0001398344-18-014647.txt : 20181009 0001398344-18-014647.hdr.sgml : 20181009 20181009113900 ACCESSION NUMBER: 0001398344-18-014647 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 13 CONFORMED PERIOD OF REPORT: 20180731 FILED AS OF DATE: 20181009 DATE AS OF CHANGE: 20181009 EFFECTIVENESS DATE: 20181009 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Palmer Square Opportunistic Income Fund CENTRAL INDEX KEY: 0001608016 IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-22969 FILM NUMBER: 181112867 BUSINESS ADDRESS: STREET 1: 2000 SHAWNEE MISSION PARKWAY, SUITE 300 CITY: MISSION WOODS STATE: KS ZIP: 66205 BUSINESS PHONE: 888-870-3088 MAIL ADDRESS: STREET 1: 2000 SHAWNEE MISSION PARKWAY, SUITE 300 CITY: MISSION WOODS STATE: KS ZIP: 66205 FORMER COMPANY: FORMER CONFORMED NAME: Montage Managers Trust DATE OF NAME CHANGE: 20140513 N-CSR 1 fp0036172_ncsr.htm

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

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number 811-22969

 

PALMER SQUARE OPPORTUNISTIC INCOME FUND
(Exact name of registrant as specified in charter)

 

2000 Shawnee Mission Parkway Suite 300

Mission Woods, KS 66205
(Address of principal executive offices) (Zip code)

 

Scott Betz

Chief Compliance Officer

2000 Shawnee Mission Parkway Suite 300

Mission Woods, KS 66205
(Name and address of agent for service)

 

(816) 994-3200

Registrant's telephone number, including area code

 

Date of fiscal year end: July 31

 

Date of reporting period: July 31, 2018

 

 

 

Item 1. Report to Stockholders.

 

 

Palmer Square Opportunistic Income Fund

 

(PSOIX)

 

ANNUAL REPORT

JULY 31, 2018

 

 

Palmer Square Opportunistic Income Fund

 

Table of Contents

 

Letter to Shareholders 1
Fund Performance 10
Schedule of Investments 12
Statement of Assets and Liabilities 27
Statement of Operations 29
Statements of Changes in Net Assets 30
Financial Highlights 31
Notes to Financial Statements 32
Report of Independent Registered Public Accounting Firm 46
Supplemental Information 47
Expense Example 48

 

This report and the financial statements contained herein are provided for the general information of the shareholders of the Palmer Square Opportunistic Income Fund. This report is not authorized for distribution to prospective investors in the Fund unless preceded or accompanied by an effective prospectus.

 

www.palmersquarefunds.com

 

 

 

 

 

Palmer Square Opportunistic Income Fund (PSOIX)

 

 

 

July 2018

 

As a refresher, the Palmer Square Opportunistic Income Fund (the “Fund”) seeks to not only capture a high level of current income, but also long-term capital appreciation by investing with a flexible mandate to find the best relative value opportunities across corporate credit and structured credit.

 

Performance Overview

 

Palmer Square is pleased to report that the Fund returned 5.40% (net of fees) for the fiscal year-ending 7/31/2018. While we are pleased with the continued strong performance, we are equally excited to share our outlook and why we believe the Fund is well-positioned.

 

Investment return and principal value will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance information quoted. To obtain performance information current to the most recent month-end please call 866-933-9033.

 

Portfolio Snapshot

 

Please refer to the table below for a portfolio snapshot as of 7/31/2018.

 

Interest Rate Duration 0.28 yrs
Spread Duration 1.23 yrs
Yield to Expected Call 6.22%
Yield to Maturity 7.25%
Current Yield 6.85%
Beta vs. S&P 500 0.31
Beta vs. Bloomberg Barclays U.S. Aggregate Bond Index -0.11

 

Past performance does not guarantee future results.

 

Competitive Advantage and Risk Management

 

We believe we have achieved solid performance as a result of our deep expertise in analyzing corporate credit (i.e., bonds and loans) and structured credit and being allocated more heavily to areas which offer compelling relative value such as collateralized loan obligation (“CLO”) debt and bank loans. As of 7/31/2018, we also have smaller allocations to high yield bonds as well as asset-backed securities (“ABS”)/mortgage-backed securities (“MBS”). Our goal is to be able to take advantage of our best ideas, provide clients with access to an expanded set of credit opportunities, and potentially generate strong risk- adjusted returns for our clients.

 

Risk management and detailed scenario analyses are key pieces of our investment process. Today, we believe the Fund’s positioning is particularly noteworthy given our conservative positioning relative to other times throughout the Fund’s history:

 

Interest rate duration* is 0.28 years, which we believe positions the Fund to potentially  benefit should rates rise.

 

*Interest Rate Duration measures a portfolio’s sensitivity to changes in interest rates.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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Spread duration (i.e., generally owns shorter weighted-average life bonds) is 1.23 years, which we believe should better insulate the Fund from risk-off environments*. Please note that the Fund historically has had significantly greater spread duration (e.g., approximately 4-5 years of spread duration in late 2015/early 2016). Please see below. We are positioned as defensively today as we have been, but given the relatively flat yield curve, we believe we aren’t sacrificing significant return.

 

(LINE GRAPH)

 

Source: Palmer Square as of 6/29/2018. From 3Q2014 to 2Q2016, bond durations are to-maturity. From 3Q2016 to present, bond durations run to reinvestment end + 12 months.

 

Corporate sector diversification (the Fund’s largest sector exposure is approximately 11%) should help insulate the Fund from impairments. Please see the Moody’s industry diversification graph below.

 

Moody’s Industry Diversification as % of NAV for the Fund

 

(PIE CHART)

 

Source: Palmer Square and Moody’s as of 6/30/2018.

 

*Risk-on risk-off is an investment setting in which price behavior responds to and is driven by changes in investor risk tolerance.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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Summary on Attribution, Positioning and Outlook

 

Fund Allocation/Attribution:

 

The Fund’s allocations to CLO debt have been the major driver of attribution for the year ending 7/31/2018. More specifically, CLO debt contributed approximately 6.20%. The Fund continues to have low interest rate duration, which positions the Fund to benefit should interest rates continue to rise.

 

Allocation and Gross Attribution

 

 

9/30/2017

Allocation

12/31/2017

Allocation

3/31/2018

Allocation

7/31/2018

Allocation

8/1/2017 to 7/31/2018 Attribution
CLO Debt 87% 84% 79% 82% 6.20%
ABS/MBS 7% 7% 4% 1% 0.27%
Bank Debt 2% 3% 3% 7% 0.23%
IG Corp Debt 0% 0% 5% 0% 0.01%
High Yield Credit 2% 2% 5% 3% 0.21%
Cash 3% 5% 5% 7%  

 

Investment Grade (“IG”). Please note allocation and attribution above is a % of NAV and does not include hedges. Gross attribution does not include hedges, expenses and fees if applicable. Investment return and principal value will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance information quoted. Attribution refers to the process of measuring returns generated by various sources.

 

2018 Fund Outlook and Positioning:

 

Below, we describe three key areas of investment positioning:

 

Area #1) CLO Debt Allocation Has Offered High Income and Floating Rate

 

Despite generally being such low spread duration securities, the CLO debt allocation has been offering 5%-10% yields.

