0001145549-21-068360.txt : 20211124 0001145549-21-068360.hdr.sgml : 20211124 20211123180819 ACCESSION NUMBER: 0001145549-21-068360 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20211124 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Apollo Tactical Income Fund Inc. CENTRAL INDEX KEY: 0001526697 IRS NUMBER: 000000000 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22591 FILM NUMBER: 211440285 BUSINESS ADDRESS: STREET 1: 9 WEST 57TH STREET CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 212-822-0426 MAIL ADDRESS: STREET 1: 9 WEST 57TH STREET CITY: NEW YORK STATE: NY ZIP: 10019 FORMER COMPANY: FORMER CONFORMED NAME: Apollo Credit Fund Inc. DATE OF NAME CHANGE: 20110726 NPORT-P 1 primary_doc.xml NPORT-P false 0001526697 XXXXXXXX Apollo Tactical Income Fund Inc. 811-22591 0001526697 549300JOTMM1DVBHF402 9 West 57th Street New York 10019 877-864-4834 Apollo Tactical Income Fund Inc. 549300JOTMM1DVBHF402 2021-12-31 2021-09-30 N 408014969.020000000000 165175816.190000000000 242839152.830000000000 0.000000000000 0.000000000000 121000000.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 8767054.420000000000 USD N Advantage Sales & Marketing Inc. 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N/A Gridiron Fiber T/L B (Segra/Segura ResiCo/Lumos /MTN Infra) N/A 5000000 PA USD 4871900 2.0062250849 Long LON CORP US N 2 2028-08-23 Floating 5.25 N N N N N N Intelsat Jackson Holdings S.A. N/A Intelsat Jackson DD DIP T/L (9/21) L5137LAM7 3636873.33 PA USD 3668695.97 1.5107514284 Long LON CORP LU N 2 2022-07-13 Floating 5.75 N N N N N N Olympus Water US Holding Corporation N/A Olympus Water US Holding T/L (Solenis) N/A 1378882 PA USD 1378737.22 0.5677573834 Long LON CORP US N 2 2028-09-21 Floating 4.5 N N N N N N Mattress Firm, Inc. N/A Mattress Firm T/L B (9/21) 57723CAR0 2328358 PA USD 2328369.64 0.9588114655 Long LON CORP US N 2 2028-09-25 Floating 5 N N N N N N Washington Prime Group, L.P. N/A Washington Prime T/L (6/21) N/A 1500000 PA USD 1530000 0.6300466717 Long LON CORP US N 2 2025-06-11 Floating 5.75 N N N N N N Azurity Pharmaceuticals, Inc. N/A Azurity Pharmaceuticals T/L B N/A 2000000 PA USD 1965000 0.8091775882 Long LON CORP US N 2 2028-09-30 Floating 6.75 N N N N N N JBS, S.A. N/A JBS USA/FOOD/FIN 6.5% 4/15/ 46590XAA4 1362000 PA USD 1523737.5 0.6274678042 Long DBT CORP US N 2 2029-04-15 Fixed 6.5 N N N N N N JBS, S.A. N/A JBS USA / Food / FIN 5.5% 1/15/30 46590XAB2 2000000 PA USD 2226940 0.9170432255 Long DBT CORP US N 2 2030-01-15 Fixed 5.5 N N N N N N The Kraft Heinz Co. N/A Kraft Heinz Foods 4.25% 3/1/31 50077LBF2 1000000 PA USD 1131177 0.4658132706 Long DBT CORP US N 2 2031-03-01 Fixed 4.25 N N N N N N Level 3 Financing, Inc. N/A Level 3 Financing 4.25% 7/1/28 527298BR3 3000000 PA USD 3026940 1.2464793938 Long DBT CORP US N 2 2028-07-01 Fixed 4.25 N N N N N N Life Time, Inc. N/A Life Time 5.75% 1/15/2026 53190FAA3 2000000 PA USD 2072500 0.8534455733 Long DBT CORP US N 2 2026-01-15 Fixed 5.75 N N N N N N Magnetation LLC / Mag Finance Corp N/A Magnetation 11.00% 5/15/18 559417AA8 2937000 PA USD 0 0.0000000000 Long DBT CORP US N 3 2018-05-15 Fixed 0 Y Y N N N N MAV Acquisition Corporation N/A MAV Acquisition 5.75% 8/1/28 57767XAA8 2000000 PA USD 1967850 0.8103512045 Long DBT CORP US N 2 2028-08-01 Fixed 5.75 N N N N N N Moss Creek Resources Holdings, Inc. N/A Moss Creek Resources 7.5% 1/15/26 61965RAA3 1202000 PA USD 1115834.64 0.4594953602 Long DBT CORP US N 2 2026-01-15 Fixed 7.5 N N N N N N Moss Creek Resources Holdings, Inc. N/A Moss Creek Resources 10.5% 5/15/27 61965RAB1 2089000 PA USD 2081834.73 0.8572895704 Long DBT CORP US N 2 2027-05-15 Fixed 10.5 N N N N N N Restaurant Brands International, Inc. N/A BCULC 5.75% 4/15/25 68245XAK5 2000000 PA USD 2102200 0.8656758910 Long DBT CORP CA N 2 2025-04-15 Fixed 5.75 N N N N N N Outfront Media Capital, LLC N/A Outfront Media Capital 5% 8/15/27 69007TAB0 2000000 PA USD 2053800 0.8457450028 Long DBT CORP US N 2 2027-08-15 Fixed 5 N N N N N N PGT Innovations, Inc. N/A PGT Innovations 4.375% 10/1/2029 69336VAB7 600000 PA USD 605253 0.2492402864 Long DBT CORP US N 2 2029-10-01 Fixed 4.375 N N N N N N PetSmart, Inc. N/A PetSmart 7.75% 2/15/29 71677KAB4 2000000 PA USD 2185110 0.8998178319 Long DBT CORP US N 2 2029-02-15 Fixed 7.75 N N N N N N Prestige Brands, Inc. N/A Prestige Brands 5.125% 1/15/28 74112BAL9 1429000 PA USD 1492947.75 0.6147887326 Long DBT CORP US N 2 2028-01-15 Fixed 5.125 N N N N N N Real Hero Merger Sub 2, Inc. N/A Real Hero 6.25% 2/1/29 75602BAA7 543000 PA USD 564087.41 0.2322884936 Long DBT CORP US N 2 2029-02-01 Fixed 6.25 N N N N N N RP Escrow Issuer, LLC N/A RP Escrow Issuer 5.25% 12/15/2025 74969PAA6 1463000 PA USD 1506970.47 0.6205632216 Long DBT CORP US N 2 2025-12-15 Fixed 5.25 N N N N N N SS&C Technologies, Inc. N/A SS&C Technologies 5.5% 9/30/27 78466CAC0 2000000 PA USD 2114376 0.8706899095 Long DBT CORP US N 2 2027-09-30 Fixed 5.5 N N N N N N Transdigm, Inc. N/A TRANSDIGM INC 6.25% 3/15/26 893647BE6 3000000 PA USD 3131250 1.2894337521 Long DBT CORP US N 2 2026-03-15 Fixed 6.25 N N N N N N Transdigm, Inc. N/A TDG 8% 12/15/25 893647BK2 1068000 PA USD 1140090 0.4694836013 Long DBT CORP US N 2 2025-12-15 Fixed 8 N N N N N N United Airlines Holdings, Inc. N/A United Airlines 5.875% 10/15/27 90931GAA7 3709900 PA USD 4159096.55 1.7126960383 Long DBT CORP US N 2 2027-10-15 Fixed 5.875 N N N N N N W.R. Grace Holdings LLC N/A WR Grace & Co 4.875% 6/15/27 92943GAD3 2000000 PA USD 2060000 0.8482981331 Long DBT CORP US N 2 2027-06-15 Fixed 4.875 N N N N N N Acosta Holdings Corp. N/A Acosta Exit C/S N/A 3133 NS USD 25377.3 0.0104502506 Long EC CORP US N 3 N N N Acosta Holdings Corp. N/A Acosta Series A CVT P/S N/A 3126 NS USD 156300 0.0643635914 Long EP CORP US N 3 N N N APC Parent, Inc. N/A APC - C/S N/A 241972 NS USD 114670.53 0.0472207750 Long EC CORP US N 3 N N N Carestream Health Holdings, Inc. N/A Carestream Health Holdings WTS N/A 22.03 NC USD 0 0.0000000000 Long DE CORP US N 3 Carestream Health Holdings, Inc. N/A Call Purchased Carestream Health Holdings, Inc. Carestream Health Holdings, Inc. 1 0.010000000000 USD 2049-12-31 XXXX 0 N N N Charming Charlie, LLC N/A Charming Charlie - Class A2 C/S N/A 2679190 NS USD 0 0.0000000000 Long EC CORP US N 3 N N N F & W Media, Inc. N/A F+W Media - Class A Units N/A 9511 NS USD 0 0.0000000000 Long EC CORP US N 3 N N N Watford Holdings Ltd. N/A Watford - P/S G94787119 37863 NS USD 946575 0.3897950512 Long EP CORP BM N 3 N N N GEE Acquisition Holdings Corp. N/A GEE Acquisition Holdings Corp. C/S N/A 102608 NS USD 2359984 0.9718301075 Long EC CORP US N 3 N N N Medical Card System, Inc. N/A Medical Card Systems - C/S N/A 914981 NS USD 6893271.92 2.8386163597 Long EC CORP US N 3 N N N RDV Resources, Inc. N/A RDV Resources Fund Unit N/A 7743 NS USD 0 0.0000000000 Long EC CORP US N 3 N N N Skillsoft Corp. N/A Skillsoft Corp. 83066P200 58964 NS USD 689289.16 0.2838459746 Long EC CORP US N 1 N N N Ultimate Baked Goods Midco LLC N/A ULTIMATE BAKED GOODS RC L+625 06/17/27 N/A 40405.4 PA USD 39395.27 0.0162227835 Long LON CORP US N 3 2027-08-13 Floating 6.873601 N N N N N N Ultimate Baked Goods Midco LLC N/A ULTIMATE BAKED GOODS TL L+625 06/17/27 N/A 2051351.38 PA USD 2000067.57 0.8236182455 Long LON CORP US N 3 2027-08-13 Floating 7.25 N N N N N N Anchorage Capital CLO Ltd 2015-6 N/A 2015-6A, Class ER 03328RAL3 4400000 PA USD 4362441.6 1.7964325559 Long ABS-CBDO CORP KY N 2 2030-07-15 Floating 6.47613 N N N N N N Ziggo B.V. N/A Ziggo BV 4.875% 4/15/2020 98955DAA8 750000 PA USD 774375 0.3188839159 Long DBT CORP NL N 2 2030-01-15 Fixed 4.875 N N N N N N Ardagh Packaging Finance PLC / Ardagh MP Holdings USA Inc N/A ARDAGH PKG FIN 5.25% 4/30/25 03969AAQ3 2000000 PA USD 2091060 0.8610884924 Long DBT CORP IE N 2 2025-04-30 Fixed 5.25 N N N N N N Fortress Credit Opportunities XI CLO Ltd N/A 2018-11A, Class E 34961XAA1 4000000 PA USD 3807724 1.5680025052 Long ABS-CBDO CORP KY N 2 2031-04-15 Floating 7.27613 N N N N N N Fortress Credit BSL Limited 2021-3 N/A Class E 34963RAA2 3000000 PA USD 2919717 1.2023254759 Long ABS-CBDO CORP KY N 2 2034-07-20 Floating 7.17775 N N N N N N Golub Capital Partners CLO, LTD 2021-55 N/A Class E 38178QAA6 2000000 PA USD 2000006 0.8235928913 Long ABS-CBDO CORP KY N 2 2034-07-20 Floating 6.65039 N N N N N N KKR Financial CLO Ltd 17 N/A 2017, Class ER 48251GAC3 2750000 PA USD 2753421 1.1338455796 Long ABS-CBDO CORP KY N 2 2034-04-15 Floating 7.51613 N N N N N N TIAA Churchill Middle Market CLO I 2016-1 N/A 2016-1A, Class ER 886313AG0 5000000 PA USD 4982015 2.0515699145 Long ABS-CBDO CORP KY N 2 2030-10-20 Floating 8.10425 N N N N N N TIAA Churchill Middle Market CLO II 2017-1 N/A 2017-1A, Class E 886314AA1 4000000 PA USD 3926716 1.6170028409 Long ABS-CBDO CORP KY N 2 2030-01-24 Floating 7.42525 N N N N N N 2021-11-23 Apollo Tactical Income Fund Inc. /s/ Kenneth Seifert Kenneth Seifert Treasurer and Chief Financial Officer XXXX NPORT-EX 2 tactical-income_soi.htm SCHEDULE OF INVESTMENTS AND NOTES
Apollo Tactical Income Fund Inc.
 
