0001752724-21-093712.txt : 20210517 0001752724-21-093712.hdr.sgml : 20210517 20210517100434 ACCESSION NUMBER: 0001752724-21-093712 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210331 FILED AS OF DATE: 20210517 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ROYCE MICRO-CAP TRUST, INC. CENTRAL INDEX KEY: 0000912147 IRS NUMBER: 133739778 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08030 FILM NUMBER: 21928229 BUSINESS ADDRESS: STREET 1: 745 FIFTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10151 BUSINESS PHONE: 2124084587 MAIL ADDRESS: STREET 1: 745 FIFTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10151 FORMER COMPANY: FORMER CONFORMED NAME: ROYCE MICRO-CAP TRUST, INC /MD/ DATE OF NAME CHANGE: 20090324 FORMER COMPANY: FORMER CONFORMED NAME: ROYCE MICRO CAP TRUST INC /MD/ DATE OF NAME CHANGE: 20010430 FORMER COMPANY: FORMER CONFORMED NAME: ROYCE OTC MICRO CAP FUND INC DATE OF NAME CHANGE: 19930917 NPORT-P 1 primary_doc.xml NPORT-P false 0000912147 XXXXXXXX ROYCE MICRO-CAP TRUST, INC. 811-08030 0000912147 254900D3WFIV4SD8EF19 745 FIFTH AVENUE NEW YORK 10151 212-508-4500 ROYCE MICRO-CAP TRUST, INC. 254900D3WFIV4SD8EF19 2021-12-31 2021-03-31 N 593344843.88 22628497.93 570716345.95 0.00000000 0.00000000 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John Schwartz John Schwartz Associate General Counsel XXXX NPORT-EX 2 NPORT_6609_6259153398.htm

 

SCHEDULE OF INVESTMENTS
ROYCE MICRO-CAP TRUST
MARCH 31, 2021 (UNAUDITED)

 

   SHARES  VALUE
COMMON STOCKS – 101.4%          
           
Communication Services – 3.3%          
Diversified Telecommunication Services - 0.2%          
Ooma 1   57,300   $908,205 
ORBCOMM 1   65,000    495,950 
         1,404,155 
Entertainment - 2.0%          
Chicken Soup For The Soul          
Entertainment Cl. A 1   267,000    6,424,020 
Gaia Cl. A 1,2,3   100,000    1,189,000 
IMAX Corporation 1   186,600    3,750,660 
Motorsport Games Cl. A 1   4,700    109,322 
         11,473,002 
Interactive Media & Services - 0.9%          
Eventbrite Cl. A 1   45,455    1,007,283 
QuinStreet 1   198,600    4,031,580 
         5,038,863 
Media - 0.2%          
comScore 1   297,195    1,087,734 
Total        19,003,754 
           
Consumer Discretionary – 10.5%          
Auto Components - 1.8%          
Motorcar Parts of America 1   54,800    1,233,000 
Patrick Industries   17,250    1,466,250 
Sebang Global Battery   50,500    3,475,988 
Standard Motor Products   48,860    2,031,599 
Stoneridge 1,3   57,600    1,832,256 
         10,039,093 
Diversified Consumer Services - 0.8%          
Aspen Group 1   141,520    849,120 
Park Lawn   50,000    1,309,780 
Universal Technical Institute 1   445,000    2,598,800 
         4,757,700 
Hotels, Restaurants & Leisure - 1.7%          
Century Casinos 1   222,500    2,285,075 
GAN 1   44,700    813,540 
Inspired Entertainment 1   50,000    464,500 
Lindblad Expeditions Holdings 1   320,968    6,066,295 
         9,629,410 
Household Durables - 1.1%          
Cavco Industries 1,2,3   8,600    1,940,246 
Legacy Housing 1   144,900    2,569,077 
Lifetime Brands 3   119,294    1,752,429 
         6,261,752 
Internet & Direct Marketing Retail - 1.6%          
CarParts.com 1   50,000    714,000 
Magnite 1   206,900    8,609,109 
         9,323,109 
Leisure Products - 0.6%          
Clarus Corporation   175,703    2,995,736 
MasterCraft Boat Holdings 1   14,800    393,532 
         3,389,268 
Specialty Retail - 2.5%      
AutoCanada 1   440,000    10,713,774 
Barnes & Noble Education 1   80,000    651,200 
Lazydays Holdings 1   30,000    534,300 
OneWater Marine Cl. A 1   31,045    1,240,558 
Shoe Carnival 3   18,216    1,127,206 
Stage Stores 1,4   15,000    0 
         14,267,038 
Textiles, Apparel & Luxury Goods - 0.4%          
J G Boswell Company 5   2,490    1,775,370 
YGM Trading 1   2,564,600    752,150 
        2,527,520  
Total        60,194,890 
           
