 11/15/25  312,000  317,335 
Envista Holdings Corp. 144A cv. sr. unsec. notes 2.375%, 6/1/25  119,000  219,194 
Exact Sciences Corp. cv. sr. unsec. notes 0.375%, 3/15/27  694,000  993,157 
Guardant Health, Inc. 144A cv. sr. unsec. sub. notes     
zero %, 11/15/27  297,000  395,241 
Insulet Corp. cv. sr. unsec. notes 0.375%, 9/1/26  260,000  357,097 
Integra LifeSciences Holdings Corp. 144A cv. sr. unsec. notes     
0.50%, 8/15/25  253,000  283,768 
Ironwood Pharmaceuticals, Inc. cv. sr. unsec. notes 1.50%, 6/15/26  171,000  182,855 
Ironwood Pharmaceuticals, Inc. cv. sr. unsec. notes 0.75%, 6/15/24  170,000  187,037 
Jazz Investments I, Ltd. cv. company guaranty sr. unsec. sub. notes     
1.50%, 8/15/24 (Ireland)  336,000  355,046 
NeoGenomics, Inc. cv. sr. unsec. notes 0.25%, 1/15/28  255,000  273,829 
Neurocrine Biosciences, Inc. cv. sr. unsec. notes 2.25%, 5/15/24  92,000  137,554 
Nevro Corp. cv. sr. unsec. unsub. notes 1.75%, 6/1/21  112,000  189,736 
Novocure, Ltd. 144A cv. sr. unsec. notes zero %, 11/1/25 (Jersey)  146,000  180,724 
Omnicell, Inc. 144A cv. sr. unsec. notes 0.25%, 9/15/25  160,000  214,400 
Pacira Pharmaceuticals, Inc. 144A cv. sr. unsec. notes     
0.75%, 8/1/25  300,000  357,012 
Revance Therapeutics, Inc. 144A cv. sr. unsec. notes 1.75%, 2/15/27  162,000  172,892 
Tandem Diabetes Care, Inc. 144A cv. sr. unsec. notes 1.50%, 5/1/25  142,000  163,340 
Teladoc Health, Inc. 144A cv. sr. unsec. sub. notes 1.25%, 6/1/27  130,000  183,463 
    6,196,127 
Technology (2.8%)     
Akamai Technologies, Inc. cv. sr. unsec. notes 0.375%, 9/1/27  693,000  795,470 
Akamai Technologies, Inc. cv. sr. unsec. notes 0.125%, 5/1/25  245,000  316,156 
Bentley Systems, Inc. 144A cv. sr. unsec. notes 0.125%, 1/15/26  192,000  192,341 
Blackline, Inc. cv. sr. unsec. notes 0.125%, 8/1/24  119,000  217,635 
Box, Inc. 144A cv. sr. unsec. notes zero %, 1/15/26  245,000  246,225 
Cloudflare, Inc. 144A cv. sr. unsec. notes 0.75%, 5/15/25  71,000  153,067 
Coupa Software, Inc. 144A cv. sr. unsec. notes 0.375%, 6/15/26  127,000  163,934 
Cree, Inc. 144A cv. sr. unsec. unsub. notes 1.75%, 5/1/26  66,000  148,197 
CyberArk Software, Ltd. cv. sr. unsec. notes zero %, 11/15/24 (Israel)  199,000  242,541 
DocuSign, Inc. 144A cv. sr. unsec. notes zero %, 1/15/24  408,000  426,615 
Envestnet, Inc. 144A cv. company guaranty sr. unsec. notes     
0.75%, 8/15/25  451,000  458,068 
Five9, Inc. 144A cv. sr. unsec. notes 0.50%, 6/1/25  190,000  267,224 
Guidewire Software, Inc. cv. sr. unsec. sub. notes 1.25%, 3/15/25  236,000  286,092 
HubSpot, Inc. 144A cv. sr. unsec. notes 0.375%, 6/1/25  145,000  215,669 
Inphi Corp. 144A cv. sr. unsec. notes 0.75%, 4/15/25  223,000  323,185 
j2 Global, Inc. 144A cv. sr. unsec. notes 1.75%, 11/1/26  204,000  218,552 

 

50 Premier Income Trust 

 


 

  Principal   
CONVERTIBLE BONDS AND NOTES (8.0%)* cont.  amount  Value 
Technology cont.     
LivePerson, Inc. 144A cv. sr. unsec. notes zero %, 12/15/26  $281,000  $313,075 
Lumentum Holdings, Inc. cv. sr. unsec. notes 0.50%, 12/15/26  612,000  751,344 
Microchip Technology, Inc. cv. sr. unsec. sub. notes     
1.625%, 2/15/27  116,000  232,725 
MicroStrategy, Inc. 144A cv. sr. unsec. notes 0.75%, 12/15/25  148,000  265,230 
New Relic, Inc. cv. sr. unsec. notes 0.50%, 5/1/23  207,000  211,706 
Nuance Communications, Inc. cv. sr. unsec. notes 1.25%, 4/1/25  65,000  152,997 
Okta, Inc. 144A cv. sr. unsec. notes 0.375%, 6/15/26  336,000  437,794 
ON Semiconductor Corp. cv. company guaranty sr. unsec. unsub.     
notes 1.625%, 10/15/23  194,000  345,078 
Palo Alto Networks, Inc. 144A cv. sr. unsec. notes 0.375%, 6/1/25  1,294,000  1,706,963 
Pegasystems, Inc. 144A cv. sr. unsec. notes 0.75%, 3/1/25  159,000  184,937 
Proofpoint, Inc. cv. sr. unsec. notes 0.25%, 8/15/24  308,000  336,128 
Q2 Holdings, Inc. cv. sr. unsec. unsub. notes 0.75%, 6/1/26  131,000  202,078 
Rapid7, Inc. 144A cv. sr. unsec. notes 2.25%, 5/1/25  139,000  220,398 
RingCentral, Inc. 144A cv. sr. unsec. notes zero %, 3/1/25  369,000  462,608 
SailPoint Technologies Holding, Inc. cv. sr. unsec. notes     
0.125%, 9/15/24  48,000  96,400 
Silicon Laboratories, Inc. 144A cv. sr. unsec. notes 0.625%, 6/15/25  168,000  216,995 
Snap, Inc. cv. sr. unsec. sub. notes 0.75%, 8/1/26  68,000  162,660 
Splunk, Inc. 144A cv. sr. unsec. notes 1.125%, 6/15/27  962,000  1,007,961 
Synaptics, Inc. cv. sr. unsec. notes 0.50%, 6/15/22  142,000  197,511 
Twilio, Inc. cv. sr. unsec. notes 0.25%, 6/1/23  23,000  116,496 
Twitter, Inc. cv. sr. unsec. unsub. bonds 1.00%, 9/15/21  446,000  451,296 
Viavi Solutions, Inc. cv. sr. unsec. unsub. notes 1.00%, 3/1/24  257,000  339,289 
Zendesk, Inc. 144A cv. sr. unsec. notes 0.625%, 6/15/25  439,000  648,249 
Zynga, Inc. 144A cv. sr. unsec. unsub. notes zero %, 12/15/26  517,000  550,605 
    14,281,494 
Transportation (0.5%)     
Air Transport Services Group, Inc. cv. sr. unsec. notes     
1.125%, 10/15/24  173,000  181,366 
American Airlines Group, Inc. cv. company guaranty notes     
6.50%, 7/1/25  514,000  694,265 
Southwest Airlines Co. cv. sr. unsec. notes 1.25%, 5/1/25  1,096,000  1,543,990 
    2,419,621 
Utilities and power (0.1%)     
NextEra Energy Partners LP 144A company guaranty cv. sr. unsec.     
notes zero %, 11/15/25  276,000  316,953 
NRG Energy, Inc. cv. company guaranty sr. unsec. bonds     
2.75%, 6/1/48  287,000  343,683 
    660,636 
Total convertible bonds and notes (cost $34,549,830)    $40,582,514 

 

Premier Income Trust 51 

 


 

PURCHASED SWAP OPTIONS OUTSTANDING (3.1%)*         
Counterparty      Notional/   
Fixed right % to receive or (pay)/  Expiration    contract   
Floating rate index/Maturity date  date/strike    amount  Value 
Bank of America N.A.         
(1.185)/3 month USD-LIBOR-BBA/Dec-25  Dec-23/1.185    $49,147,400  $231,484 
Barclays Bank PLC         
(0.615)/3 month USD-LIBOR-BBA/Apr-26         
(United Kingdom)  Apr-21/0.615    194,076,200  516,243 
Citibank, N.A.         
0.915/3 month USD-LIBOR-BBA/Jul-31  Jul-21/0.915    8,413,300  45,768 
Goldman Sachs International         
2.988/3 month USD-LIBOR-BBA/Feb-39  Feb-29/2.988    7,048,900  789,477 
(2.988)/3 month USD-LIBOR-BBA/Feb-39  Feb-29/2.988    7,048,900  195,466 
1.065/3 month USD-LIBOR-BBA/Apr-31  Apr-21/1.065    16,826,600  103,147 
(2.983)/3 month USD-LIBOR-BBA/May-52  May-22/2.983    12,300,800  84,753 
0.576/3 month USD-LIBOR-BBA/Feb-26  Feb-21/0.576    16,826,600  34,831 
(0.576)/3 month USD-LIBOR-BBA/Feb-26  Feb-21/0.576    16,826,600  9,086 
JPMorgan Chase Bank N.A.         
(0.964)/3 month USD-LIBOR-BBA/Mar-31  Mar-21/0.964    77,978,300  1,644,562 
(1.167)/3 month USD-LIBOR-BBA/Apr-31  Apr-21/1.167    100,534,700  1,084,769 
2.795/3 month USD-LIBOR-BBA/Dec-37  Dec-27/2.795    6,980,300  699,356 
2.7575/3 month USD-LIBOR-BBA/Dec-37  Dec-27/2.7575    6,980,300  683,162 
(2.7575)/3 month USD-LIBOR-BBA/Dec-37  Dec-27/2.7575    6,980,300  211,852 
(2.795)/3 month USD-LIBOR-BBA/Dec-37  Dec-27/2.795    6,980,300  205,151 
1.101/3 month USD-LIBOR-BBA/Mar-31  Mar-21/1.101    19,940,000  91,126 
Morgan Stanley & Co. International PLC         
2.7725/3 month USD-LIBOR-BBA/Feb-31  Feb-21/2.7725    13,275,300  2,089,269 
3.00/3 month USD-LIBOR-BBA/Apr-72  Apr-47/3.00    6,990,700  1,973,545 
3.00/3 month USD-LIBOR-BBA/Feb-73  Feb-48/3.00    6,990,700  1,927,126 
2.75/3 month USD-LIBOR-BBA/May-73  May-48/2.75    6,990,700  1,624,429 
(1.613)/3 month USD-LIBOR-BBA/Aug-34  Aug-24/1.613    8,725,000  447,505 
1.613/3 month USD-LIBOR-BBA/Aug-34  Aug-24/1.613    8,725,000  336,872 
(2.904)/3 month USD-LIBOR-BBA/May-51  May-21/2.904    5,271,800  1,634 
(2.7725)/3 month USD-LIBOR-BBA/Feb-31  Feb-21/2.7725    13,275,300  13 
Toronto-Dominion Bank         
(1.04)/3 month USD-LIBOR-BBA/Mar-55 (Canada)  Mar-25/1.04    1,323,000  309,225 
UBS AG         
0.153/6 month EUR-EURIBOR-Reuters/Sep-29  Sep-24/0.153  EUR  13,220,400  373,495 
(0.153)/6 month EUR-EURIBOR-Reuters/Sep-29  Sep-24/0.153  EUR  13,220,400  166,372 
Total purchased swap options outstanding (cost $11,825,022)      $15,879,718 

 

  Principal   
SENIOR LOANS (3.0%)*c  amount  Value 
Basic materials (0.3%)     
Alpha 3 BV bank term loan FRN Ser. B1, (BBA LIBOR USD 3 Month     
+ 3.00%), 4.00%, 1/31/24  $279,332  $280,030 
Diamond BC BV bank term loan FRN (BBA LIBOR USD 3 Month     
+ 3.00%), 3.121%, 9/6/24  65,682  65,313 
Messer Industries USA, Inc. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 2.50%), 2.754%, 3/1/26  234,978  234,439 
Pisces Midco, Inc. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 3.75%), 3.876%, 4/12/25  108,333  108,225 

 

52 Premier Income Trust 

 


 

  Principal   
SENIOR LOANS (3.0%)*c cont.  amount  Value 
Basic materials cont.     
PQ Corp. bank term loan FRN Ser. B, (1 Month US LIBOR + 2.25%),     
2.462%, 2/7/27  $51,318  $51,226 
Solenis International, LLC bank term loan FRN (BBA LIBOR USD     
3 Month + 8.50%), 8.733%, 6/26/26  185,000  184,383 
Solenis International, LLC bank term loan FRN (BBA LIBOR USD     
3 Month + 4.00%), 4.233%, 6/26/25  314,483  313,347 
Starfruit US Holdco, LLC bank term loan FRN Ser. B, (1 Month     
US LIBOR + 3.00%), 3.129%, 10/1/25  407,810  406,111 
    1,643,074 
Capital goods (0.8%)     
American Axle and Manufacturing, Inc. bank term loan FRN     
(BBA LIBOR USD 3 Month + 2.25%), 3.00%, 4/6/24  64,112  63,727 
Berry Global, Inc. bank term loan FRN Ser. Y, (BBA LIBOR USD     
3 Month + 2.00%), 2.133%, 7/1/26  428,475  427,258 
BWAY Corp. bank term loan FRN Ser. B, (BBA LIBOR USD 3 Month     
+ 3.25%), 3.381%, 4/3/24  782,930  766,945 
Filtration Group Corp. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 3.75%), 4.50%, 3/29/25  149,625  150,217 
Gates Global, LLC bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 2.75%), 3.75%, 3/31/24  138,609  138,494 
GFL Environmental, Inc. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 3.00%), 3.50%, 5/31/25  437,564  438,971 
Reynolds Group Holdings, Inc. bank term loan FRN (BBA LIBOR     
USD 3 Month + 2.75%), 2.871%, 2/5/23  118,450  118,366 
Staples, Inc. bank term loan FRN (BBA LIBOR USD 3 Month     
+ 5.00%), 5.205%, 4/12/26  193,120  188,332 
Titan Acquisition, Ltd. (United Kingdom) bank term loan FRN     
Ser. B, (BBA LIBOR USD 3 Month + 3.00%), 3.267%, 3/28/25  494,016  482,654 
Vertical US Newco, Inc. bank term loan FRN Ser. B, (1 Month     
US LIBOR + 4.25%), 4.538%, 7/31/27  104,738  105,494 
Vertiv Group Corp. bank term loan FRN Ser. B, (1 Month US LIBOR     
+ 3.00%), 3.144%, 3/2/27  913,100  914,241 
    3,794,699 
Communication services (0.3%)     
Altice US Finance I Corp. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 2.25%), 2.377%, 1/15/26  398,894  396,526 
Asurion, LLC bank term loan FRN Ser. B7, (BBA LIBOR USD 3 Month     
+ 3.00%), 3.121%, 11/3/24  339,153  337,518 
Intelsat Jackson Holdings SA bank term loan FRN Ser. B3,     
(BBA LIBOR USD 3 Month + 3.75%), 8.00%, 11/27/23  615,000  622,380 
Zayo Group Holdings, Inc. bank term loan FRN (1 Month US LIBOR     
+ 3.00%), 3.121%, 3/9/27  124,711  124,144 
    1,480,568 
Consumer cyclicals (0.8%)     
AppleCaramel Buyer, LLC bank term loan FRN (BBA LIBOR USD     
3 Month + 4.00%), 4.50%, 10/19/27  205,000  205,513 
Clear Channel Outdoor Holdings, Inc. bank term loan FRN Ser. B,     
(BBA LIBOR USD 3 Month + 3.50%), 3.711%, 8/21/26  187,625  182,348 
CPG International, Inc. bank term loan FRN (BBA LIBOR USD     
3 Month + 3.75%), 4.75%, 5/5/24  219,490  219,535 

 

Premier Income Trust 53 

 


 

  Principal   
SENIOR LOANS (3.0%)*c cont.  amount  Value 
Consumer cyclicals cont.     
Diamond Sports Group, LLC bank term loan FRN Ser. B,     
(BBA LIBOR USD 3 Month + 3.25%), 3.38%, 8/24/26  $212,313  $180,820 
Garda World Security Corp. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 4.75%), 4.99%, 10/30/26  182,072  182,072 
Golden Nugget, LLC bank term loan FRN Ser. B, (1 Month US LIBOR     
+ 2.50%), 3.25%, 10/4/23  191,111  187,050 
Gray Television, Inc. bank term loan FRN Ser. C, (BBA LIBOR USD     
3 Month + 2.50%), 2.623%, 11/2/25  179,322  179,023 
iHeartCommunications, Inc. bank term loan FRN (BBA LIBOR USD     
3 Month + 4.00%), 4.75%, 5/1/26  179,100  179,025 
iHeartCommunications, Inc. bank term loan FRN Ser. B,     
(BBA LIBOR USD 3 Month + 3.00%), 3.121%, 5/1/26  108,900  107,675 
Navistar, Inc. bank term loan FRN Ser. B, (BBA LIBOR USD 3 Month     
+ 3.50%), 3.63%, 11/6/24  767,507  764,629 
Nexstar Broadcasting, Inc. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 2.75%), 2.873%, 9/19/26  276,079  276,294 
PetSmart, Inc. bank term loan FRN Ser. B, (BBA LIBOR USD 3 Month     
+ 3.50%), 4.50%, 3/11/22  200,000  199,708 
Robertshaw Holdings Corp. bank term loan FRN (BBA LIBOR USD     
3 Month + 8.00%), 9.00%, 2/28/26  220,000  184,800 
Robertshaw Holdings Corp. bank term loan FRN (BBA LIBOR USD     
3 Month + 3.50%), 4.50%, 2/28/25  357,957  342,744 
Scientific Games International, Inc. bank term loan FRN Ser. B5,     
(BBA LIBOR USD 3 Month + 2.75%), 2.871%, 8/14/24  137,873  135,741 
Terrier Media Buyer, Inc. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 4.25%), 4.371%, 12/17/26  214,830  214,740 
Terrier Media Buyer, Inc. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 4.25%), 4.371%, 12/17/26  54,725  54,702 
Werner Finco LP bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 4.00%), 5.00%, 7/24/24  238,442  236,654 
    4,033,073 
Consumer staples (0.3%)     
Ascend Learning, LLC bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 3.00%), 4.00%, 7/12/24  602,721  602,269 
Brand Industrial Services, Inc. bank term loan FRN (BBA LIBOR     
USD 3 Month + 4.25%), 5.25%, 6/21/24  583,562  576,633 
IRB Holding Corp. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 3.25%), 4.25%, 11/19/27  90,000  90,375 
IRB Holding Corp. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 2.75%), 3.75%, 2/5/25  221,023  220,643 
    1,489,920 
Financials (—%)     
HUB International, Ltd. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 4.00%), 5.00%, 4/25/25  99,000  99,281 
    99,281 
Health care (0.3%)     
Elanco Animal Health, Inc. bank term loan FRN Ser. B, (BBA LIBOR     
USD 3 Month + 1.75%), 1.873%, 2/4/27  141,246  140,834 
Enterprise Merger Sub, Inc. bank term loan FRN (BBA LIBOR USD     
3 Month + 3.75%), 3.871%, 10/10/25  229,415  195,806 

 

54 Premier Income Trust 

 


 

  Principal   
SENIOR LOANS (3.0%)*c cont.  amount  Value 
Health care cont.     
Global Medical Response, Inc. bank term loan FRN (BBA LIBOR     
USD 3 Month + 4.75%), 5.75%, 10/2/25  $520,000  $519,610 
Ortho-Clinical Diagnostics, Inc. bank term loan FRN Ser. B,     
(BBA LIBOR USD 3 Month + 3.25%), 3.394%, 6/30/25  479,079  477,582 
Quorum Health Corp. bank term loan FRN (BBA LIBOR USD     
3 Month + 8.25%), 9.25%, 4/29/25  234,793  236,553 
    1,570,385 
Technology (0.2%)     
Epicor Software Corp. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 4.25%), 5.25%, 7/30/27  204,488  205,254 
Greeneden US Holdings II, LLC bank term loan FRN (BBA LIBOR     
USD 3 Month + 4.00%), 4.75%, 10/8/27  200,000  200,600 
Plantronics, Inc. bank term loan FRN Ser. B, (BBA LIBOR USD     
3 Month + 2.50%), 2.621%, 7/2/25  371,893  366,593 
Rackspace Hosting, Inc. bank term loan FRN (BBA LIBOR USD     
3 Month + 3.00%), 4.00%, 11/3/23  137,512  137,474 
    909,921 
Transportation (—%)     
Genesee & Wyoming, Inc. bank term loan FRN (BBA LIBOR USD     
3 Month + 2.00%), 2.254%, 11/5/26  148,875  148,742 
    148,742 
Total senior loans (cost $15,157,360)    $15,169,663 

 

  Principal   
ASSET-BACKED SECURITIES (1.0%)*  amount  Value 
1Sharpe Mortgage Trust 144A FRB Ser. 20-1, Class NOTE,     
(BBA LIBOR USD 3 Month + 2.90%), 3.118%, 7/25/24  $1,314,000  $1,318,599 
CarMax Auto Owner Trust Ser. 20-2, Class D, 6.87%, 5/17/27  1,674,000  1,770,406 
Cascade Funding Mortgage Trust, LLC 144A Ser. 20-HB4, Class M4,     
4.948%, 12/26/30 W   595,000  595,000 
Mello Warehouse Securitization Trust 144A FRB Ser. 19-1, Class A,     
(1 Month US LIBOR + 0.80%), 0.93%, 6/25/52  366,000  365,771 
Nationstar HECM Loan Trust 144A Ser. 19-2A, Class M4,     
5.682%, 11/25/29 W   1,195,000  1,192,838 
Total asset-backed securities (cost $5,143,963)    $5,242,614 

 

PREFERRED STOCKS (0.1%)*  Shares  Value 
GMAC Capital Trust I Ser. 2, $1.91 cum. ARP  16,265  $431,348 
Total preferred stocks (cost $412,195)    $431,348 

 

PURCHASED OPTIONS         
OUTSTANDING (0.1%)*  Expiration date/  Notional  Contract   
Counterparty  strike price  amount  amount  Value 
HSBC Bank USA, National         
Association         
USD/KRW (Put)  Jun-21/KRW 1050.00  $10,210,333  $10,210,333  $15,193 
JPMorgan Chase Bank N.A.         
Uniform Mortgage-Backed         
Securities 30 yr 2.00% TBA         
commitments (Call)  Mar-21/$102.88  59,000,000  59,000,000  274,704 

 

Premier Income Trust 55 

 


 

PURCHASED OPTIONS           
OUTSTANDING (0.1%)* cont.  Expiration date/  Notional    Contract   
Counterparty  strike price  amount    amount  Value 
JPMorgan Chase Bank N.A. cont.           
Uniform Mortgage-Backed           
Securities 30 yr 2.00% TBA           
commitments (Call)  Feb-21/$103.31  $66,000,000    $66,000,000  $75,174 
Uniform Mortgage-Backed           
Securities 30 yr 2.50% TBA           
commitments (Call)  Feb-21/105.25  17,000,000    17,000,000  38,182 
Morgan Stanley & Co.           
International PLC           
EUR/SEK (Put)  Mar-21/SEK 9.90  7,869,144  EUR  6,484,400  8,994 
Total purchased options outstanding (cost $487,206)        $412,247 

 

COMMON STOCKS (0.1%)*  Shares  Value 
Advanz Pharma Corp., Ltd. (Canada)   1,070  $17,516 
CHC Group, LLC   12,181  213 
Clear Channel Outdoor Holdings, Inc.   35,498  70,641 
iHeartMedia, Inc. Class A   15,096  219,497 
MWO Holdings, LLC (Units) F   169  431 
Oasis Petroleum, Inc.   854  31,999 
Tervita Corp. (Canada)   449  1,067 
Texas Competitive Electric Holdings Co., LLC/TCEH Finance, Inc. (Rights)  21,073  23,180 
Tribune Media Co. Class 1C  92,963  9,296 
Total common stocks (cost $1,176,608)    $373,840 

 

  Principal amount/   
SHORT-TERM INVESTMENTS (14.0%)*    shares  Value 
Putnam Short Term Investment Fund Class P 0.13% L   Shares   28,114,968  $28,114,968 
State Street Institutional U.S. Government Money Market Fund,       
Premier Class 0.03% P   Shares   447,000  447,000 
U.S. Treasury Bills 0.089%, 2/2/21 ∆ §     $3,800,000  3,799,998 
U.S. Treasury Bills 0.088%, 5/6/21 ∆ §     3,045,000  3,044,441 
U.S. Treasury Bills 0.088%, 2/16/21 # ∆ §     2,700,000  2,699,947 
U.S. Treasury Bills 0.088%, 2/9/21 # ∆ §     12,500,000  12,499,860 
U.S. Treasury Bills 0.082%, 5/13/21 ∆ §     6,600,000  6,598,611 
U.S. Treasury Bills 0.078%, 4/15/21 ∆ § Φ      7,900,000  7,898,959 
U.S. Treasury Bills 0.077%, 3/25/21 §     500,000  499,957 
U.S. Treasury Bills 0.076%, 3/18/21 ∆ §     4,000,000  3,999,688 
U.S. Treasury Bills 0.076%, 2/23/21 ∆ §     200,000  199,995 
U.S. Treasury Cash Management Bills 0.068%, 5/25/21 ∆ §     1,200,000  1,199,736 
Total short-term investments (cost $71,002,514)      $71,003,160 

 

TOTAL INVESTMENTS   
Total investments (cost $946,814,809)  $938,171,518 


Key to holding’s currency abbreviations

 

AUD  Australian Dollar 
CAD  Canadian Dollar 
CHF  Swiss Franc 
EUR  Euro 

 

56 Premier Income Trust 

 


 

GBP  British Pound 
JPY  Japanese Yen 
KRW  South Korean Won 
NOK  Norwegian Krone 
NZD  New Zealand Dollar 
SEK  Swedish Krona 
TRY  Turkish Lira 
USD / $  United States Dollar 

 

Key to holding’s abbreviations

 

ARP  Adjustable Rate Preferred Stock: the rate shown is the current interest rate at the close of the 
  reporting period 
bp  Basis Points 
DAC  Designated Activity Company 
EMTN  Euro Medium Term Notes 
FRB  Floating Rate Bonds: the rate shown is the current interest rate at the close of the reporting period. Rates may be subject to a cap or floor. For certain securities, the rate may represent a fixed rate currently in place at the 
  close of the reporting period. 
FRN  Floating Rate Notes: the rate shown is the current interest rate or yield at the close of the reporting period. Rates may be subject to a cap or floor. For certain securities, the rate may represent a fixed rate currently in 
  place at the close of the reporting period. 
IFB  Inverse Floating Rate Bonds, which are securities that pay interest rates that vary inversely to changes in the market interest rates. As interest rates rise, inverse floaters produce less current income. The rate shown is 
  the current interest rate at the close of the reporting period. Rates may be subject to a cap or floor. 
IO  Interest Only 
OJSC  Open Joint Stock Company 
OTC  Over-the-counter 
PO  Principal Only 
REGS  Securities sold under Regulation S may not be offered, sold or delivered within the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the 
  Securities Act of 1933. 
TBA  To Be Announced Commitments 

 

Notes to the fund’s portfolio

Unless noted otherwise, the notes to the fund’s portfolio are for the close of the fund’s reporting period, which ran from August 1, 2020 through January 31, 2021 (the reporting period). Within the following notes to the portfolio, references to “Putnam Management” represent Putnam Investment Management, LLC, the fund’s manager, an indirect wholly-owned subsidiary of Putnam Investments, LLC and references to “ASC 820” represent Accounting Standards Codification 820 Fair Value Measurements and Disclosures.