 

Given how seasoned these bonds are (i.e., short spread duration vintages/shorter maturities) and given the high demand for high-quality, floating rate debt, we also believe this portion of the Fund will be less susceptible to volatility.

 

To put this relative value into perspective, we provide a yield/default rate perspective below.

 

Sector Yield Historical Average Annual Default Rate
CLO AAA 3.86% 0.00%
CLO AA 4.33% 0.00%
CLO A 4.80% 0.03%
CLO BBB 5.72% 0.13%
CLO BB 8.41% 0.47%
CLO B 10.45% 2.59%
Floating Rate Bank Loan BB/B 6.15% 3.20%
High Yield 6.44% 3.00%

 

Source: CLO yields from JP Morgan CLOIE Index; CLO average annual default rates from Moodys 2000-2014; Floating Rate Bank Loan BB/B (JLYMSBB) yields and default rates from JP Morgan 1998-2017; High Yield yield from BAML and default rates from JPM 1982-2017. As of 6/29/2018.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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As far as Fund changes this past quarter, we moved slightly higher in credit quality adding 7% to BBB-rated debt and decreasing BB-rated debt by 1.5%. In particular, we invested in BBB-rated bonds that not only offer high comparable yields, but also are short-dated. Please note that we believe our CLO debt allocation today is conservative and should volatility increase, we believe we will have an opportunity to go on the offensive and buy more discounted BBB and BB-rated CLO bonds.

 

Area #2) Bank Loan/High Yield Allocation Remains Low

 

We carry a relatively low portfolio weighting to high yield bonds (approximately 3%) given their fixed rate exposure, unsecured status, and generally, a lack of relative value. We have also maintained a lower weighting to bank loans although we have remained relatively constructive on bank loans. Bank loans are floating rate, typically carry a first lien on a company’s assets, and offer solid yield. We continue to seek out attractive first and second lien bank loan opportunities.

 

  HY cash prices have moved down sharply YTD, driven by both higher rates and spread widening

 

 

 
 

 

Source: LSTA/LCD, ICE BAML Indices as of 6/29/2018.

 

Area #3) ABS/MBS Allocation Provides Diversification and Income Capture

 

We believe our focus on ABS/MBS securities with low spread duration and floating rate coupon not only allowed us to withstand the impact of rising interest rates during the quarter, but also was geared to provide incremental income following the Fed’s rate hike in December 2017. During the 1st and 2nd quarter, given relative value changes (i.e., our thesis played out and other areas of credit appear more attractive), we reduced our allocation to ABS/MBS, with the bulk of the reduction coming from non-agency residential mortgage-backed securities (“RMBS”).

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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Performance Summary

 

The Fund returned 5.40% (net of fees) for the fiscal year-ending 7/31/2018.

 

Fund Performance Net of Fees as of 7/31/2018 (inception 8/29/2014*)

 

  Q2 2018 YTD 2018 2017 2016 2015 2014* 1 Year 3 Years Since Inception Annualized
PSOIX 1.12% 2.14% 11.04% 12.10% -5.32% -0.76% 5.40% 4.80% 4.64%
Bloomberg Barclays U.S. Aggregate Bond Index -0.16% -1.59% 3.54% 2.65% 0.57% 1.10% -0.80% 1.49% 1.58%
Excess Return 1.28% 3.73% 7.50% 9.44% -5.89% -1.86% 6.20% 3.31% 3.06%

 

Annual Expense Ratio: Gross 1.81%/Net 1.54%. The Fund’s advisor has contractually agreed to waive or reduce its management fees and/or reimburse expenses of the Fund to ensure that total annual Fund operating expenses (excluding taxes, leverage interest, brokerage commissions, dividend and interest expenses on short sales, acquired fund fees and expenses, expenses incurred in connection with any merger or reorganization, and extraordinary expenses such as litigation expenses) do not exceed 1.50% of the Fund’s average daily net assets. This agreement is in effect until December 1, 2018, and it may be terminated before that date only by the Fund’s Board of Trustees. The Fund’s advisor is permitted to seek reimbursement from the Fund, subject to certain limitations, of fees waived or payments made to the Fund for a period of three years from the date of the waiver or payment The performance data quoted represents past performance and that past performance does not guarantee future results. Investment return and principal value will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance information quoted. To obtain performance information current to the most recent month-end please call 866-933-9033.

 

2018 Credit Market Overview

 

1) The Yield Curve and What is Happening with Floating Rate reference rates such as LIBOR?

 

As we describe earlier, Palmer Square is positioned with low interest rate duration and low spread duration. In typical markets, this type of conservative positioning would mean that we would have sacrificed meaningful yield. Not so. To put this into perspective, please see the below chart which outlines different rates as of 7/31/2018. The yield curve continues to be relatively flat. For illustration purposes, we also included the yield curve as of 1/3/2017.

 

 
 
Source: Bloomberg as of 7/31/2018.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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Why has LIBOR risen to this level?

 

1.First, the Fed is now raising rates in a material way. In June, the Fed raised the Fed Funds Rate from 1.75% to 2.00%, and stated it is looking to raise rates two additional times in 2018. 90-day LIBOR has historically tracked the Fed Funds rate. Please see below for a comparison (including commercial Paper 90-day yields).

 

(Graphic)

Source: Bloomberg.

 

2.Second, there has been a dramatic increase in Treasury Bill issuance since the debt ceiling was lifted.

 

3.Finally, in the wake of tax changes, U.S. companies are repatriating cash that previously may have been invested in commercial and bank paper. As demand dwindles, rates rise.

 

For Palmer Square, this is a unique circumstance as our portfolios are already positioned significantly in floating rate debt. We anticipate that portfolio yields will continue to rise in concert with what is going on not only with the Fed, but also LIBOR, in general.

 

2) What Are the Most Notable Risks to Today’s Credit Environment?

 

Rising Interest Rates Pressure Fixed Rate Bond Prices – While we aren’t concerned about interest rate risk in our portfolios given our positioning around floating rate and/or short-dated debt, we do see it as a potential concern for fixed income markets broadly as it unnerves investors and markets generally. Investors do not expect negative returns in their fixed income allocations. That is what occurred in Q1 2018 and year-to-date with the Bloomberg Barclays U.S. Aggregate Bond Index at -1.46% and -1.59%, respectively.

 

As far as Palmer Square’s philosophy on interest rates, we believe investors are not getting paid enough to take material interest rate risk. Further, we believe that diversification and capital preservation during periods of rising rates within a fixed income portfolio is important and that an expanded set of credit opportunities exists for investors to exploit such as the tools we utilized for this Fund. As such, we maintain minimal interest rate duration and have focused on many areas of floating rate debt and/ or short-dated debt. With short-term yields up, we have benefited from this positioning.

 

Bond Price Volatility Due to Market Sentiment – Valuations in certain areas of credit have become more stretched and risks are still present (e.g., rising interest rates, economic slowdown, Fed policy, geopolitical tensions, trade war, ECB policy changes, etc.). In addition, we believe we have been in a period of low volatility characterized by a high Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com degree of complacency. While it is difficult to cite a specific catalyst for a pullback, given the strong economic backdrop and credit picture we described earlier, we believe it is still prudent to manage these ‘unknown unknowns’.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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As far as how Palmer Square has positioned the portfolios to have less sensitivity to sell-offs, we have an important risk management tool at our disposal which is spread duration. Today, we have low spread duration and believe we are positioned conservatively. With the portfolio shortening, we believe we have decreased the Fund’s susceptibility to volatility from spread widening risk (as described herein, please note that we already had low interest rate duration). While we believe we are relatively defensively positioned given our low interest rate duration, low spread duration, and underlying portfolio, given the credit curve is relatively flat, we have not had to sacrifice significant yield and total return. In essence, owning longer-dated bonds ultimately would not have a material impact to the Fund’s yield and total return profile.