Schedule of Investments
 
September 30, 2021 (unaudited)
 
 
 
Principal
 
 
 
 
 
Amount ($)
 
Value ($)
 
           
Senior Loans - 111.8%(a)
       
AEROSPACE & DEFENSE - 7.2%
       
Dynasty Acquisition Co., Inc.
       
First Lien Term Loan, (3M LIBOR + 3.50%, 0.00% Floor), 3.63%, 04/06/26(c)
1,740,739
 
1,706,333
 
First Lien Term Loan B, (3M LIBOR + 3.50%, 0.00% Floor), 3.63%, 04/06/26(c)
3,237,774
 
3,173,779
 
MRO Holdings, Inc.
       
First Lien Term Loan B, (3M LIBOR + 5.00%, 0.00% Floor), 5.13%, 06/04/26(c)
3,121,221
 
3,128,384
 
Pae Holding Corporation
       
First Lien Term Loan B, (3M LIBOR + 4.50%, 0.75% Floor), 5.25%, 10/19/27(c)
1,750,820
 
1,751,258
 
Peraton Corporation
       
First Lien Term Loan B, (1M LIBOR + 3.75%, 0.75% Floor), 4.50%, 02/01/28(c)
7,762,969
 
7,781,174
 
       
17,540,928
 
AUTOMOTIVE - 1.3%
       
Truck Hero, Inc.
       
First Lien Term Loan, (1M LIBOR + 3.25%, 0.75% Floor), 4.00%, 01/31/28(c)
3,158,863
 
3,156,226
 
           
BANKING, FINANCE, INSURANCE & REAL ESTATE - 5.0%
       
Asurion, LLC
       
Second Lien Term Loan B3, (1M LIBOR + 5.25%, 0.00% Floor), 5.33%, 01/31/28(c)
5,250,000
 
5,241,259
 
Second Lien Term Loan B4, (1M LIBOR + 5.25%, 0.00% Floor), 5.33%, 01/20/29(c)
1,889,831
 
1,883,453
 
The Edelman Financial Center, LLC
       
First Lien Term Loan B, (1M LIBOR + 3.50%, 0.75% Floor), 4.25%, 04/07/28(c)
2,133,886
 
2,132,222
 
Second Lien Term Loan, (1M LIBOR + 6.75%, 0.00% Floor), 6.83%, 07/20/26(b)(c)
1,376,950
 
1,389,425
 
Washington Prime Group, LP
       
First Lien Term Loan, (LIBOR + 5.00%, 0.75% Floor), 5.75%,  06/11/25(b)(c)
1,500,000
 
1,530,000
 
       
12,176,359
 
BEVERAGE, FOOD & TOBACCO - 0.8%
       
Ultimate Baked Goods Midco LLC
       
First Lien Revolving Term Loan, (1M/3M LIBOR + 6.25%, 0.62% Floor), 6.87%, 08/13/27(c)(d)
40,405
 
39,395
 
First Lien Term Loan, (3M LIBOR + 6.25%, 1.00% Floor), 7.25%, 08/13/27(c)(d)
2,051,351
 
2,000,068
 
       
2,039,463
 
CAPITAL EQUIPMENT - 3.9%
       
Engineered Machinery Holdings, Inc.
       