* Percentages indicated are based on net assets of $507,161,865.

This security is non-income-producing.

‡‡ Income may be received in cash or additional securities at the discretion of the issuer. The rate shown in parenthesis is the rate paid in kind, if applicable.

# This security, in part or in entirety, was pledged and segregated with the broker to cover margin requirements for futures contracts at the close of the reporting period. Collateral at period end totaled $841,000 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).

This security, in part or in entirety, was pledged and segregated with the custodian for collateral on certain derivative contracts at the close of the reporting period. Collateral at period end totaled $32,880,604 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).

Φ This security, in part or in entirety, was pledged and segregated with the custodian for collateral on certain TBA commitments at the close of the reporting period. Collateral at period end totaled $106,989 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).

Premier Income Trust 57 

 


 

§ This security, in part or in entirety, was pledged and segregated with the custodian for collateral on the initial margin on certain centrally cleared derivative contracts at the close of the reporting period. Collateral at period end totaled $7,952,094 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).

c Senior loans are exempt from registration under the Securities Act of 1933, as amended, but contain certain restrictions on resale and cannot be sold publicly. These loans pay interest at rates which adjust periodically. The interest rates shown for senior loans are the current interest rates at the close of the reporting period. Senior loans are also subject to mandatory and/or optional prepayment which cannot be predicted. As a result, the remaining maturity may be substantially less than the stated maturity shown (Notes 1 and 7).

F This security is valued by Putnam Management at fair value following procedures approved by the Trustees. Securities are classified as Level 3 for ASC 820 based on the securities’ valuation inputs (Note 1).

i This security was pledged, or purchased with cash that was pledged, to the fund for collateral on certain derivative contracts (Note 1).

L Affiliated company (Note 5). The rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period.

P This security was pledged, or purchased with cash that was pledged, to the fund for collateral on certain derivative contracts and TBA commitments. The rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period.

R Real Estate Investment Trust.

W The rate shown represents the weighted average coupon associated with the underlying mortgage pools. Rates may be subject to a cap or floor.

At the close of the reporting period, the fund maintained liquid assets totaling $417,950,810 to cover certain derivative contracts and delayed delivery securities.

Unless otherwise noted, the rates quoted in Short-term investments security descriptions represent the weighted average yield to maturity.

Debt obligations are considered secured unless otherwise indicated.

144A after the name of an issuer represents securities exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

See Note 1 to the financial statements regarding TBA commitments.

The dates shown on debt obligations are the original maturity dates.

DIVERSIFICATION BY COUNTRY 

 

Distribution of investments by country of risk at the close of the reporting period, excluding collateral received, if any (as a percentage of Portfolio Value):

 

United States  89.6%  Egypt  0.6% 
Indonesia  0.9  Brazil  0.6 
Ivory Coast  0.9  Canada  0.5 
Senegal  0.9  Kenya  0.5 
Dominican Republic  0.7  Other  4.1 
Argentina  0.7  Total  100.0% 

 

FORWARD CURRENCY CONTRACTS at 1/31/21 (aggregate face value $417,980,173) (Unaudited) 
            Unrealized 
    Contract  Delivery    Aggregate  appreciation/ 
Counterparty  Currency  type*  date  Value  face value  (depreciation) 
Bank of America N.A.           
  Australian Dollar  Sell  4/21/21  $489,564  $498,657  $9,093 
  Canadian Dollar  Sell  4/21/21  2,512,622  2,534,457  21,835 
  Chinese Yuan (Offshore)  Buy  2/18/21  1,083,526  1,079,237  4,289 
  Chinese Yuan (Offshore)  Sell  2/18/21  1,083,526  1,048,417  (35,109) 

 

58 Premier Income Trust 

 


 

FORWARD CURRENCY CONTRACTS at 1/31/21 (aggregate face value $417,980,173) (Unaudited) cont. 
            Unrealized 
    Contract  Delivery    Aggregate  appreciation/ 
Counterparty  Currency  type*  date  Value  face value  (depreciation) 
Bank of America N.A. cont.           
  Euro  Buy  3/17/21  $4,955,893  $4,969,147  $(13,254) 
  Hong Kong Dollar  Sell  2/17/21  2,365,149  2,365,061  (88) 
  Japanese Yen  Buy  2/17/21  3,254,585  3,301,497  (46,912) 
  New Zealand Dollar  Sell  4/21/21  931,385  940,735  9,350 
  Norwegian Krone  Buy  3/17/21  163,041  160,440  2,601 
  Swedish Krona  Buy  3/17/21  279,968  279,572  396 
Barclays Bank PLC           
  British Pound  Sell  3/17/21  590,946  584,901  (6,045) 
  Canadian Dollar  Sell  4/21/21  844,163  851,686  7,523 
  Euro  Sell  3/17/21  6,054,597  6,070,422  15,825 
  Japanese Yen  Buy  2/17/21  3,134,120  3,140,777  (6,657) 
  New Zealand Dollar  Sell  4/21/21  337,026  340,433  3,407 
  Swedish Krona  Sell  3/17/21  3,641,281  3,632,882  (8,399) 
  Swiss Franc  Sell  3/17/21  32,260  32,424  164 
Citibank, N.A.             
  Australian Dollar  Sell  4/21/21  549,125  559,327  10,202 
  British Pound  Sell  3/17/21  5,040,173  4,966,623  (73,550) 
  Canadian Dollar  Buy  4/21/21  59,521  60,051  (530) 
  Euro  Sell  3/17/21  5,125,831  5,133,910  8,079 
  Japanese Yen  Buy  2/17/21  1,356,770  1,351,384  5,386 
  New Zealand Dollar  Sell  4/21/21  1,246,493  1,281,582  35,089 
  Swedish Krona  Sell  3/17/21  2,200,484  2,195,127  (5,357) 
  Swiss Franc  Buy  3/17/21  2,114,795  2,125,417  (10,622) 
Credit Suisse International           
  Australian Dollar  Buy  4/21/21  2,053,907  2,092,144  (38,237) 
  British Pound  Sell  3/17/21  1,980,876  1,963,246  (17,630) 
  Canadian Dollar  Sell  4/21/21  2,047,562  2,065,616  18,054 
  Euro  Buy  3/17/21  141,756  132,927  8,829 
  New Zealand Dollar  Buy  4/21/21  531,193  536,618  (5,425) 
  Swiss Franc  Sell  3/17/21  2,139,412  2,144,834  5,422 
Goldman Sachs International           
  Australian Dollar  Buy  4/21/21  8,217,462  8,371,284  (153,822) 
  British Pound  Buy  3/17/21  2,043,643  1,989,920  53,723 
  Canadian Dollar  Buy  4/21/21  5,214,677  5,250,858  (36,181) 
  Chinese Yuan (Offshore)  Buy  2/18/21  6,009,835  5,873,206  136,629 
  Chinese Yuan (Offshore)  Sell  2/18/21  6,009,835  5,984,653  (25,182) 
  Euro  Buy  3/17/21  115,398  112,113  3,285 
  Japanese Yen  Buy  2/17/21  2,415,519  2,425,154  (9,635) 
  New Taiwan Dollar  Buy  2/17/21  2,103,136  2,103,712  (576) 
  New Taiwan Dollar  Sell  2/17/21  2,103,136  2,070,704  (32,432) 
  New Zealand Dollar  Sell  4/21/21  10,059,183  10,159,614  100,431 
  Norwegian Krone  Buy  3/17/21  10,066,266  10,079,735  (13,469) 
  Swedish Krona  Buy  3/17/21  2,760,120  2,682,346  77,774 
  Swiss Franc  Sell  3/17/21  465,470  457,514  (7,956) 

 

Premier Income Trust 59 

 


 

FORWARD CURRENCY CONTRACTS at 1/31/21 (aggregate face value $417,980,173) (Unaudited) cont. 
            Unrealized 
    Contract  Delivery    Aggregate  appreciation/ 
Counterparty  Currency  type*  date  Value  face value  (depreciation) 
HSBC Bank USA, National Association           
  Australian Dollar  Buy  4/21/21  $2,265,238  $2,307,262  $(42,024) 
  British Pound  Buy  3/17/21  921,777  897,266  24,511 
  Canadian Dollar  Buy  4/21/21  835,872  843,091  (7,219) 
  Chinese Yuan (Offshore)  Buy  2/18/21  4,508,542  4,490,616  17,926 
  Chinese Yuan (Offshore)  Sell  2/18/21  4,508,542  4,380,610  (127,932) 
  Euro  Buy  3/17/21  5,499,718  5,514,469  (14,751) 
  Hong Kong Dollar  Sell  2/17/21  4,269,327  4,269,279  (48) 
  Indian Rupee  Buy  2/17/21  2,067,059  2,027,965  39,094 
  Indian Rupee  Sell  2/17/21  2,067,059  2,005,365  (61,694) 
  Japanese Yen  Buy  2/17/21  4,709,645  4,714,459  (4,814) 
  New Zealand Dollar  Sell  4/21/21  1,495,418  1,510,411  14,993 
  Norwegian Krone  Buy  3/17/21  1,035,598  1,020,614  14,984 
  South Korean Won  Buy  2/17/21  2,122,602  2,048,301  74,301 
  South Korean Won  Sell  2/17/21  2,122,602  2,142,071  19,469 
  Swedish Krona  Buy  3/17/21  567,454  566,130  1,324 
  Swiss Franc  Sell  3/17/21  3,710,502  3,711,273  771 
JPMorgan Chase Bank N.A.           
  Australian Dollar  Buy  4/21/21  4,162,328  4,223,713  (61,385) 
  British Pound  Buy  3/17/21  149,107  145,751  3,356 
  Canadian Dollar  Sell  4/21/21  7,043,319  7,100,896  57,577 
  Chinese Yuan (Offshore)  Buy  2/18/21  1,070,033  1,028,418  41,615 
  Chinese Yuan (Offshore)  Sell  2/18/21  1,070,033  1,022,737  (47,296) 
  Euro  Buy  3/17/21  5,436,675  5,464,584  (27,909) 
  Indian Rupee  Buy  2/17/21  2,067,060  2,027,150  39,910 
  Indian Rupee  Sell  2/17/21  2,067,060  2,006,964  (60,096) 
  Japanese Yen  Buy  2/17/21  1,036,277  1,045,927  (9,650) 
  New Taiwan Dollar  Buy  2/17/21  2,103,136  2,103,111  25 
  New Taiwan Dollar  Sell  2/17/21  2,103,136  2,088,940  (14,196) 
  New Zealand Dollar  Sell  4/21/21  2,916,532  2,946,385  29,853 
  Norwegian Krone  Buy  3/17/21  594,970  617,054  (22,084) 
  South Korean Won  Buy  2/17/21  2,116,049  2,034,203  81,846 
  South Korean Won  Sell  2/17/21  2,116,049  2,136,719  20,670 
  Swedish Krona  Sell  3/17/21  439,156  440,163  1,007 
  Swiss Franc  Buy  3/17/21  6,046,735  6,074,968  (28,233) 
Morgan Stanley & Co. International PLC         
  Australian Dollar  Buy  4/21/21  8,290,327  8,443,258  (152,931) 
  British Pound  Buy  3/17/21  1,667,587  1,611,932  55,655 
  Canadian Dollar  Buy  4/21/21  1,720,393  1,741,140  (20,747) 
  Euro  Buy  3/17/21  5,743,389  5,755,992  (12,603) 
  Japanese Yen  Buy  2/17/21  9,196,792  9,241,519  (44,727) 
  New Zealand Dollar  Buy  4/21/21  2,846,468  2,875,164  (28,696) 
  Norwegian Krone  Sell  3/17/21  2,057,059  2,056,627  (432) 
  Swedish Krona  Buy  3/17/21  3,190,380  3,163,300  27,080 
  Swiss Franc  Sell  3/17/21  3,157,917  3,178,016  20,099 

 

60 Premier Income Trust 

 


 

FORWARD CURRENCY CONTRACTS at 1/31/21 (aggregate face value $417,980,173) (Unaudited) cont. 
            Unrealized 
    Contract  Delivery    Aggregate  appreciation/ 
Counterparty  Currency  type*  date  Value  face value  (depreciation) 
NatWest Markets PLC           
  Australian Dollar  Buy  4/21/21  $7,535,987  $7,677,573  $(141,586) 
  British Pound  Buy  3/17/21  4,943,007  4,848,007  95,000 
  Canadian Dollar  Sell  4/21/21  1,624,425  1,611,603  (12,822) 
  Euro  Sell  3/17/21  1,101,620  1,103,896  2,276 
  Japanese Yen  Sell  2/17/21  913,725  931,479  17,754 
  New Zealand Dollar  Sell  4/21/21  6,736,351  6,806,513  70,162 
  Norwegian Krone  Buy  3/17/21  859,144  837,736  21,408 
  Swedish Krona  Sell  3/17/21  959,102  939,228  (19,874) 
  Swiss Franc  Sell  3/17/21  2,034,875  2,042,809  7,934 
State Street Bank and Trust Co.           
  Australian Dollar  Sell  4/21/21  1,769,251  1,779,551  10,300 
  British Pound  Sell  3/17/21  13,927,115  13,788,516  (138,599) 
  Canadian Dollar  Sell  4/21/21  13,912,768  13,966,491  53,723 
  Euro  Sell  3/17/21  19,166,899  19,227,579  60,680 
  Hong Kong Dollar  Sell  2/17/21  9,327,966  9,327,824  (142) 
  Japanese Yen  Sell  2/17/21  10,604,617  10,733,601  128,984 
  New Zealand Dollar  Sell  4/21/21  4,227,628  4,266,294  38,666 
  Norwegian Krone  Sell  3/17/21  2,167,402  2,150,494  (16,908) 
  Swedish Krona  Buy  3/17/21  27,957  25,770  2,187 
  Swiss Franc  Buy  3/17/21  5,062,513  5,082,637  (20,124) 
Toronto-Dominion Bank           
  Australian Dollar  Buy  4/21/21  1,643,783  1,674,536  (30,753) 
  British Pound  Buy  3/17/21  268,064  263,606  4,458 
  Canadian Dollar  Sell  4/21/21  3,831,152  3,864,049  32,897 
  Euro  Sell  3/17/21  8,509,282  8,522,879  13,597 
  Hong Kong Dollar  Sell  2/17/21  429,951  429,959  8 
  Japanese Yen  Buy  2/17/21  2,777,336  2,786,626  (9,290) 
  New Zealand Dollar  Buy  4/21/21  13,941  14,082  (141) 
  Norwegian Krone  Buy  3/17/21  2,565,221  2,540,799  24,422 
  Swedish Krona  Buy  3/17/21  32,829  32,753  76 
  Swiss Franc  Buy  3/17/21  1,800,846  1,817,566  (16,720) 
UBS AG             
  Australian Dollar  Buy  3/15/21  2,807,291  2,631,426  175,865 
  Australian Dollar  Sell  3/15/21  2,807,291  2,650,136  (157,155) 
  Australian Dollar  Sell  4/21/21  6,168,678  6,282,535  113,857 
  British Pound  Sell  3/17/21  2,103,395  2,068,696  (34,699) 
  Canadian Dollar  Buy  4/21/21  2,777,141  2,810,061  (32,920) 
  Euro  Buy  3/17/21  304,163  312,988  (8,825) 
  Hong Kong Dollar  Sell  2/17/21  2,630,703  2,630,805  102 
  Japanese Yen  Buy  2/17/21  7,219,164  7,233,322  (14,158) 
  New Zealand Dollar  Sell  4/21/21  6,080,192  6,133,157  52,965 
  Norwegian Krone  Buy  3/17/21  1,351,371  1,410,966  (59,595) 
  Swedish Krona  Buy  3/17/21  1,330,505  1,284,627  45,878 
  Swiss Franc  Sell  3/17/21  509,196  509,365  169 

 

Premier Income Trust 61 

 


 

FORWARD CURRENCY CONTRACTS at 1/31/21 (aggregate face value $417,980,173) (Unaudited) cont. 
            Unrealized 
    Contract  Delivery    Aggregate  appreciation/ 
Counterparty  Currency  type*  date  Value  face value  (depreciation) 
WestPac Banking Corp.           
  Australian Dollar  Buy  4/21/21  $652,726  $660,088  $(7,362) 
  British Pound  Buy  3/17/21  999,894  966,662  33,232 
  Canadian Dollar  Sell  4/21/21  2,653,172  2,670,700  17,528 
  Chinese Yuan (Offshore)  Buy  2/18/21  1,070,033  1,028,354  41,679 
  Chinese Yuan (Offshore)  Sell  2/18/21  1,070,033  1,022,653  (47,380) 
  Euro  Sell  3/17/21  3,050,500  3,062,916  12,416 
  Japanese Yen  Sell  2/17/21  671,388  672,817  1,429 
  New Zealand Dollar  Sell  4/21/21  3,787,985  3,819,266  31,281 
Unrealized appreciation          2,234,385 
Unrealized (depreciation)          (2,105,588) 
Total            $128,797 

 

* The exchange currency for all contracts listed is the United States Dollar.

 

FUTURES CONTRACTS OUTSTANDING at 1/31/21 (Unaudited)       
          Unrealized 
  Number of  Notional    Expiration  appreciation/ 
  contracts  amount  Value  date  (depreciation) 
Euro-Bund 10 yr (Long)  1  $215,102  $215,102  Mar-21  $(1,264) 
U.S. Treasury Note 2 yr (Short)  1,927  425,821,835  425,821,835  Mar-21  (400,853) 
U.S. Treasury Note Ultra 10 yr (Short)  3  461,484  461,484  Mar-21  10,376 
Unrealized appreciation          10,376 
Unrealized (depreciation)          (402,117) 
Total          $(391,741) 

 

WRITTEN SWAP OPTIONS OUTSTANDING at 1/31/21 (premiums $19,459,471) (Unaudited)   
Counterparty      Notional/   
Fixed Obligation % to receive or (pay)/  Expiration    contract   
Floating rate index/Maturity date  date/strike    amount  Value 
Bank of America N.A.         
(0.00)/3 month USD-LIBOR-BBA/Jun-24  Jun-22/0.00    $49,147,400  $24,082 
2.074/3 month USD-LIBOR-BBA/Dec-53  Dec-23/2.074    3,931,800  281,871 
Barclays Bank PLC         
(0.615)/3 month USD-LIBOR-BBA/Apr-26  Apr-21/0.615    194,076,200  805,416 
Citibank, N.A.         
(1.242)/3 month USD-LIBOR-BBA/Apr-51  Apr-21/1.242    3,437,700  22,861 
1.415/3 month USD-LIBOR-BBA/Jul-31  Jul-21/1.415    8,413,300  75,383 
1.242/3 month USD-LIBOR-BBA/Apr-51  Apr-21/1.242    3,437,700  356,936 
(1.865)/3 month USD-LIBOR-BBA/Oct-39  Oct-29/1.865    8,485,700  461,028 
1.865/3 month USD-LIBOR-BBA/Oct-39  Oct-29/1.865    8,485,700  567,099 
Goldman Sachs International         
2.823/3 month USD-LIBOR-BBA/May-27  May-22/2.823    49,203,000  21,649 
1.465/3 month USD-LIBOR-BBA/Apr-31  Apr-21/1.465    8,413,300  23,137 
(1.165)/3 month USD-LIBOR-BBA/Apr-31  Apr-21/1.165    8,413,300  86,825 
1.722/6 month GBP-LIBOR-BBA/Feb-39  Feb-29/1.722  GBP  4,577,200  197,927 
(1.722)/6 month GBP-LIBOR-BBA/Feb-39  Feb-29/1.722  GBP  4,577,200  649,032 

 

62 Premier Income Trust 

 


 

WRITTEN SWAP OPTIONS OUTSTANDING at 1/31/21 (premiums $19,459,471) (Unaudited) cont.   
Counterparty      Notional/   
Fixed Obligation % to receive or (pay)/  Expiration    contract   
Floating rate index/Maturity date  date/strike    amount  Value 
JPMorgan Chase Bank N.A.         
1.333/3 month USD-LIBOR-BBA/Jan-24  Jan-23/1.333    $9,536,800  $2,480 
(0.7785)/3 month USD-LIBOR-BBA/Mar-31  Mar-21/0.7785    39,880,100  5,184 
(0.968)/3 month USD-LIBOR-BBA/Mar-35  Mar-25/0.968    3,624,700  67,311 
(1.07)/3 month USD-LIBOR-BBA/Mar-32  Mar-27/1.07    5,786,700  78,757 
(1.333)/3 month USD-LIBOR-BBA/Jan-24  Jan-23/1.333    9,536,800  90,695 
1.667/6 month EUR-EURIBOR-Reuters/Feb-36  Feb-26/1.667  EUR  10,069,900  93,608 
3.229/3 month USD-LIBOR-BBA/Nov-33  Nov-23/3.229    $26,351,000  153,890 
(0.964)/3 month USD-LIBOR-BBA/Mar-31  Mar-21/0.964    77,978,300  168,433 
1.07/3 month USD-LIBOR-BBA/Mar-32  Mar-27/1.07    5,786,700  299,809 
0.968/3 month USD-LIBOR-BBA/Mar-35  Mar-25/0.968    3,624,700  350,037 
(1.167)/3 month USD-LIBOR-BBA/Apr-31  Apr-21/1.167    100,534,700  1,047,572 
(1.667)/6 month EUR-EURIBOR-Reuters/Feb-36  Feb-26/1.667  EUR  10,069,900  1,889,507 
(3.229)/3 month USD-LIBOR-BBA/Nov-33  Nov-23/3.229    $26,351,000  4,059,107 
Morgan Stanley & Co. International PLC         
2.664/3 month USD-LIBOR-BBA/May-26  May-21/2.664    21,087,000  21 
3.01/3 month USD-LIBOR-BBA/Feb-36  Feb-26/3.01    3,620,600  65,533 
2.97/3 month USD-LIBOR-BBA/Feb-36  Feb-26/2.97    3,620,600  67,633 
1.512/3 month USD-LIBOR-BBA/Aug-32  Aug-22/1.512    8,725,000  232,434 
(1.512)/3 month USD-LIBOR-BBA/Aug-32  Aug-22/1.512    8,725,000  301,885 
(2.97)/3 month USD-LIBOR-BBA/Feb-36  Feb-26/2.97    3,620,600  419,193 
(3.01)/3 month USD-LIBOR-BBA/Feb-36  Feb-26/3.01    3,620,600  428,969 
(2.75)/3 month USD-LIBOR-BBA/May-49  May-25/2.75    6,990,700  1,477,345 
(3.00)/3 month USD-LIBOR-BBA/Jan-49  Jan-24/3.00    6,990,700  1,869,593 
(3.00)/3 month USD-LIBOR-BBA/Apr-48  Apr-23/3.00    6,990,700  1,918,318 
Toronto-Dominion Bank         
(1.17)/3 month USD-LIBOR-BBA/Mar-55  Mar-25/1.17    529,000  30,751 
1.05/3 month USD-LIBOR-BBA/Mar-27  Mar-25/1.05    17,451,000  209,587 
1.17/3 month USD-LIBOR-BBA/Mar-55  Mar-25/1.17    1,058,000  223,439 
UBS AG         
1.9875/3 month USD-LIBOR-BBA/Oct-36  Oct-26/1.9875    9,843,400  507,329 
(1.9875)/3 month USD-LIBOR-BBA/Oct-36  Oct-26/1.9875    9,843,400  549,951 
Total        $20,181,617 

 

WRITTEN OPTIONS OUTSTANDING at 1/31/21 (premiums $387,936) (Unaudited)   
  Expiration  Notional  Contract   
Counterparty  date/strike price  amount  amount  Value 
HSBC Bank USA, National Association       
USD/KRW (Put)  Jun-21/KRW 1000.00  $10,210,333  $10,210,333  $980 
JPMorgan Chase Bank N.A.         
Uniform Mortgage-Backed         
Securities 30 yr 2.00% TBA         
commitments (Put)  Mar-21/$102.88  59,000,000  59,000,000  191,750 
Uniform Mortgage-Backed         
Securities 30 yr 2.00% TBA         
commitments (Put)  Feb-21/103.31  66,000,000  66,000,000  167,970 

 

Premier Income Trust 63 

 


 

WRITTEN OPTIONS OUTSTANDING at 1/31/21 (premiums $387,936) (Unaudited) cont.   
  Expiration  Notional  Contract   
Counterparty  date/strike price  amount  amount  Value 
JPMorgan Chase Bank N.A. cont.         
Uniform Mortgage-Backed         
Securities 30 yr 2.50% TBA         
commitments (Put)  Feb-21/$105.25  $17,000,000  $17,000,000  $27,557 
Morgan Stanley & Co. International PLC       
EUR/SEK (Put)  Mar-21/SEK 9.65  7,869,144  EUR  6,484,400  574 
Total        $388,831 

 