Consumer Staples – 1.7%          
Beverages - 0.3%          
MGP Ingredients   20,000    1,183,000 
Primo Water   26,791    435,621 
         1,618,621 
Food Products - 1.4%          
John B. Sanfilippo & Son 3   7,900    713,923 
Landec Corporation 1,3   75,610    801,466 
Seneca Foods Cl. A 1   81,087    3,818,387 
Seneca Foods Cl. B 1   40,400    1,898,800 
SunOpta 1   50,000    738,500 
         7,971,076 
Total        9,589,697 
           
Energy – 5.2%          
Energy Equipment & Services - 2.8%          
Aspen Aerogels 1   153,185    3,115,783 
Bristow Group 1,2,3   177,900    4,604,052 
Computer Modelling Group   594,875    2,721,836 
North American Construction Group   50,000    537,500 
Pason Systems   202,500    1,430,890 
SEACOR Marine Holdings 1,3   216,957    1,156,381 
TerraVest Industries   199,000    2,650,800 
         16,217,242 
Oil, Gas & Consumable Fuels - 2.4%          
Ardmore Shipping 1   90,500    410,870 
Brigham Minerals Cl. A   220,000    3,220,800 
Dorchester Minerals L.P.   153,963    2,103,134 
Dorian LPG 1   163,138    2,142,002 
GeoPark   69,218    1,107,488 
Navigator Holdings 1   175,000    1,557,500 
Sabine Royalty Trust 3   82,648    2,509,193 
StealthGas 1   229,664    652,246 
         13,703,233 
Total        29,920,475 
           
Financials – 12.0%          
Banks - 2.1%          
Bryn Mawr Bank   25,000    1,137,750 
Caribbean Investment Holdings 1   735,635    349,880 
Chemung Financial   31,000    1,296,420 
CNB Financial   12,600    310,086 
Fauquier Bankshares 3   133,200    2,834,496 
First Bancshares (The)   23,800    871,318 
HarborOne Bancorp   62,400    840,528 
HBT Financial   46,300    792,656 
Live Oak Bancshares 3   30,900    2,116,341 
Midway Investments 1,4   735,647    0 
Shore Bancshares   17,800    302,956 
Southern First Bancshares 1   6,300    295,344 
TriState Capital Holdings 1   42,800    986,968 
         12,134,743 
Capital Markets - 7.7%          
ASA Gold and Precious Metals   171,150    3,414,460 
B. Riley Financial   27,500    1,550,450 
Barings BDC   215,300    2,148,694 
Bolsa Mexicana de Valores   1,068,000    2,150,160 
Canaccord Genuity Group   203,300    1,860,389 
Donnelley Financial Solutions 1   50,000    1,391,500 
Fiera Capital Cl. A   78,000    618,811 
GCM Grosvenor Cl. A   380,800    4,531,520 
Manning & Napier Cl. A 1   136,600    883,802 
Silvercrest Asset Management Group Cl. A   224,100    3,222,558 
Sprott   176,453    6,703,164 
StoneX Group 1,2,3   69,327    4,532,599 
Tel Aviv Stock Exchange   343,000    2,113,547 
U.S. Global Investors Cl. A 3   439,454    3,067,389 
Urbana Corporation   237,600    582,325 
Value Line 3   74,574    2,102,241 
VNV Global 1   100,000    1,250,365 
Warsaw Stock Exchange   52,900    613,077 
Westaim Corporation (The) 1   500,000    1,066,285 
         43,803,336 
Consumer Finance - 0.2%          
EZCORP Cl. A 1,2,3   201,000    998,970 
Diversified Financial Services - 0.6%          
ECN Capital   556,000    3,464,216 
Waterloo Investment Holdings 1,4   806,000    201,500 
         3,665,716 
Insurance - 0.8%          
Hallmark Financial Services 1,3   114,000    442,320 
Trupanion 1,3   50,070    3,815,835 
         4,258,155 
Investment Companies - 0.5%          
ACE Convergence Acquisition Cl. A 1   111,700    1,113,649 
dMY Technology Group II Cl. A 1   33,100    486,901 
Horizon Acquisition Corporation II Cl. A 1   23,300    237,660 
Hudson Executive Investment Cl. A 1   80,300    796,576 
ION Acquisition Corp 1 Cl. A 1   42,300    427,653 
         3,062,439 
Thrifts & Mortgage Finance - 0.1%          
OP Bancorp   28,700    301,924 
Total        68,225,283 
           
