0001145549-21-029549.txt : 20210525 0001145549-21-029549.hdr.sgml : 20210525 20210525135939 ACCESSION NUMBER: 0001145549-21-029549 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210331 FILED AS OF DATE: 20210525 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Wildermuth Endowment Fund CENTRAL INDEX KEY: 0001586009 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22888 FILM NUMBER: 21959466 BUSINESS ADDRESS: STREET 1: 818 A1A HWY STREET 2: SUITE 301 CITY: PONTE VEDRA BEACH STATE: FL ZIP: 32082 BUSINESS PHONE: (678) 222-1100 MAIL ADDRESS: STREET 1: 818 A1A HWY STREET 2: SUITE 301 CITY: PONTE VEDRA BEACH STATE: FL ZIP: 32082 FORMER COMPANY: FORMER CONFORMED NAME: Wildermuth Endowment Strategy Fund DATE OF NAME CHANGE: 20130905 NPORT-P 1 primary_doc.xml NPORT-P false 0001586009 XXXXXXXX WILDERMUTH ENDOWMENT FUND 811-22888 0001586009 549300UF17FOV1WHN689 818 A1A HWY SUITE 301 PONTE VEDRA BEACH 32082 6782221100 Wildermuth Endowment Fund 549300UF17FOV1WHN689 2021-12-31 2021-03-31 N 158414312.630000000000 3347085.850000000000 155067226.780000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N GIGAPRO SEED / N/A GIGAPRO SEED / 999999999 1288103 OU Other Units USD 1864232 1.2022088991 Long PF US Y 3 N N N Alphabet Inc 5493006MHB84DD0ZWV18 Alphabet, Inc., Class A 02079K305 200 NS USD 412504 0.2660162360 Long EC CORP US N 1 N N N GPB AUTOMOTIVE PORTFOLIO LP / N/A GPB AUTOMOTIVE PORTFOLIO LP / 999999999 10 OU Other Units USD 113142.15 0.0729632898 Long PF US Y 3 N N N GRAVITY RANCH / N/A GRAVITY RANCH / 999999999 500 OU Other Units USD 67065 0.0432489839 Long PF US Y 3 N N N GREENSPRING OPP LP / N/A GREENSPRING OPP LP / 999999999 604500 OU Other Units USD 727498 0.4691500681 Long PF US Y N/A N N N HARBERT SENIORS HOUSING FUND / N/A HARBERT SENIORS HOUSING FUND / 999999999 1131262.15 OU Other Units USD 1440249.06 0.9287901060 Long PF US Y N/A N N N HARBERT SENIORS II HOUSING FUND / N/A HARBERT SENIORS II HOUSING FUND / 999999999 1336100.54 OU Other Units USD 1176185.47 0.7585003578 Long PF US Y N/A N N N HIGHLAND REIT / N/A HIGHLAND REIT / 999999999 136771.44 OU Other Units USD 16959.66 0.0109369725 Long PF US Y 2 N N N HomeServe PLC 213800EKBJTGNMXEDF11 HomeServe PLC 999999999 5830 NS 96603.61 0.0622978898 Long EC CORP GB N 1 N N N iShares MSCI India ETF 549300282VMCFH7S5848 iShares MSCI India ETF 46429B598 3465 NS USD 146153.70 0.0942518307 Long RF US N 1 N N N Intel Corp KNX4USFCNGPY45LOCE31 Intel Corp. 458140100 5036 NS USD 322304 0.2078479165 Long EC CORP US N 1 N N N Innoviva Inc 549300ACOX4QTBES6535 Innoviva, Inc. 45781M101 15000 NS USD 179250 0.1155950253 Long EC CORP US N 1 N N N INVENTRUST PROPERTIES Corp. / N/A INVENTRUST PROPERTIES Corp. / 999999999 153282.9160 OU Other Units USD 199267.79 0.1285041296 Long PF US Y 2 N N N KAYNE ANDERSON ENERGY FUND / N/A KAYNE ANDERSON ENERGY FUND / 999999999 2141480 OU Other Units USD 618414 0.3988038045 Long PF US Y N/A N N N Kinross Gold Corp 549300UEBMAQDN0K0R06 Kinross Gold Corp. 496902404 14000 NS USD 93380 0.0602190430 Long EC CORP CA N 1 N N N LAGRANGE SENIOR LIVING LLC / N/A LAGRANGE SENIOR LIVING LLC / 999999999 1800000 OU Other Units USD 1977774 1.2754300448 Long RE US Y 3 N N N LEVEL ATI HOLDCO LLC CLASS A / N/A LEVEL ATI HOLDCO LLC CLASS A / 999999999 1690 OU Other Units USD 2800673 1.8061024616 Long PF US Y 3 N N N LafargeHolcim Ltd 529900EHPFPYHV6IQO98 LafargeHolcim, Ltd. 999999999 2212 NS 130529.62 0.0841761491 Long EC CORP CH N 1 N N N MADRYN HEALTH PARTNERS LP / N/A MADRYN HEALTH PARTNERS LP / 999999999 1715595 OU Other Units USD 1879492 1.2120497922 Long PF US Y N/A N N N METRO DINER COMMON II SHARES / N/A METRO DINER COMMON II SHARES / 999999999 1880967.55 OU Other Units USD 858692 0.5537546636 Long PF US Y 3 N N N METRO DINER LLC SERIES B PREFERED SH / N/A METRO DINER LLC SERIES B PREFERED SH / 999999999 3500000 OU Other Units USD 2148205 1.3853378593 Long PF US Y 3 N N N MIDCON HOLDCO PART / N/A MIDCON HOLDCO PART / 59565Z915 181.8580 OU Other Units USD 181858 0.1172768765 Long PF US Y N/A N N N iCAPITAL MILLENNIUM FUND LP N/A iCAPITAL MILLENNIUM FUND LP 999999999 1000000 OU Other Units USD 1369010.46 0.8828496443 Long PF US Y N/A N N N McMillan Shakespeare Ltd 254900GPJQUGWJEAZ102 McMillan Shakespeare, Ltd. 999999999 15046 NS 124800.78 0.0804817256 Long EC CORP AU N 1 N N N National CineMedia Inc N/A National CineMedia, Inc. 635309107 79895 NS USD 369114.90 0.2380354042 Long EC CORP US N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG, ADR 66987V109 1632 NS USD 139503.36 0.0899631488 Long CORP CH N 1 N N N NXP Semiconductors NV 724500M9BY5293JDF951 NXP Semiconductors NV N6596X109 1738 NS USD 349928.92 0.2256627189 Long EC CORP NL N 1 N N N HERBER AVE PCG LOAN 10.5% 3/12/2019 / N/A HERBER AVE PCG LOAN 10.5% 3/12/2019 / 999999999 679961.72 PA USD 679961.72 0.4384947962 Long DBT PF US Y 3 2021-06-01 Fixed 10.5 Y N N N N N POLARA BUILDER 2 LLC PIB STORAGE OWNERS / N/A POLARA BUILDER 2 LLC PIB STORAGE OWNERS / 999999999 1711558 OU Other Units USD 1764689 1.1380154509 Long RE US Y 3 N N N PHILLIPS EDISON & COMPANY, INC. N/A PHILLIPS EDISON & COMPANY, INC. 999999999 3329.8270 OU Other Units USD 20478.44 0.0132061690 Long PF US Y 2 N N N PINEBRIDGE SECONDARY PARTNERS IV / N/A PINEBRIDGE SECONDARY PARTNERS IV / 999999999 1130206 OU Other Units USD 1286216 0.8294570211 Long PF US Y N/A N N N POLARA BUILDER 2 LLC SAVANNAH SELF STORAG / N/A POLARA BUILDER 2 LLC SAVANNAH SELF STORAG / 999999999 2338831 OU Other Units USD 2977627 1.9202168387 Long RE US Y 3 N N N PRISA III FUND LP / N/A PRISA III FUND LP / 999999999 828.7320 OU Other Units USD 1803885.46 1.1632925264 Long PF US Y N/A N N N Qorvo Inc 254900YAUJV2EUEVBR11 Qorvo, Inc. 74736K101 1895 NS USD 346216.50 0.2232686475 Long EC CORP US N 1 N N N REEF CAPITAL PRTNERS PREFERRED UNITS / N/A REEF CAPITAL PRTNERS PREFERRED UNITS / 75874Z917 7173.8090 OU Other Units USD 7173809 4.6262573653 Long DBT PF US Y 3 2022-12-28 Fixed 8 N N N N N N TransAlta Renewables Inc 529900U45A1JKZFABZ35 TransAlta Renewables, Inc. 893463950 13821 NS 226189.81 