FORWARD PREMIUM SWAP OPTION CONTRACTS OUTSTANDING at 1/31/21 (Unaudited)   
Counterparty           
Fixed right or obligation % to receive      Notional/  Premium  Unrealized 
or (pay)/Floating rate index/  Expiration    contract  receivable/  appreciation/ 
Maturity date  date/strike    amount  (payable)  (depreciation) 
Bank of America N.A.           
2.2275/3 month USD-LIBOR-BBA/           
May-24 (Purchased)  May-22/2.2275    $56,560,700  $(521,772)  $1,578,042 
1.304/6 month EUR-EURIBOR-           
Reuters/Jun-54 (Purchased)  Jun-24/1.304  EUR  4,782,000  (774,972)  1,263,704 
1.053/6 month EUR-EURIBOR-           
Reuters/Jun-54 (Purchased)  Jun-24/1.053  EUR  2,528,950  (576,785)  595,848 
(0.925)/3 month USD-LIBOR-BBA/           
Mar-40 (Purchased)  Mar-30/0.925    $9,326,800  (667,799)  485,740 
(0.85)/3 month USD-LIBOR-BBA/           
Mar-40 (Purchased)  Mar-30/0.85    4,749,700  (346,728)  263,466 
(1.275)/3 month USD-LIBOR-BBA/           
Mar-50 (Purchased)  Mar-30/1.275    4,687,800  (610,586)  218,123 
(0.765)/3 month USD-LIBOR-BBA/           
Sep-31 (Purchased)  Sep-21/0.765    6,389,200  (151,424)  176,470 
(2.3075)/3 month USD-LIBOR-BBA/           
Jun-52 (Purchased)  Jun-22/2.3075    3,515,900  (79,544)  13,290 
(1.76)/3 month USD-LIBOR-BBA/           
Jan-29 (Purchased)  Jan-28/1.76    47,380,600  (306,197)  12,793 
(0.003)/6 month JPY-LIBOR-BBA/           
Feb-31 (Purchased)  Feb-21/0.003  JPY  267,307,900  (21,046)  (3,879) 
0.9215/3 month USD-LIBOR-BBA/           
Apr-31 (Purchased)  Apr-21/0.9215    $26,526,500  (92,843)  (5,571) 
1.76/3 month USD-LIBOR-BBA/           
Jan-29 (Purchased)  Jan-28/1.76    47,380,600  (306,197)  (5,686) 
0.485/3 month USD-LIBOR-BBA/           
Jan-25 (Purchased)  Jan-24/0.485    49,147,400  (92,151)  (6,389) 
0.003/6 month JPY-LIBOR-BBA/           
Feb-31 (Purchased)  Feb-21/0.003  JPY  267,307,900  (21,046)  (22,151) 
0.765/3 month USD-LIBOR-BBA/           
Sep-31 (Purchased)  Sep-21/0.765    $6,389,200  (151,424)  (123,887) 
0.85/3 month USD-LIBOR-BBA/           
Mar-40 (Purchased)  Mar-30/0.85    4,749,700  (346,728)  (201,387) 
(1.053)/6 month EUR-EURIBOR-           
Reuters/Jun-54 (Purchased)  Jun-24/1.053  EUR  2,528,950  (576,785)  (228,242) 
1.275/3 month USD-LIBOR-BBA/           
Mar-50 (Purchased)  Mar-30/1.275    $4,687,800  (610,586)  (263,548) 

 

64 Premier Income Trust 

 


 

FORWARD PREMIUM SWAP OPTION CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
Counterparty           
Fixed right or obligation % to receive      Notional/  Premium  Unrealized 
or (pay)/Floating rate index/  Expiration    contract  receivable/  appreciation/ 
Maturity date  date/strike    amount  (payable)  (depreciation) 
Bank of America N.A. cont.           
(1.304)/6 month EUR-EURIBOR-           
Reuters/Jun-54 (Purchased)  Jun-24/1.304  EUR  4,782,000  $(387,486)  $(309,078) 
0.925/3 month USD-LIBOR-BBA/           
Mar-40 (Purchased)  Mar-30/0.925    $9,326,800  (667,799)  (368,502) 
(2.2275)/3 month USD-LIBOR-BBA/           
May-24 (Purchased)  May-22/2.2275    56,560,700  (521,772)  (519,227) 
2.3075/3 month USD-LIBOR-BBA/           
Jun-52 (Purchased)  Jun-22/2.3075    3,515,900  (1,653,091)  (1,032,936) 
(1.115)/3 month USD-LIBOR-BBA/           
Jan-26 (Written)  Jan-25/1.115    47,380,600  199,591  (2,369) 
1.115/3 month USD-LIBOR-BBA/           
Jan-26 (Written)  Jan-25/1.115    47,380,600  199,591  (5,686) 
0.985/3 month USD-LIBOR-BBA/           
Jan-25 (Written)  Jan-24/0.985    49,147,400  105,667  (13,761) 
2.243/3 month USD-LIBOR-BBA/           
Apr-26 (Written)  Apr-21/2.243    53,053,000  79,580  (35,546) 
Barclays Bank PLC           
1.11125/6 month JPY-LIBOR-BBA/           
Aug-43 (Purchased)  Aug-23/1.11125  JPY  264,236,800  (133,657)  197,903 
(1.11125)/6 month JPY-LIBOR-BBA/           
Aug-43 (Purchased)  Aug-23/1.11125  JPY  264,236,800  (133,657)  (133,222) 
Citibank, N.A.           
2.689/3 month USD-LIBOR-BBA/           
Nov-49 (Purchased)  Nov-24/2.689    $2,064,000  (265,740)  170,672 
(1.46)/3 month USD-LIBOR-BBA/           
Apr-51 (Purchased)  Apr-21/1.46    4,600,000  (166,980)  88,274 
(1.102)/3 month USD-LIBOR-BBA/           
Nov-32 (Purchased)  Nov-22/1.102    2,359,100  (74,960)  50,037 
(1.007)/3 month USD-LIBOR-BBA/           
Jun-31 (Purchased)  Jun-21/1.007    4,914,700  (79,495)  46,296 
(0.462)/3 month USD-LIBOR-BBA/           
Jun-26 (Purchased)  Jun-21/0.462    14,313,700  (138,664)  8,874 
(1.625)/3 month USD-LIBOR-BBA/           
Jan-61 (Purchased)  Jan-41/1.625    4,450,300  (656,419)  5,207 
1.196/3 month USD-LIBOR-BBA/           
Feb-31 (Purchased)  Feb-21/1.196    8,413,300  (64,362)  2,608 
1.625/3 month USD-LIBOR-BBA/           
Jan-61 (Purchased)  Jan-41/1.625    4,450,300  (656,419)  312 
1.102/3 month USD-LIBOR-BBA/           
Nov-32 (Purchased)  Nov-22/1.102    2,359,100  (74,960)  (33,004) 
(1.196)/3 month USD-LIBOR-BBA/           
Feb-31 (Purchased)  Feb-21/1.196    8,413,300  (64,362)  (41,057) 
1.007/3 month USD-LIBOR-BBA/           
Jun-31 (Purchased)  Jun-21/1.007    4,914,700  (79,495)  (46,247) 
1.13/3 month USD-LIBOR-BBA/           
Apr-31 (Purchased)  Apr-21/1.13    26,526,500  (307,707)  (55,440) 

 

Premier Income Trust 65 

 


 

FORWARD PREMIUM SWAP OPTION CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
Counterparty           
Fixed right or obligation % to receive      Notional/  Premium  Unrealized 
or (pay)/Floating rate index/  Expiration    contract  receivable/  appreciation/ 
Maturity date  date/strike    amount  (payable)  (depreciation) 
Citibank, N.A. cont.           
1.46/3 month USD-LIBOR-BBA/           
Apr-51 (Purchased)  Apr-21/1.46    $4,600,000  $(166,980)  $(105,248) 
0.462/3 month USD-LIBOR-BBA/           
Jun-26 (Purchased)  Jun-21/0.462    14,313,700  (138,664)  (114,080) 
(2.689)/3 month USD-LIBOR-BBA/           
Nov-49 (Purchased)  Nov-24/2.689    2,064,000  (265,740)  (185,657) 
1.245/3 month USD-LIBOR-BBA/           
Aug-24 (Written)  Aug-22/1.245    39,592,500  362,271  342,871 
(0.991)/3 month USD-LIBOR-BBA/           
Apr-31 (Written)  Apr-21/0.991    11,500,000  137,943  96,140 
(1.177)/3 month USD-LIBOR-BBA/           
Jul-40 (Written)  Jul-30/1.177    1,820,100  137,964  66,525 
(0.93)/3 month USD-LIBOR-BBA/           
Apr-31 (Written)  Apr-21/0.93    26,526,500  107,432  15,916 
(1.918)/3 month USD-LIBOR-BBA/           
Jan-51 (Written)  Jan-31/1.918    5,356,900  640,685  750 
1.918/3 month USD-LIBOR-BBA/           
Jan-51 (Written)  Jan-31/1.918    5,356,900  640,685  (3,428) 
1.177/3 month USD-LIBOR-BBA/           
Jul-40 (Written)  Jul-30/1.177    1,820,100  137,964  (60,355) 
0.991/3 month USD-LIBOR-BBA/           
Apr-31 (Written)  Apr-21/0.991    11,500,000  137,943  (100,280) 
(1.245)/3 month USD-LIBOR-BBA/           
Aug-24 (Written)  Aug-22/1.245    39,592,500  362,271  (281,899) 
Goldman Sachs International           
2.8175/3 month USD-LIBOR-BBA/           
Mar-47 (Purchased)  Mar-27/2.8175    1,629,100  (205,674)  105,256 
1.727/3 month USD-LIBOR-BBA/           
Jan-55 (Purchased)  Jan-25/1.727    3,050,400  (279,722)  46,183 
(1.727)/3 month USD-LIBOR-BBA/           
Jan-55 (Purchased)  Jan-25/1.727    3,050,400  (456,035)  (64,302) 
(2.8175)/3 month USD-LIBOR-BBA/           
Mar-47 (Purchased)  Mar-27/2.8175    1,629,100  (205,674)  (129,188) 
0.555/6 month EUR-EURIBOR-           
Reuters/Mar-40 (Written)  Mar-30/0.555  EUR  3,886,150  586,855  72,438 
(0.555)/6 month EUR-EURIBOR-           
Reuters/Mar-40 (Written)  Mar-30/0.555  EUR  3,886,150  586,855  9,055 
JPMorgan Chase Bank N.A.           
2.8325/3 month USD-LIBOR-BBA/           
Feb-52 (Purchased)  Feb-22/2.8325    $8,145,400  (1,137,301)  1,237,368 
1.921/6 month EUR-EURIBOR-           
Reuters/Oct-48 (Purchased)  Oct-28/1.921  EUR  2,828,800  (361,757)  820,220 
2.902/3 month USD-LIBOR-BBA/           
Nov-49 (Purchased)  Nov-24/2.902    $2,064,000  (319,094)  186,152 
(1.445)/6 month AUD-BBR-BBSW/           
Mar-40 (Purchased)  Mar-30/1.445  AUD  4,317,900  (161,857)  119,095 

 

66 Premier Income Trust 

 


 

FORWARD PREMIUM SWAP OPTION CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
Counterparty           
Fixed right or obligation % to receive      Notional/  Premium  Unrealized 
or (pay)/Floating rate index/  Expiration    contract  receivable/  appreciation/ 
Maturity date  date/strike    amount  (payable)  (depreciation) 
JPMorgan Chase Bank N.A. cont.           
2.50/3 month USD-LIBOR-BBA/           
Nov-39 (Purchased)  Nov-29/2.50    $3,439,600  $(198,809)  $102,500 
2.032/3 month USD-LIBOR-BBA/           
Jan-55 (Purchased)  Jan-25/2.032    3,549,600  (409,979)  102,193 
(1.441)/6 month AUD-BBR-BBSW/           
Jul-45 (Purchased)  Jul-25/1.441  AUD  2,068,300  (122,324)  85,674 
(1.692)/6 month AUD-BBR-BBSW/           
Jan-35 (Purchased)  Jan-25/1.692  AUD  3,098,200  (96,660)  21,878 
1.692/6 month AUD-BBR-BBSW/           
Jan-35 (Purchased)  Jan-25/1.692  AUD  3,098,200  (96,660)  (38,335) 
(2.032)/3 month USD-LIBOR-BBA/           
Jan-55 (Purchased)  Jan-25/2.032    $3,549,600  (409,979)  (79,369) 
1.441/6 month AUD-BBR-BBSW/           
Jul-45 (Purchased)  Jul-25/1.441  AUD  2,068,300  (122,324)  (82,133) 
1.445/6 month AUD-BBR-BBSW/           
Mar-40 (Purchased)  Mar-30/1.445  AUD  4,317,900  (161,857)  (111,406) 
(2.902)/3 month USD-LIBOR-BBA/           
Nov-49 (Purchased)  Nov-24/2.902    $2,064,000  (221,467)  (160,104) 
(2.50)/3 month USD-LIBOR-BBA/           
Nov-39 (Purchased)  Nov-29/2.50    3,439,600  (357,718)  (186,392) 
(1.921)/6 month EUR-EURIBOR-           
Reuters/Oct-48 (Purchased)  Oct-28/1.921  EUR  2,828,800  (361,757)  (324,202) 
(2.8325)/3 month USD-LIBOR-BBA/           
Feb-52 (Purchased)  Feb-22/2.8325    $8,145,400  (1,137,301)  (1,083,501) 
(1.232)/3 month USD-LIBOR-BBA/           
Jun-37 (Written)  Jun-27/1.232    6,302,700  404,948  207,485 
(1.168)/3 month USD-LIBOR-BBA/           
Jun-37 (Written)  Jun-27/1.168    5,725,500  368,436  198,560 
(1.204)/3 month USD-LIBOR-BBA/           
Jun-40 (Written)  Jun-30/1.204    4,997,800  372,586  173,923 
1.969/3 month USD-LIBOR-BBA/           
Apr-26 (Written)  Apr-21/1.969    53,053,000  192,317  (78,518) 
1.204/3 month USD-LIBOR-BBA/           
Jun-40 (Written)  Jun-30/1.204    4,997,800  372,586  (163,478) 
1.232/3 month USD-LIBOR-BBA/           
Jun-37 (Written)  Jun-27/1.232    6,302,700  404,948  (201,875) 
1.168/3 month USD-LIBOR-BBA/           
Jun-37 (Written)  Jun-27/1.168    5,725,500  368,436  (205,832) 
Morgan Stanley & Co. International PLC           
3.27/3 month USD-LIBOR-BBA/           
Oct-53 (Purchased)  Oct-23/3.27    2,738,700  (312,486)  713,267 
2.505/3 month USD-LIBOR-BBA/           
Nov-49 (Purchased)  Nov-24/2.505    2,064,000  (222,086)  152,695 
(2.764)/3 month USD-LIBOR-BBA/           
Feb-31 (Purchased)  Feb-21/2.764    13,275,300  (21,762)  (21,771) 
(2.505)/3 month USD-LIBOR-BBA/           
Nov-49 (Purchased)  Nov-24/2.505    2,064,000  (316,205)  (217,092) 

 

Premier Income Trust 67 

 


 

FORWARD PREMIUM SWAP OPTION CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
Counterparty           
Fixed right or obligation % to receive      Notional/  Premium  Unrealized 
or (pay)/Floating rate index/  Expiration    contract  receivable/  appreciation/ 
Maturity date  date/strike    amount  (payable)  (depreciation) 
Morgan Stanley & Co. International PLC cont.         
(3.27)/3 month USD-LIBOR-BBA/           
Oct-53 (Purchased)  Oct-23/3.27    $2,738,700  $(312,486)  $(275,650) 
2.764/3 month USD-LIBOR-BBA/           
Feb-31 (Purchased)  Feb-21/2.764    13,275,300  (2,591,095)  (504,329) 
2.39/3 month USD-LIBOR-BBA/           
Jun-34 (Written)  Jun-24/2.39    18,392,400  968,360  583,223 
(2.39)/3 month USD-LIBOR-BBA/           
Jun-34 (Written)  Jun-24/2.39    18,392,400  968,360  (561,704) 
UBS AG           
(0.902)/3 month USD-LIBOR-BBA/           
Apr-35 (Purchased)  Apr-25/0.902    3,054,700  (170,910)  140,761 
(0.87)/3 month USD-LIBOR-BBA/           
Apr-28 (Purchased)  Apr-27/0.87    25,456,200  (171,702)  104,880 
(0.983)/3 month USD-LIBOR-BBA/           
Apr-32 (Purchased)  Apr-30/0.983    10,182,500  (161,393)  103,454 
1.6125/3 month USD-LIBOR-BBA/           
Aug-34 (Purchased)  Aug-24/1.6125    8,725,000  (239,327)  97,458 
1.175/6 month GBP-LIBOR-BBA/           
Jan-40 (Purchased)  Jan-30/1.175  GBP  4,426,000  (402,344)  39,842 
(0.8925)/3 month USD-LIBOR-BBA/           
Apr-28 (Purchased)  Apr-23/0.8925    $7,636,900  (161,902)  13,135 
0.271/6 month EUR-EURIBOR-           
Reuters/Jan-36 (Purchased)  Jan-26/0.271  EUR  6,192,000  (323,851)  6,395 
0.296/6 month EUR-EURIBOR-           
Reuters/Jan-51 (Purchased)  Jan-31/0.296  EUR  1,548,000  (234,237)  2,780 
0.45/6 month EUR-EURIBOR-Reuters/           
Jan-41 (Purchased)  Jan-31/0.45  EUR  3,715,200  (292,255)  2,731 
(0.296)/6 month EUR-EURIBOR-           
Reuters/Jan-51 (Purchased)  Jan-31/0.296  EUR  1,548,000  (234,237)  (5,459) 
(0.45)/6 month EUR-EURIBOR-           
Reuters/Jan-41 (Purchased)  Jan-31/0.45  EUR  3,715,200  (292,255)  (6,712) 
(0.271)/6 month EUR-EURIBOR-           
Reuters/Jan-36 (Purchased)  Jan-26/0.271  EUR  6,192,000  (323,851)  (10,234) 
(0.762)/6 month GBP-LIBOR-BBA/           
Aug-39 (Purchased)  Aug-29/0.762  GBP  1,894,900  (174,759)  (13,942) 
0.762/6 month GBP-LIBOR-BBA/           
Aug-39 (Purchased)  Aug-29/0.762  GBP  1,894,900  (174,759)  (60,753) 
0.8925/3 month USD-LIBOR-BBA/           
Apr-28 (Purchased)  Apr-23/0.8925    $7,636,900  (161,902)  (80,417) 
0.983/3 month USD-LIBOR-BBA/           
Apr-32 (Purchased)  Apr-30/0.983    10,182,500  (161,393)  (88,384) 
(1.175)/6 month GBP-LIBOR-BBA/           
Jan-40 (Purchased)  Jan-30/1.175  GBP  4,426,000  (402,344)  (90,661) 
0.87/3 month USD-LIBOR-BBA/           
Apr-28 (Purchased)  Apr-27/0.87    $25,456,200  (171,702)  (100,043) 
0.902/3 month USD-LIBOR-BBA/           
Apr-35 (Purchased)  Apr-25/0.902    3,054,700  (170,910)  (116,567) 

 

68 Premier Income Trust 

 


 

FORWARD PREMIUM SWAP OPTION CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
Counterparty           
Fixed right or obligation % to receive      Notional/  Premium  Unrealized 
or (pay)/Floating rate index/  Expiration    contract  receivable/  appreciation/ 
Maturity date  date/strike    amount  (payable)  (depreciation) 
UBS AG cont.           
(1.6125)/3 month USD-LIBOR-BBA/           
Aug-34 (Purchased)  Aug-24/1.6125    $8,725,000  $(638,016)  $(190,031) 
1.30/3 month USD-LIBOR-BBA/           
Aug-26 (Written)  Aug-21/1.30    18,540,700  550,768  535,455 
(0.958)/3 month USD-LIBOR-BBA/           
May-30 (Written)  May-25/0.958    6,109,500  162,360  90,054 
0.43/6 month EUR-EURIBOR-Reuters/           
Aug-39 (Written)  Aug-29/0.43  EUR  1,762,700  141,313  31,809 
(0.43)/6 month EUR-EURIBOR-           
Reuters/Aug-39 (Written)  Aug-29/0.43  EUR  1,762,700  141,313  28,579 
0.958/3 month USD-LIBOR-BBA/           
May-30 (Written)  May-25/0.958    $6,109,500  162,360  (108,566) 
(1.30)/3 month USD-LIBOR-BBA/           
Aug-26 (Written)  Aug-21/1.30    18,540,700  148,217  (436,447) 
Wells Fargo Bank, N.A.           
(1.96)/3 month USD-LIBOR-BBA/           
Jan-41 (Purchased)  Jan-31/1.96    8,427,300  (570,528)  23,091 
1.96/3 month USD-LIBOR-BBA/           
Jan-41 (Purchased)  Jan-31/1.96    8,427,300  (570,528)  (10,618) 
Unrealized appreciation          11,857,450 
Unrealized (depreciation)          (10,115,777) 
Total          $1,741,673 

 

TBA SALE COMMITMENTS OUTSTANDING at 1/31/21 (proceeds receivable $137,975,977) (Unaudited) 
  Principal  Settlement   
Agency  amount  date  Value 
Government National Mortgage Association, 3.50%, 2/1/51  $1,000,000  2/18/21  $1,058,750 
Uniform Mortgage-Backed Securities, 3.50%, 2/1/51  59,000,000  2/11/21  62,678,284 
Uniform Mortgage-Backed Securities, 2.50%, 2/1/51  17,000,000  2/11/21  17,900,470 
Uniform Mortgage-Backed Securities, 2.00%, 2/1/51  47,000,000  2/11/21  48,483,438 
Uniform Mortgage-Backed Securities, 1.50%, 3/1/51  4,000,000  3/11/21  4,007,031 
Uniform Mortgage-Backed Securities, 1.50%, 2/1/51  4,000,000  2/11/21  4,012,500 
Total      $138,140,473 

 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited)   
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$2,258,100  $102,633 E  $(13)  2/2/24  3 month USD-  2.5725% —  $102,620 
        LIBOR-BBA —  Semiannually   
        Quarterly     
5,844,400  260,444 E  (33)  2/2/24  2.528% —  3 month USD-  (260,477) 
        Semiannually  LIBOR-BBA —   
          Quarterly   

 

Premier Income Trust 69 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$12,234,100  $799,339  $(2,476)  12/2/23  3 month USD-  2.536% —  $842,992 
        LIBOR-BBA —  Semiannually   
        Quarterly     
4,229,500  192,024 E  (723)  2/2/24  3 month USD-  2.57% —  191,301 
        LIBOR-BBA —  Semiannually   
        Quarterly     
7,620,100  306,031 E  (42)  2/2/24  3 month USD-  2.3075% —  305,988 
        LIBOR-BBA —  Semiannually   
        Quarterly     
11,185,500  451,145 E  (62)  2/9/24  3 month USD-  2.32% —  451,082 
        LIBOR-BBA —  Semiannually   
        Quarterly     
2,997,900  734,614 E  (102)  11/29/53  2.793% —  3 month USD-  (734,717) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
1,995,000  92,762 E  (44)  11/20/39  3 month USD-  2.55% —  92,717 
        LIBOR-BBA —  Semiannually   
        Quarterly     
7,072,400  721,632  (100)  12/7/30  2.184% —  3 month USD-  (742,422) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
4,598,100  172,498 E  (52)  6/5/29  3 month USD-  2.2225% —  172,446 
        LIBOR-BBA —  Semiannually   
        Quarterly     
384,600  57,723 E  (13)  6/22/52  2.3075% —  3 month USD-  (57,736) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
1,815,900  245,737 E  (62)  7/5/52  2.25% —  3 month USD-  (245,799) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
14,103,100  403,856 E  (79)  2/7/24  1.733% —  3 month USD-  (403,935) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
2,173,400  190,764  (31)  1/22/31  2.035% —  3 month USD-  (191,766) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
3,015,900  158,193 E  (103)  8/8/52  1.9185% —  3 month USD-  (158,296) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
3,082,800  63,607 E  (105)  9/12/52  1.626% —  3 month USD-  63,502 
        Semiannually  LIBOR-BBA —   
          Quarterly   
84,856,600  683,435  (237,804)  10/15/21  3 month USD-  1.316% —  764,774 
        LIBOR-BBA —  Semiannually   
        Quarterly     
88,250,900  850,033  (235,436)  10/21/21  3 month USD-  1.5025% —  976,891 
        LIBOR-BBA —  Semiannually   
        Quarterly     
16,442,700  1,076,980  361,521  1/19/31  1.805% —  3 month USD-  (724,026) 
        Semiannually  LIBOR-BBA —   
          Quarterly   

 

70 Premier Income Trust 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$16,442,700  $888,859  $(185,113)  1/19/26  3 month USD-  1.629% —  $711,348 
        LIBOR-BBA —  Semiannually   
        Quarterly     
16,442,700  193,629 E  (185,165)  1/20/31  3 month USD-  1.996% —  8,464 
        LIBOR-BBA —  Semiannually   
        Quarterly     
389,100  20,085 E  (13)  1/16/55  2.032% —  3 month USD-  (20,098) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
183,000  7,035 E  (6)  1/24/55  3 month USD-  1.977% —  7,029 
        LIBOR-BBA —  Semiannually   
        Quarterly     
65,770,900  330,433  36,015  11/3/21  0.83% —  3 month USD-  (392,385) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
65,770,900  579,705  (122,164)  11/3/21  3 month USD-  1.331% —  635,894 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,261,000  128,999 E  (43)  3/4/52  1.265% —  3 month USD-  128,956 
        Semiannually  LIBOR-BBA —   
          Quarterly   
2,658,700  11,568 E  (38)  3/4/31  3 month USD-  1.101% —  (11,606) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
79,686,200  244,716  (300)  9/8/21  0.68% —  3 month USD-  (432,820) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
172,339,500  478,931  (650)  10/15/21  0.571% —  3 month USD-  (749,698) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
8,162,300  882,173 E  (278)  1/27/47  3 month USD-  1.27% —  (882,452) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
689,400  70,762 E  (24)  3/7/50  1.275% —  3 month USD-  70,739 
        Semiannually  LIBOR-BBA —   
          Quarterly   
1,522,800  303,663 E  (52)  3/10/52  0.8725% —  3 month USD-  303,611 
        Semiannually  LIBOR-BBA —   
          Quarterly   
1,681,900  399,974 E  (57)  3/11/52  0.717% —  3 month USD-  399,917 
        Semiannually  LIBOR-BBA —   
          Quarterly   
2,479,700  72,975 E  (35)  3/17/32  3 month USD-  1.03% —  (73,010) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,041,600  39,279 E  (13)  3/24/32  3 month USD-  1.07% —  (39,291) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
589,000  45,424 E  (9)  3/24/35  3 month USD-  0.968% —  (45,433) 
        LIBOR-BBA —  Semiannually   
        Quarterly     

 