Health Care – 15.6%          
Biotechnology - 2.6%          
Arcturus Therapeutics Holdings 1,3   79,836    3,297,227 
Avid Bioservices 1   44,200    805,766 
CareDx 1   18,900    1,286,901 
Catalyst Pharmaceuticals 1   203,000    935,830 
Larimar Therapeutics 1,3   28,064    410,015 
MeiraGTx Holdings 1   88,500    1,277,055 
Neoleukin Therapeutics 1,3   145,397    1,789,837 
Zealand Pharma 1   153,015    4,838,972 
         14,641,603 
Health Care Equipment & Supplies - 6.6%          
Apyx Medical 1   35,800    345,828 
AtriCure 1,3   15,000    982,800 
Atrion Corporation 3   4,689    3,007,103 
BioLife Solutions 1   33,700    1,213,200 
Chembio Diagnostics 1   135,800    476,658 
ClearPoint Neuro 1   55,100    1,164,814 
CryoLife 1   15,200    343,216 
Cutera 1   46,400    1,394,320 
LeMaitre Vascular   13,600    663,408 
Mesa Laboratories 3   52,000    12,662,000 
Misonix 1   95,500    1,870,845 
OraSure Technologies 1,3   50,000    583,500 
OrthoPediatrics Corp. 1   6,500    316,875 
Profound Medical 1   85,800    1,720,506 
Repro Med Systems 1   102,200    359,744 
Semler Scientific 1,5   22,400    2,408,000 
Surmodics 1,3   85,300    4,782,771 
Utah Medical Products   31,350    2,714,910 
Vapotherm 1   35,100    843,102 
         37,853,600 
Health Care Providers & Services - 3.0%          
AAC Holdings 1,4   89,400    0 
CRH Medical 1   475,000    1,878,531 
Cross Country Healthcare 1   130,800    1,633,692 
Great Elm Group 1   566,700    1,382,748 
Hims & Hers Health Cl. A 1   200,000    2,646,000 
Joint Corp. (The) 1   97,484    4,715,301 
National Research 3   46,668    2,185,462 
PetIQ Cl. A 1,2,3   25,000    881,500 
Sharps Compliance 1   108,400    1,557,708 
         16,880,942 
Health Care Technology - 1.7%          
OptimizeRx Corporation 1   24,400    1,189,500 
Simulations Plus 2,3   85,570    5,411,447 
Tabula Rasa HealthCare 1,3   38,400    1,768,320 
Vocera Communications 1   33,100    1,273,026 
         9,642,293 
Life Sciences Tools & Services - 1.4%          
Harvard Bioscience 1   235,200    1,284,192 
Quanterix Corporation 1   111,700    6,531,099 
         7,815,291 
Pharmaceuticals - 0.3%          
Knight Therapeutics 1   187,000    807,997 
Theravance Biopharma 1,3   59,009    1,204,374 
         2,012,371 
Total        88,846,100 
           