First Lien Term Loan, (3M LIBOR + 3.75%, 0.75% Floor), 4.50%, 05/19/28(c)
3,052,632
 
3,054,540
 
Pro Mach Group, Inc.
       
First Lien Term Loan B, (1M LIBOR + 4.00%, 1.00% Floor), 5.00%, 08/31/28(b)(c)
2,346,369
 
2,359,778
 
Safe Fleet Holdings, LLC
       
First Lien Term Loan, (3M LIBOR + 3.00%, 1.00% Floor), 4.00%, 02/03/25(c)
2,716,684
 
2,702,245
 
Second Lien Term Loan, (3M LIBOR + 6.75%, 1.00% Floor), 7.75%, 02/02/26(c)
1,403,846
 
1,388,642
 
       
9,505,205
 
CHEMICALS, PLASTICS, & RUBBER - 3.5%
       
Geon Performance Solutions, LLC
       
First Lien Term Loan B, (3M LIBOR + 4.75%, 0.75% Floor), 5.50%, 08/18/28(c)
2,488,189
 
2,509,177
 
LSF11 A5 HoldCo, LLC
       
First Lien Term Loan B, (LIBOR + 3.75%, 0.50% Floor), 4.25%, 09/30/28(b)(c)
3,168,536
 
3,176,458
 
Olympus Water US Holding Corporation
       
First Lien Term Loan, (LIBOR + 4.00%, 0.50% Floor), 4.50%, 09/21/28(b)(c)
1,378,882
 
1,378,737
 
W.R. Grace Holdings, LLC
       
First Lien Term Loan B, (LIBOR + 3.75%, 0.50% Floor), 4.25%, 09/22/28(b)(c)
1,450,236
 
1,457,262
 
       
8,521,634
 
CONSTRUCTION & BUILDING - 3.4%
       
Associated Asphalt Partners, LLC
       
First Lien Term Loan B, (1M LIBOR + 5.25%, 1.00% Floor), 6.25%, 04/05/24(c)
6,867,959
 
6,377,174
 
Illuminate Merger Sub Corp.
       
First Lien Term Loan B, (3M LIBOR + 3.50%, 0.50% Floor), 4.00%, 07/21/28(c)
1,829,787
 
1,831,315
 
       
8,208,489
 
CONSUMER GOODS: DURABLE - 1.6%
       
Mattress Firm, Inc.
       
First Lien Term Loan B, (LIBOR + 4.25%, 0.75% Floor), 5.00%, 09/25/28(b)(c)
2,328,358
 
2,328,370
 
TGP Holdings III LLC
       
First Lien Term Loan, (3M LIBOR + 3.50%, 0.75% Floor), 4.25%, 06/29/28(c)
1,323,852
 
1,325,514
 
       
3,653,884
 


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
 
Schedule of Investments (continued)
 
September 30, 2021 (unaudited)
 
 
 
Principal
 
 
 
 
 
Amount ($)
 
Value ($)
 
           
Senior Loans(a) (continued)
       
CONTAINERS, PACKAGING & GLASS - 5.2%
       
Anchor Glass Container Corp.
       
First Lien Term Loan, (3M LIBOR + 2.75%, 1.00% Floor), 3.75%, 12/07/23(b)(c)
3,080,636
 
2,855,133
 
Berlin Packaging LLC
       
First Lien Term Loan B, (1M LIBOR + 3.75%, 0.50% Floor), 4.25%, 03/11/28(c)
2,000,000
 
2,000,210
 
Pretium PKG Holdings, Inc.
       
First Lien Term Loan, (1M LIBOR + 4.00%, 0.75% Floor), 4.75%, 11/05/27(c)
2,293,343
 
2,297,104
 
Trident TPI Holdings, Inc.
       
First Lien Term Loan B3, (3M LIBOR + 4.00%, 0.50% Floor), 4.50%, 09/15/28(b)(c)
5,327,640
 
5,343,170
 
       
12,495,617
 
ENVIRONMENTAL INDUSTRIES - 1.9%
       
Dispatch Acquisition Holdings, LLC
       
First Lien Term Loan B, (3M LIBOR + 4.25%, 0.75% Floor), 5.00%, 03/27/28(c)
2,992,500
 
2,999,054
 
Trugreen Limited Partnership
       
First Lien Term Loan, (1M LIBOR + 4.00%, 0.75% Floor), 4.75%, 11/02/27(c)
1,472,200
 
1,475,262
 
       
4,474,316
 
FOREST PRODUCTS & PAPER - 1.1%
       
Spa US Holdco, Inc. (Finland)
       
First Lien Term Loan B, (3M LIBOR + 4.00%, 0.75% Floor), 4.75%, 02/04/28(b)(c)(e)
2,697,274
 
2,706,269
 
           
HEALTHCARE & PHARMACEUTICALS - 14.5%
       
Azurity Pharmaceuticals, Inc.
       
First Lien Term Loan B, (LIBOR + 6.00%, 0.75% Floor), 6.75%, 09/30/28(b)(c)
2,000,000
 
1,965,000
 
CCRR Parent, Inc.
       
First Lien Term Loan B, (3M LIBOR + 3.75%, 0.75% Floor), 4.50%, 03/06/28(c)
2,390,052
 
2,399,014
 
Curia Global, Inc.
       
First Lien Term Loan, (3M LIBOR + 3.75%, 0.75% Floor), 4.50%, 08/30/26(b)(c)
1,478,396
 
1,481,626
 
Endo Luxembourg Finance Company I SARL
       
First Lien Term Loan, (3M LIBOR + 5.00%, 0.75% Floor), 5.75%, 03/27/28(c)
6,035,632
 
5,916,187
 
Gainwell Acquisition Corporation
       
First Lien Term Loan B, (3M LIBOR + 4.00%, 0.75% Floor), 4.75%, 10/01/27(c)
8,673,114
 
8,705,639
 
Maravai Intermediate Holdings LLC
       
First Lien Term Loan B, (1M LIBOR + 3.75%, 1.00% Floor), 4.75%, 10/19/27(c)
2,917,461
 
2,929,320
 
Medline Borrower, LP
       
First Lien Term Loan B, (LIBOR + 3.25%, 0.50% Floor), 3.75%, 09/30/28(b)(c)
3,411,162
 
3,405,824
 
MPH Acquisition Holdings, LLC
       
First Lien Term Loan B, (3M LIBOR + 4.25%, 0.50% Floor), 4.75%, 09/01/28(c)
1,599,713
 
1,583,724
 
Phoenix Newco, Inc.
       
First Lien Term Loan, (LIBOR + 3.50%, 0.50% Floor), 4.00%, 08/10/28(b)(c)
2,425,898
 
2,429,318
 
Resonetics, LLC
       
First Lien Term Loan, (3M LIBOR + 4.00%, 0.75% Floor), 4.75%, 04/28/28(c)
3,250,000
 
3,259,474
 
Women's Care Holdings, Inc.
       
First Lien Term Loan, (3M LIBOR + 4.50%, 0.75% Floor), 5.25%, 01/15/28(c)
1,099,846
 
1,100,879
 
       
35,176,005
 
HIGH TECH INDUSTRIES - 11.7%
       
Atlas CC Acquisition Corp.
       
First Lien Term Loan B, (3M LIBOR + 4.25%, 0.75% Floor), 5.00%, 05/25/28(c)
3,231,853
 
3,248,238
 
First Lien Term Loan C, (3M LIBOR + 4.25%, 0.75% Floor), 5.00%, 05/25/28(c)
657,326
 
660,659
 
DCert Buyer, Inc.
       