0.1458656447 Long EC CORP CA N 1 N N N ROSEBROOK OPP FUND / N/A ROSEBROOK OPP FUND / 999999999 1167567 OU Other Units USD 771174 0.4973159165 Long PF US Y N/A N N N RRA CREDIT OPPORTUNITY FUND LP / N/A RRA CREDIT OPPORTUNITY FUND LP / 999999999 1508165.21 OU Other Units USD 1893457.01 1.2210555701 Long PF US Y N/A N N N VanEck Vectors Russia ETF 549300FPRVRCCMKQFC88 VanEck Vectors Russia ETF 92189F403 3485 NS USD 89947.85 0.0580057127 Long RF US N 1 N N N SCHWEIZER RSG WARRANTS / N/A SCHWEIZER RSG WARRANTS / 999999999 1442 NC USD 1845.76 0.0011902966 N/A DE PF US Y 3 Manual N/A Call Purchased SCWEIZER-RSG NOTE VAR RT 1/22/2021 SCWEIZER-RSG NOTE VAR RT 1/22/2021 100 112.500000000000 USD 2028-01-21 XXXX 1845.76 N N N SEQUIN CONV NOTE 8.000% 7/20/2023 / N/A SEQUIN CONV NOTE 8.000% 7/20/2023 / 999999999 2098888.89 PA USD 2098888.89 1.3535348078 Long DBT PF US Y 3 2023-07-20 Fixed 8 N N Y N Y Sequin, Inc. Sequin, Inc. USD XXXX N N N SEQUIN PROM NOTE 12% 3/20/2024 / N/A SEQUIN PROM NOTE 12% 3/20/2024 / 999999999 250000 PA USD 250000 0.1612203979 Long DBT PF US Y 3 2024-03-20 Fixed 12 N N N N N N SEQUIN WARRANTS / N/A SEQUIN WARRANTS / 999999999 6410 NC USD 0 0.0000000000 N/A DE PF US Y 3 Manual N/A Call Purchased SEQUIN PROM NOTE 12% 3/20/2024 SEQUIN PROM NOTE 12% 3/20/2024 1 100.000000000000 USD 2026-03-30 XXXX 0 N N N SHOPOFF LAND FUND III LP / N/A SHOPOFF LAND FUND III LP / 999999999 56 OU Other Units USD 33052.71 0.0213150842 Long PF US Y N/A N N N Sony Group Corp 529900R5WX9N2OI2N910 Sony Group Corp., ADR 835699307 3000 NS USD 318030 0.2050916926 Long CORP JP N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global, Inc. 78409V104 1100 NS USD 388157 0.2503153039 Long EC CORP US N 1 N N N STAR MOUNTAIN DIVERS CREDIT, Inc. FUND III / N/A STAR MOUNTAIN DIVERS CREDIT, Inc. FUND III / 999999999 2912965.89 OU Other Units USD 2961516.59 1.9098275319 Long PF US Y N/A N N N STAR MOUNTAIN DIVERS SMALL BUS LP FUND / N/A STAR MOUNTAIN DIVERS SMALL BUS LP FUND / 999999999 772691.19 OU Other Units USD 939739.85 0.6060209301 Long PF US Y N/A N N N STONEHILL STRATEGIC HOTEL CREDIT OPP FUN / N/A STONEHILL STRATEGIC HOTEL CREDIT OPP FUN / 999999999 702850.52 OU Other Units USD 1021141 0.6585150333 Long PF US Y N/A N N N THUNDER INVESTMENT PARTNERES LLC / N/A THUNDER INVESTMENT PARTNERES LLC / 999999999 2080000 OU Other Units USD 599872.15 0.3868465068 Long PF US Y 3 N N N Triton International Ltd N/A Triton International, Ltd. G9078F107 5096 NS USD 280229.04 0.1807145493 Long EC CORP BM N 1 N N N UCB SA 2138008J191VLSGY5A09 UCB SA 999999999 1246 NS 118786.60 0.0766032917 Long EC CORP BE N 1 N N N WALTON REAL ESTATE FUND VIII L.P / N/A WALTON REAL ESTATE FUND VIII L.P / 999999999 4399.8390 OU Other Units USD 567792.29 0.3661587956 Long PF US Y N/A N N N WARATEK SECURED NOTE NOTE 03/15/2022 / N/A WARATEK SECURED NOTE NOTE 03/15/2022 / 999999999 504000 PA USD 504000 0.3250203221 Long DBT NUSS US Y 3 2022-03-15 None 30 N N N N N N WARATEK, Ltd. SERIES B-1 / N/A WARATEK, Ltd. SERIES B-1 / 999999999 635838 OU Other Units 2894965.33 1.8669098494 Long NUSS US Y 3 N N N WARATEK, Ltd. SERIES B-2 / N/A WARATEK, Ltd. SERIES B-2 / 999999999 756826 OU Other Units 3905243.86 2.5184198757 Long NUSS US Y 3 N N N WARATEK CONVER NOTE CONV NOTE 10/16/2022 / N/A WARATEK CONVER NOTE CONV NOTE 10/16/2022 / 999999999 3191374 PA USD 4289342 2.7661176956 Long DBT NUSS US Y 3 2022-10-16 None 12 N N Y N Y Waratek Limited Waratek Limited EUR XXXX N N N WARATEK, Ltd. WARRANTS / N/A WARATEK, Ltd. WARRANTS / 999999999 646328 NC 1175957.22 0.7583531636 N/A DE NUSS US Y 3 Manual N/A Call Purchased WARATEK, Ltd. WARRANTS / WARATEK, Ltd. WARRANTS / 1 0.010000000000 EUR 2028-01-21 XXXX 1175957.22 N N N WG PITTS LLC / N/A WG PITTS LLC / 999999999 426036 OU Other Units USD 0 0.0000000000 Long PF US Y 3 N N N CARRIBBEAN NOTE 2-A 12% 03/31/2023 / N/A CARRIBBEAN NOTE 2-A 12% 03/31/2023 / 999999999 2623158.18 PA USD 1649049 1.0634413436 Long DBT PF US Y 3 2023-03-31 Fixed 12 Y N N N N N THE WORK SHOP LIMIT CONV NTE 12% 1/20/23 / N/A THE WORK SHOP LIMIT CONV NTE 12% 1/20/23 / 999999999 2033611.11 PA USD 2033611.11 1.3114383692 Long DBT PF US Y 3 2023-01-20 Fixed 12 N N Y N Y The Work Shop Limited T/A RIP Global of New Zealand The Work Shop Limited T/A RIP Global of New Zealand USD XXXX N N N Mitsubishi HC Capital Inc 353800MZ3QX9RLMH7B09 Mitsubishi HC Capital, Inc. 999999999 23309 NS 140908.71 0.0908694332 Long EC CORP JP N 1 N N N ABBOTT SECONDARY OPPORTUNITIES LP / N/A ABBOTT SECONDARY OPPORTUNITIES LP / 999999999 696832.86 OU Other Units USD 1273334.34 0.8211498757 Long PF US Y N/A N N N AFFINTY BEVERAGE LLC / N/A AFFINTY BEVERAGE LLC / 999999999 41751 OU Other Units USD 174999.32 0.1128538400 Long PF US Y 3 N N N ARC PROPERTY TRUST / N/A ARC PROPERTY TRUST / 999999999 95075.2960 OU Other Units USD 1027763.95 0.6627860518 Long PF US Y N/A N N N Atenor 549300ZIL1V7D7F3YH40 Atenor 999999999 1240 NS 82773.53 0.0533791258 Long EC CORP BE N 1 N N N ATLAS FINTECH HOLDINGS Corp. / N/A ATLAS FINTECH HOLDINGS Corp. / 999999999 684 OU Other Units USD 3506893 2.2615307392 Long PF US Y 3 N N N ATLAS FINANCIAL WARRANTS / N/A ATLAS FINANCIAL WARRANTS / 999999999 100 NC USD 0 0.0000000000 N/A DE PF US Y 3 Manual N/A Call Purchased ATLAS FINTECH HOLDINGS CORP ATLAS FINTECH HOLDINGS CORP 1 13000.000000000000 USD 2021-12-30 XXXX 0 N N N ATLAS FINANCIAL WARRANTS / N/A ATLAS FINANCIAL WARRANTS / 999999999 44 NC USD 0 0.0000000000 N/A DE PF US Y 3 Manual N/A Call Purchased ATLAS FINTECH HOLDINGS CORP ATLAS FINTECH HOLDINGS CORP 1 14950.000000000000 USD 2022-12-30 XXXX 0 N N N ATLAS FINANCIAL WARRANTS / N/A ATLAS FINANCIAL WARRANTS / 999999999 475 NC USD 0 0.0000000000 N/A DE PF US Y 3 Manual N/A Call Purchased ATLAS FINTECH HOLDINGS CORP ATLAS FINTECH HOLDINGS CORP 1 8000.000000000000 USD 2021-12-30 XXXX 0 N N N AUDA ASIA SECONDARY AUDA CAPITAL / N/A AUDA ASIA SECONDARY AUDA CAPITAL / 999999999 1945380 OU Other Units USD 2226336 1.4357231030 Long PF US Y N/A N N N Yamana Gold Inc 54930002VY22NXG01418 Yamana Gold, Inc. 98462Y100 