Premier Income Trust 71 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$3,511,700  $189,913 E  $(50)  4/25/32  0.7925% —  3 month USD-  $189,863 
        Semiannually  LIBOR-BBA —   
          Quarterly   
665,800  42,901 E  (13)  6/21/37  3 month USD-  1.232% —  (42,914) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
532,600  35,869 E  (10)  6/20/40  3 month USD-  1.204% —  (35,879) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
543,900  38,157 E  (11)  6/28/37  3 month USD-  1.168% —  (38,167) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
148,900  10,360 E  (3)  7/3/40  3 month USD-  1.177% —  (10,362) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
17,457,600  125,119  (141)  7/14/25  3 month USD-  0.30% —  (124,827) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
8,057,400  325,954  (107)  7/15/30  3 month USD-  0.645% —  (324,669) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
14,054,900  108,518  (133)  8/31/25  0.3084% —  3 month USD-  95,482 
        Semiannually  LIBOR-BBA —   
          Quarterly   
23,256,600  76,212 E  (130)  7/5/24  0.2429% —  3 month USD-  76,082 
        Semiannually  LIBOR-BBA —   
          Quarterly   
12,421,800  109,113  (101)  8/12/25  3 month USD-  0.277% —  (99,032) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
5,627,800  718,282 E  442,749  9/2/52  3 month USD-  1.188% —  (275,533) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
15,879,700  113,826  (150)  10/13/25  0.344% —  3 month USD-  99,169 
        Semiannually  LIBOR-BBA —   
          Quarterly   
42,072,400  24,907  (159)  9/16/22  3 month USD-  0.214% —  46,468 
        LIBOR-BBA —  Semiannually   
        Quarterly     
16,786,200  68,421  (136)  10/13/25  0.41% —  3 month USD-  49,627 
        Semiannually  LIBOR-BBA —   
          Quarterly   
194,076,200  1,119,043  (692,267)  1/15/26  0.418% —  3 month USD-  412,831 
        Semiannually  LIBOR-BBA —   
          Quarterly   
38,510,000  230,790  19,773  10/16/25  3 month USD-  0.37% —  (172,565) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
27,437,000  922,158  (18,685)  10/16/30  0.75% —  3 month USD-  845,667 
        Semiannually  LIBOR-BBA —   
          Quarterly   

 

72 Premier Income Trust 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$18,168,000  $2,055,964  $(48,956)  10/16/50  1.16% —  3 month USD-  $1,947,005 
        Semiannually  LIBOR-BBA —   
          Quarterly   
4,911,000  471,029  (205,079)  1/29/51  1.232% —  3 month USD-  265,700 
        Semiannually  LIBOR-BBA —   
          Quarterly   
7,413,500  132,220   —  12/7/30  3 month USD-  0.932% —  (124,455) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
6,079,100  143,923   —  12/7/30  0.871% —  3 month USD-  138,112 
        Semiannually  LIBOR-BBA —   
          Quarterly   
16,786,200  31,071  (136)  11/16/25  0.471% —  3 month USD-  22,399 
        Semiannually  LIBOR-BBA —   
          Quarterly   
2,392,900  185,426  (82)  12/17/50  1.305% —  3 month USD-  182,227 
        Semiannually  LIBOR-BBA —   
          Quarterly   
27,031,100  1,487 E  (151)  7/5/24  3 month USD-  0.41% —  1,336 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,303,300  115,474  (906)  12/1/50  3 month USD-  1.26% —  (114,149) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
27,807,400  50,415  (175)  12/2/23  0.300% —  3 month USD-  (53,536) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
30,190,900  1,093,484  (577)  12/2/33  3 month USD-  1.02% —  (1,055,237) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
263,095,000  319,660 E  (248,781)  3/17/23  3 month USD-  0.25% —  70,879 
        LIBOR-BBA —  Semiannually   
        Quarterly     
89,161,000  518,471 E  (143,115)  3/17/26  0.45% —  3 month USD-  375,357 
        Semiannually  LIBOR-BBA —   
          Quarterly   
2,134,000  52,157 E  (16,120)  3/17/31  0.90% —  3 month USD-  36,037 
        Semiannually  LIBOR-BBA —   
          Quarterly   
37,863,000  3,528,907 E  1,826,827  3/17/51  3 month USD-  1.25% —  (1,702,085) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
17,163,100  77,835  (139)  12/16/25  3 month USD-  0.428% —  (73,704) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
18,232,000  393,957 E  (3,364)  3/17/31  0.700% —  Secured  390,593 
        Annually  Overnight   
          Financing Rate —   
          Annually   

 

Premier Income Trust 73 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$4,661,900  $89,508 E  $(66)  6/22/31  3 month USD-  1.0025% —  $(89,574) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
11,239,000  42,382  (91)  12/31/25  3 month USD-  0.4515% —  (40,781) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
32,763,000  9,763  (124)  1/5/23  0.201% —  3 month USD-  (8,785) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
6,569,000  114,820  (87)  1/5/31  3 month USD-  0.944% —  (111,602) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,646,000  67  (6)  1/7/23  3 month USD-  0.188% —  (3) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
3,601,000  65,985  (48)  1/7/31  3 month USD-  0.9355% —  (64,379) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
552,000  14,682  (19)  1/8/51  3 month USD-  1.509% —  (14,254) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
552,000  9,568  (19)  1/8/51  3 month USD-  1.546% —  (9,128) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,749,000  658  (7)  1/8/23  3 month USD-  0.205% —  607 
        LIBOR-BBA —  Semiannually   
        Quarterly     
4,341,000  41,088  (58)  1/8/31  3 month USD-  1.0275% —  (38,973) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,736,000  33,133  (59)  1/8/51  3 month USD-  1.539% —  (31,756) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,292,000  739  (5)  1/11/23  3 month USD-  0.2145% —  719 
        LIBOR-BBA —  Semiannually   
        Quarterly     
3,917,000  21,414  (52)  1/11/31  3 month USD-  1.070% —  (19,651) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
16,153,500  22,421  (131)  1/13/26  0.5615% —  3 month USD-  (25,173) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
1,808,000  233  (24)  1/13/31  1.12792% —  3 month USD-  (1,063) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
2,815,000  1,605  (11)  1/13/23  3 month USD-  0.2145% —  1,562 
        LIBOR-BBA —  Semiannually   
        Quarterly     
3,334,000  2,874  (44)  1/13/31  3 month USD-  1.1355% —  4,328 
        LIBOR-BBA —  Semiannually   
        Quarterly     

 

74 Premier Income Trust 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
    Upfront         
    premium        Unrealized 
    received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
$4,461,000  $20,650  $(59)  1/14/31  1.1749% —  3 month USD-  $(22,663) 
        Semiannually  LIBOR-BBA —   
          Quarterly   
5,008,000  4,056  (19)  1/14/23  3 month USD-  0.228% —  3,991 
        LIBOR-BBA —  Semiannually   
        Quarterly     
6,505,000  28,921  (86)  1/14/31  3 month USD-  1.173% —  31,678 
        LIBOR-BBA —  Semiannually   
        Quarterly     
2,943,000  21,178  (100)  1/14/51  3 month USD-  1.644% —  23,018 
        LIBOR-BBA —  Semiannually   
        Quarterly     
1,984,000  1,413  (68)  1/15/51  1.625% —  3 month USD-  149 
        Semiannually  LIBOR-BBA —   
          Quarterly   
194,076,200  288,203 E  (1,832)  4/15/26  3 month USD-  0.615% —  286,371 
        LIBOR-BBA —  Semiannually   
        Quarterly     
5,736,000  4,038  (22)  1/15/23  3 month USD-  0.2235% —  3,933 
        LIBOR-BBA —  Semiannually   
        Quarterly     
7,656,000  6,584  (102)  1/15/31  3 month USD-  1.185% —  (3,752) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
5,648,000  29,494  (193)  1/15/51  1.5945% —  3 month USD-  25,942 
        Semiannually  LIBOR-BBA —   
          Quarterly   
5,647,600  37,014  (193)  1/26/51  3 month USD-  1.589% —  (36,163) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
3,129,700  410 E  (44)  4/15/31  1.165% —  3 month USD-  366 
        Semiannually  LIBOR-BBA —   
          Quarterly   
3,028,800  13,929 E  (43)  7/15/31  1.165% —  3 month USD-  13,887 
        Semiannually  LIBOR-BBA —   
          Quarterly   
4,589,000  2,960  (17)  1/15/23  3 month USD-  0.2205% —  2,870 
        LIBOR-BBA —  Semiannually   
        Quarterly     
6,125,000  16,752  (81)  1/15/31  3 month USD-  1.0991% —  (14,539) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
4,743,000  9,590  (63)  1/19/31  3 month USD-  1.1075% —  (8,285) 
        LIBOR-BBA —  Semiannually   
        Quarterly     
4,943,000  12,120  (66)  1/19/31  1.103% —  3 month USD-  10,636 
        Semiannually  LIBOR-BBA —   
          Quarterly   
1,552,000  7,270  (53)  1/19/51  3 month USD-  1.5965% —  (6,622) 
        LIBOR-BBA —  Semiannually   
        Quarterly     

 

Premier Income Trust 75 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
      Upfront         
      premium        Unrealized 
      received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
  $2,456,000  $12,118  $(84)  1/19/51  3 month USD-  1.5955% —  $(11,094) 
          LIBOR-BBA —  Semiannually   
          Quarterly     
  2,875,000  4,448  (98)  1/25/51  3 month USD-  1.609% —  (3,896) 
          LIBOR-BBA —  Semiannually   
          Quarterly     
  2,800,000  8,008  (37)  1/26/31  1.10% —  3 month USD-  7,644 
          Semiannually  LIBOR-BBA —   
            Quarterly   
  4,700,000  24,807  (62)  1/27/31  1.075% —  3 month USD-  24,322 
          Semiannually  LIBOR-BBA —   
            Quarterly   
  20,138,000  5,478  (76)  1/28/23  0.2005% —  3 month USD-  (5,401) 
          Semiannually  LIBOR-BBA —   
            Quarterly   
  8,314,000  167,677  (284)  2/1/51  3 month USD-  1.535% —  (167,960) 
          LIBOR-BBA —  Semiannually   
          Quarterly     
  34,403,200  30,791 E  (192)  1/31/25  0.735% —  3 month USD-  30,599 
          Semiannually  LIBOR-BBA —   
            Quarterly   
  5,748,000  4,081  (196)  2/2/51  1.621% —  3 month USD-  (4,277) 
          Semiannually  LIBOR-BBA —   
            Quarterly   
  24,492,000  490  (92)  2/2/23  0.1906% —  3 month USD-  (582) 
          Semiannually  LIBOR-BBA —   
            Quarterly   
AUD  177,000  3,425 E  (2)  1/30/35  1.692% —  6 month AUD-  3,424 
          Semiannually  BBR-BBSW —   
            Semiannually   
AUD  596,700  21,386 E  (6)  3/5/35  1.47% —  6 month AUD-  21,380 
          Semiannually  BBR-BBSW —   
            Semiannually   
AUD  221,500  9,109 E  (2)  3/25/35  1.4025% —  6 month AUD-  9,107 
          Semiannually  BBR-BBSW —   
            Semiannually   
AUD  345,400  18,800 E  (4)  3/28/40  1.445% —  6 month AUD-  18,795 
          Semiannually  BBR-BBSW —   
            Semiannually   
AUD  1,289,300  92,843 E  (15)  4/1/40  1.1685% —  6 month AUD-  92,828 
          Semiannually  BBR-BBSW —   
            Semiannually   
AUD  82,700  6,895 E  (2)  7/2/45  1.441% —  6 month AUD-  6,894 
          Semiannually  BBR-BBSW —   
            Semiannually   
AUD  4,501,000  90,177 E  28,199  3/17/31  6 month AUD-  0.90% —  (61,978) 
          BBR-BBSW —  Semiannually   
          Semiannually     
CAD  6,646,000  100,588 E  79,147  3/17/31  3 month CAD-  1.20% —  (21,440) 
          BA-CDOR —  Semiannually   
          Semiannually     

 

76 Premier Income Trust 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
      Upfront         
      premium        Unrealized 
      received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
CHF  4,433,000  $60,168 E  $(43,683)  3/17/31   —  0.33% plus  $16,486 
            6 month CHF-   
            LIBOR-BBA —   
            Semiannually   
EUR  1,144,400  539,748 E  (44)  11/29/58  1.484% —  6 month  (539,792) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  1,556,300  680,072  (60)  2/19/50  6 month  1.354% —  706,797 
          EUR-EURIBOR-  Annually   
          REUTERS —     
          Semiannually     
EUR  1,719,000  699,304  (66)  3/11/50  1.267% —  6 month  (725,531) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  1,739,200  673,258  (66)  3/12/50  1.2115% —  6 month  (698,616) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  2,008,000  707,720  (77)  3/26/50  1.113% —  6 month  (733,717) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  1,798,800  755,775 E  (68)  11/29/58  6 month  1.343% —  755,707 
          EUR-EURIBOR-  Annually   
          REUTERS —     
          Semiannually     
EUR  2,077,000  683,345  (79)  2/19/50  1.051% —  6 month  (712,280) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  1,655,300  532,996 E  (63)  6/7/54  1.054% —  6 month  (533,059) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  1,510,500  417,567  (58)  2/19/50  0.9035% —  6 month  (436,171) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  904,900  216,776  (35)  2/21/50  0.80% —  6 month  (226,870) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  3,288,600  375,845 E  (125)  8/8/54  0.49% —  6 month  (375,970) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  2,023,200  22,684 E  (76)  6/6/54  6 month  0.207% —  22,608 
          EUR-EURIBOR-  Annually   
          REUTERS —     
          Semiannually     

 

Premier Income Trust 77 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
      Upfront         
      premium        Unrealized 
      received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
EUR  2,735,100  $102,593  $(102)  2/19/50  0.233% —  6 month  $(116,194) 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  11,076,900  1,844,401  (418)  2/19/50  6 month  0.595% —  1,942,563 
          EUR-EURIBOR-  Annually   
          REUTERS —     
          Semiannually     
EUR  1,285,600  18,506 E  (48)  3/4/54  0.134% —  6 month  18,458 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  585,600  86,188 E  (23)  3/13/54   —  0.2275%  86,166 
            plus 6 month   
            EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  3,783,300  72,541 E  (80)  5/13/40  6 month  0.276% —  (72,622) 
          EUR-EURIBOR-  Annually   
          REUTERS —     
          Semiannually     
EUR  1,853,200  26,839 E  (40)  6/24/40  0.315% —  6 month  26,799 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  2,522,800  35,064 E  (58)  1/16/40  0.315% —  6 month  35,005 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  863,600  12,008 E  (20)  3/28/40  0.3175% —  6 month  11,988 
          Annually  EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
EUR  11,712,000  181,672 E  (159,229)  3/17/31   —  0.30% plus  22,443 
            6 month   
            EUR-EURIBOR-   
            REUTERS —   
            Semiannually   
GBP  3,994,000  94,995 E  6,107  3/17/31  Sterling  0.12% —  (88,888) 
          Overnight  Annually   
          Index Average —     
          Annually     
JPY  110,098,700  62,854 E  (32)  8/29/43  0.7495% —  6 month JPY-  (62,886) 
          Semiannually  LIBOR-BBA —   
            Semiannually   
JPY  140,532,700  65,758 E  (42)  8/29/43  0.194% —  6 month JPY-  65,715 
          Semiannually  LIBOR-BBA —   
            Semiannually   
NOK  23,386,000  50,414 E  (1,421)  3/17/31  6 month NOK-  1.20% —  (51,835) 
          NIBOR-NIBR —  Annually   
          Semiannually     

 

78 Premier Income Trust 

 


 

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
      Upfront         
      premium        Unrealized 
      received  Termination  Payments  Payments  appreciation/ 
Notional amount  Value  (paid)  date  made by fund  received by fund  (depreciation) 
NZD  2,861,000  $60,795 E  $2,708  3/17/31  3 month NZD-  0.90% —  $(58,087) 
          BBR-FRA —  Semiannually   
          Quarterly     
SEK  61,910,000  112,717 E  (23,133)  3/17/31  0.300% —  3 month SEK-  89,584 
          Annually  STIBOR-SIDE —   
            Quarterly   
Total      $217,939        $(768,899) 

 

E Extended effective date.

 

OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited)   
    Upfront         
    premium  Termina-  Payments  Total return  Unrealized 
Swap counterparty/    received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
Barclays Bank PLC             
$711,926  $713,870  $—  1/12/40  4.00% (1 month  Synthetic MBX  $3,276 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
120,711  121,041   —  1/12/40  4.00% (1 month  Synthetic MBX  555 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
85,273  85,506   —  1/12/40  4.00% (1 month  Synthetic MBX  392 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
9,702,922  9,720,150   —  1/12/41  5.00% (1 month  Synthetic MBX  38,925 
        USD-LIBOR) —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
1,152,459  1,152,459   —  1/12/40  5.00% (1 month  Synthetic MBX  2,597 
        USD-LIBOR) —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
376,289  376,984   —  1/12/39  (6.00%) 1 month  Synthetic MBX  (1,674) 
        USD-LIBOR —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
6,524,540  6,534,481   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (27,671) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
75,640  72,912   —  1/12/43  3.50% (1 month  Synthetic TRS  (1,756) 
        USD-LIBOR) —  Index 3.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
48,601  47,689   —  1/12/42  4.00% (1 month  Synthetic TRS  (231) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   

 

Premier Income Trust 79 

 


 

OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
    Upfront         
    premium  Termina-  Payments  Total return  Unrealized 
Swap counterparty/    received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
Barclays Bank PLC cont.             
$246,383  $241,917   $—  1/12/41  (4.00%) 1 month  Synthetic TRS  $934 
        USD-LIBOR —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
194,652  190,919   —  1/12/41  (5.00%) 1 month  Synthetic TRS  744 
        USD-LIBOR —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
77,360  76,498   —  1/12/41  5.00% (1 month  Synthetic TRS Index  172 
        USD-LIBOR) —  5.00% 30 year Ginnie   
        Monthly  Mae II pools —   
          Monthly   
59,058  58,400   —  1/12/41  5.00% (1 month  Synthetic TRS Index  132 
        USD-LIBOR) —  5.00% 30 year Ginnie   
        Monthly  Mae II pools —   
          Monthly   
46,569  46,051   —  1/12/41  5.00% (1 month  Synthetic TRS Index  104 
        USD-LIBOR) —  5.00% 30 year Ginnie   
        Monthly  Mae II pools —   
          Monthly   
65,581  65,037   —  1/12/39  6.00% (1 month  Synthetic TRS  300 
        USD-LIBOR) —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
136,632  138,317   —  1/12/38  6.50% (1 month  Synthetic TRS  3,437 
        USD-LIBOR) —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
19,606  19,848   —  1/12/38  6.50% (1 month  Synthetic TRS  493 
        USD-LIBOR) —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
9,230  9,344   —  1/12/38  6.50% (1 month  Synthetic TRS  232 
        USD-LIBOR) —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
Citibank, N.A.             
1,299,426  1,301,733   —  1/12/41  5.00% (1 month  Synthetic MBX  5,213 
        USD-LIBOR) —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
571,098  572,112   —  1/12/41  5.00% (1 month  Synthetic MBX  2,291 
        USD-LIBOR) —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
198,487  198,840   —  1/12/41  5.00% (1 month  Synthetic MBX  796 
        USD-LIBOR) —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   

 

80 Premier Income Trust 

 


 

OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
    Upfront         
    premium  Termina-  Payments  Total return  Unrealized 
Swap counterparty/    received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
Credit Suisse International           
$433,142  $433,911   $—  1/12/41  5.00% (1 month  Synthetic MBX  $1,738 
        USD-LIBOR) —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
131,850  130,382   —  1/12/41  5.00% (1 month  Synthetic MBX Index  294 
        USD-LIBOR) —  5.00% 30 year Ginnie   
        Monthly  Mae II pools —   
          Monthly   
89,032  85,821   —  1/12/43  3.50% (1 month  Synthetic TRS  (2,067) 
        USD-LIBOR) —  Index 3.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
24,535  23,650   —  1/12/43  3.50% (1 month  Synthetic TRS  (570) 
        USD-LIBOR) —  Index 3.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
14,035  13,529   —  1/12/43  3.50% (1 month  Synthetic TRS  (326) 
        USD-LIBOR) —  Index 3.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
301,497  293,732   —  1/12/45  4.00% (1 month  Synthetic TRS  (3,225) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
108,115  105,330   —  1/12/45  4.00% (1 month  Synthetic TRS  (1,156) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
63,317  62,170   —  1/12/41  4.00% (1 month  Synthetic TRS  (240) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
5,075  4,983   —  1/12/41  4.00% (1 month  Synthetic TRS  (19) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
68,392  67,153   —  1/12/41  (4.00%) 1 month  Synthetic TRS  259 
        USD-LIBOR —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
119,172  116,886   —  1/12/41  (5.00%) 1 month  Synthetic TRS  456 
        USD-LIBOR —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
130,799  128,291   —  1/12/41  (5.00%) 1 month  Synthetic TRS  500 
        USD-LIBOR —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
123,466  122,091   —  1/12/41  5.00% (1 month  Synthetic TRS Index  275 
        USD-LIBOR) —  5.00% 30 year Ginnie   
        Monthly  Mae II pools —   
          Monthly   

 

Premier Income Trust 81 

 


 

OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
    Upfront         
    premium  Termina-  Payments  Total return  Unrealized 
Swap counterparty/    received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
Deutsche Bank AG             
$479,888  $480,620   $—  1/12/38  (6.50%) 1 month  Synthetic MBX  $(2,035) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
Goldman Sachs International           
19,699  19,729   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (84) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
52,548  52,628   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (223) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
114,189  114,363   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (484) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
214,270  214,597   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (909) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
257,100  257,492   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (1,090) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
303,961  304,424   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (1,289) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
416,423  417,058   —  1/12/38  (6.50%) 1 month  Synthetic MBX  (1,766) 
        USD-LIBOR —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
160,668  156,401   —  1/12/44  (3.00%) 1 month  Synthetic TRS  2,117 
        USD-LIBOR —  Index 3.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
152,422  146,925   —  1/12/43  (3.50%) 1 month  Synthetic TRS  3,539 
        USD-LIBOR —  Index 3.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
375,818  366,139   —  1/12/45  4.00% (1 month  Synthetic TRS  (4,020) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
274,473  269,327   —  1/12/42  4.00% (1 month  Synthetic TRS  (1,303) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   

 

82 Premier Income Trust 

 


 

OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
    Upfront         
    premium  Termina-  Payments  Total return  Unrealized 
Swap counterparty/    received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
Goldman Sachs International cont.           
$237,532  $233,079   $—  1/12/42  4.00% (1 month  Synthetic TRS  $(1,127) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
120,586  118,325   —  1/12/42  4.00% (1 month  Synthetic TRS  (572) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
120,586  118,325   —  1/12/42  4.00% (1 month  Synthetic TRS  (572) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
107,284  104,521   —  1/12/45  4.00% (1 month  Synthetic TRS  (1,148) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
388,983  381,933   —  1/12/41  (4.00%) 1 month  Synthetic TRS  1,474 
        USD-LIBOR —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
186,571  182,993   —  1/12/41  (5.00%) 1 month  Synthetic TRS  714 
        USD-LIBOR —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
95,709  94,914   —  1/12/39  6.00% (1 month  Synthetic TRS  437 
        USD-LIBOR) —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
92,451  91,684   —  1/12/39  6.00% (1 month  Synthetic TRS  423 
        USD-LIBOR) —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
46,228  45,844   —  1/12/39  6.00% (1 month  Synthetic TRS  211 
        USD-LIBOR) —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
45,948  45,566   —  1/12/39  6.00% (1 month  Synthetic TRS  210 
        USD-LIBOR) —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
6,911  6,853   —  1/12/39  6.00% (1 month  Synthetic TRS  32 
        USD-LIBOR) —  Index 6.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
42,984  43,515   —  1/12/38  6.50% (1 month  Synthetic TRS  1,081 
        USD-LIBOR) —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   

 

Premier Income Trust 83 

 


 

OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont.   
    Upfront         
    premium  Termina-  Payments  Total return  Unrealized 
Swap counterparty/    received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
Goldman Sachs International cont.           
$3,092  $3,130   $—  1/12/38  6.50% (1 month  Synthetic TRS  $78 
        USD-LIBOR) —  Index 6.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
JPMorgan Chase Bank N. A.           
340,675  334,501   —  1/12/41  4.00% (1 month  Synthetic TRS  (1,291) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
197,663  194,081   —  1/12/41  4.00% (1 month  Synthetic TRS  (749) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
65,706  64,516   —  1/12/41  4.00% (1 month  Synthetic TRS  (249) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
31,321  30,753   —  1/12/41  4.00% (1 month  Synthetic TRS  (119) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
186,571  182,993   —  1/12/41  (5.00%) 1 month  Synthetic TRS  714 
        USD-LIBOR —  Index 5.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
JPMorgan Securities LLC           
285,548  282,368   —  1/12/41  (5.00%) 1 month  Synthetic MBX Index  (636) 
        USD-LIBOR —  5.00% 30 year Ginnie   
        Monthly  Mae II pools —   
          Monthly   
50,819  48,986   —  1/12/43  (3.50%) 1 month  Synthetic TRS  1,180 
        USD-LIBOR —  Index 3.50% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
201,238  196,673   —  1/12/44  4.00% (1 month  Synthetic TRS  (1,775) 
        USD-LIBOR) —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
801,778  786,744   —  1/12/42  (4.00%) 1 month  Synthetic TRS  3,805 
        USD-LIBOR —  Index 4.00% 30 year   
        Monthly  Fannie Mae pools —   
          Monthly   
Morgan Stanley & Co. International PLC         
2,285,366  2,285,366   —  7/17/24  3.825% (3 month  Pera Funding DAC,  6,820 
        USD-LIBOR-BBA  3.825%, Series   
        minus 0.12%) —  2019–01, 07/10/24 —   
        Quarterly  Quarterly   
Upfront premium received   —    Unrealized appreciation  86,950 
Upfront premium (paid)     —    Unrealized (depreciation)  (60,376) 
Total    $—    Total    $26,574 

 

84 Premier Income Trust 

 


 