First Lien Term Loan, (1M LIBOR + 4.00%, 0.00% Floor), 4.08%, 10/16/26(c)
4,477,273
 
4,483,496
 
Second Lien Term Loan, (1M LIBOR + 7.00%, 0.00% Floor), 7.08%, 02/19/29(c)
3,798,692
 
3,842,605
 
Flexera Software LLC
       
First Lien Term Loan B, (3M LIBOR + 3.75%, 0.75% Floor), 4.50%, 03/03/28(c)
2,971,674
 
2,978,405
 
Imperva, Inc.
       
First Lien Term Loan, (3M LIBOR + 4.00%, 1.00% Floor), 5.00%, 01/12/26(c)
3,344,565
 
3,355,017
 
Ivanti Software, Inc.
       
First Lien Term Loan B, (3M LIBOR + 4.75%, 1.00% Floor), 5.75%, 12/01/27(c)
5,891,559
 
5,918,719
 
Riverbed Technology, Inc.
       
First Lien Term Loan, (3M LIBOR + 6.00%, 1.00% Floor), 7.00%, 12/31/25(c)
920,446
 
828,401
 
Second Lien Term Loan, (4.50% PIK), (3M LIBOR + 11.00%, 1.00% Floor), 0.00%, 12/31/26(c)(d)(f)(j)
2,095,729
 
948,317
 
Sovos Compliance, LLC
       
First Lien Term Loan, (3M LIBOR + 4.50%, 0.50% Floor), 5.00%, 08/11/28(c)
2,131,849
 
2,146,953
 
       
28,410,810
 


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
 
Schedule of Investments (continued)
 
September 30, 2021 (unaudited)
 
 
 
Principal
 
 
 
 
 
Amount ($)
 
Value ($)
 
           
Senior Loans(a) (continued)
       
HOTEL, GAMING & LEISURE - 3.2%
       
Caesars Resort Collection, LLC
       
First Lien Term Loan B1, (1M LIBOR + 3.50%, 0.00% Floor), 3.58%, 07/21/25(c)
3,228,080
 
3,234,568
 
The Enterprise Development Authority
       
First Lien Term Loan, (1M LIBOR + 4.25%, 0.75% Floor), 5.00%, 02/28/28(c)
2,120,846
 
2,128,746
 
Varsity Brands Holding Co., Inc.
       
First Lien Term Loan, (1M LIBOR + 3.50%, 1.00% Floor), 4.50%, 12/16/24(b)(c)
2,493,530
 
2,450,280
 
       
7,813,594
 
MEDIA: ADVERTISING, PRINTING & PUBLISHING - 4.5%
       
Advantage Sales & Marketing Inc.
       
First Lien Term Loan, (2M LIBOR + 5.25%, 0.75% Floor), 6.00%, 10/28/27(c)
2,461,162
 
2,476,987
 
F & W Media, Inc.
       
First Lien Term Loan B1, (LIBOR + 6.50%, 1.50% Floor), 0.00%, 05/24/22(c)(d)(g)(j)
347,024
 
 
First Lien Term Loan B2, (LIBOR + 10.00%, 1.50% Floor), 0.00%, 05/24/22(c)(d)(g)(j)
1,076,345
 
 
Gannett Holdings, LLC
       
First Lien Term Loan B, (6M LIBOR + 7.00%, 0.75% Floor), 7.75%, 02/09/26(b)(c)
2,306,840
 
2,327,037
 
McGraw-Hill Education, Inc.
       
First Lien Term Loan, (1M LIBOR + 4.75%, 0.50% Floor), 5.25%, 07/28/28(c)
5,974,026
 
5,999,625
 
       
10,803,649
 
MEDIA: BROADCASTING & SUBSCRIPTION - 4.8%
       
Anuvu Holdings 2 LLC
       
First Lien Delayed Draw Term Loan, (3M LIBOR + 7.00%, 1.00% Floor), 8.00%, 09/25/23(c)(d)
67,400
 
65,715
 
First Lien Term Loan, (3M LIBOR + 8.00%, 1.00% Floor), 9.00%, 03/24/25(c)
2,346,207
 
2,355,991
 
First Lien Term Loan, (6.75% PIK), (3M LIBOR + 8.25%, 1.00% Floor), 9.25%, 03/23/26(c)(f)
1,805,042
 
1,671,920
 
Gridiron Fiber Corp.
       
First Lien Term Loan B, (LIBOR + 4.50%, 0.75% Floor), 5.25%, 08/23/28(b)(c)
3,500,000
 
3,410,330
 
WideOpenWest Finance, LLC
       
First Lien Term Loan B, (1M LIBOR + 3.25%, 1.00% Floor), 4.25%, 08/18/23(c)
1,047,335
 
1,049,299
 
William Morris Endeavor Entertainment, LLC
       
First Lien Term Loan B, (1M LIBOR + 2.75%, 0.00% Floor), 2.84%, 05/18/25(c)
3,054,634
 
3,001,453
 
       
11,554,708
 
METALS & MINING - 0.9%
       
Time Manufacturing Acquisition, LLC
       
First Lien Term Loan, (3M LIBOR + 5.00%, 1.00% Floor), 6.00%, 02/03/23(c)(d)
2,207,647
 
2,215,927
 
           
RETAIL - 3.8%
       
At Home Group, Inc.
       
First Lien Term Loan, (LIBOR + 4.25%, 0.50% Floor), 4.75%, 07/24/28(c)
1,845,433
 
1,851,200
 
Charming Charlie, LLC
       
First Lien Delayed Draw Term Loan, 0.00%, 05/28/22(d)(g)(h)(j)
59,069
 
8,269
 
First Lien Term Loan A, (LIBOR + 5.00%, 1.00% Floor), 0.00%, 04/24/23(c)(d)(g)(j)
261,799
 
 
First Lien Term Loan B, (LIBOR + 1.00%, 1.00% Floor), 0.00%, 04/24/23(c)(d)(g)(j)
320,539
 
 
First Lien Vendor Term Loan, 0.00%, 05/15/20(d)(g)(h)(j)
10,627
 
1,488
 
Empire Today, LLC
       
First Lien Term Loan, (1M LIBOR + 5.00%, 0.75% Floor), 5.75%, 03/24/28(b)(c)
2,963,258
 
2,947,212
 
PetSmart, Inc.
       
First Lien Term Loan, (6M LIBOR + 3.75%, 0.75% Floor), 4.50%, 02/11/28(c)
4,462,786
 
4,478,719
 
       
9,286,888
 
SERVICES: BUSINESS - 11.6%
       
Allied Universal Holdco LLC
       
First Lien Term Loan, (3M LIBOR + 3.75%, 0.50% Floor), 4.25%, 05/12/28(c)
2,727,419
 
2,732,833
 
CareStream Health, Inc.
       
Second Lien Term Loan, (8.00% PIK), (3M LIBOR + 12.50%, 1.00% Floor), 13.50%, 08/08/23(c)(f)
1,156,679
 
1,138,368
 
Deerfield Dakota Holding, LLC
       
First Lien Term Loan, (1M LIBOR + 3.75%, 1.00% Floor), 4.75%, 04/09/27(c)
928,983
 
932,829
 
DTI Holdco, Inc.
       
First Lien Term Loan B, (3M LIBOR + 4.75%, 1.00% Floor), 5.75%, 09/29/23(c)
7,619,658
 
7,545,861
 
Endure Digital, Inc.
       
First Lien Term Loan B, (6M LIBOR + 3.50%, 0.75% Floor), 4.25%, 02/10/28(c)
3,733,683
 
3,719,215
 
eResearchTechnology, Inc.
       