39053 NS USD 169490.02 0.1093009938 Long EC CORP CA N 1 N N N Broadcom Inc 549300WV6GIDOZJTV909 Broadcom, Inc. 11135F101 646 NS USD 299524.36 0.1931577460 Long EC CORP US N 1 N N N Alibaba Group Holding Ltd 5493001NTNQJDH60PM02 Alibaba Group Holding, Ltd., ADR 01609W102 1400 NS USD 317422 0.2046996045 Long CORP CN N 1 N N N Broadstone Net Lease Inc N/A Broadstone Net Lease, Inc., REIT 11135E203 94117 NS USD 1722341.10 1.1107060697 Long CORP US N 1 N N N BROOKWOOD SFL INVEST / N/A BROOKWOOD SFL INVEST / 999999999 906.1740 OU Other Units USD 1697293.17 1.0945531208 Long RE US Y N/A N N N CARLYLE EUROPE REALTY FUND S.C / N/A CARLYLE EUROPE REALTY FUND S.C / 999999999 3538665 OU Other Units 3877151.25 2.5003034687 Long NUSS XX Y N/A N N N CASILLAS PETROLEUM RESOURCE PART LLC / N/A CASILLAS PETROLEUM RESOURCE PART LLC / 999999999 1000 OU Other Units USD 504581.72 0.3253954627 Long PF US Y N/A N N N CLEAR GUIDE MEDICAL SERIES A-2 / N/A CLEAR GUIDE MEDICAL SERIES A-2 / 999999999 134898 OU Other Units USD 788552 0.5085226688 Long PF US Y 3 N N N CLEAR GUIDE MEDICAL SERIES A-3 / N/A CLEAR GUIDE MEDICAL SERIES A-3 / 999999999 770489 OU Other Units USD 4283658 2.7624521886 Long PF US Y 3 N N N CLEAR GUIDE MEDICAL / N/A CLEAR GUIDE MEDICAL / 999999999 2500 OU Other Units USD 3931539 2.5353771275 Long PF US Y 3 N N N CLEARSENSE CONV NOTE 8% 10/30/2022 / N/A CLEARSENSE CONV NOTE 8% 10/30/2022 / 999999999 3000000 PA USD 3475609 2.2413562635 Long DBT PF US Y 3 2022-10-30 None 8 N N Y N Y Clearsense, LLC Clearsense, LLC USD XXXX N N N CLEARSENSE LLC / N/A CLEARSENSE LLC / 999999999 1543073.6150 OU Other Units USD 12420172 8.0095402864 Long PF US Y 3 N N N CM FUNDING LLC / N/A CM FUNDING LLC / 999999999 1976033.95 OU Other Units USD 919761 0.5931369375 Long PF US Y 3 N N N COMMITTED ADVISORS / N/A COMMITTED ADVISORS / 999999999 1070324.43 OU Other Units 1612652.62 1.0399699882 Long NUSS XX Y N/A N N N CONTENT MANAGEMENT LIVE LLC / N/A CONTENT MANAGEMENT LIVE LLC / 999999999 298200 OU Other Units USD 120000 0.0773857910 Long PF US Y 3 N N N COTTONWOOD RESIDENT2 / N/A COTTONWOOD RESIDENT2 / 999999999 157812 OU Other Units USD 3378754.92 2.1788968502 Long PF US Y N/A N N N CRC BOND OPPORTUNITY TRADING FUND LP / N/A CRC BOND OPPORTUNITY TRADING FUND LP / 999999999 2500 OU Other Units USD 2998619 1.9337541931 Long PF US Y N/A N N N CSL Ltd 529900ECSECK5ZDQTE14 CSL, Ltd. Q61854958 1043 NS 210244.46 0.1355827820 Long EC CORP AU N 1 N N N WisdomTree Trust WisdomTree Ch 5493003W9PJD7JCV4542 WisdomTree Trust WisdomTree China ex-State-Owned Enterprises Fund 97717X719 5661 NS USD 369040.59 0.2379874830 Long RF US N 1 N N N CYGNUS PROPERTY FUND LLC / N/A CYGNUS PROPERTY FUND LLC / 999999999 1758306.18 OU Other Units USD 2842114 1.8328269996 Long PF US Y N/A N N N Delta Air Lines Inc Q2CCMS6R0AS67HJMBN42 Delta Air Lines, Inc. 247361702 7419 NS USD 358189.32 0.2309896988 Long EC CORP US N 1 N N N DOG WOOD PARK LOAN 9.5% 9/21/2018 / N/A DOG WOOD PARK LOAN 9.5% 9/21/2018 / 999999999 439716 OU Other Units USD 755484.28 0.4871979049 Long RE US Y 3 N N N Dechra Pharmaceuticals PLC 213800J4UVB5OWG8VX82 Dechra Pharmaceuticals PLC 999999999 3110 NS 147175.77 0.0949109448 Long EC CORP GB N 1 N N N DSI DIGITAL LLC / N/A DSI DIGITAL LLC / 999999999 5791621 OU Other Units USD 16864225 10.8754282579 Long PF US Y 3 N N N DSI CONVERTIBLE NOTE CONV NOTE 03/23/2023 / N/A DSI CONVERTIBLE NOTE CONV NOTE 03/23/2023 / 999999999 150000 PA USD 150000 0.0967322387 Long DBT PF US Y 3 2023-03-23 Fixed 8 N N Y N Y DSI Digital, LLC DSI Digital, LLC USD XXXX N N N iShares MSCI Indonesia ETF 549300FG1ZHYGIRCFP28 iShares MSCI Indonesia ETF 46429B309 7212 NS USD 157582.20 0.1016218599 Long RF US N 1 N N N EJF TRUST LOAN 16.000% 4/16/2022 / N/A EJF TRUST LOAN 16.000% 4/16/2022 / 999999999 71275.97 PA USD 71275.97 0.0459645610 Long DBT PF US Y 3 2022-04-16 Fixed 16 N N N N N N EJF SIDECAR FUND SERIES LLC / N/A EJF SIDECAR FUND SERIES LLC / 999999999 873592 OU Other Units USD 900319 0.5805991496 Long PF US Y N/A N N N EJF TRUST PREFERRED FUND / N/A EJF TRUST PREFERRED FUND / 999999999 489.8630 OU Other Units USD 714739 0.4609220238 Long PF US Y N/A N N N Emerging Markets Internet and 549300ZFP551IO6DFL53 Emerging Markets Internet and Ecommerce ETF 301505889 7102 NS USD 453888.82 0.2927045446 Long RF US N 1 N N N Enbridge Inc 98TPTUM4IVMFCZBCUR27 Enbridge, Inc. 29250N105 6502 NS USD 236672.80 0.1526259319 Long EC CORP CA N 1 N N N iShares MSCI Malaysia ETF QHNU1WJWRSX7LW7ZHE41 iShares MSCI Malaysia ETF 46434G814 4487 NS USD 121597.70 0.0784161183 Long RF US N 1 N N N iShares MSCI Taiwan ETF NOTS2OVXOI43240U2196 iShares MSCI Taiwan ETF 46434G772 3840 NS USD 230246.40 0.1484816649 Long RF US N 1 N N N iShares MSCI Brazil ETF F6BK0XM2JFWYXJ2MDK09 iShares MSCI Brazil ETF 464286400 3734 NS USD 124902.30 0.0805471940 Long RF US N 1 N N N Facebook Inc BQ4BKCS1HXDV9HN80Z93 Facebook, Inc., Class A 30303M102 939 NS USD 276563.67 0.1783508197 Long EC CORP US N 1 N N N Fidelity Government Portfolio N/A Fidelity Government Portfolio, Class Institutional 316175108 674635.21 PA USD 674635.21 0.4350598279 Long STIV RF US N 1 N N N FleetCor Technologies Inc 549300DG6RR0NQSFLN74 FleetCor Technologies, Inc. 339041105 519 NS USD 139418.97 0.0899087273 Long EC CORP US N 1 N N N Fresenius SE & Co KGaA XDFJ0CYCOO1FXRFTQS51 Fresenius SE & Co. KGaA 999999999 2770 NS 123639.21 0.0797326505 Long EC CORP DE N 1 N N N GIGAPRO SECURED NOTE 12% 10/1/2022 / N/A GIGAPRO SECURED NOTE 12% 10/1/2022 / 999999999 2500000 PA USD 2500000 1.6122039788 Long DBT PF US Y 3 2022-10-01 Fixed 12 N N Y N Y GigaPro, Inc. GigaPro, Inc. USD XXXX N N N GIGAPRO COMMON STOCK / N/A GIGAPRO COMMON STOCK / 999999999 8800000 OU Other Units USD 9172932 5.9154549872 Long PF US Y 3 N N N GIGAPRO SEED PREFERRED SHARES / N/A GIGAPRO SEED PREFERRED SHARES / 999999999 309150 OU Other Units USD 447423 0.2885348563 Long PF US Y 3 N N N 2021-04-13 WILDERMUTH ENDOWMENT FUND /s/ Candice Lightfoot Candice Lightfoot Chief Operating Officer XXXX NPORT-EX 2 fp0065581_nportex.htm PART F ATTACHMENT