CENTRALLY CLEARED TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited)   
      Upfront         
      premium  Termina-  Payments  Total return  Unrealized 
      received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
EUR  7,727,000  $924,301  $(276)  5/15/40  (.961%) — At  Eurostat Eurozone  $924,025 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  15,471,000  887,899  (286)  5/15/30  (.655%) — At  Eurostat Eurozone  887,614 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  15,471,000  872,466  (286)  5/15/30  (.6625%) — At  Eurostat Eurozone  872,181 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  4,375,000  607,132   —  7/15/37  1.71% — At  Eurostat Eurozone  607,132 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  4,375,000  218,567   —  7/15/27  (1.40%) — At  Eurostat Eurozone  (218,567) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  14,401,000  550,557  (169)  9/15/23  (1.4375%) — At  Eurostat Eurozone  (550,726) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  14,401,000  554,087  (169)  9/15/23  (1.44125%) — At  Eurostat Eurozone  (554,256) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  14,401,000  555,258  (170)  9/15/23  (1.4425%) — At  Eurostat Eurozone  (555,428) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  14,401,000  556,429  (170)  9/15/23  (1.44375%) — At  Eurostat Eurozone  (556,599) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  7,727,000  1,512,461  (365)  5/15/50  1.13% — At  Eurostat Eurozone  (1,512,825) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  15,471,000  1,967,321  (549)  5/15/40  0.935% — At  Eurostat Eurozone  (1,967,870) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
EUR  15,471,000  1,989,700  (549)  5/15/40  0.93% — At  Eurostat Eurozone  (1,990,249) 
          maturity  HICP excluding   
            tobacco — At   
            maturity   
GBP  8,846,000  913,280  (189)  12/15/28  3.665% — At  GBP Non-revised UK  913,091 
          maturity  Retail Price Index —   
            At maturity   

 

Premier Income Trust 85 

 


 

CENTRALLY CLEARED TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 1/31/21 (Unaudited) cont. 
      Upfront         
      premium  Termina-  Payments  Total return  Unrealized 
      received  tion  received (paid)  received by  appreciation/ 
Notional amount  Value  (paid)  date  by fund  or paid by fund  (depreciation) 
GBP  9,908,000  $492,748  $(234)  3/15/28  3.34% — At  GBP Non-revised UK  $492,514 
          maturity  Retail Price Index —   
            At maturity   
GBP  6,900,000  421,867  (160)  3/15/28  3.4025% — At  GBP Non-revised UK  421,708 
          maturity  Retail Price Index —   
            At maturity   
GBP  9,486,000  418,498  (124)  11/15/24  3.385% — At  GBP Non-revised UK  418,374 
          maturity  Retail Price Index —   
            At maturity   
GBP  5,308,000  283,696  (124)  2/15/28  3.34% — At  GBP Non-revised UK  283,572 
          maturity  Retail Price Index —   
            At maturity   
GBP  4,743,000  207,761  (62)  11/15/24  3.381% — At  GBP Non-revised UK  207,699 
          maturity  Retail Price Index —   
            At maturity   
GBP  4,743,000  197,259   —  12/15/24  3.42% — At  GBP Non-revised UK  197,259 
          maturity  Retail Price Index —   
            At maturity   
GBP  2,477,000  144,650  (58)  3/15/28  3.3875% — At  GBP Non-revised UK  144,592 
          maturity  Retail Price Index —   
            At maturity   
GBP  2,661,000  988,007  (140)  7/15/49  (3.4425%) — At  GBP Non-revised UK  (988,147) 
          maturity  Retail Price Index —   
            At maturity   
  $6,825,000  140,732  (69)  11/29/24  (1.703%) — At  USA Non Revised  140,663 
          maturity  Consumer Price   
            Index-Urban   
            (CPI-U) — At   
            maturity   
  6,825,000  115,452  (69)  12/10/24  (1.7625%) — At  USA Non Revised  115,383 
          maturity  Consumer Price   
            Index-Urban   
            (CPI-U) — At   
            maturity   
  24,570,000  2,011,718  145,229  7/10/30  1.6625% — At  USA Non Revised  (1,866,493) 
          maturity  Consumer Price   
            Index-Urban   
            (CPI-U) — At   
            maturity   
  22,765,000  2,021,054  31,839  6/30/30  1.586% — At  USA Non Revised  (1,989,215) 
          maturity  Consumer Price   
            Index- Urban   
            (CPI-U) — At   
            maturity   
Total      $172,850        $(6,124,568) 

 

86 Premier Income Trust 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 1/31/21 (Unaudited) 
    Upfront           
    premium      Termi-  Payments  Unrealized 
Swap counterparty/    received  Notional    nation  received  appreciation/ 
Referenced debt*  Rating***  (paid)**  amount  Value  date  by fund  (depreciation) 
Bank of America N.A.             
CMBX NA BBB–.6  BB/P  $9,980  $146,000  $37,902  5/11/63  300 bp —  $(27,837) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  19,586  325,000  84,370  5/11/63  300 bp —  (64,595) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  40,127  650,000  168,740  5/11/63  300 bp —  (128,233) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  38,247  671,000  174,192  5/11/63  300 bp —  (135,553) 
Index            Monthly   
Citigroup Global Markets, Inc.             
CMBX NA A.6  A/P  14,591  115,000  8,625  5/11/63  200 bp —  6,010 
Index            Monthly   
CMBX NA A.6  A/P  38,358  229,000  17,175  5/11/63  200 bp —  21,272 
Index            Monthly   
CMBX NA A.6  A/P  53,845  356,000  26,700  5/11/63  200 bp —  27,283 
Index            Monthly   
CMBX NA A.6  A/P  55,884  362,000  27,150  5/11/63  200 bp —  28,875 
Index            Monthly   
CMBX NA A.6  A/P  46,648  397,000  29,775  5/11/63  200 bp —  17,027 
Index            Monthly   
CMBX NA A.6  A/P  72,342  409,000  30,675  5/11/63  200 bp —  41,826 
Index            Monthly   
CMBX NA A.6  A/P  61,189  441,000  33,075  5/11/63  200 bp —  28,285 
Index            Monthly   
CMBX NA A.6  A/P  113,216  681,000  51,075  5/11/63  200 bp —  62,406 
Index            Monthly   
CMBX NA BB.11  BB–/P  167,805  297,000  54,232  11/18/54  500 bp —  113,862 
Index            Monthly   
CMBX NA BB.12  BB–/P  11,025  21,000  3,398  8/17/61  500 bp —  7,648 
Index            Monthly   
CMBX NA BB.6  B/P  385,740  2,689,000  1,131,262  5/11/63  500 bp —  (742,908) 
Index            Monthly   
CMBX NA BB.7  B+/P  136,056  2,666,000  999,483  1/17/47  500 bp —  (860,836) 
Index            Monthly   
CMBX NA BBB–  BBB–/P  99,392  627,000  50,912  8/17/61  300 bp —  48,845 
.12 Index            Monthly   
CMBX NA BBB–  BBB–/P  23,240  265,000  20,034  12/16/72  300 bp —  3,360 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  228,505  2,428,000  183,557  12/16/72  300 bp —  46,365 
.13 Index            Monthly   
CMBX NA BBB–.6  BB/P  480  6,000  1,558  5/11/63  300 bp —  (1,074) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  22,091  335,000  86,966  5/11/63  300 bp —  (64,680) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  24,805  377,000  97,869  5/11/63  300 bp —  (72,844) 
Index            Monthly   

 

Premier Income Trust 87 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 1/31/21 (Unaudited) cont. 
    Upfront           
    premium      Termi-  Payments  Unrealized 
Swap counterparty/    received  Notional    nation  received  appreciation/ 
Referenced debt*  Rating***  (paid)**  amount  Value  date  by fund  (depreciation) 
Citigroup Global Markets, Inc. cont.           
CMBX NA BBB–.6  BB/P  $43,570  $640,000  $166,144  5/11/63  300 bp —  $(122,201) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  642,011  10,082,000  2,617,287  5/11/63  300 bp —  (1,969,395) 
Index            Monthly   
Credit Suisse International             
CMBX NA BB.7  B+/P  63,938  478,000  179,202  1/17/47  500 bp —  (114,800) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  108,504  982,000  254,927  5/11/63  300 bp —  (145,850) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  251,482  2,276,000  590,850  5/11/63  300 bp —  (338,040) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  2,334,309  24,843,000  6,449,243  5/11/63  300 bp —  (4,100,442) 
Index            Monthly   
CMBX NA BBB–.7  BB+/P  27,745  351,000  71,604  1/17/47  300 bp —  (43,655) 
Index            Monthly   
CMBX NA BBB–.7  BB+/P  138,664  1,876,000  382,704  1/17/47  300 bp —  (242,945) 
Index            Monthly   
CMBX NA BBB–.7  BB+/P  143,170  2,180,000  444,720  1/17/47  300 bp —  (300,278) 
Index            Monthly   
Goldman Sachs International             
CMBX NA BB.6  B/P  188,650  440,000  185,108  5/11/63  500 bp —  3,970 
Index            Monthly   
CMBX NA BB.9  B+/P  10,109  25,000  7,383  9/17/58  500 bp —  2,751 
Index            Monthly   
CMBX NA BBB–  BBB–/P  1,681  16,000  1,210  12/16/72  300 bp —  481 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  4,737  80,000  6,048  12/16/72  300 bp —  (1,265) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  4,765  80,000  6,048  12/16/72  300 bp —  (1,236) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  8,843  121,000  9,148  12/16/72  300 bp —  (234) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  29,127  184,000  13,910  12/16/72  300 bp —  15,324 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  34,871  206,000  15,574  12/16/72  300 bp —  19,418 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  35,263  206,000  15,574  12/16/72  300 bp —  19,810 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  33,222  212,000  16,027  12/16/72  300 bp —  17,319 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  13,367  226,000  17,086  12/16/72  300 bp —  (3,587) 
.13 Index            Monthly   
CMBX NA BBB–.6  BB/P  74  1,000  260  5/11/63  300 bp —  (185) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  73  1,000  260  5/11/63  300 bp —  (186) 
Index            Monthly   

 

88 Premier Income Trust 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 1/31/21 (Unaudited) cont. 
    Upfront           
    premium      Termi-  Payments  Unrealized 
Swap counterparty/    received  Notional    nation  received  appreciation/ 
Referenced debt*  Rating***  (paid)**  amount  Value  date  by fund  (depreciation) 
Goldman Sachs International cont.           
CMBX NA BBB–.6  BB/P  $228  $3,000  $779  5/11/63  300 bp —  $(549) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  401  5,000  1,298  5/11/63  300 bp —  (894) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  657  13,000  3,375  5/11/63  300 bp —  (2,711) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  1,187  15,000  3,894  5/11/63  300 bp —  (2,698) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  2,942  35,000  9,086  5/11/63  300 bp —  (6,124) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  14,630  88,000  22,845  5/11/63  300 bp —  (8,163) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  11,917  89,000  23,104  5/11/63  300 bp —  (11,136) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  11,844  89,000  23,104  5/11/63  300 bp —  (11,209) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  10,089  114,000  29,594  5/11/63  300 bp —  (19,439) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  20,235  183,000  47,507  5/11/63  300 bp —  (27,165) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  25,594  188,000  48,805  5/11/63  300 bp —  (23,101) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  9,360  192,000  49,843  5/11/63  300 bp —  (40,371) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  21,361  203,000  52,699  5/11/63  300 bp —  (31,219) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  17,848  206,000  53,478  5/11/63  300 bp —  (35,509) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  26,299  216,000  56,074  5/11/63  300 bp —  (29,649) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  24,541  223,000  57,891  5/11/63  300 bp —  (33,220) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  25,154  225,000  58,410  5/11/63  300 bp —  (33,125) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  27,421  245,000  63,602  5/11/63  300 bp —  (36,038) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  13,938  269,000  69,832  5/11/63  300 bp —  (55,737) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  24,979  296,000  76,842  5/11/63  300 bp —  (51,690) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  26,076  309,000  80,216  5/11/63  300 bp —  (53,960) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  18,186  355,000  92,158  5/11/63  300 bp —  (73,765) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  58,232  389,000  100,984  5/11/63  300 bp —  (42,525) 
Index            Monthly   

 

Premier Income Trust 89 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 1/31/21 (Unaudited) cont. 
    Upfront           
    premium      Termi-  Payments  Unrealized 
Swap counterparty/    received  Notional    nation  received  appreciation/ 
Referenced debt*  Rating***  (paid)**  amount  Value  date  by fund  (depreciation) 
Goldman Sachs International cont.           
CMBX NA BBB–.6  BB/P  $57,641  $392,000  $101,763  5/11/63  300 bp —  $(43,894) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  44,904  403,000  104,619  5/11/63  300 bp —  (59,480) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  34,559  417,000  108,253  5/11/63  300 bp —  (73,451) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  45,228  418,000  108,513  5/11/63  300 bp —  (63,041) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  45,403  418,000  108,513  5/11/63  300 bp —  (62,866) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  23,107  443,000  115,003  5/11/63  300 bp —  (91,637) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  51,553  462,000  119,935  5/11/63  300 bp —  (68,113) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  51,553  462,000  119,935  5/11/63  300 bp —  (68,113) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  73,722  531,000  137,848  5/11/63  300 bp —  (63,816) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  48,875  566,000  146,934  5/11/63  300 bp —  (97,729) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  86,808  576,000  149,530  5/11/63  300 bp —  (62,385) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  59,933  597,000  154,981  5/11/63  300 bp —  (94,700) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  31,646  638,000  165,625  5/11/63  300 bp —  (133,606) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  76,544  707,000  183,537  5/11/63  300 bp —  (106,581) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  69,759  928,000  240,909  5/11/63  300 bp —  (170,609) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  134,739  961,000  249,476  5/11/63  300 bp —  (114,176) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  118,398  1,074,000  278,810  5/11/63  300 bp —  (159,786) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  124,607  1,193,000  309,703  5/11/63  300 bp —  (184,400) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  184,707  1,551,000  402,640  5/11/63  300 bp —  (217,028) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  93,617  1,935,000  502,326  5/11/63  300 bp —  (407,581) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  320,704  2,144,000  556,582  5/11/63  300 bp —  (234,627) 
Index            Monthly   
CMBX NA BBB–.7  BB+/P  54,254  734,000  149,736  1/17/47  300 bp —  (95,054) 
Index            Monthly   

 

90 Premier Income Trust 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 1/31/21 (Unaudited) cont. 
    Upfront           
    premium      Termi-  Payments  Unrealized 
Swap counterparty/    received  Notional    nation  received  appreciation/ 
Referenced debt*  Rating***  (paid)**  amount  Value  date  by fund  (depreciation) 
JPMorgan Securities LLC             
CMBX NA BB.10  BB–/P  $50,149  $625,000  $199,438  5/11/63  500 bp —  $(148,681) 
Index            Monthly   
CMBX NA BB.6  B/P  10,811  21,000  8,835  5/11/63  500 bp —  1,997 
Index            Monthly   
CMBX NA BBB–  BBB–/P  11,377  124,000  9,374  12/16/72  300 bp —  2,075 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  8,279  140,000  10,584  12/16/72  300 bp —  (2,224) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  28,187  140,000  10,584  12/16/72  300 bp —  17,684 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  28,481  181,000  13,684  12/16/72  300 bp —  14,903 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  47,535  261,000  19,732  12/16/72  300 bp —  27,956 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  57,241  286,000  21,622  12/16/72  300 bp —  35,786 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  27,531  465,000  35,154  12/16/72  300 bp —  (7,351) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  76,333  788,000  59,573  12/16/72  300 bp —  17,220 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  104,659  1,108,000  83,765  12/16/72  300 bp —  21,541 
.13 Index            Monthly   
CMBX NA BBB–.6  BB/P  13,168,536  41,190,000  10,692,924  5/11/63  300 bp —  2,499,643 
Index            Monthly   
Merrill Lynch International             
CMBX NA BB.6  B/P  28,625  256,000  107,699  5/11/63  500 bp —  (78,825) 
Index            Monthly   
CMBX NA BBB– .6  BB/P  1,261,825  4,683,000  1,215,707  5/11/63  300 bp —  48,850 
Index            Monthly   
Morgan Stanley & Co. International PLC           
CMBX NA BB.6  B/P  101,667  414,000  174,170  5/11/63  500 bp —  (72,101) 
Index            Monthly   
CMBX NA BB.6  B/P  173,227  703,000  295,752  5/11/63  500 bp —  (121,842) 
Index            Monthly   
CMBX NA BB.6  B/P  345,017  813,000  342,029  5/11/63  500 bp —  3,552 
Index            Monthly   
CMBX NA BBB–  BBB–/P  13,609  67,000  5,065  12/16/72  300 bp —  8,583 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  4,553  77,000  5,821  12/16/72  300 bp —  (1,223) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  7,660  82,000  6,199  12/16/72  300 bp —  1,509 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  13,044  142,000  10,735  12/16/72  300 bp —  2,392 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  9,817  144,000  10,886  12/16/72  300 bp —  (985) 
.13 Index            Monthly   

 

Premier Income Trust 91 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 1/31/21 (Unaudited) cont. 
    Upfront           
    premium      Termi-  Payments  Unrealized 
Swap counterparty/    received  Notional    nation  received  appreciation/ 
Referenced debt*  Rating***  (paid)**  amount  Value  date  by fund  (depreciation) 
Morgan Stanley & Co. International PLC cont.           
CMBX NA BBB–  BBB–/P  $27,073  $144,000  $10,886  12/16/72  300 bp —  $16,270 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  33,518  205,000  15,498  12/16/72  300 bp —  18,139 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  33,359  212,000  16,027  12/16/72  300 bp —  17,455 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  12,002  216,000  16,330  12/16/72  300 bp —  (4,202) 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  55,274  351,000  26,536  12/16/72  300 bp —  28,943 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  61,787  676,000  51,106  12/16/72  300 bp —  11,075 
.13 Index            Monthly   
CMBX NA BBB–  BBB–/P  165,280  839,000  63,428  12/16/72  300 bp —  102,341 
.13 Index            Monthly   
CMBX NA BBB–.6  BB/P  147  2,000  519  5/11/63  300 bp —  (371) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  1,202  15,000  3,894  5/11/63  300 bp —  (2,683) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  20,598  312,000  80,995  5/11/63  300 bp —  (60,215) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  20,812  317,000  82,293  5/11/63  300 bp —  (61,296) 
Index            Monthly   
CMBX NA BBB–.6  BB/P  382,260  1,108,000  287,637  5/11/63  300 bp —  95,270 
Index            Monthly   
CMBX NA BBB–.6  BB/P  1,313,931  19,833,000  5,148,647  5/11/63  300 bp —  (3,823,147) 
Index            Monthly   
Upfront premium received  25,712,113  Unrealized appreciation    3,525,321 
Upfront premium (paid)   —  Unrealized (depreciation)    (17,170,675) 
Total    $25,712,113  Total      $(13,645,354) 

 

* Payments related to the referenced debt are made upon a credit default event.

** Upfront premium is based on the difference between the original spread on issue and the market spread on day of execution.

*** Ratings for an underlying index represent the average of the ratings of all the securities included in that index. The Moody’s, Standard & Poor’s or Fitch ratings are believed to be the most recent ratings available at January 31, 2021. Securities rated by Putnam are indicated by “/P.” The Putnam rating categories are comparable to the Standard & Poor’s classifications.

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 1/31/21 (Unaudited) 
  Upfront           
  premium      Termi-  Payments  Unrealized 
Swap counterparty/  received  Notional    nation  (paid)  appreciation/ 
Referenced debt*  (paid)**  amount  Value  date  by fund  (depreciation) 
Citigroup Global Markets, Inc.             
CMBX NA BB.10 Index  $(30,474)  $292,000  $93,177  11/17/59  (500 bp) —  $62,419 
          Monthly   
CMBX NA BB.10 Index  (26,425)  241,000  76,903  11/17/59  (500 bp) —  50,244 
          Monthly   

 

92 Premier Income Trust 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 1/31/21 (Unaudited) cont. 
  Upfront           
  premium      Termi-  Payments  Unrealized 
Swap counterparty/  received  Notional    nation  (paid)  appreciation/ 
Referenced debt*  (paid)**  amount  Value  date  by fund  (depreciation) 
Citigroup Global Markets, Inc. cont.           
CMBX NA BB.11 Index  $(113,495)  $876,000  $159,958  11/18/54  (500 bp) —  $45,611 
          Monthly   
CMBX NA BB.11 Index  (28,279)  300,000  54,780  11/18/54  (500 bp) —  26,210 
          Monthly   
CMBX NA BB.11 Index  (9,895)  194,000  35,424  11/18/54  (500 bp) —  25,340 
          Monthly   
CMBX NA BB.11 Index  (3,683)  71,000  12,965  11/18/54  (500 bp) —  9,212 
          Monthly   
CMBX NA BB.12 Index  (29,363)  90,000  14,562  8/17/61  (500 bp) —  (14,888) 
          Monthly   
CMBX NA BB.8 Index  (17,507)  136,106  48,005  10/17/57  (500 bp) —  30,365 
          Monthly   
CMBX NA BB.9 Index  (164,016)  1,589,000  469,232  9/17/58  (500 bp) —  303,671 
          Monthly   
CMBX NA BB.9 Index  (39,744)  616,000  181,905  9/17/58  (500 bp) —  141,562 
          Monthly   
CMBX NA BB.9 Index  (16,453)  255,000  75,302  9/17/58  (500 bp) —  58,601 
          Monthly   
CMBX NA BB.9 Index  (7,301)  186,000  54,926  9/17/58  (500 bp) —  47,444 
          Monthly   
CMBX NA BB.9 Index  (5,365)  148,000  43,704  9/17/58  (500 bp) —  38,195 
          Monthly   
CMBX NA BB.9 Index  (1,935)  48,000  14,174  9/17/58  (500 bp) —  12,193 
          Monthly   
CMBX NA BBB– .10 Index  (417,463)  2,428,000  296,702  11/17/59  (300 bp) —  (122,178) 
          Monthly   
CMBX NA BBB– .10 Index  (112,583)  485,000  59,267  11/17/59  (300 bp) —  (53,599) 
          Monthly   
CMBX NA BBB– .10 Index  (44,315)  349,000  42,648  11/17/59  (300 bp) —  (1,871) 
          Monthly   
CMBX NA BBB– .10 Index  (82,547)  346,000  42,281  11/17/59  (300 bp) —  (40,467) 
          Monthly   
CMBX NA BBB– .10 Index  (53,699)  246,000  30,061  11/17/59  (300 bp) —  (23,782) 
          Monthly   
CMBX NA BBB– .10 Index  (46,791)  215,000  26,273  11/17/59  (300 bp) —  (20,644) 
          Monthly   
CMBX NA BBB– .10 Index  (38,387)  156,000  19,063  11/17/59  (300 bp) —  (19,414) 
          Monthly   
CMBX NA BBB– .12 Index  (8,563)  42,000  3,410  8/17/61  (300 bp) —  (5,178) 
          Monthly   
CMBX NA BBB–.10 Index  (98,315)  330,000  40,326  11/17/59  (300 bp) —  (58,181) 
          Monthly   
CMBX NA BBB–.11 Index  (133,150)  416,000  29,286  11/18/54  (300 bp) —  (104,106) 
          Monthly   
CMBX NA BBB–.11 Index  (55,547)  170,000  11,968  11/18/54  (300 bp) —  (43,678) 
          Monthly   

 

Premier Income Trust 93 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 1/31/21 (Unaudited) cont. 
  Upfront           
  premium      Termi-  Payments  Unrealized 
Swap counterparty/  received  Notional    nation  (paid)  appreciation/ 
Referenced debt*  (paid)**  amount  Value  date  by fund  (depreciation) 
Citigroup Global Markets, Inc. cont.           
CMBX NA BBB–.11 Index  $(38,380)  $117,000  $8,237  11/18/54  (300 bp) —  $(30,212) 
          Monthly   
CMBX NA BBB–.12 Index  (174,090)  521,000  42,305  8/17/61  (300 bp) —  (132,089) 
          Monthly   
CMBX NA BBB–.12 Index  (155,366)  442,000  35,890  8/17/61  (300 bp) —  (119,734) 
          Monthly   
CMBX NA BBB–.12 Index  (143,904)  414,000  33,617  8/17/61  (300 bp) —  (110,528) 
          Monthly   
CMBX NA BBB–.12 Index  (95,152)  270,000  21,924  8/17/61  (300 bp) —  (73,386) 
          Monthly   
CMBX NA BBB–.12 Index  (66,617)  195,000  15,834  8/17/61  (300 bp) —  (50,897) 
          Monthly   
CMBX NA BBB–.12 Index  (33,749)  107,000  8,688  8/17/61  (300 bp) —  (25,123) 
          Monthly   
CMBX NA BBB–.9 Index  (62,697)  265,000  31,800  9/17/58  (300 bp) —  (31,051) 
          Monthly   
Credit Suisse International             
CMBX NA BB.10 Index  (80,855)  606,000  193,375  11/17/59  (500 bp) —  111,931 
          Monthly   
CMBX NA BB.10 Index  (71,945)  605,000  193,056  11/17/59  (500 bp) —  120,522 
          Monthly   
CMBX NA BB.10 Index  (39,651)  319,000  101,793  11/17/59  (500 bp) —  61,831 
          Monthly   
CMBX NA BB.7 Index  (54,048)  293,000  109,846  1/17/47  (500 bp) —  55,513 
          Monthly   
CMBX NA BB.7 Index  (4,130)  234,000  98,444  5/11/63  (500 bp) —  94,086 
          Monthly   
CMBX NA BB.9 Index  (270,967)  2,703,000  798,196  9/17/58  (500 bp) —  524,601 
          Monthly   
Goldman Sachs International             
CMBX NA BB.6 Index  (13,197)  129,000  54,270  5/11/63  (500 bp) —  40,948 
          Monthly   
CMBX NA BB.7 Index  (71,729)  474,000  177,703  1/17/47  (500 bp) —  105,513 
          Monthly   
CMBX NA BB.12 Index  (41,375)  113,000  18,283  8/17/61  (500 bp) —  (23,202) 
          Monthly   
CMBX NA BB.6 Index  (27,101)  219,000  92,133  5/11/63  (500 bp) —  64,819 
          Monthly   
CMBX NA BB.7 Index  (84,052)  513,000  192,324  1/17/47  (500 bp) —  107,773 
          Monthly   
CMBX NA BB.7 Index  (57,666)  284,000  106,472  1/17/47  (500 bp) —  48,529 
          Monthly   
CMBX NA BB.7 Index  (31,785)  188,000  70,481  1/17/47  (500 bp) —  38,513 
          Monthly   
CMBX NA BB.7 Index  (31,765)  174,000  65,233  1/17/47  (500 bp) —  33,299 
          Monthly   

 