 

3) Have Credit Metrics Deteriorated?

 

In presenting any type of credit market overview, it is important to discuss, what we believe, a credit investor’s biggest concern: what will default rates look like going forward? While there are a fair number of important metrics that point to a relatively low default environment, such as the U.S. macroeconomic picture and robust interest coverage ratios, there are also some cracks in the pavement especially in certain industries such as retail.

 

Let’s start with the positive data points. The U.S. macroeconomic picture is continuing to trend in a positive fashion. Corporate earnings have also been stable to improving. ISM data have been encouraging. Consumer confidence also remains at record high levels. In general, we have witnessed synchronized global growth. In summary, macroeconomic conditions are supportive of companies paying back debt.

 

In addition, we also perform bottom-up analysis when looking at prospective default rates. While net leverage for both investment grade and high yield companies has risen, interest coverage ratios are generally still at median or better levels suggesting companies can sufficiently service their debtloads. It is important to remember that companies have raised a lot of debt; however, they have done so at historically low interest rates while also typically extending maturities. Please see the below two bar graphs provided by Morgan Stanley which outline interest coverage for both investment grade and high yield:

 

Interest Coverage Ticks Lower as Debt Grows and Financing Costs Rise   HY Interest Coverage Ticks Higher Again
     
(Graphic)   (Graphic)

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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That being said, negative catalysts still exist and we believe underwriting discipline is paramount in this environment. Palmer Square remains focused on many potential negative catalysts which could increase defaults such as rising interest costs and how that affects borrowers; the swollen level of BBB-rated credits that now dominate the investment grade space and the respective susceptibility to downgrades, and finally, certain industries which are in secular decline (e.g., retail is the classic case).

 

In summary, while there are always risks in credit that need to be understood and managed and many areas of credit no longer seem cheap, we believe our positioning across U.S. corporate and structured credit and most notably, floating rate credit, will continue to perform well. Further, we believe we manage a higher quality portfolio which could serve as currency to trade into higher-return, opportunistic situations (should a sell-off ensue).

 

Summary

 

Given the Fund positioning, we are confident in the outlook moving forward. We believe our Fund is embedded with strong catalysts that will not only drive returns, but will also help mitigate volatility. More specifically, the Fund has high carry/income (which has benefited even more with LIBOR rates increasing), optionality we can capture to generate price appreciation, and finally the Fund has low interest rate and spread duration.

 

Please do not hesitate to contact us at investorrelations@palmersquarecap.com or 816-994- 3200 should you desire more information. We would also be happy to set up a call and/or meeting at your convenience.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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Notes and Disclosure

 

This overview is for informational and comparative purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any interests in the Palmer Square Opportunistic Income Fund, the (“Fund”), and/or any other securities, or to provide any other advisory services. Any offer to invest in the funds will be made pursuant to the Fund’s prospectus, which will contain material information not contained herein and to which prospective investors are directed. Before investing, you should carefully read such materials in their entirety. This overview is not intended to replace such materials, and any information herein should not be relied upon for the purposes of investing in the Funds or for any other purpose. This overview is a summary and does not purport to be complete.

 

The Palmer Square Opportunistic Income Fund is a closed-end fund.

 

Interest Rate Duration measures a portfolio’s sensitivity to changes in interest rates. Spread Duration measures the sensitivity of a bond price based on basis point changes of more than 100. Yield To Call is the yield of a bond or note if you were to buy and hold the security until the call date. Yield To Maturity is the rate of return anticipated on a bond if held until the end of its lifetime. Current Yield is annual income divided by price paid. Beta describes an investment’s volatility in relation to that of the stock or bond market as a whole. For example, the S&P 500 is typically considered to be “the equity market” and it has a beta of 1.0.

 

The allocation and credit quality distribution figures shown are used for illustrative purposes only. Palmer Square does not guarantee to execute that allocation and credit quality distribution. Allocation and exposures information, as well as other referenced categorizations, reflect classifications determined by Palmer Square as well as certain Palmer Square assumptions based on estimated portfolio characteristic information. Allocation and credit quality distribution figures may not sum to 100%. Ratings listed herein are assigned by Standard & Poor’s (S&P) and Moody’s Investor Service (Moody’s). Credit quality ratings are measured on a scale with S&P’s credit quality ratings ranging from AAA (highest) to D (lowest) and Moody’s credit quality ratings ranging from Aaa (highest) to C (lowest). We use the higher of the two ratings. Credit ratings listed are subject to change. Please contact Palmer Square for more information.

 

Market opportunities and/or yields shown are for illustration purposes only and are subject to change without notice. Palmer Square does not represent that these or any other strategy/opportunity will prove to be profitable or that the Fund’s investment objective will be met.

 

This material represents an assessment of the market environment at a specific point in time, is subject to change without notice, and should not be relied upon by the reader as research or investment advice. With regard to sources of information, certain of the economic and market information contained herein has been obtained from published sources and/or prepared by third parties. While such sources are believed to be reliable, Palmer Square or their respective affiliates, employees, or representatives do not assume any responsibility for the accuracy of such information. Palmer Square is under no obligation to verify its accuracy.

 

The Bloomberg Barclays U.S. Aggregate Bond Index is an unmanaged index of publicly issued investment grade corporate, US Treasury and government agency securities with remaining maturities of one to three years. The S&P 500 Index is a market-value weighted index provided by Standard & Poor’s comprised of 500 stocks chosen for market size and industry group representation. Unlike mutual funds, indices are not managed and do not incur fees or expenses. It is not possible to invest directly in an index.

 

The performance presented here is past performance and not indicative of future returns. Different types of investments involve varying degrees of risk and there can be no assurance that any specific investment will be profitable. Please note that the performance of the funds may not be comparable to the performance of any index shown. Palmer Square has not verified, and is under no obligation to verify, the accuracy of these returns. Past performance does not guarantee future results.

 

The risks of an investment in a collateralized debt obligation depend largely on the type of the collateral securities and the class of the debt obligation in which the Fund invests. Collateralized debt obligations are generally subject to credit, interest rate, valuation, prepayment and extension risks. These securities are also subject to risk of default on the underlying asset, particularly during periods of economic downturn. Defaults, downgrades, or perceived declines in creditworthiness of an issuer or guarantor of a debt security held by the Fund, or a counterparty to a financial contract with the Fund, can affect the value of the Fund’s portfolio. Credit loss can vary depending on subordinated securities and non-subordinated securities. If interest rates fall, an issuer may exercise its right to prepay their securities. If this happens, the Fund will not benefit from the rise in market price, and will reinvest prepayment proceeds at a later time. The Fund may lose any premium it paid on the security. If interest rates rise, repayments of fixed income securities may occur more slowly than anticipated by the market which may result in driving the prices of these securities down. The Fund is “non-diversified,” meaning the Fund may invest a larger percentage of its assets in the securities of a smaller number of issuers than a diversified fund. Investment in securities of a limited number of issuers exposes the Fund to greater market risk and potential losses than if its assets were diversified among the securities of a greater number of issuers. Foreign investments present additional risk due to currency fluctuations, economic and political factors, government regulations, differences in accounting standards and other factors. Investments in emerging markets involve even greater risks. High yield securities, commonly referred to as “junk bonds,” are rated below investment grade by at least one of Moody’s, S&P or Fitch (or if unrated, determined by the Fund’s advisor to be of comparable credit quality high yield securities). The Fund is new and has a limited history of operations.