Wildermuth Endowment Fund

Schedule of Investments

March 31, 2021 (Unaudited)

 

 

Interests,
Shares,
Principal
Amount,
or Units
      Fair Value 
     PUBLIC EQUITIES — 5.2%     
     ADVERTISING — 0.2%     
 79,895   National CineMedia, Inc.  $369,115 
           
     AIRLINES — 0.2%     
 7,419   Delta Air Lines, Inc.   358,189 
           
     BIOTECHNOLOGY — 0.2%     
 1,043   CSL, Ltd.   210,244 
 15,000   Innoviva, Inc.(a)   179,250 
         389,494 
     BUILDING MATERIALS — 0.1%     
 2,212   LafargeHolcim, Ltd.   130,530 
           
     COMMERCIAL SERVICES — 0.4%     
 519   FleetCor Technologies, Inc.(a)   139,419 
 15,046   McMillan Shakespeare, Ltd.   124,801 
 1,100   S&P Global, Inc.   388,157 
         652,377 
     DISTRIBUTION/WHOLESALE — 0.2%     
 5,096   Triton International, Ltd.   280,229 
           
     DIVERSIFIED FINANCIAL SERVICES — 0.1%     
 23,309   Mitsubishi HC Capital, Inc.   140,909 
           
     ENERGY-ALTERNATE SOURCES — 0.1%     
 13,821   TransAlta Renewables, Inc.   226,190 
           
     ENGINEERING & CONSTRUCTION — 0.1%     
 5,830   HomeServe PLC   96,603 
           
     HEALTHCARE-SERVICES — 0.1%     
 2,770   Fresenius SE & Co. KGaA    123,639 
           
     HOME FURNISHINGS — 0.2%     
 3,000   Sony Group Corp., ADR   318,030 
           
     INTERNET — 0.6%     
 1,400   Alibaba Group Holding, Ltd., ADR(a)   317,422 
 200   Alphabet, Inc. - Class A(a)   412,504 
 939   Facebook, Inc. - Class A(a)   276,564 
         1,006,490 

 

See accompanying notes to Schedule of Investments.