First Lien Term Loan B, (1M LIBOR + 4.50%, 1.00% Floor), 5.50%, 02/04/27(c)
1,131,815
 
1,138,714
 
Garda World Security Corporation (Canada)
       
First Lien Term Loan B2, (1M LIBOR + 4.25%, 0.00% Floor), 4.34%, 10/30/26(c)(e)
3,946,343
 
3,957,689
 
Polaris Newco, LLC
       
First Lien Term Loan B, (6M LIBOR + 4.00%, 0.50% Floor), 4.50%, 06/02/28(c)
3,604,412
 
3,616,433
 
Solera, LLC
       
Second Lien Term Loan, (6M LIBOR + 8.00%, 1.00% Floor), 9.00%, 06/04/29(c)
3,268,689
 
3,342,234
 
       
28,124,176
 


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
 
Schedule of Investments (continued)
 
September 30, 2021 (unaudited)
 
 
 
Principal
 
 
 
 
 
Amount ($)
 
Value ($)
 
           
Senior Loans(a) (continued)
       
SERVICES: CONSUMER - 0.5%
       
USS Ultimate Holdings, Inc.
       
First Lien Term Loan, (1M LIBOR + 3.75%, 1.00% Floor), 4.75%, 08/25/24(c)
1,221,374
 
1,227,151
 
           
TELECOMMUNICATIONS - 11.9%
       
Flight Bidco, Inc.
       
First Lien Term Loan, (1M LIBOR + 3.50%, 0.00% Floor), 3.58%, 07/23/25(c)
3,434,161
 
3,398,377
 
Intelsat Jackson Holdings S.A. (Luxembourg)
       
First Lien DIP Term Loan, (3M LIBOR + 4.75%, 1.00% Floor), 5.75%, 07/13/22(c)(e)
3,636,873
 
3,668,696
 
First Lien Term Loan, (Prime + 5.50%, 2.00% Floor), 8.75%, 01/02/24(c)(e)(g)
5,735,607
 
5,844,956
 
First Lien Term Loan B, (Prime + 4.75%, 2.00% Floor), 8.00%, 11/27/23(c)(e)(g)
1,188,001
 
1,205,821
 
First Lien Term Loan B5, 8.63%, 01/02/24(e)(g)(h)
5,056,202
 
5,151,005
 
Orbcomm, Inc.
       
First Lien Term Loan, (3M LIBOR + 4.25%, 0.75% Floor), 5.00%, 09/01/28(c)
3,125,000
 
3,127,594
 
U.S. TelePacific Corp.
       
First Lien Term Loan B, (6M LIBOR + 5.50%, 1.00% Floor), 6.50%, 05/02/23(b)(c)
5,765,795
 
4,807,232
 
Zacapa SARL (Luxembourg)
       
First Lien Term Loan B, (3M LIBOR + 4.50%, 0.00% Floor), 4.63%, 07/02/25(c)(e)
1,669,511
 
1,680,989
 
       
28,884,670
 
TRANSPORTATION: CONSUMER - 5.2%
       
The Hertz Corporation
       
First Lien Term Loan B, (1M LIBOR + 3.50%, 0.50% Floor), 4.00%, 06/30/28(c)
3,239,626
 
3,246,219
 
First Lien Term Loan C, (1M LIBOR + 3.50%, 0.50% Floor), 4.00%, 06/30/28(c)
612,075
 
613,321
 
Travel Leaders Group, LLC
       
First Lien Term Loan B, (1M LIBOR + 4.00%, 0.00% Floor), 4.08%, 01/25/24(c)
3,987,084
 
3,742,875
 
United Airlines, Inc.
       
First Lien Term Loan B, (3M LIBOR + 3.75%, 0.75% Floor), 4.50%, 04/21/28(c)
4,927,771
 
4,972,860
 
       
12,575,275
 
UTILITIES: ELECTRIC - 1.2%
       
PG&E Corporation
       
First Lien Term Loan, (3M LIBOR + 3.00%, 0.50% Floor), 3.50%, 06/23/25(c)
2,993,411
 
2,949,916
 
           
WHOLESALE - 3.1%
       
LBM Acquisition, LLC
       
First Lien Term Loan B, (1M LIBOR + 3.75%, 0.75% Floor), 4.50%, 12/17/27(b)(c)
6,070,108
 
6,022,063
 
First Lien Term Loan B2, (1M LIBOR + 3.75%, 0.75% Floor), 4.50%, 12/17/27(b)(c)
1,477,268
 
1,465,575
 
       
7,487,638
 
Total Senior Loans
       
(Cost $273,421,787)
   
270,988,797
 
         
Corporate Notes and Bonds - 28.6%
       
AEROSPACE & DEFENSE - 1.7%
       
Transdigm, Inc.
       
8.00%, 12/15/25(h)(i)
1,068,000
 
1,140,090
 
6.25%, 03/15/26(h)(i)
3,000,000
 
3,131,250
 
       
4,271,340
 
AUTOMOTIVE - 1.3%
       
Carvana Co.
       
4.88%, 09/01/29(h)(i)
2,527,000
 
2,505,647
 
Real Hero Merger Sub 2, Inc.
       
6.25%, 02/01/29(h)(i)
543,000
 
564,087
 
       
3,069,734
 
BANKING, FINANCE, INSURANCE & REAL ESTATE - 0.2%
       
PGT Innovations, Inc.
       
4.38%, 10/01/29(h)(i)
600,000
 
605,253
 
           
BEVERAGE, FOOD & TOBACCO - 2.9%
       
JBS, S.A.
       
6.50%, 04/15/29(h)(i)
1,362,000
 
1,523,737
 
5.50%, 01/15/30(h)(i)
2,000,000
 
2,226,940
 
Restaurant Brands International, Inc. (Canada)
       
5.75%, 04/15/25(e)(h)(i)
2,000,000
 
2,102,200
 
The Kraft Heinz Co.
       
4.25%, 03/01/31(h)
1,000,000
 
1,131,177
 
       
6,984,054
 
CAPITAL EQUIPMENT - 0.9%
       
Clark Equipment Company (Republic of Korea)
       
5.88%, 06/01/25(e)(h)(i)
2,000,000
 
2,096,010
 


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
 
Schedule of Investments (continued)
 
September 30, 2021 (unaudited)
 
 
 
Principal
 
 
 
 
 
Amount ($)
 
Value ($)
 
           
Corporate Notes and Bonds (continued)
       
CHEMICALS, PLASTICS, & RUBBER - 1.3%
       
LSF11 A5 HoldCo, LLC
       
6.63%, 04/15/22(d)(h)(i)
1,000,000
 
1,020,000
 
W.R. Grace & Co.
       
4.88%, 06/15/27(h)(i)
2,000,000
 
2,060,000
 
       
3,080,000
 
CONSUMER GOODS: NON-DURABLE - 0.6%
       
Prestige Brands, Inc.
       
5.13%, 01/15/28(h)(i)
1,429,000
 
1,492,948
 
           
CONTAINERS, PACKAGING & GLASS - 0.9%
       
Ardagh Packaging Finance PLC
       
5.25%, 04/30/25(h)(i)
2,000,000
 
2,091,060
 
           
ENERGY: OIL & GAS - 1.3%
       
Moss Creek Resources Holdings, Inc.
       
7.50%, 01/15/26(h)(i)
1,202,000
 
1,115,834
 
10.50%, 05/15/27(h)(i)
2,089,000
 
2,081,835
 
       
3,197,669
 
HEALTHCARE & PHARMACEUTICALS - 2.3%
       
Bausch Health Companies, Inc.
       
5.25%, 02/15/31(h)(i)
3,000,000
 
2,763,165
 
Encompass Health Corp.
       
4.63%, 04/01/31(h)
1,349,000
 
1,419,553
 
RP Escrow Issuer, LLC
       
5.25%, 12/15/25(h)(i)
1,463,000
 
1,506,970
 
       
5,689,688
 
HIGH TECH INDUSTRIES - 0.9%
       
SS&C Technologies, Inc.
       
5.50%, 09/30/27(h)(i)
2,000,000
 
2,114,376
 
           
HOTEL, GAMING & LEISURE - 1.7%
       
Churchill Downs, Inc.
       