94 Premier Income Trust 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 1/31/21 (Unaudited) cont. 
  Upfront           
  premium      Termi-  Payments  Unrealized 
Swap counterparty/  received  Notional    nation  (paid)  appreciation/ 
Referenced debt*  (paid)**  amount  Value  date  by fund  (depreciation) 
Goldman Sachs International cont.           
CMBX NA BB.8 Index  $(5,212)  $44,404  $15,661  10/17/57  (500 bp) —  $10,406 
          Monthly   
CMBX NA BB.9 Index  (5,864)  151,000  44,590  9/17/58  (500 bp) —  38,579 
          Monthly   
CMBX NA BB.9 Index  (18,626)  117,000  34,550  9/17/58  (500 bp) —  15,811 
          Monthly   
CMBX NA BB.9 Index  (8,945)  56,000  16,537  9/17/58  (500 bp) —  7,538 
          Monthly   
CMBX NA BB.9 Index  (8,847)  56,000  16,537  9/17/58  (500 bp) —  7,635 
          Monthly   
CMBX NA BBB– .10 Index  (22,310)  102,000  12,464  11/17/59  (300 bp) —  (9,905) 
          Monthly   
CMBX NA BBB– .12 Index  (19,885)  102,000  8,282  8/17/61  (300 bp) —  (11,662) 
          Monthly   
CMBX NA BBB–.12 Index  (103,342)  306,000  24,847  8/17/61  (300 bp) —  (78,673) 
          Monthly   
JPMorgan Securities LLC             
CMBX NA BB.11 Index  (725,909)  1,331,000  243,041  11/18/54  (500 bp) —  (484,162) 
          Monthly   
CMBX NA BB.12 Index  (378,410)  689,000  111,480  8/17/61  (500 bp) —  (267,600) 
          Monthly   
CMBX NA BB.17 Index  (1,383,274)  2,825,000  1,059,093  1/17/47  (500 bp) —  (326,930) 
          Monthly   
CMBX NA BB.8 Index  (107,551)  209,469  73,880  10/17/57  (500 bp) —  (33,875) 
          Monthly   
CMBX NA BB.9 Index  (169,018)  342,000  100,993  9/17/58  (500 bp) —  (68,358) 
          Monthly   
CMBX NA BBB– .10 Index  (23,584)  143,000  17,475  11/17/59  (300 bp) —  (6,193) 
          Monthly   
CMBX NA BBB–.10 Index  (59,441)  211,000  25,784  11/17/59  (300 bp) —  (33,780) 
          Monthly   
CMBX NA BBB–.10 Index  (32,176)  108,000  13,198  11/17/59  (300 bp) —  (19,041) 
          Monthly   
CMBX NA BBB–.11 Index  (65,375)  208,000  14,643  11/18/54  (300 bp) —  (50,853) 
          Monthly   
CMBX NA BBB–.11 Index  (61,898)  192,000  13,517  11/18/54  (300 bp) —  (48,493) 
          Monthly   
CMBX NA BBB–.11 Index  (56,260)  179,000  12,602  11/18/54  (300 bp) —  (43,763) 
          Monthly   
CMBX NA BBB–.11 Index  (11,299)  36,000  2,534  11/18/54  (300 bp) —  (8,786) 
          Monthly   
CMBX NA BBB–.7 Index  (577,517)  2,460,000  501,840  1/17/47  (300 bp) —  (77,112) 
          Monthly   

 

Premier Income Trust 95 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 1/31/21 (Unaudited) cont. 
  Upfront           
  premium      Termi-  Payments  Unrealized 
Swap counterparty/  received  Notional    nation  (paid)  appreciation/ 
Referenced debt*  (paid)**  amount  Value  date  by fund  (depreciation) 
Merrill Lynch International             
CMBX NA BB.10 Index  $(33,229)  $584,000  $186,354  11/17/59  (500 bp) —  $152,557 
          Monthly   
CMBX NA BB.11 Index  (210,050)  425,000  77,605  11/18/54  (500 bp) —  (132,858) 
          Monthly   
CMBX NA BB.9 Index  (91,627)  2,352,000  694,546  9/17/58  (500 bp) —  600,637 
          Monthly   
CMBX NA BBB– .10 Index  (41,601)  192,000  23,462  11/17/59  (300 bp) —  (18,250) 
          Monthly   
CMBX NA BBB–.7 Index  (75,310)  919,000  187,476  1/17/47  (300 bp) —  111,630 
          Monthly   
Morgan Stanley & Co. International PLC           
CMBX NA BBB–.7 Index  (34,235)  336,000  68,544  1/17/47  (300 bp) —  34,113 
          Monthly   
CMBX NA BB.10 Index  (30,624)  292,000  93,177  11/17/59  (500 bp) —  62,269 
          Monthly   
CMBX NA BB.11 Index  (5,908)  62,000  11,321  11/18/54  (500 bp) —  5,353 
          Monthly   
CMBX NA BB.12 Index  (23,594)  330,000  53,394  8/17/61  (500 bp) —  29,479 
          Monthly   
CMBX NA BB.12 Index  (16,741)  317,000  51,291  8/17/61  (500 bp) —  34,241 
          Monthly   
CMBX NA BB.12 Index  (16,575)  227,000  36,729  8/17/61  (500 bp) —  19,933 
          Monthly   
CMBX NA BB.12 Index  (87,600)  146,000  23,623  8/17/61  (500 bp) —  (64,119) 
          Monthly   
CMBX NA BB.12 Index  (8,184)  116,000  18,769  8/17/61  (500 bp) —  10,472 
          Monthly   
CMBX NA BB.12 Index  (5,718)  70,000  11,326  9/17/58  (500 bp) —  5,540 
          Monthly   
CMBX NA BB.7 Index  (75,213)  374,000  140,213  1/17/47  (500 bp) —  64,636 
          Monthly   
CMBX NA BB.7 Index  (36,252)  188,000  70,481  1/17/47  (500 bp) —  34,047 
          Monthly   
CMBX NA BB.7 Index  (10,105)  54,000  20,245  1/17/47  (500 bp) —  10,088 
          Monthly   
CMBX NA BB.7 Index  (8,476)  42,000  15,746  1/17/47  (500 bp) —  7,229 
          Monthly   
CMBX NA BB.8 Index  (62,786)  122,592  43,238  10/17/57  (500 bp) —  (19,667) 
          Monthly   
CMBX NA BB.9 Index  (11,007)  312,000  92,134  9/17/58  (500 bp) —  80,823 
          Monthly   
CMBX NA BB.9 Index  (12,424)  202,000  59,651  9/17/58  (500 bp) —  47,030 
          Monthly   
CMBX NA BB.9 Index  (22,495)  169,000  49,906  9/17/58  (500 bp) —  27,246 
          Monthly   
CMBX NA BB.9 Index  (22,550)  166,000  49,020  9/17/58  (500 bp) —  26,309 
          Monthly   

 

96 Premier Income Trust 

 


 

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 1/31/21 (Unaudited) cont. 
  Upfront           
  premium      Termi-  Payments  Unrealized 
Swap counterparty/  received  Notional    nation  (paid)  appreciation/ 
Referenced debt*  (paid)**  amount  Value  date  by fund  (depreciation) 
Morgan Stanley & Co. International PLC cont.           
CMBX NA BB.9 Index  $(24,292)  $161,000  $47,543  9/17/58  (500 bp) —  $23,094 
          Monthly   
CMBX NA BB.9 Index  (22,012)  161,000  47,543  9/17/58  (500 bp) —  25,374 
          Monthly   
CMBX NA BB.9 Index  (6,566)  108,000  31,892  9/17/58  (500 bp) —  25,221 
          Monthly   
CMBX NA BB.9 Index  (3,127)  80,000  23,624  9/17/58  (500 bp) —  20,419 
          Monthly   
CMBX NA BB.9 Index  (11,806)  78,000  23,033  9/17/58  (500 bp) —  11,151 
          Monthly   
CMBX NA BB.9 Index  (11,806)  78,000  23,033  9/17/58  (500 bp) —  11,151 
          Monthly   
CMBX NA BB.9 Index  (1,933)  39,000  11,517  9/17/58  (500 bp) —  9,546 
          Monthly   
CMBX NA BBB– .10 Index  (113,959)  676,000  82,607  11/17/59  (300 bp) —  (31,746) 
          Monthly   
CMBX NA BBB– .10 Index  (59,128)  250,000  30,550  11/17/59  (300 bp) —  (28,724) 
          Monthly   
CMBX NA BBB– .10 Index  (53,390)  219,000  26,762  11/17/59  (300 bp) —  (26,756) 
          Monthly   
CMBX NA BBB– .10 Index  (27,596)  215,000  26,273  11/17/59  (300 bp) —  (1,448) 
          Monthly   
CMBX NA BBB– .10 Index  (19,291)  161,000  19,674  11/17/59  (300 bp) —  290 
          Monthly   
CMBX NA BBB– .10 Index  (27,781)  121,000  14,786  11/17/59  (300 bp) —  (13,065) 
          Monthly   
CMBX NA BBB– .10 Index  (26,413)  121,000  14,786  11/17/59  (300 bp) —  (11,697) 
          Monthly   
CMBX NA BBB– .10 Index  (11,275)  52,000  6,354  11/17/59  (300 bp) —  (4,951) 
          Monthly   
CMBX NA BBB– .10 Index  (9,947)  46,000  5,621  11/17/59  (300 bp) —  (4,353) 
          Monthly   
CMBX NA BBB–.11 Index  (43,694)  140,000  9,856  11/18/54  (300 bp) —  (33,920) 
          Monthly   
CMBX NA BBB–.11 Index  (12,907)  82,000  5,773  11/18/54  (300 bp) —  (7,182) 
          Monthly   
CMBX NA BBB–.7 Index  (30,222)  476,000  97,104  1/17/47  (300 bp) —  66,605 
          Monthly   
Upfront premium received   —  Unrealized appreciation    3,895,397 
Upfront premium (paid)  (8,539,708)  Unrealized (depreciation)    (3,072,130) 
Total  $(8,539,708)  Total      $823,267 

 

* Payments related to the referenced debt are made upon a credit default event.

** Upfront premium is based on the difference between the original spread on issue and the market spread on day of execution.

Premier Income Trust 97 

 


 

ASC 820 establishes a three-level hierarchy for disclosure of fair value measurements. The valuation hierarchy is based upon the transparency of inputs to the valuation of the fund’s investments. The three levels are defined as follows:

Level 1: Valuations based on quoted prices for identical securities in active markets.

Level 2: Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

Level 3: Valuations based on inputs that are unobservable and significant to the fair value measurement.

The following is a summary of the inputs used to value the fund’s net assets as of the close of the reporting period:

      Valuation inputs   
Investments in securities:  Level 1  Level 2  Level 3 
Common stocks*:       
Capital goods  $1,067  $—­  $—­ 
Consumer cyclicals  290,138  9,296  —­ 
Energy  31,999  213  431 
Health care  17,516  —­  —­ 
Utilities and power  —­  23,180  —­ 
Total common stocks  340,720  32,689  431 
 
Asset-backed securities  —­  5,242,614  —­ 
Convertible bonds and notes  —­  40,582,514  —­ 
Corporate bonds and notes  —­  113,911,814  205­ 
Foreign government and agency bonds and notes  —­  68,788,287  —­ 
Mortgage-backed securities  —­  221,663,881  —­ 
Preferred stocks  —­  431,348  —­ 
Purchased options outstanding  —­  412,247  —­ 
Purchased swap options outstanding  —­  15,879,718  —­ 
Senior loans  —­  15,169,663  —­ 
U.S. government and agency mortgage obligations  —­  383,411,672  —­ 
U.S. treasury obligations  —­  1,300,555  —­ 
Short-term investments  447,000  70,556,160  —­ 
Totals by level  $787,720  $937,383,162  $636 
 
      Valuation inputs   
Other financial instruments:  Level 1  Level 2  Level 3 
Forward currency contracts  $—­  $128,797  $—­ 
Futures contracts  (391,741)  —­  —­ 
Written options outstanding  —­  (388,831)  —­ 
Written swap options outstanding  —­  (20,181,617)  —­ 
Forward premium swap option contracts  —­  1,741,673  —­ 
TBA sale commitments  —­  (138,140,473)  —­ 
Interest rate swap contracts  —­  (986,838)  —­ 
Total return swap contracts  —­  (6,270,844)  —­ 
Credit default contracts  —­  (29,994,492)  —­ 
Totals by level  $(391,741)  $(194,092,625)  $—­ 

 

* Common stock classifications are presented at the sector level, which may differ from the fund’s portfolio presentation.

At the start and close of the reporting period, Level 3 investments in securities represented less than 1% of the fund’s net assets and were not considered a significant portion of the fund’s portfolio.

The accompanying notes are an integral part of these financial statements.

98 Premier Income Trust 

 


 

Statement of assets and liabilities 1/31/21 (Unaudited)

ASSETS   
Investment in securities, at value (Notes 1 and 9):   
Unaffiliated issuers (identified cost $918,699,841)  $910,056,550 
Affiliated issuers (identified cost $28,114,968) (Notes 1 and 5)  28,114,968 
Foreign currency (cost $3,689) (Note 1)  9,652 
Dividends, interest and other receivables  5,475,315 
Receivable for investments sold  4,049,358 
Receivable for sales of TBA securities (Note 1)  62,939,674 
Receivable for variation margin on futures contracts (Note 1)  1,500 
Receivable for variation margin on centrally cleared swap contracts (Note 1)  2,043,440 
Unrealized appreciation on forward premium swap option contracts (Note 1)  11,857,450 
Unrealized appreciation on forward currency contracts (Note 1)  2,234,385 
Unrealized appreciation on OTC swap contracts (Note 1)  7,507,668 
Premium paid on OTC swap contracts (Note 1)  8,539,708 
Total assets  1,042,829,668 
 
LIABILITIES   
Payable to custodian  135,754 
Payable for investments purchased  5,848,593 
Payable for purchases of TBA securities (Note 1)  304,289,630 
Payable for compensation of Manager (Note 2)  947,545 
Payable for custodian fees (Note 2)  83,659 
Payable for investor servicing fees (Note 2)  42,319 
Payable for Trustee compensation and expenses (Note 2)  225,729 
Payable for administrative services (Note 2)  5,661 
Payable for variation margin on futures contracts (Note 1)  31,974 
Payable for variation margin on centrally cleared swap contracts (Note 1)  2,493,269 
Distributions payable to shareholders  2,705,715 
Unrealized depreciation on OTC swap contracts (Note 1)  20,303,181 
Premium received on OTC swap contracts (Note 1)  25,712,113 
Unrealized depreciation on forward currency contracts (Note 1)  2,105,588 
Unrealized depreciation on forward premium swap option contracts (Note 1)  10,115,777 
Written options outstanding, at value (premiums $19,847,407) (Note 1)  20,570,448 
TBA sale commitments, at value (proceeds receivable $137,975,977) (Note 1)  138,140,473 
Collateral on certain derivative contracts and TBA commitments, at value (Notes 1 and 9)  1,747,555 
Other accrued expenses  162,820 
Total liabilities  535,667,803 
 
Net assets  $507,161,865 
 
REPRESENTED BY   
Paid-in capital (Unlimited shares authorized) (Notes 1 and 4)  $684,046,298 
Total distributable earnings (Note 1)  (176,884,433) 
Total — Representing net assets applicable to capital shares outstanding  $507,161,865 
 
COMPUTATION OF NET ASSET VALUE   
Net asset value per share   
($507,161,865 divided by 102,212,143 shares)  $4.96 

 

The accompanying notes are an integral part of these financial statements.

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Statement of operations Six months ended 1/31/21 (Unaudited)

INVESTMENT INCOME   
Interest (net of foreign tax of $530) (including interest income of $22,136 from investments   
in affiliated issuers) (Note 5)  $13,043,128 
Dividends  13,526 
Total investment income  13,056,654 
 
EXPENSES   
Compensation of Manager (Note 2)  1,860,062 
Investor servicing fees (Note 2)  124,629 
Custodian fees (Note 2)  85,290 
Trustee compensation and expenses (Note 2)  11,125 
Administrative services (Note 2)  8,356 
Other  268,053 
Total expenses  2,357,515 
Expense reduction (Note 2)  (3,508) 
Net expenses  2,354,007 
 
Net investment income  10,702,647 
 
REALIZED AND UNREALIZED GAIN (LOSS)   
Net realized gain (loss) on:   
Securities from unaffiliated issuers (Notes 1 and 3)  11,133,856 
Net increase from payments by affiliates (Note 2)  5,925 
Foreign currency transactions (Note 1)  (66,339) 
Forward currency contracts (Note 1)  (1,901,480) 
Futures contracts (Note 1)  262,253 
Swap contracts (Note 1)  (3,152,280) 
Written options (Note 1)  8,650,903 
Total net realized gain  14,932,838 
Change in net unrealized appreciation (depreciation) on:   
Securities from unaffiliated issuers and TBA sale commitments  (12,715,994) 
Assets and liabilities in foreign currencies  (2,635) 
Forward currency contracts  1,621,246 
Futures contracts  735,476 
Swap contracts  6,549,187 
Written options  14,295,346 
Total change in net unrealized appreciation  10,482,626 
 
Net gain on investments  25,415,464 
 
Net increase in net assets resulting from operations  $36,118,111 

 

The accompanying notes are an integral part of these financial statements.

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Statement of changes in net assets

INCREASE (DECREASE) IN NET ASSETS  Six months ended 1/31/21*  Year ended 7/31/20 
Operations     
Net investment income  $10,702,647  $24,724,389 
Net realized gain on investments     
and foreign currency transactions  14,932,838  5,366,181 
Change in net unrealized appreciation (depreciation)     
of investments and assets and liabilities     
in foreign currencies  10,482,626  (53,472,100) 
Net increase (decrease) in net assets resulting     
from operations  36,118,111  (23,381,530) 
Distributions to shareholders (Note 1):     
From ordinary income     
Net investment income  (19,671,373)  (34,893,178) 
From return of capital    (8,375,073) 
Decrease from capital share transactions (Note 4)  (1,392,896)  (4,545,003) 
Increase in capital share transactions from reinvestment     
of distributions    1,238,602 
Total increase (decrease) in net assets  15,053,842  (69,956,182) 
 
NET ASSETS     
Beginning of period  492,108,023  562,064,205 
End of period  $507,161,865  $492,108,023 
 
NUMBER OF FUND SHARES     
Shares outstanding at beginning of period  102,517,867  103,365,372 
Shares repurchased (Note 5)  (305,724)  (1,089,857) 
Shares issued in connection with reinvestment     
of distributions    242,352 
Shares outstanding at end of period  102,212,143  102,517,867 

 

*Unaudited.

The accompanying notes are an integral part of these financial statements.

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Financial highlights (For a common share outstanding throughout the period)

PER-SHARE OPERATING PERFORMANCE             
  Six months           
  ended**    Year ended     
  1/31/21  7/31/20  7/31/19  7/31/18  7/31/17  7/31/16 
Net asset value, beginning of period  $4.80  $5.44  $5.59  $5.56  $5.28  $5.72 
Investment operations:             
Net investment income a  .10  .24  .27  .31  .28  .31 
Net realized and unrealized             
gain (loss) on investments  .25  (.47)  (.05)  .03  .30  (.48) 
Total from investment operations  .35  (.23)  .22  .34  .58  (.17) 
Less distributions:             
From net investment income  (.19)  (.34)  (.38)  (.31)  (.31)  (.31) 
From return of capital    (.08)         
Total distributions  (.19)  (.42)  (.38)  (.31)  (.31)  (.31) 
Increase from shares repurchased  e  .01  .01  e  .01  .04 
Net asset value, end of period  $4.96  $4.80  $5.44  $5.59  $5.56  $5.28 
Market price, end of period  $4.63­  $4.74  $5.32  $5.25  $5.39  $4.72 
Total return at market price (%) b  1.79*  (3.19)  9.18  3.26  21.30  (1.31) 
 
RATIOS AND SUPPLEMENTAL DATA             
Net assets, end of period             
(in thousands)  $507,162  $492,108  $562,064  $596,142  $596,641  $577,236 
Ratio of expenses to average             
net assets (%) c  .47*  .94  .93  .92  .92  .91 
Ratio of net investment income             
to average net assets (%)  2.15*  4.67  4.94  5.53  5.20  5.75 
Portfolio turnover (%) d  524*  943  854  785  1,055  808 

 

* Not annualized.

** Unaudited.

a Per share net investment income has been determined on the basis of the weighted average number of shares outstanding during the period.

b Total return assumes dividend reinvestment.

c Includes amounts paid through expense offset arrangements, if any (Note 2).

d Portfolio turnover includes TBA purchase and sale commitments.

e Amount represents less than $0.01 per share.

The accompanying notes are an integral part of these financial statements.

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Notes to financial statements 1/31/21 (Unaudited)

Within the following Notes to financial statements, references to “State Street” represent State Street Bank and Trust Company, references to “the SEC” represent the Securities and Exchange Commission, references to “Putnam Management” represent Putnam Investment Management, LLC, the fund’s manager, an indirect wholly-owned subsidiary of Putnam Investments, LLC and references to “OTC”, if any, represent over-the-counter. Unless otherwise noted, the “reporting period” represents the period from August 1, 2020 through January 31, 2021.

Putnam Premier Income Trust (the fund) is a Massachusetts business trust, which is registered under the Investment Company Act of 1940, as amended, as a non-diversified closed-end management investment company. The fund is currently operating as a diversified fund. In the future, the fund may operate as a non-diversified fund to the extent permitted by applicable law. Under current law, shareholder approval would be required before the fund could operate as a non-diversified fund. The goal of the fund is to seek high current income consistent with the preservation of capital by allocating its investments among the U.S. government sector, high yield sector and international sector of the fixed-income securities market.

The fund’s shares trade on a stock exchange at market prices, which may be lower than the fund’s net asset value.

In the normal course of business, the fund enters into contracts that may include agreements to indemnify another party under given circumstances. The fund’s maximum exposure under these arrangements is unknown as this would involve future claims that may be, but have not yet been, made against the fund. However, the fund’s management team expects the risk of material loss to be remote.

The fund has entered into contractual arrangements with an investment adviser, administrator, transfer agent and custodian, who each provide services to the fund. Unless expressly stated otherwise, shareholders are not parties to, or intended beneficiaries of these contractual arrangements, and these contractual arrangements are not intended to create any shareholder right to enforce them against the service providers or to seek any remedy under them against the service providers, either directly or on behalf of the fund.

Under the fund’s Amended and Restated Agreement and Declaration of Trust, any claims asserted against or on behalf of the Putnam Funds, including claims against Trustees and Officers, must be brought in state and federal courts located within the Commonwealth of Massachusetts.

Note 1: Significant accounting policies

The following is a summary of significant accounting policies consistently followed by the fund in the preparation of its financial statements. The preparation of financial statements is in conformity with accounting principles generally accepted in the United States of America and requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities in the financial statements and the reported amounts of increases and decreases in net assets from operations. Actual results could differ from those estimates. Subsequent events after the Statement of assets and liabilities date through the date that the financial statements were issued have been evaluated in the preparation of the financial statements.

Security valuation Portfolio securities and other investments are valued using policies and procedures adopted by the Board of Trustees. The Trustees have formed a Pricing Committee to oversee the implementation of these procedures and have delegated responsibility for valuing the fund’s assets in accordance with these procedures to Putnam Management. Putnam Management has established an internal Valuation Committee that is responsible for making fair value determinations, evaluating the effectiveness of the pricing policies of the fund and reporting to the Pricing Committee.

Investments for which market quotations are readily available are valued at the last reported sales price on their principal exchange, or official closing price for certain markets, and are classified as Level 1 securities under Accounting Standards Codification 820 Fair Value Measurements and Disclosures (ASC 820). If no sales are reported, as in the case of some securities that are traded OTC, a security is valued at its last reported bid price and is generally categorized as a Level 2 security.

Investments in open-end investment companies (excluding exchange-traded funds), if any, which can be classified as Level 1 or Level 2 securities, are valued based on their net asset value. The net asset value of such investment companies equals the total value of their assets less their liabilities and divided by the number of their outstanding shares.

Market quotations are not considered to be readily available for certain debt obligations (including short-term investments with remaining maturities of 60 days or less) and other investments; such investments are valued on the basis of valuations furnished by an independent pricing service approved by the Trustees or dealers selected

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by Putnam Management. Such services or dealers determine valuations for normal institutional-size trading units of such securities using methods based on market transactions for comparable securities and various relationships, generally recognized by institutional traders, between securities (which consider such factors as security prices, yields, maturities and ratings). These securities will generally be categorized as Level 2.

Many securities markets and exchanges outside the U.S. close prior to the scheduled close of the New York Stock Exchange and therefore the closing prices for securities in such markets or on such exchanges may not fully reflect events that occur after such close but before the scheduled close of the New York Stock Exchange. Accordingly, on certain days, the fund will fair value certain foreign equity securities taking into account multiple factors including movements in the U.S. securities markets, currency valuations and comparisons to the valuation of American Depository Receipts, exchange-traded funds and futures contracts. The foreign equity securities, which would generally be classified as Level 1 securities, will be transferred to Level 2 of the fair value hierarchy when they are valued at fair value. The number of days on which fair value prices will be used will depend on market activity and it is possible that fair value prices will be used by the fund to a significant extent. Securities quoted in foreign currencies, if any, are translated into U.S. dollars at the current exchange rate.

To the extent a pricing service or dealer is unable to value a security or provides a valuation that Putnam Management does not believe accurately reflects the security’s fair value, the security will be valued at fair value by Putnam Management in accordance with policies and procedures approved by the Trustees. Certain investments, including certain restricted and illiquid securities and derivatives, are also valued at fair value following procedures approved by the Trustees. These valuations consider such factors as significant market or specific security events such as interest rate or credit quality changes, various relationships with other securities, discount rates, U.S. Treasury, U.S. swap and credit yields, index levels, convexity exposures, recovery rates, sales and other multiples and resale restrictions. These securities are classified as Level 2 or as Level 3 depending on the priority of the significant inputs.

To assess the continuing appropriateness of fair valuations, the Valuation Committee reviews and affirms the reasonableness of such valuations on a regular basis after considering all relevant information that is reasonably available. Such valuations and procedures are reviewed periodically by the Trustees. Certain securities may be valued on the basis of a price provided by a single source. The fair value of securities is generally determined as the amount that the fund could reasonably expect to realize from an orderly disposition of such securities over a reasonable period of time. By its nature, a fair value price is a good faith estimate of the value of a security in a current sale and does not reflect an actual market price, which may be different by a material amount.

Security transactions and related investment income Security transactions are recorded on the trade date (the date the order to buy or sell is executed). Gains or losses on securities sold are determined on the identified cost basis.