 

The Palmer Square Opportunistic Income Fund is distributed by Foreside Fund Services LLC.

 

Palmer Square Capital Management LLC (“Palmer Square”) is an SEC registered investment adviser with its principal place of business in the State of Kansas. Registration of an investment adviser does not imply a certain level of skill or training. Palmer Square and its representatives are in compliance with the current registration and notice filing requirements imposed upon registered investment advisers by those states in which Palmer Square maintains clients. Palmer Square may only transact business in those states in which it is notice filed, or qualifies for an exemption or exclusion from notice filing requirements. Any subsequent, direct communication by Palmer Square with a prospective client shall be conducted by a representative that is either registered or qualifies for an exemption or exclusion from registration in the state where the prospective client resides. For additional information about Palmer Square, including fees and services, send for our disclosure statement as set forth on Form ADV using the contact information herein or refer to the Investment Adviser Public Disclosure web site (www.adviserinfo.sec.gov). Please read the disclosure statement carefully before you invest or send money.

 

This material must be preceded or accompanied by a prospectus. Please read the prospectus carefully before investing. For a prospectus, or summary prospectus, that contains this and other information about the Funds, call 866-933-9033 or visit our website at www.palmersquarefunds.com. Please read the prospectus, or summary prospectus carefully before investing.

 

 

 

Palmer Square Capital Management LLC 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205 www.palmersquarefunds.com

 

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Palmer Square Opportunistic Income Fund

FUND PERFORMANCE at July 31, 2018 (Unaudited)

This graph compares a hypothetical $250,000 investment in the Fund’s shares, made at its inception, with a similar investment in the Bloomberg Barclays US Aggregate Bond Index. Results include the reinvestment of all dividends and capital gains.

The Bloomberg Barclays US Aggregate Bond Index is an unmanaged index of publicly issued investment grade corporate, US Treasury and government agency securities with remaining maturities of one to three years. The index does not reflect expenses, fees or sales charge, which would lower performance. The index is unmanaged and it is not possible to invest in an index.

 

Average Annual Total Return as of July 31, 2018

1 Year

3 Years

Since

Inception

Inception

Date

Palmer Square Opportunistic Income Fund 5.40% 4.80% 4.64% 8/29/14
Bloomberg Barclays US Aggregate Bond Index -0.80% 1.49% 1.58% 8/29/14

 

The performance data quoted here represents past performance and past performance is not a guarantee of future results. Investment return and principal value will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance information quoted. The most recent month end performance may be obtained by calling (866) 933-9033.

 

Gross and net expense ratios for the Fund were 1.81% and 1.54%, respectively, which were the amounts stated in the current prospectus dated December 1, 2017. For the Fund’s current one year expense ratios, please refer to the Financial Highlights Section of this report. The Advisor has contractually agreed to waive or reduce its fee and/or to absorb other operating expenses (excluding taxes, leverage interest, brokerage commissions, dividend and interest expenses on short sales, acquired fund fees and expenses, expenses incurred in connection with any merger or reorganization, and extraordinary expenses such as litigation expenses) do not exceed 1.50% of the Fund’s average daily net assets. In the absence of such waivers, the Fund’s returns would have been lower. This agreement is in effect until December 1, 2018, and it may be terminated before that day only by the Fund’s Board of Trustees.

 

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Palmer Square Opportunistic Income Fund

FUND PERFORMANCE at July 31, 2018 (Unaudited) - Continued

Returns reflect the reinvestment of distributions made by the Fund, if any. The graph and the performance table above do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bank Loans – 7.1%    
$649,822   Altisource Sarl
6.334% (US LIBOR+400 basis points), 4/3/20241,2,3,4,5
  $646,709 
 650,000   AssuredPartners, Inc.
5.344% (US LIBOR+325 basis points), 10/22/20241,2,4,5
   651,544 
 275,000   Asurion LLC
8.577% (US LIBOR+650 basis points), 8/4/20251,2,4
   279,469 
 227,146   Careerbuilder LLC
9.084% (US LIBOR+675 basis points), 7/31/20231,2,4
   227,785 
 393,085   Ditech Holding Corp.
8.077% (US LIBOR+375 basis points), 6/30/20221,4
   375,148 
 150,000   Energy Acquisition Co., Inc.
6.589% (US LIBOR+425 basis points), 6/26/20251,2,4
   150,375 
 300,000   Flex Acquisition Co., Inc.
5.751% (US LIBOR+325 basis points), 6/22/20251,2,4
   300,234 
 250,000   Idera, Inc.
11.080% (US LIBOR+900 basis points), 6/29/20251,2,4
   253,125 
 300,000   Infoblox, Inc.
10.827% (US LIBOR+875 basis points), 11/7/20241,2,4
   301,350 
 650,000   Isagenix International LLC
8.084% (US LIBOR+575 basis points), 6/14/20251,2,4
   653,250 
 325,000   Janus International Group LLC
9.827% (US LIBOR+775 basis points), 2/15/20261,2,4
   320,125 
 650,000   LifeScan Global Corp.
6.000% (US LIBOR+600 basis points), 6/19/20241,2,4,5
   633,750 
 225,000   Mayfield Agency Borrower, Inc.
10.577% (US LIBOR+850 basis points), 2/28/20261,2,4
   223,313 
 300,000   McAfee LLC
10.468% (US LIBOR+850 basis points), 9/28/20251,2,4
   307,875 
 299,194   Murray Energy Corp.
9.344% (US LIBOR+725 basis points), 4/16/20201,2,4,5
   281,055 
 299,917   Neustar, Inc.
10.077% (US LIBOR+800 basis points), 8/8/20251,2,4
   292,920 
 325,000   Quest Software U.S. Holdings, Inc.
10.576% (US LIBOR+825 basis points), 5/18/20261,2,4
   324,392 
 156,250   Red Ventures LLC
10.077% (US LIBOR+800 basis points), 11/8/20251,2,4,6
   160,156 
 300,000   Renaissance Holdings Corp.
9.334% (US LIBOR+700 basis points), 5/29/20261,2,4
   299,250 
 425,000   Rodan & Fields LLC
6.072% (US LIBOR+400 basis points), 6/7/20251,2,4
   428,587 
 825,000   Sally Holdings LLC
4.500%, 7/5/20242,4
   786,497 
 648,375   U.S. Silica Co.
6.125% (US LIBOR+400 basis points), 5/1/20251,4
   649,390 

 

12 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bank Loans (Continued)    
$625,000   Vistra Operations Co. LLC
4.057% (US LIBOR+200 basis points), 12/1/20251,2,4
  $624,297 
 400,080   Windstream Services LLC
5.240% (US LIBOR+400 basis points), 3/30/20211,2,4
   377,875 
           