Industrials – 20.6%          
Aerospace & Defense - 1.0%          
Astronics Corporation 1   26,129    471,367 
CPI Aerostructures 1   189,700    861,238 
Innovative Solutions and Support   78,828    498,193 
SIFCO Industries 1   45,800    574,332 
Virgin Galactic Holdings 1,3   102,850    3,150,296 
         5,555,426 
Air Freight & Logistics - 0.2%        
Atlas Air Worldwide Holdings 1   10,000    604,400 
Echo Global Logistics 1   20,000    628,200 
         1,232,600 
Building Products - 1.0%          
Burnham Holdings Cl. A 5   117,000    1,530,360 
CSW Industrials 3   20,000    2,700,000 
Insteel Industries 3   44,200    1,363,128 
Quanex Building Products   9,900    259,677 
         5,853,165 
Commercial Services & Supplies - 1.3%          
Acme United   25,000    986,000 
Atento 1   21,742    456,364 
Civeo Corporation 1   37,499    574,110 
Heritage-Crystal Clean 1,3   123,001    3,337,017 
Team 1,3   93,300    1,075,749 
Vidler Water Resouces 1,3   121,200    1,078,680 
         7,507,920 
Construction & Engineering - 3.9%          
Ameresco Cl. A 1   104,900    5,101,287 
Construction Partners Cl. A 1   84,900    2,536,812 
Granite Construction   13,500    543,375 
IES Holdings 1,3   121,200    6,109,692 
Infrastructure and Energy Alternatives 1   275,100    4,484,130 
Matrix Service 1,3   8,200    107,502 
Northwest Pipe 1,3   59,400    1,985,148 
NV5 Global 1   13,400    1,294,038 
         22,161,984 
Electrical Equipment - 1.0%          
American Superconductor 1   53,525    1,014,834 
Encore Wire 3   3,307    221,999 
LSI Industries   415,740    3,546,262 
Powell Industries 3   21,400    724,818 
Power Solutions International 1,3,5   21,100    147,700 
         5,655,613 
Industrial Conglomerates - 0.7%          
Raven Industries 1,3   100,600    3,855,998 
Machinery - 5.3%          
CIRCOR International 1,3   210,921    7,344,269 
Graham Corporation 3   123,650    1,760,776 
H2O Innovation 1   437,300    897,775 
Helios Technologies 3   47,500    3,461,325 
Hurco Companies 3   36,866    1,301,370 
L. B. Foster Company 1,3   95,300    1,705,870 
Lindsay Corporation 3   41,600    6,931,392 
Luxfer Holdings 3   12,900    274,512 
NN 1   90,600    640,542 
Shyft Group (The)   17,200    639,840 
Titan International 1   212,200    1,969,216 
Wabash National   6,400    120,320 
Westport Fuel Systems 1   412,500    2,965,875 
         30,013,082 
Marine - 1.3%          
Algoma Central   40,000    547,466 
Clarkson   109,900    4,166,471 
Eagle Bulk Shipping 1,2,3   81,428    2,941,179 
         7,655,116 
Professional Services - 1.0%          
Acacia Research 1,3   190,000    1,263,500 
Barrett Business Services   2,600    179,036 
Forrester Research 1   42,500    1,805,400 
Franklin Covey 1,3   40,100    1,134,429 
GP Strategies 1   43,700    762,565 
Resources Connection   59,300    802,922 
         5,947,852 
Road & Rail - 0.8%          
Covenant Logistics Group Cl. A 1   53,000    1,091,270 
HyreCar 1   91,900    900,620 
Patriot Transportation Holding 3   55,764    613,962 
Universal Logistics Holdings 3   75,200    1,978,512 
         4,584,364 
Trading Companies & Distributors - 3.1%          
BlueLinx Holdings 1   24,900    975,831 
EVI Industries 1,3   217,709    6,263,488 
Houston Wire & Cable 1   151,418    790,402 
Lawson Products 1   36,500    1,892,890 
Transcat 1   161,607    7,931,672 
         17,854,283 
Total        117,877,403 
           