Interest income, net of any applicable withholding taxes, if any, and including amortization and accretion of premiums and discounts on debt securities, is recorded on the accrual basis. Dividend income, net of any applicable withholding taxes, is recognized on the ex-dividend date except that certain dividends from foreign securities, if any, are recognized as soon as the fund is informed of the ex-dividend date. Non-cash dividends, if any, are recorded at the fair value of the securities received. Dividends representing a return of capital or capital gains, if any, are reflected as a reduction of cost and/or as a realized gain.

The fund may have earned certain fees in connection with its senior loan purchasing activities. These fees, if any, are treated as market discount and are amortized into income in the Statement of operations.

Securities purchased or sold on a delayed delivery basis may be settled at a future date beyond customary settlement time; interest income is accrued based on the terms of the securities. Losses may arise due to changes in the fair value of the underlying securities or if the counterparty does not perform under the contract.

Stripped securities The fund may invest in stripped securities which represent a participation in securities that may be structured in classes with rights to receive different portions of the interest and principal. Interest-only securities receive all of the interest and principal-only securities receive all of the principal. If the interest-only securities experience greater than anticipated prepayments of principal, the fund may fail to recoup fully its initial investment in these securities. Conversely, principal-only securities increase in value if prepayments are greater than anticipated and decline if prepayments are slower than anticipated. The fair value of these securities is highly sensitive to changes in interest rates.

Foreign currency translation The accounting records of the fund are maintained in U.S. dollars. The fair value of foreign securities, currency holdings, and other assets and liabilities is recorded in the books and records of the fund after translation to U.S. dollars based on the exchange rates on that day. The cost of each security is

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determined using historical exchange rates. Income and withholding taxes are translated at prevailing exchange rates when earned or incurred. The fund does not isolate that portion of realized or unrealized gains or losses resulting from changes in the foreign exchange rate on investments from fluctuations arising from changes in the market prices of the securities. Such gains and losses are included with the net realized and unrealized gain or loss on investments. Net realized gains and losses on foreign currency transactions represent net realized exchange gains or losses on disposition of foreign currencies, currency gains and losses realized between the trade and settlement dates on securities transactions and the difference between the amount of investment income and foreign withholding taxes recorded on the fund’s books and the U.S. dollar equivalent amounts actually received or paid. Net unrealized appreciation and depreciation of assets and liabilities in foreign currencies arise from changes in the value of assets and liabilities other than investments at the period end, resulting from changes in the exchange rate.

Options contracts The fund uses options contracts for hedging duration and convexity, to isolate prepayment risk and to manage downside risks.

The potential risk to the fund is that the change in value of options contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments if there is an illiquid secondary market for the contracts, if interest or exchange rates move unexpectedly or if the counterparty to the contract is unable to perform. Realized gains and losses on purchased options are included in realized gains and losses on investment securities. If a written call option is exercised, the premium originally received is recorded as an addition to sales proceeds. If a written put option is exercised, the premium originally received is recorded as a reduction to the cost of investments.

Exchange-traded options are valued at the last sale price or, if no sales are reported, the last bid price for purchased options and the last ask price for written options. OTC traded options are valued using prices supplied by dealers.

Options on swaps are similar to options on securities except that the premium paid or received is to buy or grant the right to enter into a previously agreed upon interest rate or credit default contract. Forward premium swap option contracts include premiums that have extended settlement dates. The delayed settlement of the premiums is factored into the daily valuation of the option contracts. In the case of interest rate cap and floor contracts, in return for a premium, ongoing payments between two parties are based on interest rates exceeding a specified rate, in the case of a cap contract, or falling below a specified rate in the case of a floor contract.

Written option contracts outstanding at period end, if any, are listed after the fund’s portfolio.

Futures contracts The fund uses futures contracts for hedging treasury term structure risk and for yield curve positioning.

The potential risk to the fund is that the change in value of futures contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments, if there is an illiquid secondary market for the contracts, if interest or exchange rates move unexpectedly or if the counterparty to the contract is unable to perform. With futures, there is minimal counterparty credit risk to the fund since futures are exchange traded and the exchange’s clearinghouse, as counterparty to all exchange traded futures, guarantees the futures against default. Risks may exceed amounts recognized on the Statement of assets and liabilities. When the contract is closed, the fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.

Futures contracts are valued at the quoted daily settlement prices established by the exchange on which they trade. The fund and the broker agree to exchange an amount of cash equal to the daily fluctuation in the value of the futures contract. Such receipts or payments are known as “variation margin.”

Futures contracts outstanding at period end, if any, are listed after the fund’s portfolio.

Forward currency contracts The fund buys and sells forward currency contracts, which are agreements between two parties to buy and sell currencies at a set price on a future date. These contracts are used for hedging currency exposures and for gaining exposure to currencies.

The U.S. dollar value of forward currency contracts is determined using current forward currency exchange rates supplied by a quotation service. The fair value of the contract will fluctuate with changes in currency exchange rates. The contract is marked to market daily and the change in fair value is recorded as an unrealized gain or loss. The fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed when the contract matures or by delivery of the currency. The fund could be exposed to risk if the value of the currency changes unfavorably, if the counterparties to the contracts

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are unable to meet the terms of their contracts or if the fund is unable to enter into a closing position. Risks may exceed amounts recognized on the Statement of assets and liabilities.

Forward currency contracts outstanding at period end, if any, are listed after the fund’s portfolio.

Interest rate swap contracts The fund entered into OTC and/or centrally cleared interest rate swap contracts, which are arrangements between two parties to exchange cash flows based on a notional principal amount for hedging term structure risk, for yield curve positioning and for gaining exposure to rates in various countries.

An OTC and centrally cleared interest rate swap can be purchased or sold with an upfront premium. For OTC interest rate swap contracts, an upfront payment received by the fund is recorded as a liability on the fund’s books. An upfront payment made by the fund is recorded as an asset on the fund’s books. OTC and centrally cleared interest rate swap contracts are marked to market daily based upon quotations from an independent pricing service or market makers. Any change is recorded as an unrealized gain or loss on OTC interest rate swaps. Daily fluctuations in the value of centrally cleared interest rate swaps are settled through a central clearing agent and are recorded in variation margin on the Statement of assets and liabilities and recorded as unrealized gain or loss. Payments, including upfront premiums, received or made are recorded as realized gains or losses at the reset date or the closing of the contract. Certain OTC and centrally cleared interest rate swap contracts may include extended effective dates. Payments related to these swap contracts are accrued based on the terms of the contract.

The fund could be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or if the counterparty defaults, in the case of OTC interest rate contracts, or the central clearing agency or a clearing member defaults, in the case of centrally cleared interest rate swap contracts, on its respective obligation to perform under the contract. The fund’s maximum risk of loss from counterparty risk or central clearing risk is the fair value of the contract. This risk may be mitigated for OTC interest rate swap contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared interest rate swap contracts through the daily exchange of variation margin. There is minimal counterparty risk with respect to centrally cleared interest rate swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default. Risk of loss may exceed amounts recognized on the Statement of assets and liabilities.

OTC and centrally cleared interest rate swap contracts outstanding, including their respective notional amounts at period end, if any, are listed after the fund’s portfolio.

Total return swap contracts The fund entered into OTC and/or centrally cleared total return swap contracts, which are arrangements to exchange a market-linked return for a periodic payment, both based on a notional principal amount, for hedging sector exposure, for gaining exposure to specific sectors, for hedging inflation and for gaining exposure to inflation.

To the extent that the total return of the security, index or other financial measure underlying the transaction exceeds or falls short of the offsetting interest rate obligation, the fund will receive a payment from or make a payment to the counterparty. OTC and/or centrally cleared total return swap contracts are marked to market daily based upon quotations from an independent pricing service or market maker. Any change is recorded as an unrealized gain or loss on OTC total return swaps. Daily fluctuations in the value of centrally cleared total return swaps are settled through a central clearing agent and are recorded in variation margin on the Statement of assets and liabilities and recorded as unrealized gain or loss. Payments received or made are recorded as realized gains or losses. Certain OTC and/or centrally cleared total return swap contracts may include extended effective dates. Payments related to these swap contracts are accrued based on the terms of the contract. The fund could be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or in the price of the underlying security or index, the possibility that there is no liquid market for these agreements or that the counterparty may default on its obligation to perform. The fund’s maximum risk of loss from counterparty risk or central clearing risk is the fair value of the contract. This risk may be mitigated for OTC total return swap contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared total return swap contracts through the daily exchange of variation margin. There is minimal counterparty risk with respect to centrally cleared total return swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default. Risk of loss may exceed amounts recognized on the Statement of assets and liabilities.

OTC and/or centrally cleared total return swap contracts outstanding, including their respective notional amounts at period end, if any, are listed after the fund’s portfolio.

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Credit default contracts The fund entered into OTC and/or centrally cleared credit default contracts for hedging credit risk, for gaining liquid exposure to individual names, for hedging market risk and for gaining exposure to specific sectors.

In OTC and centrally cleared credit default contracts, the protection buyer typically makes a periodic stream of payments to a counterparty, the protection seller, in exchange for the right to receive a contingent payment upon the occurrence of a credit event on the reference obligation or all other equally ranked obligations of the reference entity. Credit events are contract specific but may include bankruptcy, failure to pay, restructuring and obligation acceleration. For OTC credit default contracts, an upfront payment received by the fund is recorded as a liability on the fund’s books. An upfront payment made by the fund is recorded as an asset on the fund’s books. Centrally cleared credit default contracts provide the same rights to the protection buyer and seller except the payments between parties, including upfront premiums, are settled through a central clearing agent through variation margin payments. Upfront and periodic payments received or paid by the fund for OTC and centrally cleared credit default contracts are recorded as realized gains or losses at the reset date or close of the contract. The OTC and centrally cleared credit default contracts are marked to market daily based upon quotations from an independent pricing service or market makers. Any change in value of OTC credit default contracts is recorded as an unrealized gain or loss. Daily fluctuations in the value of centrally cleared credit default contracts are recorded in variation margin on the Statement of assets and liabilities and recorded as unrealized gain or loss. Upon the occurrence of a credit event, the difference between the par value and fair value of the reference obligation, net of any proportional amount of the upfront payment, is recorded as a realized gain or loss.

In addition to bearing the risk that the credit event will occur, the fund could be exposed to market risk due to unfavorable changes in interest rates or in the price of the underlying security or index or the possibility that the fund may be unable to close out its position at the same time or at the same price as if it had purchased the underlying reference obligations. In certain circumstances, the fund may enter into offsetting OTC and centrally cleared credit default contracts which would mitigate its risk of loss. Risks of loss may exceed amounts recognized on the Statement of assets and liabilities. The fund’s maximum risk of loss from counterparty risk, either as the protection seller or as the protection buyer, is the fair value of the contract. This risk may be mitigated for OTC credit default contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared credit default contracts through the daily exchange of variation margin. Counterparty risk is further mitigated with respect to centrally cleared credit default swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default. Where the fund is a seller of protection, the maximum potential amount of future payments the fund may be required to make is equal to the notional amount.

OTC and centrally cleared credit default contracts outstanding, including their respective notional amounts at period end, if any, are listed after the fund’s portfolio.

TBA commitments The fund may enter into TBA (to be announced) commitments to purchase securities for a fixed unit price at a future date beyond customary settlement time. Although the unit price and par amount have been established, the actual securities have not been specified. However, it is anticipated that the amount of the commitments will not significantly differ from the principal amount. The fund holds, and maintains until settlement date, cash or high-grade debt obligations in an amount sufficient to meet the purchase price, or the fund may enter into offsetting contracts for the forward sale of other securities it owns. Income on the securities will not be earned until settlement date.

The fund may also enter into TBA sale commitments to hedge its portfolio positions, to sell mortgage-backed securities it owns under delayed delivery arrangements or to take a short position in mortgage-backed securities. Proceeds of TBA sale commitments are not received until the contractual settlement date. During the time a TBA sale commitment is outstanding, either equivalent deliverable securities or an offsetting TBA purchase commitment deliverable on or before the sale commitment date are held as “cover” for the transaction, or other liquid assets in an amount equal to the notional value of the TBA sale commitment are segregated. If the TBA sale commitment is closed through the acquisition of an offsetting TBA purchase commitment, the fund realizes a gain or loss. If the fund delivers securities under the commitment, the fund realizes a gain or a loss from the sale of the securities based upon the unit price established at the date the commitment was entered into.

TBA commitments, which are accounted for as purchase and sale transactions, may be considered securities themselves, and involve a risk of loss due to changes in the value of the security prior to the settlement date as well as the risk that the counterparty to the transaction will not perform its obligations. Counterparty risk is mitigated by having a master agreement between the fund and the counterparty.

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Unsettled TBA commitments are valued at their fair value according to the procedures described under “Security valuation” above. The contract is marked to market daily and the change in fair value is recorded by the fund as an unrealized gain or loss. Based on market circumstances, Putnam Management will determine whether to take delivery of the underlying securities or to dispose of the TBA commitments prior to settlement.

TBA purchase commitments outstanding at period end, if any, are listed within the fund’s portfolio and TBA sale commitments outstanding at period end, if any, are listed after the fund’s portfolio.

Master agreements The fund is a party to ISDA (International Swaps and Derivatives Association, Inc.) Master Agreements that govern OTC derivative and foreign exchange contracts and Master Securities Forward Transaction Agreements that govern transactions involving mortgage-backed and other asset-backed securities that may result in delayed delivery (Master Agreements) with certain counterparties entered into from time to time. The Master Agreements may contain provisions regarding, among other things, the parties’ general obligations, representations, agreements, collateral requirements, events of default and early termination. With respect to certain counterparties, in accordance with the terms of the Master Agreements, collateral pledged to the fund is held in a segregated account by the fund’s custodian and, with respect to those amounts which can be sold or repledged, are presented in the fund’s portfolio.

Collateral pledged by the fund is segregated by the fund’s custodian and identified in the fund’s portfolio. Collateral can be in the form of cash or debt securities issued by the U.S. Government or related agencies or other securities as agreed to by the fund and the applicable counterparty. Collateral requirements are determined based on the fund’s net position with each counterparty.

With respect to ISDA Master Agreements, termination events applicable to the fund may occur upon a decline in the fund’s net assets below a specified threshold over a certain period of time. Termination events applicable to counterparties may occur upon a decline in the counterparty’s long-term or short-term credit ratings below a specified level. In each case, upon occurrence, the other party may elect to terminate early and cause settlement of all derivative and foreign exchange contracts outstanding, including the payment of any losses and costs resulting from such early termination, as reasonably determined by the terminating party. Any decision by one or more of the fund’s counterparties to elect early termination could impact the fund’s future derivative activity.

At the close of the reporting period, the fund had a net liability position of $33,503,451 on open derivative contracts subject to the Master Agreements. Collateral pledged by the fund at period end for these agreements totaled $32,880,604 and may include amounts related to unsettled agreements.

Interfund lending The fund, along with other Putnam funds, may participate in an interfund lending program pursuant to an exemptive order issued by the SEC. This program allows the fund to lend to other Putnam funds that permit such transactions. Interfund lending transactions are subject to each fund’s investment policies and borrowing and lending limits. Interest earned or paid on the interfund lending transaction will be based on the average of certain current market rates. During the reporting period, the fund did not utilize the program.

Federal taxes It is the policy of the fund to distribute all of its taxable income within the prescribed time period and otherwise comply with the provisions of the Internal Revenue Code of 1986, as amended (the Code), applicable to regulated investment companies. It is also the intention of the fund to distribute an amount sufficient to avoid imposition of any excise tax under Section 4982 of the Code.

The fund is subject to the provisions of Accounting Standards Codification 740 Income Taxes (ASC 740). ASC 740 sets forth a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. The fund did not have a liability to record for any unrecognized tax benefits in the accompanying financial statements. No provision has been made for federal taxes on income, capital gains or unrealized appreciation on securities held nor for excise tax on income and capital gains. Each of the fund’s federal tax returns for the prior three fiscal years remains subject to examination by the Internal Revenue Service.

The fund may also be subject to taxes imposed by governments of countries in which it invests. Such taxes are generally based on either income or gains earned or repatriated. The fund accrues and applies such taxes to net investment income, net realized gains and net unrealized gains as income and/or capital gains are earned. In some cases, the fund may be entitled to reclaim all or a portion of such taxes, and such reclaim amounts, if any, are reflected as an asset on the fund’s books. In many cases, however, the fund may not receive such amounts for an extended period of time, depending on the country of investment.

Under the Regulated Investment Company Modernization Act of 2010, the fund will be permitted to carry forward capital losses incurred for an unlimited period and the carry forwards will retain their character as

108 Premier Income Trust 

 


 

either short-term or long-term capital losses. At July 31, 2020, the fund had the following capital loss carryovers available, to the extent allowed by the Code, to offset future net capital gain, if any:

  Loss carryover   
Short-term  Long-term  Total 
$89,083,444  $27,659,804  $116,743,248 

 

Pursuant to federal income tax regulations applicable to regulated investment companies, the fund has elected to defer $24,292,069 to its fiscal year ending July 31, 2021 of late year ordinary losses ((i) ordinary losses recognized between January 1, 2020 and July 31, 2020, and (ii) specified ordinary and currency losses recognized between November 1, 2019 and July 31, 2020).

Tax cost of investments includes adjustments to net unrealized appreciation (depreciation) which may not necessarily be final tax cost basis adjustments, but closely approximate the tax basis unrealized gains and losses that may be realized and distributed to shareholders. The aggregate identified cost on a tax basis is $779,769,934, resulting in gross unrealized appreciation and depreciation of $77,716,280 and $113,799,062, respectively, or net unrealized depreciation of $36,082,782.

Distributions to shareholders Distributions to shareholders from net investment income are recorded by the fund on the ex-dividend date. Distributions from capital gains, if any, are recorded on the ex-dividend date and paid at least annually. The fund used targeted distribution rates, whose principal source of the distribution is ordinary income. However, the balance of the distribution, if any, comes first from capital gain and then will constitute a return of capital. A return of capital is not taxable; rather it reduces a shareholder’s tax basis in their shares of the fund. The fund may make return of capital distributions to achieve the targeted distribution rates. The amount and character of income and gains to be distributed are determined in accordance with income tax regulations, which may differ from generally accepted accounting principles. Dividend sources are estimated at the time of declaration. Actual results may vary. Any non-taxable return of capital cannot be determined until final tax calculations are completed after the end of the fund’s fiscal year. Reclassifications are made to the fund’s capital accounts to reflect income and gains available for distribution (or available capital loss carryovers) under income tax regulations.

Note 2: Management fee, administrative services and other transactions

The fund pays Putnam Management for management and investment advisory services quarterly based on the average net assets (including assets, but excluding liabilities, attributable to leverage for investment purposes) of the fund. The fee is based on the following annual rates:

  of the first $500 million of average    of the next $5 billion of average 
0.750%  net assets,  0.480%  net assets, 
  of the next $500 million of average    of the next $5 billion of average 
0.650%  net assets,  0.470%  net assets, 
  of the next $500 million of average    of the next $5 billion of average 
0.600%  net assets,  0.460%  net assets, 
  of the next $5 billion of average    of the next $5 billion of average 
0.550%  net assets,  0.450%  net assets, 
  of the next $5 billion of average    of the next $5 billion of average 
0.525%  net assets,  0.440%  net assets, 
  of the next $5 billion of average    of the next $8.5 billion of average net 
0.505%  net assets,  0.430%  assets and 
  of the next $5 billion of average  0.420%  of any excess thereafter. 
0.490%  net assets,     

 

For the reporting period, the management fee represented an effective rate (excluding the impact from any expense waivers in effect) of 0.373% of the fund’s average net assets.

Putnam Investments Limited (PIL), an affiliate of Putnam Management, is authorized by the Trustees to manage a separate portion of the assets of the fund as determined by Putnam Management from time to time. PIL did not manage any portion of the assets of the fund during the reporting period. If Putnam Management were to engage

Premier Income Trust 109 

 


 

the services of PIL, Putnam Management would pay a quarterly sub-management fee to PIL for its services at an annual rate of 0.40% of the average net assets of the portion of the fund managed by PIL.

Putnam Management voluntarily reimbursed the fund $5,925 for a trading error which occurred during the reporting period. The effect of the loss incurred and the reimbursement by Putnam Management of such amounts had no material impact on total return.

The fund reimburses Putnam Management an allocated amount for the compensation and related expenses of certain officers of the fund and their staff who provide administrative services to the fund. The aggregate amount of all such reimbursements is determined annually by the Trustees.

Custodial functions for the fund’s assets are provided by State Street. Custody fees are based on the fund’s asset level, the number of its security holdings and transaction volumes.

Putnam Investor Services, Inc., an affiliate of Putnam Management, provides investor servicing agent functions to the fund. Putnam Investor Services, Inc. was paid a monthly fee for investor servicing at an annual rate of 0.05% of the fund’s average daily net assets. The amounts incurred for investor servicing agent functions during the reporting period are included in Investor servicing fees in the Statement of operations.

The fund has entered into expense offset arrangements with Putnam Investor Services, Inc. and State Street whereby Putnam Investor Services, Inc.’s and State Street’s fees are reduced by credits allowed on cash balances. For the reporting period, the fund’s expenses were reduced by $3,508 under the expense offset arrangements.

Each Independent Trustee of the fund receives an annual Trustee fee, of which $347, as a quarterly retainer, has been allocated to the fund, and an additional fee for each Trustees meeting attended. Trustees also are reimbursed for expenses they incur relating to their services as Trustees.

The fund has adopted a Trustee Fee Deferral Plan (the Deferral Plan) which allows the Trustees to defer the receipt of all or a portion of Trustees fees payable on or after July 1, 1995. The deferred fees remain invested in certain Putnam funds until distribution in accordance with the Deferral Plan.

The fund has adopted an unfunded noncontributory defined benefit pension plan (the Pension Plan) covering all Trustees of the fund who have served as a Trustee for at least five years and were first elected prior to 2004. Benefits under the Pension Plan are equal to 50% of the Trustee’s average annual attendance and retainer fees for the three years ended December 31, 2005. The retirement benefit is payable during a Trustee’s lifetime, beginning the year following retirement, for the number of years of service through December 31, 2006. Pension expense for the fund is included in Trustee compensation and expenses in the Statement of operations. Accrued pension liability is included in Payable for Trustee compensation and expenses in the Statement of assets and liabilities. The Trustees have terminated the Pension Plan with respect to any Trustee first elected after 2003.

Note 3: Purchases and sales of securities

During the reporting period, the cost of purchases and the proceeds from sales, excluding short-term investments, were as follows:

  Cost of purchases  Proceeds from sales 
Investments in securities, including TBA commitments (Long-term)  $3,664,096,917  $3,622,663,478 
U.S. government securities (Long-term)     
Total  $3,664,096,917  $3,622,663,478 

 

The fund may purchase or sell investments from or to other Putnam funds in the ordinary course of business, which can reduce the fund’s transaction costs, at prices determined in accordance with SEC requirements and policies approved by the Trustees. During the reporting period, purchases or sales of long-term securities from or to other Putnam funds, if any, did not represent more than 5% of the fund’s total cost of purchases and/or total proceeds from sales.

Note 4: Shares repurchased

In September 2020, the Trustees approved the renewal of the repurchase program to allow the fund to repurchase up to 10% of its outstanding common shares over the 365 day period ending September 30, 2021 (based on shares outstanding as of September 30, 2020). Prior to this renewal, the Trustees had approved a repurchase program to allow the fund to repurchase up to 10% of its outstanding common shares over the 356 day period ending September 30, 2020 (based on shares outstanding as of October 9, 2019). Repurchases are made when the fund’s shares are trading at less than net asset value and in accordance with procedures approved by the fund’s

110 Premier Income Trust 

 


 

Trustees. At Putnam’s recommendation, the share repurchase program was temporarily suspended on March 24, 2020 and reinstated July 1, 2020.

For the reporting period, the fund repurchased 305,724 common shares for an aggregate purchase price of $1,392,896, which reflects a weighted-average discount from net asset value per share of 7.12%. The weighted-average discount reflects the payment of commissions by the fund to execute repurchase trades.

For the previous fiscal year, the fund repurchased 1,089,857 common shares for an aggregate purchase price of $4,545,003, which reflected a weighted-average discount from net asset value per share of 10.92%. The weighted-average discount reflected the payment of commissions by the fund to execute repurchase trades.

At the close of the reporting period, Putnam Investments, LLC owned approximately 4,088 shares of the fund (less than 0.01% of the fund’s shares outstanding), valued at $20,276 based on net asset value.

Note 5: Affiliated transactions

Transactions during the reporting period with any company which is under common ownership or control were as follows:

          Shares 
          outstanding 
          and fair 
  Fair value as  Purchase  Sale  Investment  value as 
Name of affiliate  of 7/31/20  cost  proceeds  income  of 1/31/21 
Short-term investments           
Putnam Short Term           
Investment Fund*  $21,644,013  $80,945,961  $74,475,006  $22,136  $28,114,968 
Total Short-term           
investments  $21,644,013  $80,945,961  $74,475,006  $22,136  $28,114,968 

 

* Management fees charged to Putnam Short Term Investment Fund have been waived by Putnam Management. There were no realized or unrealized gains or losses during the period.

Note 6: Market, credit and other risks

In the normal course of business, the fund trades financial instruments and enters into financial transactions where risk of potential loss exists due to changes in the market (market risk) or failure of the contracting party to the transaction to perform (credit risk). The fund may be exposed to additional credit risk that an institution or other entity with which the fund has unsettled or open transactions will default. Investments in foreign securities involve certain risks, including those related to economic instability, unfavorable political developments, and currency fluctuations. The fund may invest in higher-yielding, lower-rated bonds that may have a higher rate of default. The fund may invest a significant portion of its assets in securitized debt instruments, including mortgage-backed and asset-backed investments. The yields and values of these investments are sensitive to changes in interest rates, the rate of principal payments on the underlying assets and the market’s perception of the issuers. The market for these investments may be volatile and limited, which may make them difficult to buy or sell.

On July 27, 2017, the United Kingdom’s Financial Conduct Authority (“FCA”), which regulates LIBOR, announced a desire to phase out the use of LIBOR by the end of 2021. LIBOR has historically been a common benchmark interest rate index used to make adjustments to variable-rate loans. It is used throughout global banking and financial industries to determine interest rates for a variety of financial instruments and borrowing arrangements. The transition process might lead to increased volatility and illiquidity in markets that currently rely on LIBOR to determine interest rates. It could also lead to a reduction in the value of some LIBOR-based investments and reduce the effectiveness of new hedges placed against existing LIBOR-based investments. While some LIBOR-based instruments may contemplate a scenario where LIBOR is no longer available by providing for an alternative rate-setting methodology, not all may have such provisions and there may be significant uncertainty regarding the effectiveness of any such alternative methodologies. Since the usefulness of LIBOR as a benchmark could deteriorate during the transition period, these effects could occur prior to the end of 2021.