     Total Bank Loans (Cost $9,518,971)   9,548,471 
           
     Bonds – 89.0%     
     Asset-Backed Securities – 82.1%     
 1,250,000   A Voce CLO Ltd.
Series 2014-1A, Class C, 5.839% (LIBOR 3 Month+350 basis points), 7/15/20261,2,7
   1,252,000 
     ALM VII Ltd.     
 750,000   Series 2012-7A, Class CR, 6.189% (LIBOR 3 Month+385 basis points), 10/15/20281,2,7   753,150 
 1,900,000   Series 2012-7A, Class DR, 9.439% (LIBOR 3 Month+710 basis points), 10/15/20281,2,7   1,921,280 
 1,250,000   ALM VII R Ltd.
Series 2013-7RA, Class CR, 6.379% (LIBOR 3 Month+404 basis points), 10/15/20281,2,7
   1,269,375 
 1,000,000   Annisa CLO Ltd.
Series 2016-2A, Class ER, 8.348% (LIBOR 3 Month+600 basis points), 7/20/20311,2,7
   1,003,000 
 1,050,000   Apidos CLO XI
Series 2012-11A, Class DR, 6.386% (LIBOR 3 Month+405 basis points), 1/17/20281,2,7
   1,053,570 
 1,000,000   Apidos CLO XII
Series 2013-12A, Class DR, 4.939% (LIBOR 3 Month+260 basis points), 4/15/20311,2,7
   986,900 
 750,000   Apidos CLO XVI
Series 2013-16A, Class CR, 5.342% (LIBOR 3 Month+300 basis points), 1/19/20251,2,7
   750,600 
 1,350,000   Apidos CLO XVII
Series 2014-17A, Class D, 7.086% (LIBOR 3 Month+475 basis points), 4/17/20261,2,7
   1,352,025 
 750,000   Apidos CLO XVIII
Series 2014-18A, Class E, 8.347% (LIBOR 3 Month+600 basis points), 7/22/20261,2,7
   755,325 
 1,750,000   Apidos CLO XXII
Series 2015-22X, Class E, 9.598% (LIBOR 3 Month+725 basis points), 10/20/20271,2
   1,756,300 
 213,388   Applebee's Funding LLC / IHOP Funding LLC
Series 2014-1, Class A2, 4.277%, 9/5/20442,7
   211,296 

 

13 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Asset-Backed Securities (Continued)    
    Ares XLI CLO Ltd.    
$500,000   Series 2016-41A, Class D, 6.539% (LIBOR 3 Month+420 basis points), 1/15/20291,2,7  $506,850 
 1,500,000   Series 2016-41A, Class E, 9.339% (LIBOR 3 Month+700 basis points), 1/15/20291,2,7   1,543,950 
 375,000   Ares XXXIX CLO Ltd.
Series 2016-39A, Class D, 6.633% (LIBOR 3 Month+430 basis points), 7/18/20281,2,7
   380,325 
 625,000   Avery Point IV CLO Ltd.
Series 2014-1A, Class D, 5.835% (LIBOR 3 Month+350 basis points), 4/25/20261,2,7
   624,688 
     Babson CLO Ltd.     
 750,000   Series 2014-IIA, Class D, 5.936% (LIBOR 3 Month+360 basis points), 10/17/20261,2,7   751,800 
 1,000,000   Series 2014-IIA, Class E, 7.336% (LIBOR 3 Month+500 basis points), 10/17/20261,2,7   995,500 
 750,000   Series 2013-IA, Class DR, 4.898% (LIBOR 3 Month+255 basis points), 1/20/20281,2,7   745,275 
 1,250,000   Series 2017-1A, Class E, 8.333% (LIBOR 3 Month+600 basis points), 7/18/20291,2,7   1,257,375 
     Barings CLO Ltd.     
 500,000   Series 2016-3A, Class D, 9.589% (LIBOR 3 Month+725 basis points), 1/15/20281,2,7   509,100 
 1,035,000   Battalion CLO VIII Ltd.
Series 2015-8A, Class CR, 6.332% (LIBOR 3 Month+400 basis points), 7/18/20301,2,7
   1,044,729 
     Benefit Street Partners CLO II Ltd.     
 805,000   Series 2013-IIA, Class CR, 6.039% (LIBOR 3 Month+370 basis points), 7/15/20291,2,7   810,313 
 2,000,000   Series 2013-IIA, Class DR, 8.889% (LIBOR 3 Month+655 basis points), 7/15/20291,2,7   2,019,400 
 1,775,000   Benefit Street Partners CLO III Ltd.
Series 2013-IIIA, Class DR, 8.948% (LIBOR 3 Month+660 basis points), 7/20/20291,2,7
   1,788,135 
 750,000   Benefit Street Partners CLO IV Ltd.
Series 2014-IVA, Class DR, 9.598% (LIBOR 3 Month+725 basis points), 1/20/20291,2,7
   762,825 
     Benefit Street Partners CLO V-B Ltd.     
 750,000   Series 2018-5BA, Class C, 5.047% (LIBOR 3 Month+293 basis points), 4/20/20311,2,7   750,450 
 1,750,000   Series 2018-5BA, Class D, 8.067% (LIBOR 3 Month+595 basis points), 4/20/20311,2,7   1,755,425 

 

14 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Asset-Backed Securities (Continued)    
$687,000   Benefit Street Partners CLO VI Ltd.
Series 2015-VIA, Class CR, 5.783% (LIBOR 3 Month+345 basis points), 10/18/20291,2,7
  $694,694 
 1,000,000   Benefit Street Partners CLO XI
Series 2017-11A, Class E, 9.539% (LIBOR 3 Month+720 basis points), 4/15/20291,2,7
   957,600 
 1,000,000   Benefit Street Partners CLO XII Ltd.
Series 2017-12A, Class D, 8.749% (LIBOR 3 Month+641 basis points), 10/15/20301,2,7
   1,005,600 
     BlueMountain CLO Ltd.     
 500,000   Series 2013-3A, Class DR, 5.239% (LIBOR 3 Month+290 basis points), 10/29/20251,2,7   501,200 
 750,000   Series 2014-2A, Class DR, 5.348% (LIBOR 3 Month+300 basis points), 7/20/20261,2,7   751,350 
 750,000   Series 2013-1A, Class DR, 9.848% (LIBOR 3 Month+750 basis points), 1/20/20291,2,7   762,525 
 500,000   Series 2013-2A, Class DR, 5.247% (LIBOR 3 Month+290 basis points), 10/22/20301,2,7   499,400 
 1,075,000   Series 2013-2A, Class ER, 8.647% (LIBOR 3 Month+630 basis points), 10/22/20301,2,7   1,089,082 
 1,250,000   BlueMountain CLO XXII Ltd.
Series 2018-1A, Class E, 8.289% (LIBOR 3 Month+595 basis points), 7/30/20301,2,7
   1,249,875 
 500,000   Bowman Park CLO Ltd.
Series 2014-1A, Class D1R, 5.660% (LIBOR 3 Month+335 basis points), 11/23/20251,2,7
   500,500 
     Carlyle Global Market Strategies CLO Ltd.     
 500,000   Series 2014-5A, Class CR, 5.459% (LIBOR 3 Month+312 basis points), 10/16/20251,2,7   501,300 
 1,050,000   Series 2014-2RA, Class D, 7.663% (LIBOR 3 Month+535 basis points), 5/15/20311,2,7   1,029,105 
 500,000   Carlyle U.S. CLO Ltd.
Series 2016-4A, Class D, 9.248% (LIBOR 3 Month+690 basis points), 10/20/20271,2,7
   504,100 
     Catamaran CLO Ltd.     
 2,500,000   Series 2014-2A, Class C, 5.833% (LIBOR 3 Month+350 basis points), 10/18/20261,2,7   2,508,000 
 1,000,000   Series 2013-1A, Class DR, 5.137% (LIBOR 3 Month+280 basis points), 1/27/20281,2,7   995,000 
 1,000,000   Series 2016-1A, Class C, 6.183% (LIBOR 3 Month+385 basis points), 1/18/20291,2,7   1,007,100 
     CIFC Funding Ltd.     
 500,000   Series 2014-3A, Class DR, 5.497% (LIBOR 3 Month+315 basis points), 7/22/20261,2,7   501,200 