Information Technology – 24.7%          
Communications Equipment - 0.9%          
Clearfield 1   85,200    2,567,076 
Digi International 1   62,900    1,194,471 
Genasys 1   38,300    256,227 
Ituran Location and Control   50,000    1,061,500 
         5,079,274 
Electronic Equipment, Instruments & Components - 8.2%          
Bel Fuse Cl. A   67,705    1,210,566 
Fabrinet 1   2,200    198,858 
FARO Technologies 1,2,3   65,200    5,644,364 
HollySys Automation Technologies   51,900    649,788 
Luna Innovations 1   456,678    4,808,819 
nLIGHT 1,3   306,100    9,917,640 
Novanta 1   3,400    448,426 
PAR Technology 1,3   268,924    17,590,319 
PC Connection 3   14,000    649,460 
PowerFleet 1   201,800    1,658,796 
Richardson Electronics   316,900    2,018,653 
SMTC Corporation 1   150,000    901,500 
Vishay Precision Group 1   41,800    1,287,858 
         46,985,047 
IT Services - 0.7%          
Computer Task Group 1   84,800    809,840 
Hackett Group (The) 3   27,700    454,003 
International Money Express 1   93,385    1,401,709 
USA Technologies 1,3   90,500    1,060,660 
         3,726,212 
Semiconductors & Semiconductor Equipment - 8.2%          
Alpha & Omega Semiconductor 1   17,900    585,330 
Amtech Systems 1,3   92,184    1,089,615 
Axcelis Technologies 1   23,000    945,070 
AXT 1   100,000    1,166,000 
Brooks Automation 3   44,400    3,625,260 
Camtek 1   103,800    3,103,620 
Cohu 1   38,990    1,631,342 
CyberOptics Corporation 1   64,900    1,685,453 
FormFactor 1   22,869    1,031,620 
Ichor Holdings 1   25,700    1,382,660 
Kulicke & Soffa Industries 3   77,200    3,791,292 
Nova Measuring Instruments 1,3   66,100    6,015,761 
NVE Corporation   14,400    1,009,440 
Onto Innovation 1,2,3   127,550    8,381,310 
PDF Solutions 1   189,500    3,369,310 
Photronics 1   240,800    3,096,688 
Sequans Communications ADR 1   31,800    192,072 
Silicon Motion Technology ADR   4,700    279,133 
Ultra Clean Holdings 1,3   72,200    4,190,488 
         46,571,464 
Software - 5.5%          
Agilysys 1,2,3   106,800    5,122,128 
American Software Cl. A 3   120,352    2,491,286 
AudioEye 1   50,000    1,397,000 
Digital Turbine 1   89,700    7,208,292 
E2open Parent Holdings Cl. A 1   112,200    1,117,512 
Mitek Systems 1   31,800    463,644 
Model N 1   50,000    1,761,500 
OneSpan 1   5,600    137,200 
Optiva 1   28,000    680,003 
QAD Cl. A   29,487    1,963,245 
RealNetworks 1   100,171    425,727 
SharpSpring 1   104,700    1,675,200 
Upland Software 1   148,200    6,993,558 
         31,436,295 
Technology Hardware, Storage & Peripherals - 1.2%          
AstroNova 1   106,300    1,424,420 
Avid Technology 1   63,500    1,340,485 
Intevac 1   539,400    3,856,710 
TransAct Technologies 1   40,900    444,583 
         7,066,198 
Total        140,864,490 
           