Beginning in January 2020, global financial markets have experienced, and may continue to experience, significant volatility resulting from the spread of a virus known as Covid–19. The outbreak of Covid–19 has resulted

Premier Income Trust 111 

 


 

in travel and border restrictions, quarantines, supply chain disruptions, lower consumer demand, and general market uncertainty. The effects of Covid–19 have adversely affected, and may continue to adversely affect, the global economy, the economies of certain nations, and individual issuers, all of which may negatively impact the fund’s performance.

Note 7: Senior loan commitments

Senior loans are purchased or sold on a when-issued or delayed delivery basis and may be settled a month or more after the trade date, which from time to time can delay the actual investment of available cash balances; interest income is accrued based on the terms of the securities. Senior loans can be acquired through an agent, by assignment from another holder of the loan, or as a participation interest in another holder’s portion of the loan. When the fund invests in a loan or participation, the fund is subject to the risk that an intermediate participant between the fund and the borrower will fail to meet its obligations to the fund, in addition to the risk that the borrower under the loan may default on its obligations.

Note 8: Summary of derivative activity

The volume of activity for the reporting period for any derivative type that was held during the period is listed below and was based on an average of the holdings at the end of each fiscal quarter:

Purchased TBA commitment option contracts (contract amount)  $254,000,000 
Purchased currency option contracts (contract amount)  $147,500,000 
Purchased swap option contracts (contract amount)  $1,386,100,000 
Written TBA commitment option contracts (contract amount)  $265,400,000 
Written currency option contracts (contract amount)  $134,800,000 
Written swap option contracts (contract amount)  $1,251,700,000 
Futures contracts (number of contracts)  2,000 
Forward currency contracts (contract amount)  $464,300,000 
Centrally cleared interest rate swap contracts (notional)  $2,053,700,000 
OTC total return swap contracts (notional)  $48,900,000 
Centrally cleared total return swap contracts (notional)  $323,500,000 
OTC credit default contracts (notional)  $201,100,000 

 

The following is a summary of the fair value of derivative instruments as of the close of the reporting period:

 

Fair value of derivative instruments as of the close of the reporting period   
  ASSET DERIVATIVES  LIABILITY DERIVATIVES 
Derivatives not         
accounted for as  Statement of    Statement of   
hedging instruments  assets and    assets and   
under ASC 815  liabilities location  Fair value  liabilities location  Fair value 
Credit contracts  Receivables  $9,369,795  Payables  $39,357,467 
Foreign exchange         
contracts  Investments, Receivables  2,258,572  Payables  2,107,142 
  Investments,       
  Receivables, Net       
  assets — Unrealized    Payables, Net assets —   
Interest rate contracts  appreciation  53,320,607*  Unrealized depreciation  63,536,293* 
Total    $64,948,974    $105,000,902 

 

* Includes cumulative appreciation/depreciation of futures contracts and/or centrally cleared swaps as reported in the fund’s portfolio. Only current day’s variation margin is reported within the Statement of assets and liabilities.

 

112 Premier Income Trust 

 


 

The following is a summary of realized and change in unrealized gains or losses of derivative instruments in the Statement of operations for the reporting period (Note 1):

Amount of realized gain or (loss) on derivatives recognized in net gain or (loss) on investments   
Derivatives not accounted      Forward     
for as hedging instruments      currency     
under ASC 815  Options  Futures  contracts  Swaps  Total 
Credit contracts  $—  $—  $—  $(3,133,438)  $(3,133,438) 
Foreign exchange contracts  2,172,077    (1,901,480)    $270,597 
Interest rate contracts  13,685,854  262,253    (18,842)  $13,929,265 
Total  $15,857,931  $262,253  $(1,901,480)  $(3,152,280)  $11,066,424 

 

Change in unrealized appreciation or (depreciation) on derivatives recognized in net gain or (loss) 
on investments           
Derivatives not accounted      Forward     
for as hedging instruments      currency     
under ASC 815  Options  Futures  contracts  Swaps  Total 
Credit contracts  $—  $—  $—  $7,346,969  $7,346,969 
Foreign exchange contracts  (465,505)    1,621,246    $1,155,741 
Interest rate contracts  (10,333,187)  735,476    (797,782)  $(10,395,493) 
Total  $(10,798,692)  $735,476  $1,621,246  $6,549,187  $(1,892,783) 

 

Premier Income Trust 113 

 


 

Note 9: Offsetting of financial and derivative assets and liabilities

The following table summarizes any derivatives, repurchase agreements and reverse repurchase agreements, at the end of the reporting period, that are subject to an enforceable master netting agreement or similar agreement. For securities lending transactions or borrowing transactions associated with securities sold short, if any, see Note 1. For financial reporting purposes, the fund does not offset financial assets and financial liabilities that are subject to the master netting agreements in the Statement of assets and liabilities.

  Bank of
 America N.A.
Barclays Bank
PLC
Barclays
Capital, Inc.
 (clearing
broker)
BofA
Securities,
Inc.
Citibank, N.A. Citigroup
Global
Markets, Inc.
Credit Suisse
 International
Deutsche
Bank AG
Goldman
Sachs
International
HSBC Bank
 USA, National
 Association
JPMorgan
Chase Bank
 N.A.
JPMorgan
Securities LLC
Merrill Lynch
 International
Morgan
Stanley & Co.
 International
PLC
NatWest
Markets PLC
State Street
 Bank and
 Trust Co.
Toronto-
 Dominion
Bank
UBS AG Wells Fargo
 Bank, N.A.
WestPac
Banking Corp.
Total
Assets:                                           
Centrally cleared interest                                           
rate swap contracts§  $—  $—  $1,789,746  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $1,789,746 
OTC Total return                                           
swap contracts*#    52,293      8,300    3,522    10,316    714  4,985    6,820              86,950 
Centrally cleared total                                           
return swap contracts§      253,694                                    253,694 
OTC Credit                                           
default contracts —                                           
protection sold*#                                           
OTC Credit default                                           
contracts — protection                                           
purchased*#            2,125,311  1,490,080    947,622      2,182,766  1,165,533  1,451,663              9,362,975 
Futures contracts§                        1,500                  1,500 
Forward currency                                           
contracts#  47,564  26,919      58,756    32,305    371,842  207,373  275,859      102,834  214,534  294,540  75,458  388,836    137,565  2,234,385 
Forward premium swap                                           
option contracts#  4,607,476  197,903      894,482        232,932    3,255,048      1,449,185        1,197,333  23,091    11,857,450 
Purchased swap                                           
options**#  231,484  516,243      45,768        1,216,760    4,619,978      8,400,393      309,225  539,867      15,879,718 
Purchased options**#                    15,193  388,060      8,994              412,247 
Total Assets  $4,886,524  $793,358  $2,043,440  $—  $1,007,306  $2,125,311  $1,525,907  $—  $2,779,472  $222,566  $8,539,659  $2,189,251  $1,165,533  $11,419,889  $214,534  $294,540  $384,683  $2,126,036  $23,091  $137,565  $41,878,665 
Liabilities:                                           
Centrally cleared interest                                           
rate swap contracts§      2,001,407                                    2,001,407 
OTC Total return                                           
swap contracts*#    31,332          7,603  2,035  14,587    2,408  2,411                  60,376 
Centrally cleared total                                           
return swap contracts§      491,862                                    491,862 
OTC Credit                                           
default contracts —                                           
protection sold*#  464,158          5,621,667  8,353,822    5,820,452      11,138,570  1,320,425  6,638,373              39,357,467 
OTC Credit default                                           
contracts — protection                                           
purchased*#                                           
Futures contracts§                        31,974                  31,974 
Forward currency                                           
contracts#  95,363  21,101      90,059    61,292    279,253  258,482  270,849      260,136  174,282  175,773  56,904  307,352    54,742  2,105,588 

 

114 Premier Income Trust  Premier Income Trust 115 

 


 

  Bank of
 America N.A.
Barclays Bank
PLC
Barclays
Capital, Inc.
 (clearing
broker)
BofA
Securities,
Inc.
Citibank, N.A. Citigroup
Global
Markets, Inc.
Credit Suisse
 International
Deutsche
Bank AG
Goldman
Sachs
International
HSBC Bank
 USA, National
 Association
JPMorgan
Chase Bank
 N.A.
JPMorgan
Securities LLC
Merrill Lynch
 International
Morgan
Stanley & Co.
 International
PLC
NatWest
Markets PLC
State Street
 Bank and
Trust Co.
Toronto-
 Dominion
Bank
UBS AG Wells Fargo
 Bank, N.A.
WestPac
Banking Corp.
Total
Forward premium swap                                           
option contracts#  $3,147,845  $133,222  $—  $—  $1,026,695  $—  $—  $—  $193,490  $—  $2,715,145  $—  $—  $1,580,546  $—  $—  $—  $1,308,216  $10,618  $—  $10,115,777 
Written swap options#  305,953  805,416      1,483,307        978,570    8,306,390      6,780,924      463,777  1,057,280      20,181,617 
Written options#                    980  387,277      574              388,831 
Total Liabilities  $4,013,319  $991,071  $2,493,269  $—  $2,600,061  $5,621,667  $8,422,717  $2,035  $7,286,352  $259,462  $11,682,069  $11,172,955  $1,320,425  $15,260,553  $174,282  $175,773  $520,681  $2,672,848  $10,618  $54,742  $74,734,899 
Total Financial and                                           
Derivative Net Assets  $873,205  $(197,713)  $(449,829)  $—  $(1,592,755)  $(3,496,356)  $(6,896,810)  $(2,035)  $(4,506,880)  $(36,896)  $(3,142,410)  $(8,983,704)  $(154,892)  $(3,840,664)  $40,252  $118,767  $(135,998)  $(546,812)  $12,473  $82,823  $(32,856,234) 
Total collateral                                           
received (pledged)†##  $873,205  $(197,713)  $—  $—  $(1,446,759)  $(3,496,356)  $(6,849,739)  $—  $(4,275,716)  $190,000  $(3,066,387)  $(8,983,704)  $(152,989)  $(3,374,691)  $40,252  $118,767  $(81,997)  $(546,812)  $—  $—   
Net amount  $—  $—  $(449,829)  $—  $(145,996)  $—  $(47,071)  $(2,035)  $(231,164)  $(226,896)  $(76,023)  $—  $(1,903)  $(465,973)  $—  $—  $(54,001)  $—  $12,473  $82,823   
Controlled collateral                                           
received (including                                           
TBA commitments)**  $1,036,741  $—  $—  $—  $—  $—  $—  $—  $—  $190,000  $—  $257,000  $—  $—  $129,564  $134,250  $—  $—  $—  $—  $1,747,555 
Uncontrolled collateral                                           
received  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $— 
Collateral (pledged)                                           
(including TBA                                           
commitments)**  $—  $(382,924)  $—  $(106,989)  $(1,446,759)  $(3,538,769)  $(6,849,739)  $—  $(4,275,716)  $—  $(3,066,387)  $(9,123,675)  $(152,989)  $(3,374,691)  $—  $—  $(81,997)  $(586,958)  $—  $—  $(32,987,593) 

 

* Excludes premiums, if any. Included in unrealized appreciation and depreciation on OTC swap contracts on the Statement of assets and liabilities.

** Included with Investments in securities on the Statement of assets and liabilities.

Additional collateral may be required from certain brokers based on individual agreements.

# Covered by master netting agreement (Note 1).

##Any over-collateralization of total financial and derivative net assets is not shown. Collateral may include amounts related to unsettled agreements.

§ Includes current day’s variation margin only as reported on the Statement of assets and liabilities, which is not collateralized. Cumulative appreciation/(depreciation) for futures contracts and centrally cleared swap contracts is represented in the tables listed after the fund’s portfolio. Collateral pledged for initial margin on futures contracts and centrally cleared swap contracts, which is not included in the table above, amounted to $841,000 and $7,952,094, respectively.

Note 10: New accounting pronouncements

In March 2020, the Financial Accounting Standards Board (FASB) issued Accounting Standards Update (ASU) 2020–04, Reference Rate Reform (Topic 848) — Facilitation of the Effects of Reference Rate Reform on Financial Reporting. The amendments in ASU 2020–04 provide optional temporary financial reporting relief from the effect of certain types of contract modifications due to the planned discontinuation of LIBOR and other interbank-offered based reference rates as of the end of 2021. ASU 2020–04 is effective for certain reference rate-related contract modifications that occur during the period March 12, 2020 through December 31, 2022. Management is currently evaluating the impact, if any, of applying this provision.

116 Premier Income Trust  Premier Income Trust 117 

 


 

Putnam family of funds

The following is a list of Putnam’s open-end mutual funds offered to the public. Investors should carefully consider the investment objective, risks, charges, and expenses of a fund before investing. For a prospectus, or a summary prospectus if available, containing this and other information for any Putnam fund or product, contact your financial advisor or call Putnam Investor Services at 1-800-225-1581. Please read the prospectus carefully before investing.

Blend  Income 
Emerging Markets Equity Fund  Convertible Securities Fund 
Focused Equity Fund  Diversified Income Trust 
Global Equity Fund  Floating Rate Income Fund 
International Capital Opportunities Fund  Global Income Trust 
International Equity Fund  Government Money Market Fund* 
Multi-Cap Core Fund  High Yield Fund 
Research Fund  Income Fund 
  Money Market Fund 
Global Sector  Mortgage Opportunities Fund 
Global Health Care Fund  Mortgage Securities Fund 
Global Technology Fund  Short Duration Bond Fund 
  Ultra Short Duration Income Fund 
Growth   
Growth Opportunities Fund  Tax-free Income 
Small Cap Growth Fund  Intermediate-Term Municipal Income Fund 
Sustainable Future Fund  Short-Term Municipal Income Fund 
Sustainable Leaders Fund  Strategic Intermediate Municipal Fund 
  Tax Exempt Income Fund 
Value  Tax-Free High Yield Fund 
Equity Income Fund   
International Value Fund  State tax-free income funds: 
Small Cap Value Fund  California, Massachusetts, Minnesota, 
  New Jersey, New York, Ohio, and Pennsylvania. 
   

 

118 Premier Income Trust 

 


 

Absolute Return  Asset Allocation (cont.) 
Fixed Income Absolute Return Fund  Putnam Retirement Advantage Maturity Fund 
Multi-Asset Absolute Return Fund  Putnam Retirement Advantage 2060 Fund 
  Putnam Retirement Advantage 2055 Fund 
Putnam PanAgora**  Putnam Retirement Advantage 2050 Fund 
Putnam PanAgora Managed Futures Strategy  Putnam Retirement Advantage 2045 Fund 
Putnam PanAgora Market Neutral Fund  Putnam Retirement Advantage 2040 Fund 
Putnam PanAgora Risk Parity Fund  Putnam Retirement Advantage 2035 Fund 
  Putnam Retirement Advantage 2030 Fund 
Asset Allocation  Putnam Retirement Advantage 2025 Fund 
Dynamic Risk Allocation Fund   
George Putnam Balanced Fund  RetirementReady® Maturity Fund 
  RetirementReady® 2060 Fund 
Dynamic Asset Allocation Balanced Fund  RetirementReady® 2055 Fund 
Dynamic Asset Allocation Conservative Fund  RetirementReady® 2050 Fund 
Dynamic Asset Allocation Growth Fund  RetirementReady® 2045 Fund 
  RetirementReady® 2040 Fund 
  RetirementReady® 2035 Fund 
  RetirementReady® 2030 Fund 
  RetirementReady® 2025 Fund 

 

* You could lose money by investing in the fund. Although the fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The fund’s sponsor has no legal obligation to provide financial support to the fund, and you should not expect that the sponsor will provide financial support to the fund at any time.

You could lose money by investing in the fund. Although the fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. The fund may impose a fee upon sale of your shares or may temporarily suspend your ability to sell shares if the fund’s liquidity falls below required minimums because of market conditions or other factors. An investment in the fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The fund’s sponsor has no legal obligation to provide financial support to the fund, and you should not expect that the sponsor will provide financial support to the fund at any time.

Not available in all states.

** Sub-advised by PanAgora Asset Management.

Check your account balances and the most recent month-end performance in the Individual Investors section at putnam.com.

Premier Income Trust 119 

 


 

Fund information

Founded over 80 years ago, Putnam Investments was built around the concept that a balance between risk and reward is the hallmark of a well-rounded financial program. We manage funds across income, value, blend, growth, sustainable, asset allocation, absolute return, and global sector categories.

Investment Manager  Trustees  Michael J. Higgins 
Putnam Investment  Kenneth R. Leibler, Chair  Vice President, Treasurer, 
Management, LLC  Liaquat Ahamed  and Clerk 
100 Federal Street  Ravi Akhoury   
Boston, MA 02110  Barbara M. Baumann  Jonathan S. Horwitz 
  Katinka Domotorffy  Executive Vice President, 
Investment Sub-Advisor  Catharine Bond Hill  Principal Executive Officer, 
Putnam Investments Limited  Paul L. Joskow  and Compliance Liaison 
16 St James’s Street  George Putnam, III   
London, England SW1A 1ER  Robert L. Reynolds  Richard T. Kircher 
  Manoj P. Singh  Vice President and BSA 
Marketing Services  Mona K. Sutphen  Compliance Officer 
Putnam Retail Management     
100 Federal Street  Officers  Susan G. Malloy 
Boston, MA 02110  Robert L. Reynolds  Vice President and 
  President  Assistant Treasurer 
Custodian     
State Street Bank  Robert T. Burns  Denere P. Poulack 
and Trust Company  Vice President and  Assistant Vice President, Assistant 
  Chief Legal Officer  Clerk, and Assistant Treasurer 
Legal Counsel     
Ropes & Gray LLP  James F. Clark  Janet C. Smith 
  Vice President, Chief Compliance  Vice President, 
  Officer, and Chief Risk Officer  Principal Financial Officer, 
    Principal Accounting Officer, 
  Nancy E. Florek  and Assistant Treasurer 
  Vice President, Director of   
  Proxy Voting and Corporate  Mark C. Trenchard 
  Governance, Assistant Clerk,  Vice President 
  and Assistant Treasurer   

 

120 Premier Income Trust 

 


 

Call 1-800-225-1581 Monday through Friday between 8:00 a.m. and 8:00 p.m. Eastern Time, or visit putnam.com anytime for up-to-date information about the fund’s NAV.


 


Item 2. Code of Ethics:
Not Applicable

Item 3. Audit Committee Financial Expert:
Not Applicable

Item 4. Principal Accountant Fees and Services:
Not Applicable

Item 5. Audit Committee
Not Applicable

Item 6. Schedule of Investments:
The registrant's schedule of investments in unaffiliated issuers is included in the report to shareholders in Item 1 above.

Item 7. Disclosure of Proxy Voting Policies and Procedures For Closed-End Management Investment Companies:
Not applicable

Item 8. Portfolio Managers of Closed-End Management Investment Companies

(a) Not applicable

(b) There have been no changes to the list of the registrant's identified portfolio managers included in the registrant's report on Form N-CSR for the most recent completed fiscal year.

Item 9. Purchases of Equity Securities by Closed-End Management Investment Companies and Affiliated Purchasers:


Registrant Purchase of Equity Securities
Maximum
Total Number Number (or
of Shares Approximate
Purchased Dollar Value)
as Part of Shares
of Publicly that May Yet Be
Total Number Average Announced Purchased
of Shares Price Paid Plans or under the Plans
Period Purchased per Share Programs* or Programs**

August 1 — August 31, 2020 9,246,680
September 1 — September 30, 2020 9,246,680
October 1 — October 31, 2020 67,352 $4.48 67,352 10,184,435
November 1 — November 30, 2020 10,184,435
December 1 — December 31, 2020 238,372 $4.58 238,372 9,946,063
January 1 — January 31, 2021 9,946,063


*   In October 2005, the Board of Trustees of the Putnam Funds initiated the closed-end fund share repurchase program, which, as subsequently amended, authorized the fund to repurchase of up to 10% of its fund's outstanding common shares over the two-years ending October 5, 2007. The Trustees have subsequently renewed the program on an annual basis. The program renewed by the Board in September 2019, which was in effect between October 10, 2019 and September 30, 2020, allowed the fund to repurchase up to 10,336,537 of its shares. The program renewed by the Board in September 2020, which is in effect between October 1, 2020 and September 30, 2021, allows the fund to repurchase up to 10,251,786 of its shares.

**   Information prior to October 1, 2020 is based on the total number of shares eligible for repurchase under the program, as amended through September 2019. Information from October 1, 2020 forward is based on the total number of shares eligible for repurchase under the program, as amended through September 2020.

Item 10. Submission of Matters to a Vote of Security Holders:
Not Applicable

Item 11. Controls and Procedures:
(a) The registrant's principal executive officer and principal financial officer have concluded, based on their evaluation of the effectiveness of the design and operation of the registrant's disclosure controls and procedures as of a date within 180 days of the filing date of this report, that the design and operation of such procedures are generally effective to provide reasonable assurance that information required to be disclosed by the registrant in this report is recorded, processed, summarized and reported within the time periods specified in the Commission's rules and forms.

(b) Changes in internal control over financial reporting: Not applicable

Item 12. Disclosures of Securities Lending Activities for Closed-End Investment Companies:
Not applicable

Item 13. Exhibits:
(a)(1) Not applicable

(a)(2) Separate certifications for the principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940, as amended, are filed herewith.

(b) The certifications required by Rule 30a-2(b) under the Investment Company Act of 1940, as amended, are filed herewith.

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Putnam Premier Income Trust
By (Signature and Title):
/s/ Janet C. Smith
Janet C. Smith
Principal Accounting Officer

Date: March 30, 2021
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By (Signature and Title):
/s/ Jonathan S. Horwitz
Jonathan S. Horwitz
Principal Executive Officer

Date: March 30, 2021
By (Signature and Title):
/s/ Janet C. Smith
Janet C. Smith
Principal Financial Officer

Date: March 30, 2021
EX-99.CERT 2 b_073certifications.htm CERTIFICATIONS b_073certifications.htm

Certifications

I, Jonathan S. Horwitz, the Principal Executive Officer of the funds listed on Attachment A, certify that:

1. I have reviewed each report on Form N-CSR of the funds listed on Attachment A:

2. Based on my knowledge, each report does not contain any untrue statements of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by each report;

3. Based on my knowledge, the financial statements, and other financial information included in each report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in each report;

4. The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which each report is being prepared;

b) designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c) evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 180 days prior to the filing date of each report based on such evaluation; and

d) disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal half-year that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer and I have disclosed to each registrant's auditors and the audit committee of each registrant's board of directors (or persons performing the equivalent functions):

a) all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect each registrant's ability to record, process, summarize, and report financial information; and

b) any fraud, whether or not material, that involves management or other employees who have a significant role in each registrant's internal control over financial reporting.

Date: March 30, 2021

/s/ Jonathan S. Horwitz
_______________________
Jonathan S. Horwitz
Principal Executive Officer













Certifications

I, Janet C. Smith, the Principal Financial Officer of the funds listed on Attachment A, certify that:

1. I have reviewed each report on Form N-CSR of the funds listed on Attachment A:

2. Based on my knowledge, each report does not contain any untrue statements of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by each report;

3. Based on my knowledge, the financial statements, and other financial information included in each report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in each report;

4. The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which each report is being prepared;

b) designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c) evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 180 days prior to the filing date of each report based on such evaluation; and

d) disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal half-year that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer and I have disclosed to each registrant's auditors and the audit committee of each registrant's board of directors (or persons performing the equivalent functions):

a) all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect each registrant's ability to record, process, summarize, and report financial information; and

b) any fraud, whether or not material, that involves management or other employees who have a significant role in each registrant's internal control over financial reporting.

Date: March 30, 2021

/s/ Janet C. Smith
_______________________
Janet C. Smith
Principal Financial Officer















Attachment A

Period (s) ended January 31, 2021

               George Putnam Balanced Fund
               Putnam Growth Opportunities Fund
               Putnam Premier Income Trust
               Putnam Research Fund
               Putnam Ultra Short Duration Income Fund
               Putnam Short Term Investment Fund
               Putnam Strategic Intermediate Municipal Fund
               Putnam Tax-Free High Yield Fund

               Putnam RetirementReady — Funds:
               Putnam RetirementReady — 2065
               Putnam RetirementReady — 2060
               Putnam RetirementReady — 2055
               Putnam RetirementReady — 2050
               Putnam RetirementReady — 2045
               Putnam RetirementReady — 2040
               Putnam RetirementReady — 2035
               Putnam RetirementReady — 2030
               Putnam RetirementReady — 2025
               Putnam RetirementReady Maturity Fund
EX-99.906 CERT 3 c_073noscertification.htm 906 CERTIFICATIONS c_073noscertification.htm

Section 906 Certifications

I, Jonathan S. Horwitz, the Principal Executive Officer of the Funds listed on Attachment A, certify that, to my knowledge:

1. The form N-CSR of the Funds listed on Attachment A for the period ended January 31, 2021 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. The information contained in the Form N-CSR of the Funds listed on Attachment A for the period ended January 31, 2021 fairly presents, in all material respects, the financial condition and results of operations of the Funds listed on Attachment A.

Date: March 30, 2021

/s/ Jonathan S. Horwitz
______________________
Jonathan S. Horwitz
Principal Executive Officer














Section 906 Certifications

I, Janet C. Smith, the Principal Financial Officer of the Funds listed on Attachment A, certify that, to my knowledge:

1. The form N-CSR of the Funds listed on Attachment A for the period ended January 31, 2021 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. The information contained in the Form N-CSR of the Funds listed on Attachment A for the period ended January 31, 2021 fairly presents, in all material respects, the financial condition and results of operations of the Funds listed on Attachment A.

Date: March 30, 2021

/s/ Janet C. Smith
______________________
Janet C. Smith
Principal Financial Officer















Attachment A

Period (s) ended January 31, 2021

               George Putnam Balanced Fund
               Putnam Growth Opportunities Fund
               Putnam Premier Income Trust
               Putnam Research Fund
               Putnam Ultra Short Duration Income Fund
               Putnam Short Term Investment Fund
               Putnam Strategic Intermediate Municipal Fund
               Putnam Tax-Free High Yield Fund

               Putnam RetirementReady — Funds:
               Putnam RetirementReady — 2065
               Putnam RetirementReady — 2060
               Putnam RetirementReady — 2055
               Putnam RetirementReady — 2050
               Putnam RetirementReady — 2045
               Putnam RetirementReady — 2040
               Putnam RetirementReady — 2035
               Putnam RetirementReady — 2030
               Putnam RetirementReady — 2025
               Putnam RetirementReady Maturity Fund
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