 

15 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Asset-Backed Securities (Continued)    
$1,500,000   Series 2013-4A, Class ERR, 7.536% (LIBOR 3 Month+545 basis points), 4/27/20311,2,7  $1,475,550
 625,000   Covenant Credit Partners CLO II Ltd.
Series 2014-2A, Class D, 5.986% (LIBOR 3 Month+365 basis points), 10/17/20261,2,7
   626,875 
 1,375,000   Dryden 33 Senior Loan Fund
Series 2014-33A, Class ER, 9.879% (LIBOR 3 Month+754 basis points), 10/15/20281,2,7
   1,400,575 
 850,000   Dryden 36 Senior Loan Fund
Series 2014-36A, Class ER, 10.139% (LIBOR 3 Month+780 basis points), 1/15/20281,2,7
   865,470 
     Dryden 40 Senior Loan Fund     
 500,000   Series 2015-40A, Class D, 6.013% (LIBOR 3 Month+370 basis points), 8/15/20281,2,7   501,600 
 2,000,000   Series 2015-40A, Class F, 9.713% (LIBOR 3 Month+740 basis points), 8/15/20281,2,7   2,012,800 
 1,250,000   Dryden 42 Senior Loan Fund
Series 2016-42A, Class ER, 7.889% (LIBOR 3 Month+555 basis points), 7/15/20301,2,7
   1,239,125 
 1,750,000   Dryden 43 Senior Loan Fund
Series 2016-43A, Class ER, 8.448% (LIBOR 3 Month+610 basis points), 7/20/20291,2,7
   1,758,575 
     Dryden 45 Senior Loan Fund     
 500,000   Series 2016-45A, Class D, 6.189% (LIBOR 3 Month+385 basis points), 7/15/20271,2,7   501,250 
 1,500,000   Series 2016-45A, Class E, 9.189% (LIBOR 3 Month+685 basis points), 7/15/20271,2,7   1,509,600 
 500,000   Dryden 49 Senior Loan Fund
Series 2017-49A, Class D, 5.983% (LIBOR 3 Month+365 basis points), 7/18/20301,2,7
   504,300 
 1,775,000   Dryden 50 Senior Loan Fund
Series 2017-50A, Class E, 8.599% (LIBOR 3 Month+626 basis points), 7/15/20301,2,7
   1,793,105 
 415,000   Dryden 64 CLO Ltd.
Series 2018-64A, Class F, 9.370% (LIBOR 3 Month+715 basis points), 4/18/20311,2,7
   396,823 
 1,470,000   Dryden XXV Senior Loan Fund
Series 2012-25A, Class DRR, 5.339% (LIBOR 3 Month+300 basis points), 10/15/20271,2,7
   1,471,764 
     Eaton Vance CLO Ltd.     
 1,000,000   Series 2013-1A, Class CR, 6.589% (LIBOR 3 Month+425 basis points), 1/15/20281,2,7   1,008,100 
 500,000   Series 2013-1A, Class DR, 9.939% (LIBOR 3 Month+760 basis points), 1/15/20281,2,7   512,150 

 

16 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Asset-Backed Securities (Continued)    
$355,000   Series 2015-1A, Class DR, 4.848% (LIBOR 3 Month+250 basis points), 1/20/20301,2,7  $349,285 
 500,000   Series 2015-1A, Class ER, 7.948% (LIBOR 3 Month+560 basis points), 1/20/20301,2,7   494,200 
 250,000   Emerson Park CLO Ltd.
Series 2013-1A, Class DR, 5.739% (LIBOR 3 Month+340 basis points), 7/15/20251,2,7
   250,500 
 1,000,000   Galaxy XIX CLO Ltd.
Series 2015-19A, Class D1R, 8.872% (LIBOR 3 Month+653 basis points), 7/24/20301,2,7
   1,013,400 
 2,500,000   Galaxy XV CLO Ltd.
Series 2013-15A, Class ER, 8.984% (LIBOR 3 Month+665 basis points), 10/15/20301,2,7
   2,531,750 
 550,000   Greywolf CLO III Ltd.
Series 2014-1A, Class CR, 5.547% (LIBOR 3 Month+320 basis points), 4/22/20261,2,7
   550,000 
 750,000   Greywolf CLO IV Ltd.
Series 2014-2A, Class CR, 5.736% (LIBOR 3 Month+340 basis points), 1/17/20271,2,7
   751,425 
 1,125,000   Highbridge Loan Management Ltd.
Series 2013-2A, Class DR, 8.948% (LIBOR 3 Month+660 basis points), 10/20/20291,2,7
   1,158,300 
 1,000,000   Jamestown CLO III Ltd.
Series 2013-3A, Class C, 5.639% (LIBOR 3 Month+330 basis points), 1/15/20261,2,7
   1,002,300 
 1,750,000   LCM XV LP
Series 15A, Class ER, 8.859% (LIBOR 3 Month+650 basis points), 7/20/20301,2,7
   1,778,700 
 345,000   Limerock CLO III LLC
Series 2014-3A, Class C, 5.948% (LIBOR 3 Month+360 basis points), 10/20/20261,2,7
   345,380 
 675,000   Madison Park Funding XI Ltd.
Series 2013-11A, Class DR, 5.597% (LIBOR 3 Month+325 basis points), 7/23/20291,2,7
   676,823 
 500,000   Madison Park Funding XIV Ltd.
Series 2014-14A, Class DR, 5.598% (LIBOR 3 Month+325 basis points), 7/20/20261,2,7
   498,200 
     Madison Park Funding XIX Ltd.     
 1,750,000   Series 2015-19A, Class CR, 4.497% (LIBOR 3 Month+215 basis points), 1/22/20281,2,7   1,749,125 
 1,460,000   Series 2015-19A, Class DR, 6.697% (LIBOR 3 Month+435 basis points), 1/22/20281,2,7   1,461,460 

 