Materials – 4.9%          
Chemicals - 0.2%          
LSB Industries 1   135,800    696,654 
Rayonier Advanced Materials 1   50,000    453,500 
         1,150,154 
Construction Materials - 0.3%          
Monarch Cement 5   8,150    855,750 
United States Lime & Minerals   5,400    722,034 
         1,577,784 
Containers & Packaging - 0.3%          
UFP Technologies 1,3   36,445    1,815,690 
Metals & Mining - 4.1%          
Alamos Gold Cl. A   261,044    2,039,828 
Altius Minerals   113,000    1,349,670 
Ampco-Pittsburgh 1   79,002    533,263 
Haynes International 3   69,400    2,059,098 
Imdex   569,466    702,874 
MAG Silver 1   154,050    2,312,291 
Major Drilling Group International 1   1,204,084    6,467,388 
Olympic Steel   35,000    1,030,750 
Pretium Resources 1   80,000    830,111 
Sandstorm Gold 1   810,000    5,508,000 
Universal Stainless & Alloy Products 1,3   33,620    341,915 
         23,175,188 
Total        27,718,816 
           
Real Estate – 2.6%        
Equity Real Estate Investment Trusts (REITs) - 0.3%        
Postal Realty Trust Cl. A   114,000    1,958,520 
Real Estate Management & Development - 2.3%          
Altus Group   87,000    4,184,197 
Dundee Corporation Cl. A 1   413,200    473,469 
Marcus & Millichap 1,3   4,900    165,130 
Real Matters 1   229,500    2,611,482 
RMR Group (The) Cl. A 3   75,400    3,077,074 
Tejon Ranch 1,3   154,994    2,594,599 
         13,105,951 
Total        15,064,471 
           
Utilities – 0.3%          
Water Utilities - 0.3%          
Global Water Resources   106,000    1,728,860 
Total        1,728,860 
           
TOTAL COMMON STOCKS          
(Cost $373,166,637)        579,034,239 
           
REPURCHASE AGREEMENT – 2.5%          

Fixed Income Clearing Corporation,
    0.00% dated 3/31/21, due 4/1/21,
    maturity value $14,052,246 (collateralized
    by obligations of various U.S. Government
    Agencies, 1.875% due 8/31/24, valued at $14,333,369)
    (Cost $14,052,246)

        14,052,246 
           
TOTAL INVESTMENTS – 103.9%          
(Cost $387,218,883)        593,086,485 
           
LIABILITIES LESS CASH
AND OTHER ASSETS – (3.9)%
        (22,273,480)
           
NET ASSETS – 100.0%       $570,813,005 

 

ADR – American Depository Receipt

1Non-income producing.
2At March 31, 2021, a portion of these securities were rehypothecated in connection with the Fund’s revolving credit agreement in the aggregate amount of $18,810,191.

3All or a portion of these securities were pledged as collateral in connection with the Fund’s revolving credit agreement at March 31, 2021. Total market value of pledged securities at March 31, 2021, was $70,045,676.

4Securities for which market quotations are not readily available represent 0.0% of net assets. These securities have been valued at their fair value under procedures approved by the Fund’s Board of Directors. These securities are defined as Level 3 securities due to the use of significant unobservable inputs in the determination of fair value.

5These securities are defined as Level 2 securities due to fair value being based on quoted prices for similar securities.

 

TAX INFORMATION: The cost of total investments for Federal income tax purposes was $387,545,832. At March 31, 2021, net unrealized appreciation for all securities was $205,540,653, consisting of aggregate gross unrealized appreciation of $243,680,509 and aggregate gross unrealized depreciation of $38,139,856. The primary cause of the difference between book and tax basis cost is the timing of the recognition of losses on securities sold.

 

Valuation of Investments:

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

 

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

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

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

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

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

The following is a summary of the inputs used to value the Fund’s investments as of March 31, 2021. For a detailed breakout of common stocks by sector classification, please refer to the Schedule of Investments.