5.50%, 04/01/27(h)(i)
2,000,000
 
2,077,500
 
Life Time, Inc.
       
5.75%, 01/15/26(h)(i)
2,000,000
 
2,072,500
 
       
4,150,000
 
MEDIA: ADVERTISING, PRINTING & PUBLISHING - 2.6%
       
Advantage Sales & Marketing Inc.
       
6.50%, 11/15/28(h)(i)
2,121,000
 
2,213,518
 
MAV Acquisition Corporation
       
5.75%, 08/01/28(h)(i)
2,000,000
 
1,967,850
 
Outfront Media Capital, LLC
       
5.00%, 08/15/27(h)(i)
2,000,000
 
2,053,800
 
       
6,235,168
 
MEDIA: BROADCASTING & SUBSCRIPTION - 1.6%
       
CSC Holdings, LLC
       
5.75%, 01/15/30(h)(i)
3,000,000
 
3,054,465
 
Ziggo B.V. (Netherlands)
       
4.88%, 01/15/30(e)(h)(i)
750,000
 
774,375
 
       
3,828,840
 
METALS & MINING - 0.0%
       
ERP Iron Ore, LLC
       
LIBOR + 8.00%, 0.00%, 12/31/19(d)(g)(j)
86,775
 
 
Magnetation, LLC / Mag Finance Corp.
       
0.00%, 05/15/18(d)(g)(h)(i)(j)
2,937,000
 
 
       
 
RETAIL - 0.9%
       
PetSmart, Inc.
       
7.75%, 02/15/29(h)(i)
2,000,000
 
2,185,110
 
           
SERVICES: BUSINESS - 0.8%
       
Allied Universal Holdco LLC
       
6.00%, 06/01/29(h)(i)
2,000,000
 
1,976,240
 


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
 
Schedule of Investments (continued)
 
September 30, 2021 (unaudited)
 
 
 
Principal
 
 
 
 
 
Amount ($)
 
Value ($)
 
           
Corporate Notes and Bonds (continued)
       
TELECOMMUNICATIONS - 3.8%
       
Frontier Communications Holdings, LLC
       
5.00%, 05/01/28(h)(i)
3,000,000
 
3,153,750
 
Lumen Technologies, Inc.
       
4.00%, 02/15/27(h)(i)
3,000,000
 
3,069,150
 
4.25%, 07/01/28(h)(i)
3,000,000
 
3,026,940
 
       
9,249,840
 
TRANSPORTATION: CONSUMER - 1.7%
       
United Airlines Holdings, Inc.
       
5.88%, 10/15/27(h)
3,709,900
 
4,159,097
 
           
WHOLESALE - 1.2%
       
LBM Acquisition, LLC
       
6.25%, 01/15/29(h)(i)
2,952,000
 
2,954,701
 
Total Corporate Notes and Bonds
       
(Cost $67,554,457)
   
69,431,128
 
         
Structured Products - 10.2%(m)
       
Anchorage Capital CLO, Ltd. (Cayman Islands)
       
2015-6A, Class ER, 6.48%, 07/15/30(e)(i)(n)
4,400,000
 
4,362,442
 
Fortress Credit BSL CLO, Ltd. (Cayman Islands)
       
2021-3 Class E, 7.18%, 07/20/34(e)(i)(n)
3,000,000
 
2,919,717
 
Fortress Credit Opportunities CLO, Ltd. (Cayman Islands)
       
2018-11A, Class E, 7.28%, 04/15/31(e)(i)(n)
4,000,000
 
3,807,724
 
Golub Capital Partners CLO, Ltd. (Cayman Islands)
       
2021-55A, Class E, 6.65%, 07/20/21(e)(i)(n)
2,000,000
 
2,000,006
 
KKR Financial CLO, Ltd. (Cayman Islands)
       
2017, Class ER, 7.52%, 04/15/34(e)(i)(n)
2,750,000
 
2,753,421
 
TIAA Churchill Middle Market CLO, Ltd. (Cayman Islands)
       
2016-1A, Class ER, 8.10%, 10/20/30(e)(i)(n)
5,000,000
 
4,982,015
 
2017-1A, Class E, 7.43%, 01/24/30(e)(i)(n)
4,000,000
 
3,926,716
 
Total Structured Products
       
(Cost $24,555,604)
   
24,752,041
 
         
Common Stocks - 4.1%
Quantity
 
Value ($)
 
AUTOMOTIVE - 0.1%
       
APC Parent, Inc.(d)(j)
241,972
 
114,670
 
           
BANKING, FINANCE, INSURANCE & REAL ESTATE - 2.8%
       
Medical Card System, Inc.(d)
914,981
 
6,893,272
 
           
ENERGY: OIL & GAS - 0.0%
       
RDV Resources, Inc.(d)(j)
7,743
 
 
           
MEDIA: ADVERTISING, PRINTING & PUBLISHING - 0.0%
       
Acosta, Inc.(d)(j)
3,133
 
25,463
 
F & W Media, Inc.(d)(j)
9,511
 
 
       
25,463
 
MEDIA: BROADCASTING & SUBSCRIPTION - 0.9%
       
Anuvu Corp.(d)(j)
102,608
 
2,099,360
 
           
RETAIL - 0.0%
       
Charming Charlie, LLC(d)(j)
2,679,190
 
 
           
SERVICES: BUSINESS - 0.3%
       
Skillsoft Corp.(j)
58,964
 
689,289
 
Total Common Stocks
       
(Cost $2,797,704)
   
9,822,054
 
         
Preferred Stocks - 0.5%
       
BANKING, FINANCE, INSURANCE & REAL ESTATE - 0.4%
       
Watford Holdings, Ltd. (Bermuda)
       
(LIBOR + 6.68%, 1.00% Floor), 7.68%(d)(e)
37,863
 
946,575
 
           
MEDIA: ADVERTISING, PRINTING & PUBLISHING - 0.1%
       
Acosta, Inc., (14.50% PIK), 0.00%(d)(f)(h)
3,126
 
156,434
 
Total Preferred Stocks
       
(Cost $1,098,068)
   
1,103,009
 


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
 
Schedule of Investments (continued)
 
September 30, 2021 (unaudited)
 
 
 
 
 
 
 
 
 
Quantity
 
Value ($)
 
           
Warrants - 0.0%
       
SERVICES: BUSINESS - 0.0%
       
CareStream Health, Inc.(d)(j)
22
 
 
Total Warrants
       
(Cost $0)
   
 
         
Total Investments - 155.2%
       
(Cost of $369,427,620)
   
376,097,029
 
Other Assets & Liabilities, Net - (5.30)%
   
(12,837,109)
 
Loan Outstanding - (49.86)%(k)(l)
   
(120,867,066)
 
Net Assets (Applicable to Common Shares) - 100.0%
   
242,392,854
 
 
         

(a)
 
“Senior Loans” are senior, secured loans made to companies whose debt is below investment grade as well as investments with similar economic characteristics. Senior Loans typically hold a first lien priority and, unless otherwise indicated, are required to pay interest at floating rates that are periodically reset by reference to a base lending rate plus a spread. In some instances, the rates shown represent the weighted average rate as of September 30, 2021. Senior Loans are generally not registered under the Securities Act of 1933 (the “1933 Act”) and often incorporate certain restrictions on resale and cannot be sold publicly. Senior Loans often require prepayments from excess cash flow or permit the borrower to repay at its election. The degree to which borrowers repay, whether as a contractual requirement or at their election, cannot be predicted with accuracy. As a result, the actual maturity may be substantially less than the stated maturity.
(b)
 
All or a portion of this Senior Loan position has not settled. Full contract rates do not take effect until settlement date and therefore are subject to change.
(c)
 
The interest rate on this Senior Loan is subject to a base lending rate plus a spread. These base lending rates are primarily the London Interbank Offered Rate (“LIBOR”) and secondarily the prime rate offered by one or more major U.S. banks (“Prime”). The interest rate is subject to a minimum floor, which may be less than or greater than the prevailing period end LIBOR/Prime rate. As of September 30, 2021, the 1, 2, 3 and 6 month LIBOR rates were 0.08%, 0.11%, 0.13% and 0.16%, respectively, and the Prime lending rate was 3.25%. Senior Loans may contain multiple contracts of the same issuer which may be subject to base lending rates of both LIBOR and Prime (“Variable”) in addition to the stated spread.
(d)
 
Fair Value Level 3 security.
     