 

1 

 

Wildermuth Endowment Fund

Schedule of Investments - Continued

March 31, 2021 (Unaudited)

 

 

Interests,
Shares,
Principal
Amount,
or Units
      Fair Value 
     COMMON STOCKS (CONTINUED)     
     MINING — 0.2%     
 14,000   Kinross Gold Corp.  $93,380 
 39,053   Yamana Gold, Inc.   169,490 
         262,870 
     PHARMACEUTICALS — 0.3%     
 3,110   Dechra Pharmaceuticals PLC   147,176 
 1,632   Novartis AG, ADR   139,503 
 1,246   UCB SA   118,787 
         405,466 
     PIPELINES — 0.2%     
 6,502   Enbridge, Inc.   236,673 
           
     REAL ESTATE — 0.1%     
 1,240   Atenor   82,773 
           
     REITS — 1.1%        
 94,117   Broadstone Net Lease, Inc.   1,722,341 
           
     SEMICONDUCTORS — 0.8%     
 646   Broadcom, Inc.   299,524 
 5,036   Intel Corp.   322,304 
 1,738   NXP Semiconductors NV   349,929 
 1,895   Qorvo, Inc.(a)   346,217 
         1,317,974 
     TOTAL PUBLIC EQUITIES (Cost $6,621,836)   8,119,892 
           
     EXCHANGE TRADED FUNDS — 1.1%     
     EQUITY FUNDS — 1.1%     
 7,102   Emerging Markets Internet and Ecommerce   453,889 
 3,734   iShares MSCI Brazil   124,902 
 3,465   iShares MSCI India   146,154 
 7,212   iShares MSCI Indonesia   157,582 
 4,487   iShares MSCI Malaysia   121,598 
 3,840   iShares MSCI Taiwan   230,246 
 3,485   VanEck Vectors Russia   89,948 
 5,661   WisdomTree China ex-State-Owned Enterprises Fund   369,041 
     TOTAL EXCHANGE TRADED FUNDS (Cost $1,207,031)   1,693,360 

 

See accompanying notes to Schedule of Investments.

 

2 

 

Wildermuth Endowment Fund

Schedule of Investments - Continued

March 31, 2021 (Unaudited)

 

 

Interests,
Shares,
Principal
Amount,
or Units
      Fair Value 
     COMMODITY & NATURAL RESOURCE INVESTMENTS — 1.8%     
 1,000   Casillas Petroleum Resource Partners, LLC(a)(b)(c)  $504,582 
 1,976,034   CM Funding, LLC(a)(b)(c)(d)(e)   919,761 
    Kayne Anderson Energy Fund VII LP(a)(b)(c)(f)   618,414 
 182   Midcon Holdco Partners, LLC(a)(b)(c)   181,858 
 2,080,000   Thunder Investment Partners, LLC(a)(b)(c)(d)(e)   599,872 
     TOTAL COMMODITY & NATURAL RESOURCE INVESTMENTS (Cost $7,211,492)   2,824,487 
           
     DIRECT PRIVATE EQUITY — 42.7%     
 41,751   Affinity Beverages, LLC(a)(b)(c)(e)   174,999 
 684   Atlas Fintech Holdings Corp. - Class A Share Interests(a)(b)(c)(e)   3,506,893 
 2,500   Clear Guide Medical, Inc. - Series A Preferred Stock(a)(b)(c)(d)(e)   3,931,539 
 134,898   Clear Guide Medical, Inc. - Series A-2 Preferred Stock(a)(b)(c)(d)(e)   788,552 
 770,489   Clear Guide Medical, Inc. - Series A-3 Preferred Stock(a)(b)(c)(d)(e)   4,283,658 
 1,543,074   Clearsense, LLC - Class C Preferred Shares(a)(b)(c)(d)(e)   12,420,172 
 298,200   Content Management Live, LLC(a)(b)(c)(d)(e)   120,000 
 5,791,621   DSI Digital, LLC - Series A Convertible Preferred Units(a)(b)(c)(d)(e)   16,864,225 
 8,800,000   GigaPro, Inc. - Common Units(a)(b)(c)(d)(e)   9,172,932 
 309,150   GigaPro, Inc. - Series Seed-1 Preferred Units(a)(b)(c)(d)(e)   447,423 
 1,288,103   GigaPro, Inc. - Series Seed-2 Preferred Units(a)(b)(c)(d)(e)   1,864,232 
    Level ATI HoldCo, LLC - Class A(a)(b)(c)(d)(e)   2,800,673 
 3,500,000   Metro Diner, LLC - Series B Units(a)(b)(c)(e)   2,148,205 
 1,880,968   Metro Diner, LLC - Series II Common Units(a)(b)(c)(e)   858,692 
 635,838   Waratek, Ltd. - Series B-1(a)(b)(c)(d)(e)   2,894,965 
 756,826   Waratek, Ltd. - Series B-2(a)(b)(c)(d)(e)   3,905,244 
    WG Pitts Caribbean, LLC - Common Units(a)(b)(c)(d)(e)   - 
     TOTAL DIRECT PRIVATE EQUITY (Cost $41,591,784)   66,182,404 
           
     DIRECT REAL ESTATE — 5.9%     
    Brookwood SFL Investor Co-Investment Vehicle, LLC(a)(b)(c)   1,697,293 
 439,716   Dog Wood Park of Northeast Florida, LLC(b)(c)(d)(e)   755,484 
 1,800,000   LaGrange Senior Living, LLC - Class A Interests(b)(c)(d)(e)   1,977,774 
    Polara Builder II, LLC(b)(c)(d)(e)   4,742,316 
     TOTAL DIRECT REAL ESTATE (Cost $7,138,563)   9,172,867 
           
     HEDGE FUNDS — 3.8%     
    CRC Bond Opportunity Trading Fund LP(a)(b)(c)(f)(g)   2,998,619 
    EJF Trust Preferred Fund LP(a)(b)(c)(f)(g)   714,739 
    iCapital Millennium Fund LP(a)(b)(c)(f)(g)   1,369,010 
    Rosebrook Opportunities Fund LP(a)(b)(c)(d)(f)(g)   771,174 
     TOTAL HEDGE FUNDS (Cost $5,247,428)   5,853,542 

 

See accompanying notes to Schedule of Investments.

 

3 

 

Wildermuth Endowment Fund

Schedule of Investments - Continued

March 31, 2021 (Unaudited)

 

 

Interests,
Shares,
Principal
Amount,
or Units
      Fair Value 
     PRIVATE EQUITY DEBT — 15.6%     
$3,000,000   Clearsense, LLC - Convertible Note, 8.00%, 10/30/2022(b)(c)(d)(e)(h)  $3,475,609 
 150,000   DSI Digital, LLC - Convertible Note, 8.00%, 3/23/2023(b)(c)(d)(e)(h)   150,000 
 71,276   EJF Trust Preferred Master Fund LP, 16.00%, 4/16/2022(b)(c)(e)   71,276 
 2,500,000   GigaPro, Inc. - Convertible Note, 12.00%, 10/1/2022(b)(c)(d)(e)(h)   2,500,000 
 7,174   Reef Capital Partners, LLC - Series A Preferred Units, 8.00%, 12/28/2022(b)(c)(e)    7,173,809 
 2,098,889   Sequin, Inc. - Convertible Note, 8.00%, 7/20/2023(b)(c)(e)(h)   2,098,889 
 250,000   Sequin, Inc. - Promissory Note, 12.00%, 3/20/2024(b)(c)(e)   250,000 
 2,033,611   The Work Shop Limited T/A RIP Global - Convertible Note, 12.00%, 1/20/2023(b)(c)(e)(h)    2,033,611 
 3,191,374   Waratek, Ltd. - Convertible Note, 12.00%, 10/16/2022(a)(b)(c)(d)(e)(h)   4,289,342 
 504,000   Waratek, Ltd. - Secured Note, 30.00%, 3/15/2022(b)(c)(d)(e)   504,000 
 2,623,158   WG Pitts Caribbean, LLC - Promissory Note, 12.00%, 3/31/2023(b)(c)(d)(e)(i)   1,649,049 
     TOTAL PRIVATE EQUITY DEBT (Cost $22,809,191)   24,195,585 
           