17 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Asset-Backed Securities (Continued)    
$1,500,000   Madison Park Funding XV Ltd.
Series 2014-15A, Class DR, 7.777% (LIBOR 3 Month+544 basis points), 1/27/20261,2,7
  $1,503,750 
 625,000   Madison Park Funding XVI Ltd.
Series 2015-16A, Class C, 6.048% (LIBOR 3 Month+370 basis points), 4/20/20261,2,7
   628,250 
 1,000,000   Madison Park Funding XVII Ltd.
Series 2015-17A, Class ER, 8.847% (LIBOR 3 Month+650 basis points), 7/21/20301,2,7
   1,020,000 
 750,000   Madison Park Funding XXII Ltd.
Series 2016-22A, Class E, 8.985% (LIBOR 3 Month+665 basis points), 10/25/20291,2,7
   757,275 
 1,750,000   Madison Park Funding XXX Ltd.
Series 2018-30A, Class D, 4.839% (LIBOR 3 Month+250 basis points), 4/15/20291,2,7
   1,720,600 
 750,000   Magnetite IX Ltd.
Series 2014-9A, Class CR, 5.435% (LIBOR 3 Month+310 basis points), 7/25/20261,2,7
   750,900 
     Mountain View CLO LLC     
 625,000   Series 2016-1A, Class D, 6.339% (LIBOR 3 Month+400 basis points), 1/14/20291,2,7   629,875 
 875,000   Series 2016-1A, Class E, 9.339% (LIBOR 3 Month+700 basis points), 1/14/20291,2,7   888,650 
 1,050,000   Neuberger Berman CLO XIV Ltd.
Series 2013-14A, Class DR, 5.989% (LIBOR 3 Month+365 basis points), 1/28/20301,2,7
   1,057,245 
 2,250,000   Neuberger Berman CLO XVII Ltd.
Series 2014-17A, Class ER, 8.897% (LIBOR 3 Month+655 basis points), 4/22/20291,2,7
   2,285,550 
 1,125,000   Octagon Investment Partners 29 Ltd.
Series 2016-1A, Class E, 8.892% (LIBOR 3 Month+655 basis points), 1/24/20281,2,7
   1,140,637 
     Octagon Investment Partners XIV Ltd.     
 750,000   Series 2012-1A, Class CR, 6.339% (LIBOR 3 Month+400 basis points), 7/15/20291,2,7   758,175 
 1,000,000   Series 2012-1A, Class DR, 9.489% (LIBOR 3 Month+715 basis points), 7/15/20291,2,7   1,027,400 
     OZLM VI Ltd.     
 1,250,000   Series 2014-6A, Class CS, 5.466% (LIBOR 3 Month+313 basis points), 4/17/20311,2,7   1,251,500 
 850,000   Series 2014-6A, Class DS, 8.386% (LIBOR 3 Month+605 basis points), 4/17/20311,2,7   849,915 

 

18 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Asset-Backed Securities (Continued)    
    OZLM XI Ltd.    
$550,000   Series 2015-11A, Class CR, 5.939% (LIBOR 3 Month+360 basis points),10/30/20301,2,7  $552,640
 1,715,000   Series 2015-11A, Class DR, 9.339% (LIBOR 3 Month+700 basis points),  10/30/20301,2,7   1,771,595 
 1,250,000   Recette CLO Ltd.
Series 2015-1A, Class DR, 5.098% (LIBOR 3 Month+275 basis points), 10/20/20271,2,7
   1,247,500 
 750,000   Riserva CLO Ltd.
Series 2016-3A, Class E, 9.083% (LIBOR 3 Month+675 basis points), 10/18/20281,2,7
   759,525 
 1,885,000   Seneca Park CLO Ltd.
Series 2014-1A, Class D, 5.836% (LIBOR 3 Month+350 basis points), 7/17/20261,2,7
   1,889,712 
 500,000   TCI-Symphony CLO Ltd.
Series 2017-1A, Class E, 8.789% (LIBOR 3 Month+645 basis points), 7/15/20301,2,7
   505,150 
     Voya CLO Ltd.     
 2,000,000   Series 2014-3A, Class CR, 4.985% (LIBOR 3 Month+265 basis points), 7/25/20261,2,7   1,995,600 
 500,000   Series 2015-3A, Class D2, 7.798% (LIBOR 3 Month+545 basis points), 10/20/20271,2,7   502,000 
 250,000   Series 2015-3A, Class E, 8.848% (LIBOR 3 Month+650 basis points), 10/20/20271,2,7   247,725 
 1,250,000   Series 2016-2A, Class D, 9.292% (LIBOR 3 Month+695 basis points), 7/19/20281,2,7   1,259,750 
 500,000   Series 2013-1A, Class CR, 5.289% (LIBOR 3 Month+295 basis points), 10/15/20301,2,7   496,900 
 1,250,000   Series 2013-1A, Class DR, 8.819% (LIBOR 3 Month+648 basis points), 10/15/20301,2,7   1,270,500 
 2,000,000   Series 2016-1A, Class DR, 7.598% (LIBOR 3 Month+525 basis points), 1/20/20311,2,7   1,972,400 
 1,250,000   Series 2013-2A, Class CR, 5.085% (LIBOR 3 Month+275 basis points), 4/25/20311,2,7   1,239,375 
 750,000   Wellfleet CLO 2015-1 Ltd.
Series 2015-1A, Class DR, 5.148% (LIBOR 3 Month+280 basis points), 10/20/20271,2,7
   748,725 
 350,000   West CLO Ltd.
Series 2014-2A, Class CR, 4.989% (LIBOR 3 Month+265 basis points), 1/16/20271,2,7
   349,405 
     Total Asset-Backed Securities (Cost $109,749,244)   109,635,326 

 

19 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Commercial Mortgage-Backed Securities – 0.7%    
$650,000   GS Mortgage Securities Trust 2013-GCJ12
Series 2013-GC12, Class D, 4.587%, 6/10/20462,7,8
  $582,879 
 400,000   Morgan Stanley Capital I Trust 2011-C3
Series 2011-C3, Class F, 5.325%, 7/15/20492,7,8
   385,629 
           
     Total Commercial Mortgage-Backed Securities (Cost $960,503)   968,508 
           
     Corporate – 5.8%     
     Basic Materials – 0.4%     
 275,000   Freeport-McMoRan, Inc.
4.000%, 11/14/2021
   273,969 
 325,000   Rain CII Carbon LLC / CII Carbon Corp.
7.250%, 4/1/20252,7
   334,750 
         608,719 
     Communications – 0.4%     
 215,000   Cincinnati Bell, Inc.
7.000%, 7/15/20242,7
   192,425 
 275,000   EIG Investors Corp.
10.875%, 2/1/20242
   300,438 
         492,863 
     Consumer, Cyclical – 1.4%     
 850,000   Diamond Resorts International, Inc.
7.750%, 9/1/20232,7
   890,375 
 475,000   Golden Nugget, Inc.
8.750%, 10/1/20252,7
   494,000 
 150,000   Jack Ohio Finance LLC / Jack Ohio Finance 1 Corp.
10.250%, 11/15/20222,7
   162,937 
 325,000   Rite Aid Corp.
6.125%, 4/1/20232,7
   328,250 
         1,875,562 
     Consumer, Non-cyclical – 0.3%     
 325,000   Laureate Education, Inc.
8.250%, 5/1/20252,7
   350,188 
           
     Energy – 0.9%     
 165,000   California Resources Corp.
8.000%, 12/15/20222,7
   148,500 
 162,000   Denbury Resources, Inc.
9.000%, 5/15/20212,7
   173,137 
 300,000   Energy Transfer Equity LP
7.500%, 10/15/2020
   321,000 
 300,000   Murray Energy Corp.
11.250%, 4/15/20212,7
   207,750 