(e)
 
Foreign issuer traded in U.S. dollars.
     
(f)
 
Represents a payment-in-kind (“PIK”) security, which may pay interest in additional principal amount/share quantity.
(g)
 
Issuer filed for bankruptcy and/or is in default of principal and/or interest payments.
     
(h)
 
Fixed rate asset.
     
(i)
 
Securities exempt from registration pursuant to Rule 144A under the 1933 Act. These securities may only be resold in transactions exempt from registration to qualified institutional buyers. At September 30, 2021, these securities amounted to $87,473,342, or 36.1% of net assets.
(j)
 
Non-income producing asset.
(k)
 
The Fund has granted a security interest in substantially all of its assets in the event of default under the credit facility.
(l)
 
Principal of $121,000,000 less unamortized deferred financing costs of $132,934.
     
(m)
 
Structured Products include collateralized loan obligations (“CLOs”). A CLO typically takes the form of a financing company (generally called a special purpose vehicle or “SPV”), created to reapportion the risk and return characteristics of a pool of assets. While the assets underlying CLOs are often Senior Loans or corporate notes and bonds, the assets may also include (i) subordinated loans; (ii) debt tranches of other CLOs; and (iii) equity securities incidental to investments in Senior Loans. The Fund may invest in lower tranches of CLOs, which typically experience a lower recovery, greater risk of loss or deferral or non-payment of interest than more senior tranches of the CLO. A key feature of the CLO structure is the prioritization of the cash flows from a pool of debt securities among the several classes of the CLO. The SPV is a company founded for the purpose of securitizing payment claims arising out of this asset pool. On this basis, marketable securities are issued by the SPV and the redemption of these securities typically takes place at maturity out of the cash flow generated by the collected claims.
(n)
 
Floating rate asset. The interest rate shown reflects the rate in effect at September 30, 2021.
     


See accompanying Notes to Schedule of Investments

Apollo Tactical Income Fund Inc.
Notes to Schedule of Investments
September 30, 2021 (unaudited)

Security Valuation
Apollo Tactical Income Fund Inc. (the “Fund”) values its investments primarily using the mean of the bid and ask prices provided by a nationally recognized security pricing service or broker. Senior Loans, corporate notes and bonds, common stock, structured products, preferred stock and warrants are priced based on valuations provided by an approved independent pricing service or broker, if available. If market or broker quotations are not available, or a price is not available from an independent pricing service or broker, or if the price provided by the independent pricing service or broker is believed to be unreliable, the security will be fair valued pursuant to procedures adopted by the Fund’s board of directors (the “Board”). In general, the fair value of a security is the amount that the Fund might reasonably expect to receive upon the sale of an asset or pay to transfer a liability in an orderly transaction between willing market participants at the reporting date. Fair value procedures generally take into account any factors deemed relevant, which may include, among others, (i) the nature and pricing history of the security, (ii) the liquidity or illiquidity of the market for the particular security, (iii) recent purchases or sales transactions for the particular security or similar securities and (iv) press releases and other information published about the issuer. In these cases, the Fund’s net asset value (“NAV”) will reflect the affected portfolio securities’ fair value as determined in the judgment of the Board or its designee instead of being determined by the market. Using a fair value pricing methodology to value securities may result in a value that is different from a security’s most recent sale price and from the prices used by other investment companies to calculate their NAV. Determination of fair value is uncertain because it involves subjective judgments and estimates. There can be no assurance that the Fund’s valuation of a security will not differ from the amount that it realizes upon the sale of such security.
 
Fair Value Measurements
The Fund has performed an analysis of all existing investments to determine the significance and character of all inputs to their fair value determination. The levels of fair value inputs used to measure the Fund’s investments are characterized into a fair value hierarchy. The three levels of the fair value hierarchy are described below:
 
Level 1 — Quoted unadjusted prices for identical assets and liabilities in active markets to which the Fund has access at the date of measurement;
 
Level 2 — Quoted prices for similar assets and liabilities in active markets, quoted prices for identical or similar assets and liabilities in markets that are not active, but are valued based on executed trades, broker quotations that constitute an executable price, and alternative pricing sources supported by observable inputs which, in each case, are either directly or indirectly observable for the asset in connection with market data at the measurement date; and
 
Level 3 — Model derived valuations in which one or more significant inputs or significant value drivers are unobservable. In certain cases, investments classified within Level 3 may include securities for which the Fund has obtained indicative quotes from broker-dealers that do not necessarily represent prices the broker may be willing to trade on, as such quotes can be subject to material management judgment. Unobservable inputs are those inputs that reflect the Fund’s own assumptions that market participants would use to price the asset or liability based on the best available information.
 
At the end of each reporting period, management evaluates the Level 2 and Level 3 assets, if any, for changes in liquidity, including but not limited to: whether a broker is willing to execute at the quoted price, the depth and consistency of prices from independent pricing services, and the existence of contemporaneous, observable trades in the market.

The valuation techniques used by the Fund to measure fair value at September 30, 2021 maximized the use of observable inputs and minimized the use of unobservable inputs. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. A summary of the Fund’s investments categorized in the fair value hierarchy as of September 30, 2021 is as follows:

Apollo Tactical Income Fund Inc.
Notes to Schedule of Investments (continued)
September 30, 2021 (unaudited)
 
Apollo Tactical Income Fund Inc.
                       
     Total Fair Value at September 30, 2021      
Level 1
Quoted Price
     Level 2 Significant Observable Inputs      Level 3 Significant Unobservable Inputs  
Assets:
                       
Cash and Cash Equivalents
 
$
8,891,413
   
$
8,891,413
   
$
-
   
$
-
 
Senior Loans
   
270,988,797
     
-
     
265,709,618
     
5,279,179
 
Corporate Notes and Bonds
   
69,431,128
     
-
     
68,411,128
     
1,020,000
 
Structured Products
   
24,752,041
     
-
     
24,752,041
     
-
 
Common Stocks
   
9,822,054
     
689,289
     
-
     
9,132,765
 
Preferred Stocks
   
1,103,009
     
-
     
-
     
1,103,009
 
Warrants
   
-
     
-
     
-
     
-
 
Unrealized appreciation on Unfunded Loan Commitments
   
24,880
     
-
     
24,880
     
-
 
Total Assets
 
$
385,013,322
   
$
9,580,702
   
$
358,897,667
   
$
16,534,953
 
Liabilities:
                               
Unrealized depreciation on Unfunded Loan Commitments
   
(982
)
   
-
     
-
     
(982
)
Total Liabilities
   
(982
)
   
-
     
-
     
(982
)
   
$
385,012,340
   
$
9,580,702
   
$
358,897,667
   
$
16,533,971
 

The following is a reconciliation of Level 3 holdings for which significant unobservable inputs were used in determining fair value for the period January 1, 2021 through September 30, 2021:

Apollo Tactical Income Fund Inc.
                                               
     Total    
Senior
Loans
   
Corporate Notes
and Bonds
    Structured
Product

     
Common
Stocks
   
Preferred
Stocks
    Warrants
    Unfunded Loan Commitments
 
Total Fair Value, beginning of period
 
$
16,676,751
   
$
9,221,275
   
$
-
   
$
2,329,420
   
$
4,966,102
   
$
136,991
   
$
22,963
   
$
-
 
Purchases, including capitalized PIK
   
7,644,491
     
4,464,071
     
1,000,000
     
-
     
2,180,420
     
-
     
-
     
-
 
Sales/Paydowns
   
(12,273,503
)
   