     PRIVATE EQUITY FUNDS — 9.0%     
    Abbott Secondary Opportunities LP(a)(b)(c)(f)(g)   1,273,334 
    Auda Capital SCS SICAV SIF - Auda Asia Secondary Fund(a)(b)(c)(f)(g)   2,226,336 
    Committed Advisors Secondary Fund III(a)(b)(c)(f)(g)   1,612,653 
    EJF Sidecar Fund, Series LLC - Small Financial Equities Series(a)(b)(c)(f)(g)   900,319 
 10   GPB Automotive Portfolio LP(a)(b)(c)(e)(f)   113,142 
    Gravity Ranch Fund I LP(a)(b)(c)(e)(f)(g)   67,065 
    Greenspring Opportunities V LP(a)(b)(c)(f)(g)   727,498 
    Madryn Health Partners LP(a)(b)(c)(f)(g)   1,879,492 
    PineBridge Secondary Partners IV SLP(a)(b)(c)(f)(g)   1,286,216 
    Star Mountain Diversified Credit Income Fund III LP(a)(b)(c)(f)(g)   2,961,517 
    Star Mountain Diversified Small Business Access Fund II LP(a)(b)(c)(f)(g)   939,740 
     TOTAL PRIVATE EQUITY FUNDS (Cost $12,781,125)   13,987,312 
           
     PRIVATE REAL ESTATE INVESTMENTS — 12.3%     
 95,075   ARCTRUST, Inc.(b)(c)(f)   1,027,764 
 3,538,665   Carlyle Europe Realty Fund, S.C.Sp.(a)(b)(c)(f)(g)   3,877,151 
 157,812   Cottonwood Residential II, Inc.(b)(c)(f)   3,378,755 
    Cygnus Property Fund V, LLC(a)(b)(c)(f)   2,842,114 
    Harbert Seniors Housing Fund I LP(a)(b)(c)(f)   1,440,249 
    Harbert Seniors Housing Fund II LP(a)(b)(c)(f)   1,176,186 
 829   PRISA III Fund LP(a)(b)(c)(f)   1,803,885 
    RRA Credit Opportunity Fund LP(a)(b)(c)(d)(f)   1,893,457 
 56   Shopoff Land Fund III LP(b)(c)(f)   33,053 
 702,851   Stonehill Strategic Hotel Credit Opportunity Fund II LP(a)(b)(c)(f)   1,021,141 
    Walton Street Real Estate Fund VIII LP(a)(b)(c)(f)   567,792 
     TOTAL PRIVATE REAL ESTATE INVESTMENTS (Cost $16,181,035)   19,061,547 

 

See accompanying notes to Schedule of Investments.

 

4 

 

Wildermuth Endowment Fund

Schedule of Investments - Continued

March 31, 2021 (Unaudited)

 

 

Interests,
Shares,
Principal
Amount,
or Units
      Fair Value 
     PUBLIC REAL ESTATE INVESTMENTS — 0.1%     
 136,771   Highlands REIT, Inc.(a)(b)(c)   $16,960 
 153,283   Inventrust Properties Corp.(b)(c)   199,268 
 3,330   Phillips Edison & Company, Inc.(b)(c)   20,478 
     TOTAL PUBLIC REAL ESTATE INVESTMENTS (Cost $393,486)   236,706 
           
     REAL ESTATE LOANS — 0.4%     
$679,962   Park City (PCG), 10.50%, 6/1/2021(b)(c)(d)(e)(i)      679,962 
     TOTAL REAL ESTATE LOANS (Cost $625,565)   679,962 
           
     WARRANTS — 0.8%     
 100   Atlas Fintech Holdings Corp., Exercise Price $13,000, Expiration Date,12/30/2021(a)(b)(c)(e)    - 
 44   Atlas Fintech Holdings Corp., Exercise Price $14,950, Expiration Date,12/30/2022(a)(b)(c)(e)    - 
 475   Atlas Fintech Holdings Corp., Exercise Price $8,000, Expiration Date,12/30/2021(a)(b)(c)(e)    - 
 1,442   Schweizer RSG, LLC, Exercise Price $112.50, Expiration Date,1/21/2028(a)(b)(c)(e)    1,846 
 6,410   Sequin, Inc., Exercise Price $0.001, Expiration Date,3/30/2026(a)(b)(c)(e)    - 
 646,328   Waratek, Ltd., Exercise Price 0.01 Euro, Expiration Date,1/22/2028(a)(b)(c)(d)(e)    1,175,957 
     TOTAL WARRANTS (Cost $0)   1,177,803 
           
     SHORT-TERM INVESTMENTS — 0.4%     
 627,880   Fidelity Institutional Government Portfolio - Institutional Class, 0.01%(j)   627,880 
     TOTAL SHORT-TERM INVESTMENTS (Cost $627,880)   627,880 
           
     TOTAL INVESTMENTS — 99.1% (Cost $122,436,416)   153,813,347 
     Other assets less liabilities — 0.9%   1,335,150 
           
     TOTAL NET ASSETS — 100.0%  $155,148,497 

 

ADR – American Depositary Receipt

LLC – Limited Liability Company

LP – Limited Partnership

PLC – Public Limited Company

REIT – Real Estate Investment Trusts

SLP – Special Limited Partnership

 

See accompanying notes to Schedule of Investments.

 

5 

 

Wildermuth Endowment Fund

Schedule of Investments - Continued

March 31, 2021 (Unaudited)

 

 

(a) Non-income Producing.
   
(b) Illiquid Security. As of March 31, 2021 these securities amounted to $143,372,215 representing 92.41% of total net assets.
   
(c) Restricted Security. As of March 31, 2021 these securities amounted to $143,372,215 representing 92.41% of total net assets. Please refer to Investments in Restricted Securities, in the Notes to the Schedule of Investments.
   
(d) Denotes an investment in an affiliated entity. Please refer to Investments in Affiliated Issuers, in the Notes to the Schedule of Investments.
   
(e) Level 3 security in accordance with fair value hierarchy.
   
(f) Private Fund. As of March 31, 2021 these securities amounted to $39,520,815 representing 25.47% of total net assets.
   
(g) Private Investment Company. As of March 31, 2021 these securities amounted to $23,604,863 representing 15.21% of total net assets.
   
(h) Payment-in-kind (PIK) security in which the issuer makes interest payments in the form of additional securities, as opposed to cash payouts. These additional securities generally have the same terms as the original holdings.
   
(i) Security is in default.
   
(j) Represents the current rate as of March 31, 2021.

 

See accompanying notes to Schedule of Investments.