 

   Level 1   Level 2   Level 3   Total 
Common Stocks  $572,115,559   $6,717,180   $201,500   $579,034,239 
Repurchase Agreement       14,052,246        14,052,246 

 

Level 3 Reconciliation:    

 

   Balance as of 12/31/20   Corporate Actions   Realized
Gain (Loss)
   Unrealized
Gain (Loss)
   Balance as of
3/31/21
 
Common Stocks  $201,500   $   $   $  –   $201,500 
Warrants   5,000     0         (5,000)     

 

Repurchase Agreements:

The Fund may enter into repurchase agreements with institutions that the Fund’s investment adviser has determined are creditworthy. The Fund restricts repurchase agreements to maturities of no more than seven days. Securities pledged as collateral for repurchase agreements, which are held until maturity of the repurchase agreements, are marked-to-market daily and maintained at a value at least equal to the principal amount of the repurchase agreement (including accrued interest). Repurchase agreements could involve certain risks in the event of default or insolvency of the counter-party, including possible delays or restrictions upon the ability of the Fund to dispose of its underlying securities. The remaining contractual maturity of the repurchase agreement held by the Fund at March 31, 2021 is overnight and continuous.

 

Borrowings:

The Fund is party to a revolving credit agreement (the credit agreement) with BNP Paribas Prime Brokerage International, Limited (BNPPI). The Fund pays a commitment fee of 0.50% per annum on the unused portion of the then-current maximum amount that may be borrowed by the Fund under the credit agreement. The credit agreement has a 179-day rolling term that resets daily. The Fund is required to pledge portfolio securities as collateral in an amount up to two times the loan balance outstanding, or as otherwise required by applicable regulatory standards, and has granted a security interest in the securities pledged to, and in favor of, BNPPI as security for the loan balance outstanding. If the Fund fails to meet certain requirements, or comply with other financial covenants set forth in the credit agreement, the Fund may be required to repay immediately, in part or in full, the loan balance outstanding under the credit agreement, which may necessitate the sale of portfolio securities at potentially inopportune times. BNPPI may terminate the credit agreement upon certain ratings downgrades of its corporate parent, which would result in the Fund’s entire loan balance becoming immediately due and payable. The occurrence of such ratings downgrades may necessitate the sale of portfolio securities at potentially inopportune times. BNPPI may also terminate the credit agreement upon sixty (60) calendar days’ prior written notice to the Fund in the event the Fund’s net asset value per share as of the close of business on the last business day of any calendar month declines by thirty-five percent (35%) or more from the Fund’s net asset value per share as of the close of business on the last business day of the immediately preceding calendar month.

 

The credit agreement also permits, subject to certain conditions, BNPPI to rehypothecate portfolio securities pledged by the Fund up to the amount of the loan balance outstanding. The Fund continues to receive payments in lieu of dividends and interest on rehypothecated securities. The Fund also has the right under the credit agreement to recall the rehypothecated securities from BNPPI on demand. If BNPPI fails to deliver the recalled security in a timely manner, the Fund is compensated by BNPPI for any fees or losses related to the failed delivery or, in the event a recalled security is not returned by BNPPI, the Fund, upon notice to BNPPI, may reduce the loan balance outstanding by the value of the recalled security failed to be returned. The Fund receives a portion of the fees earned by BNPPI in connection with the rehypothecation of portfolio securities.

 

The current maximum amount the Fund may borrow under the credit agreement is $22,000,000. The Fund has the right to reduce the maximum amount it can borrow under the credit agreement upon one (1) business day’s prior written notice to BNPPI. In addition, the Fund and BNPPI may agree to increase the maximum amount the Fund can borrow under the credit agreement, which amount may not exceed $60,000,000.

 

As of March 31, 2021, the Fund has outstanding borrowings of $22,000,000. During the three months ended March 31, 2021, the Fund borrowed an average daily balance of $22,000,000. As of March 31, 2021, the aggregate value of rehypothecated securities was $18,810,191.

 

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