(7,974,192
)
   
-
     
(2,425,000
)
   
(1,874,311
)
   
-
     
-
     
-
 
Accretion/(amortization) of discounts/(premiums)
   
22,925
     
21,565
     
-
     
1,360
     
-
     
-
     
-
     
-
 
Net realized gain/(loss)
   
(2,100,128
)
   
(1,968,111
)
   
-
     
(41,679
)
   
(43,431
)
   
-
     
(46,907
)
   
-
 
Change in net unrealized appreciation/(depreciation)
   
5,806,911
     
1,704,622
     
20,000
     
135,899
     
3,903,985
     
19,443
     
23,944
     
(982
)
Transfers into Level 3
   
1,894,892
     
948,317
     
-
     
-
     
-
     
946,575
     
-
     
-
 
Transfers out of Level 3
   
(1,138,368
)
   
(1,138,368
)
   
-
     
-
     
-
     
-
     
-
     
-
 
Total Fair Value, end of period
 
$
16,533,971
   
$
5,279,179
   
$
1,020,000
   
$
-
   
$
9,132,765
   
$
1,103,009
   
$
-
   
$
(982
)

Assets were transferred from Level 2 to Level 3 or from Level 3 to Level 2 as a result of changes in levels of liquid market observability when subject to various criteria as discussed above. The net change in unrealized appreciation/(depreciation) attributable to Level 3 investments still held at September 30, 2021 was $3,587,001.

Apollo Tactical Income Fund Inc.
Notes to Schedule of Investments (continued)
September 30, 2021 (unaudited)

The following table provides quantitative measures used to determine the fair values of the Level 3 investments as of September 30, 2021:

 
Assets/Liabilities
Fair Value at
September 30, 2021
Valuation Technique(s)(a)
Unobservable Input(s)
Range of Unobservable
Input(s) Utilized
Weighted Average
Unobservable Input(s)
Senior Loans
$
              2,215,927
 
Independent pricing service and/or broker quotes
Vendor and/or broker quotes
N/A
 
N/A
                   
     
 9,757
 
Recoverability (b)
Estimated Proceeds (b)
$843k
 
$843k
                   
     
-
 
Recoverability (b)
Estimated Proceeds (b)
 $-
 
 $-
                   
     
65,715
 
Discounted Cash Flow (c)
Discount Rate (c)
9.30% - 10.30%
 
9.80%
                   
     
948,317
 
Guideline Public Company (d)
TEV | EBITDA Multiple (d)
8.0x - 9.0x
 
8.5x
                   
     
2,039,463
 
Transaction Approach (e)
Cost (e)
N/A
 
N/A
                   
Corporate Notes and Bonds
 
1,020,000
 
Independent pricing service and/or broker quotes
Vendor and/or broker quotes
N/A
 
N/A
                   
     
                               -
 
Recoverability (b)
Estimated Proceeds (b)
$-
 
$-
                   
Common Stocks
 
                      25,463
 
Guideline Public Company (d)
TEV | EBITDA Multiple (d)
7.0x
 
7.0x
                   
     
                               -
 
Recoverability (b)
Estimated Proceeds (b)
$843k
 
$843k
                   
     
                               -
 
Recoverability (b)
Estimated Proceeds (b)
 $-
 
 $-
                   
     
                6,893,272
 
Guideline Public Company (d)
Transaction Approach (f)
TEV | EBITDA Multiple (d)
Term Sheet (f)
6.5x
N/A
 
6.5x
N/A
                   
     
                               -
 
Recoverability (b)
Estimated Proceeds (b)
 $-
 
 $-
                   
     
                   114,670
 
Recoverability (b)
Estimated Proceeds (b)
$0.47
 
$0.47
                   
     
                2,099,360
 
Guideline Public Company (d)
TEV | EBITDA Multiple (d)
5.25x - 5.75x
 
5.5x
                   
Preferred Stocks
 
                   156,434
 
Guideline Public Company (d)
TEV | EBITDA Multiple (d)
7.0x
 
7.0x
                   
     
                   946,575
 
Discounted Cash Flow (c)
Discount Rate (c)
8.32% - 8.82%
 
8.57%
                   
Warrants
 
                               -
 
Recoverability (b)
Estimated Proceeds (b)
 $-
 
 $-
                   
Unfunded Loan Commitments
 
 (982)
 
Discounted Cash Flow (c)
Discount Rate (c)
9.30% - 10.30%
 
9.80%
                   
     
-
 
Transaction Approach (e)
Cost (e)
N/A
 
N/A
                   
Total Fair Value
$
          16,533,971
           

(a)
 For the assets which have multiple valuation techniques, the Fund may rely on the techniques individually or in aggregate based on a weight ranging from 0-100%.
(b)
The Fund utilized a recoverability approach to fair value these securities, specifically a liquidation analysis. There are various, company specific inputs used in the valuation analysis that relate to the liquidation value of a company’s assets. The significant unobservable input used in the valuation model was estimated proceeds. Significant increases or decreases in the input in isolation may result in a significantly higher or lower fair value measurement.
(c)
The Fund utilized a discounted cash flow model to fair value this security. The significant unobservable input used in the valuation model was the discount rate, which was determined based on the market rates an investor would expect for a similar investment with similar risks. The discount rate was applied to present value the projected cash flows in the valuation model. Significant increases in the discount rate may significantly lower the fair value of an investment; conversely, significant decreases in the discount rate may significantly increase the fair value of an investment.
(d)
The Fund utilized a guideline public company method to fair value this security. The significant unobservable inputs used in the valuation model were total enterprise value ("TEV") and earnings before interest, taxes, depreciation and amortization (“EBITDA”) based on comparable multiples for a similar investment with similar risks. Significant increases or decreases in either of these inputs in isolation may result in a significantly higher or lower fair value measurement.
(e)
The Fund utilized a recent transaction, specifically purchase price, to fair value this security.
(f)
The Fund utilized a transaction approach to fair value this security. The significant unobservable input used in the valuation model was a term sheet. Significant increases or decreases in the input in isolation may result in a significantly higher or lower fair value measurement.


Apollo Tactical Income Fund Inc.
Notes to Schedule of Investments (continued)
September 30, 2021 (unaudited)

General Commitments and Contingencies
As of September 30, 2021, the Fund had unfunded loan commitments outstanding, which could be extended at the option of the borrower, as detailed below:
 
Borrower
 
Unfunded Loan Commitments
II-VI Incorporated Backstop Term Loan
 
$
1,568,771
II-VI Incorporated Bridge Term Loan
   
620,212
Anuvu Holdings 2, LLC Delayed Draw Term Loan
   
116,210
Electron BidCo Inc. Backstop Term Loan 1L*
   
1,800,000
Gray Television, Inc. Bridge Term Loan 1L*
   
800,000
Gray Television, Inc. Bridge Term Loan 2L*
   
1,200,000
Intelsat Jackson Holdings S.A. DIP Term Loan
   
727,375
LBM Acquisition, LLC Delayed Draw Term Loan B2**
   
740,490
Pro Mach Group, Inc. Delayed Draw Term Loan**
   
380,904
Sovos Compliance, LLC Delayed Draw Term Loan
   
368,151
TPG Holdings III, LLC Delayed Draw Term Loan*
   
174,559
Trident TPI Holdings, Inc. Delayed Draw Term Loan **
   
755,694
Ultimate Baked Goods Midco, LLC Revolving Term Loan **
   
208,243
Total unfunded loan commitments
 
$
9,460,609
       

*Subsequent to September 30, 2021, the outstanding loan commitment was terminated.
**Subsequent to September 30, 2021, all or a portion of the outstanding commitment was funded.
 
For more information with regard to significant accounting policies, see the Fund’s most recent semi-annual report filed with the Securities and Exchange Commission.