 

6 

 

Wildermuth Endowment Fund

 

Notes to the Schedule of Investments

March 31, 2021 (Unaudited)

 

 

Investments in Restricted Securities - Restricted securities include securities that have not been registered under the Securities Act of 1933, as amended, and securities that are subject to restrictions on resale. The Fund may invest in restricted securities that are consistent with the Fund’s investment objectives and investment strategies. Investments in restricted securities are valued at fair value as determined in good faith in accordance with procedures adopted by the Board of Trustees. It is possible that the estimated value may differ significantly from the amount that might ultimately be realized in the near term, and the difference could be material.

 

Additional information on each restricted security held by the Fund on March 31, 2021 is as follows:

 

Security  Initial Acquisition Date  Shares, Principal Amount or Units   Cost   Fair Value   % of Net Assets  
Abbott Secondary Opportunities LP  April 13, 2017   -   $592,451   $1,273,334    0.82%  
Affinity Beverages, LLC  February 21, 2020   41,751    175,000    174,999    0.11%  
ARCTRUST, Inc.  June 30, 2016   95,075    911,278    1,027,764    0.66%  
Atlas Fintech Holdings Corp. - Class A Share Interests  December 20, 2016   684    3,126,329    3,506,893    2.26%  
Atlas Fintech Holdings Corp., Exercise Price $13,000, Expiration Date, 12/30/2021  December 20, 2016   100    -    -    0.00%  
Atlas Fintech Holdings Corp., Exercise Price $14,950, Expiration Date, 12/30/2022  December 20, 2016   44    -    -    0.00%  
Atlas Fintech Holdings Corp., Exercise Price $8,000, Expiration Date, 12/30/2021  December 23, 2019   475    -    -    0.00%  
Auda Capital SCS SICAV SIF - Auda Asia Secondary Fund  April 2, 2018   -    1,945,380    2,226,336    1.44%  
Brookwood SFL Investor Co-Investment Vehicle, LLC  November 3, 2017   -    906,174    1,697,293    1.09%  
Carlyle Europe Realty Fund, S.C.Sp.  December 19, 2018   3,538,665    4,062,243    3,877,151    2.50%  
Casillas Petroleum Resource Partners, LLC  October 11, 2016   1,000    1,000,000    504,582    0.33%  
Clear Guide Medical, Inc. - Series A Preferred Stock  April 19, 2016   2,500    2,250,000    3,931,539    2.53%  
Clear Guide Medical, Inc. - Series A-2 Preferred Stock  March 6, 2018   134,898    500,000    788,552    0.51%  
Clear Guide Medical, Inc. - Series A-3 Preferred Stock  July 16, 2018   770,489    2,835,394    4,283,658    2.76%  
Clearsense, LLC - Class C Preferred Shares  February 20, 2019   1,543,074    6,799,865    12,420,172    8.01%  
Clearsense, LLC - Convertible Note, 8.00%, 10/30/2022  November 5, 2020   3,000,000    3,000,000    3,475,609    2.24%  
CM Funding, LLC  December 14, 2018   1,976,034    1,976,034    919,761    0.59%  
Committed Advisors Secondary Fund III  March 30, 2017   -    1,231,730    1,612,653    1.04%  
Content Management Live, LLC  December 17, 2019   298,200    298,200    120,000    0.08%  
Cottonwood Residential II, Inc.  June 12, 2019   157,812    2,746,577    3,378,755    2.18%  
CRC Bond Opportunity Trading Fund LP  June 7, 2019   -    2,500,000    2,998,619    1.93%  
Cygnus Property Fund V, LLC  October 30, 2018   -    1,758,306    2,842,114    1.83%  
Dog Wood Park of Northeast Florida, LLC  March 21, 2017   439,716    382,000    755,484    0.49%  
DSI Digital, LLC - Convertible Note, 8.00%, 3/23/2023  March 24, 2021   150,000    150,000    150,000    0.10%  
DSI Digital, LLC - Series A Convertible Preferred Units  November 29, 2017   5,791,621    8,560,000    16,864,225    10.87%  
EJF Sidecar Fund, Series LLC - Small Financial Equities Series  October 25, 2017   -    876,036    900,319    0.58%  
EJF Trust Preferred Fund LP  August 23, 2017   -    579,861    714,739    0.46%  

 

7 

 

 

EJF Trust Preferred Master Fund LP, 16.00%, 4/16/2022  April 16, 2020   71,276    71,276    71,276    0.05%
GigaPro, Inc. - Common Units  August 8, 2019   8,800,000    2,758,800    9,172,932    5.91%
GigaPro, Inc. - Convertible Note, 12.00%, 10/1/2022  October 2, 2020   2,500,000    2,500,000    2,500,000    1.61%
GigaPro, Inc. - Series Seed-1 Preferred Units  August 5, 2020   309,150    458,000    447,423    0.29%
GigaPro, Inc. - Series Seed-2 Preferred Units  July 15, 2020   1,288,103    1,526,647    1,864,232    1.20%
GPB Automotive Portfolio LP  March 13, 2015   10    500,000    113,142    0.07%
Gravity Ranch Fund I LP  June 13, 2017   -    500,000    67,065    0.04%
Greenspring Opportunities V LP  January 18, 2018   -    604,500    727,498    0.47%
Harbert Seniors Housing Fund I LP  February 24, 2017   -    1,186,165    1,440,249    0.93%
Harbert Seniors Housing Fund II LP  September 10, 2019   -    1,336,101    1,176,186    0.76%
Highlands REIT, Inc.  April 28, 2016   136,771    34,827    16,960    0.01%
iCapital Millennium Fund LP  December 20, 2018   -    1,000,000    1,369,010    0.88%
Inventrust Properties Corp.  March 2, 2015   153,283    334,020    199,268    0.13%
Kayne Anderson Energy Fund VII LP  September 12, 2016   -    1,973,600    618,414    0.40%
LaGrange Senior Living, LLC - Class A Interests  September 11, 2019   1,800,000    1,800,000    1,977,774    1.27%
Level ATI HoldCo, LLC - Class A  September 10, 2018   -    1,690,000    2,800,673    1.81%
Madryn Health Partners LP  September 28, 2018   -    1,715,595    1,879,492    1.21%
Metro Diner, LLC - Series B Units  November 16, 2017   3,500,000    2,276,542    2,148,205    1.38%
Metro Diner, LLC - Series II Common Units  November 16, 2017   1,880,968    1,223,458    858,692    0.55%
Midcon Holdco Partners, LLC  December 29, 2020   182    181,858    181,858    0.12%
Park City (PCG), 10.50%, 6/1/2021  March 16, 2018   679,962    625,565    679,962    0.44%
Phillips Edison & Company, Inc.  February 3, 2016   3,330    24,639    20,478    0.01%
PineBridge Secondary Partners IV SLP  September 19, 2017   -    1,139,683    1,286,216    0.83%
Polara Builder II, LLC  June 15, 2018   -    4,050,389    4,742,316    3.06%
PRISA III Fund LP  September 26, 2017   829    1,487,807    1,803,885    1.16%
Reef Capital Partners, LLC - Series A Preferred Units, 8.00%, 12/28/2022  December 28, 2020   7,174    6,812,923    7,173,809    4.62%
Rosebrook Opportunities Fund LP  February 2, 2017   -    1,167,567    771,174    0.50%
RRA Credit Opportunity Fund LP  December 12, 2017   -    1,508,165    1,893,457    1.22%
Schweizer RSG, LLC, Exercise Price $112.50, Expiration Date, 1/21/2028  February 6, 2018   1,442    -    1,846    0.00%
Sequin, Inc. - Convertible Note, 8.00%, 7/20/2023  July 22, 2020   2,098,889    2,098,889    2,098,889    1.35%
Sequin, Inc. - Promissory Note, 12.00%, 3/20/2024  March 31, 2021   250,000    250,000    250,000    0.16%
Sequin, Inc., Exercise Price $0.001, Expiration Date, 3/30/2026  March 31, 2021   6,410    -    -    0.00%
Shopoff Land Fund III LP  April 28, 2015   56    40,203    33,053    0.02%
Star Mountain Diversified Credit Income Fund III LP  June 20, 2019   -    2,912,966    2,961,517    1.91%
Star Mountain Diversified Small Business Access Fund II LP  June 2, 2017   -    762,784    939,740    0.61%
Stonehill Strategic Hotel Credit Opportunity Fund II LP  July 18, 2016   702,851    702,850    1,021,141    0.66%
The Work Shop Limited T/A RIP Global - Convertible Note, 12.00%, 1/20/2023  July 22, 2020   2,033,611    2,033,611    2,033,611    1.31%
Thunder Investment Partners, LLC  November 2, 2018   2,080,000    2,080,000    599,872    0.39%
Walton Street Real Estate Fund VIII LP  May 24, 2017   -    441,340    567,792    0.37%
Waratek, Ltd. - Convertible Note, 12.00%, 10/16/2022  March 25, 2019   3,191,374    3,191,374    4,289,342    2.76%
Waratek, Ltd. - Secured Note, 30.00%, 3/15/2022  March 15, 2021   504,000    504,000    504,000    0.32%
Waratek, Ltd. - Series B-1  June 5, 2018   635,838    2,990,569    2,894,965    1.87%
Waratek, Ltd. - Series B-2  December 28, 2017   756,826    3,696,940    3,905,244    2.52%

 

8 

 

Waratek, Ltd., Exercise Price 0.01 Euro, Expiration Date, 1/22/2028  June 5, 2018   646,328    -    1,175,957    0.76%
WG Pitts Caribbean, LLC - Common Units  October 12, 2018   -    426,040    -    0.00%
WG Pitts Caribbean, LLC - Promissory Note, 12.00%, 3/31/2023  August 14, 2020   2,623,158    2,197,118    1,649,049    1.06%
           $113,979,669   $143,372,215      

 

Investments in Affiliated Issuers - An affiliated issuer is an entity in which the Fund has ownership of at least 5% of the voting securities. Issuers that are affiliates of the Fund at period-end are noted in the Fund’s Schedule of Investments. Additional security purchases and the reduction of certain security shares outstanding of existing portfolio holdings that were not considered affiliated in prior years may result in the Fund owning in excess of 5% of the outstanding shares at period-end. The table below reflects transactions during the period with entities that are affiliates as of March 31, 2021 and may include acquisitions of new investments, prior year holdings that became affiliated during the period and prior period affiliated holdings that are no longer affiliated as of period-end.

 

Security Description 

Beginning

balance

January 1, 2021

 

Purchases

or Conversions

 

Sales

or Conversions

 

Change in

Unrealized

Appreciation

(Depreciation)

 

Net

Realized

Gain (Loss)

 

Tax Basis or

Return of Capital

Adjustments

  

Ending

Value

March 31, 2021

 

Investment

Income

 
Clear Guide Medical, Inc. - Series A
   Preferred Stock(1)
  $3,931,539.00  $-  $-  $-  $-  $-   $3,931,539.00  $- 
Clear Guide Medical, Inc. - Series A-2
   Preferred Stock(1)
   788,552   -   -   -   -   -    788,552   - 
Clear Guide Medical, Inc. - Series A-3
   Preferred Stock(1)
   4,283,658   -   -   -   -   -    4,283,658   - 
Clearsense, LLC - Convertible Note,
   8.00%, 10/30/2022
   1,755,000   1,500,000   -   220,609   -   -    3,475,609   20,712 
Clearsense, LLC - Class C Preferred Shares   12,420,172   -   -   -   -   -    12,420,172   - 
CM Funding, LLC(1)   713,430   100,000   -   106,331   -   -    919,761   - 
Content Management Live, LLC(1)   120,000   -   -   -   -   -    120,000   - 
Dog Wood Park of Northeast Florida, LLC   755,484   -   -   -   -   -    755,484   33,384 
DSI Digital, LLC - Convertible Note,
  8.00%, 3/23/2023(1)
   -   150,000   -   -   -   -    150,000   - 
DSI Digital, LLC - Series A Convertible
   Preferred Units(1)
   15,511,352   1,000,000   -   352,873   -   -    16,864,225   - 
GigaPro, Inc. - Convertible Note -
   12.00%, 10/1/2022(1)
   1,875,000   625,000   -   -   -   -    2,500,000   90,177 
GigaPro, Inc. - Common Units(1)   9,172,932   -   -   -   -   -    9,172,932   - 
GigaPro, Inc. - Series Seed-1
   Preferred Units (1)
   447,423   -   -   -   -   -    447,423   - 
GigaPro, Inc. - Series Seed-2
   Preferred Units (1)
   1,864,232   -   -   -   -   -    1,864,232   - 
LaGrange Senior Living, LLC -
   Class A Interests(1)
   1,977,774   -   -   -   -   -    1,977,774   53,260 
Level ATI HoldCo, LLC - Class A(1)   2,800,673   -   -   -   -   -    2,800,673   - 
Park City (PCG), 10.50%, 6/1/2021   679,962   -   -   -   -   -    679,962   79,896 
Polara Builder II, LLC(1)   4,742,316   -   -   -   -   -    4,742,316   99,873 
Rosebrook Opportunities Fund LP(1)   771,174   -   -   -   -   -    771,174   - 
RRA Credit Opportunity Fund LP   1,940,879   -   -   -   -   (47,422)   1,893,457   - 
Thunder Investment Partners, LLC(1)   599,872   -   -   -   -   -    599,872   - 
Waratek, Ltd. - Series B-1   3,013,984   -   -   (119,019)  -   -    2,894,965   - 
Waratek, Ltd. - Series B-2   4,065,792   -   -   (160,548)  -   -    3,905,244   - 
Waratek, Ltd. - Convertible Note,
   12.00%, 10/16/2022
   4,289,342   -   -   -   -   -    4,289,342   - 
Waratek, Ltd. - Secured Note,
   30.00%, 3/15/2022
   -   504,000   -   -   -   -    504,000   - 
Waratek, Ltd., Exercise Price 0.01 Euro,    Expiration Date 01/22/2028   1,224,302   -   -   (48,345)  -   -    1,175,957   - 
WG Pitts Caribbean, LLC - Common
   Units(1)
   -   -   -   -   -   -    -   - 
WG Pitts Caribbean, LLC - Promissory
   Note, 12.00%, 3/31/2023(1)
   1,649,049   -   -   -   -   -    1,649,049   121,600 
   $81,393,893  $3,879,000  $-  $351,901  $-  $(47,422)  $85,577,372  $498,902 

 

(1)Affliated investments for which ownership exceeds 25% of the Investment Fund's Capital.

9