 

20 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Corporate (Continued)    
    Energy (Continued)    
$325,000   Peabody Energy Corp.
6.000%, 3/31/20222,7
  $335,969 
         1,186,356 
     Financial – 0.5%     
 275,000   Acrisure LLC / Acrisure Finance, Inc.
7.000%, 11/15/20252,7
   249,563 
 200,000   AssuredPartners, Inc.
7.000%, 8/15/20252,7
   193,500 
 300,000   Compass Group Diversified Holdings LLC
8.000%, 5/1/20262,7
   294,000 
         737,063 
     Industrial – 0.6%     
 285,000   Flex Acquisition Co., Inc.
7.875%, 7/15/20262,7
   287,679 
 500,000   Vulcan Materials Co.
2.970% (LIBOR 3 Month+65 basis points), 3/1/20211
   501,285 
         788,964 
     Technology – 1.3%     
 125,000   BMC Software Finance, Inc.
8.125%, 7/15/20212,7
   128,125 
 300,000   Exela Intermediate LLC / Exela Finance, Inc.
10.000%, 7/15/20232,7
   310,875 
 500,000   Hewlett Packard Enterprise Co.
4.267% (LIBOR 3 Month+193 basis points), 10/5/20181
   501,601 
 225,000   MagnaChip Semiconductor Corp.
6.625%, 7/15/20212
   219,937 
 300,000   West Corp.
8.500%, 10/15/20252,7
   262,500 
 275,000   Western Digital Corp.
4.750%, 2/15/20262
   270,875 
         1,693,913 
     Total Corporate (Cost $7,776,151)   7,733,628 
           
     Residential Mortgage-Backed Securities – 0.4%     
 170,000   Bayview Financial Mortgage Pass-Through Trust
Series 2006-A, Class M4, 2.822% (LIBOR 1 Month+75 basis points), 2/28/20411,2
   160,561 

 

21 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal
Amount
      Value 
         
    Bonds (Continued)    
    Residential Mortgage-Backed Securities (Continued)    
$374,490   RBSHD Trust
Series 2013-1A, Class A, 7.685%, 10/25/20472,7,9
  $358,735 
           
     Total Residential Mortgage-Backed Securities (Cost $530,287)   519,296 
           
     Total Bonds (Cost $119,016,185)   118,856,758 

 

Number
of Shares
        
         
    Common Stocks – 0.1%    
    Basic Materials – 0.0%    
 300   Covia Holdings Corp.*   5,409 
           
     Technology – 0.1%     
 6,300   MagnaChip Semiconductor Corp.*   73,080 
 835   Western Digital Corp.   58,575 
        131,655 
           
     Total Common Stocks (Cost $140,839)   137,064 

 

Number
of Contracts
        
         
    Purchased Options Contracts – 0.1%    
    Put Options – 0.1%    
    Equity – 0.1%    
    iShares Latin America 40 ETF    
 973   Exercise Price: $26.00, Notional Amount: $2,529,800,     
     Expiration Date: September 21, 2018    
     Netflix, Inc.     
     Exercise Price: $300.00, Notional Amount: $510,000,     
 17   Expiration Date: January 18, 2019   25,713 
     Tesla, Inc.     
     Exercise Price: $250.00, Notional Amount: $500,000,     
 20   Expiration Date: January 18, 2019   51,700 
     Exercise Price: $265.00, Notional Amount: $530,000,     
 20   Expiration Date: September 21, 2018   27,850 

 

22 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Number
of Contracts
      Value  
           
    Purchased Options Contracts (Continued)      
    Put Options (Continued)      
    Equity (Continued)      
     Washington Prime Group, Inc.      
 1,196   Exercise Price: $5.00, Notional Amount: $598,000,      
     Expiration Date: October 19, 2018 5,980  
        111,243  
           
     Total Put Options (Cost $168,276)  111,243  
     Total Purchased Options Contracts (Cost $168,276)  111,243  

 

Number
of Shares
        
         
    Short-Term Investments – 5.8%    
 6,802,319   Federated Treasury Obligations Fund - Institutional Class, 1.772%10   6,802,319 
           
 927,230   Fidelity Investments Money Market Funds - Treasury Portfolio - Class I, 1.756%10,11   927,230 
           
     Total Short-Term Investments (Cost $7,729,549)   7,729,549 
           
     Total Investments – 102.1% (Cost $136,573,820)   136,383,085 
     Liabilities in Excess of Other Assets – (2.1)%   (2,786,934)
           
     Total Net Assets – 100.0%  $133,596,151 

 

Principal
Amount
        
         
    Securities Sold Short – (3.5)%    
    Bonds – (3.5)%    
    Corporate – (3.5)%    
    Communications – (0.3)%    
$(410,000)  Netflix, Inc.
4.875%, 4/15/20287
 

 

 

(388,475)
           
     Consumer, Cyclical – (1.5)%     
 (850,000)  Diamond Resorts International, Inc.
10.750%, 9/1/20242,7
   (890,375)
 (825,000)  Sally Holdings LLC / Sally Capital, Inc.
5.625%, 12/1/20252
   (775,500)
 (400,000)  United Continental Holdings, Inc.
5.000%, 2/1/2024
   (393,000)
         (2,058,875)

 

23 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018

 

Principal

Amount

      Value 
         
    Securities Sold Short (Continued)    
    Bonds (Continued)    
    Energy – (0.4)%    
$(500,000)  Pattern Energy Group, Inc.
5.875%, 2/1/20242,7
  $(506,250)
           
     Financial – (0.6)%     
 (835,000)  Washington Prime Group LP
5.950%, 8/15/20242
   (825,764)
           
     Industrial – (0.7)%     
 (925,000)  Avnet, Inc.
4.625%, 4/15/20262
   (915,702)
     Total Corporate (Proceeds $4,726,824)   (4,695,066)
           
     Total Bonds (Proceeds $4,726,824)   (4,695,066)
           
     Total Securities Sold Short (Proceeds $4,726,824)  $(4,695,066)

 

*Non-income producing security.
1Floating rate security.
2Callable.
3Foreign security denominated in U.S. Dollars.
4Bank loans generally pay interest at rates which are periodically determined by reference to a base lending rate plus a premium. All loans carry a variable rate of interest. These base lending rates are generally (i) the Prime Rate offered by one or more major United States banks, (ii) the lending rate offered by one or more European banks such as the London Interbank Offered Rate ("LIBOR") or (iii) the Certificate of Deposit rate. Bank Loans, while exempt from registration, under the Securities Act of 1933, contain certain restrictions on resale and cannot be sold publicly. Floating rate bank 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.
5All or a portion of the loan is unfunded.
6Denotes investments purchased on a when-issued or delayed delivery basis.
7Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities are restricted and may be resold in transactions exempt from registration normally to qualified institutional buyers. The total absolute value of these securities is $116,335,892 which represents 87.1% of Net Assets.
8Variable rate security.
9Step rate security.
10The rate is the annualized seven-day yield at period end.
11All or a portion of this security is segregated as collateral for securities sold short.

 

See accompanying Notes to Financial Statements.

 

24 

 

Palmer Square Opportunistic Income Fund

SCHEDULE OF INVESTMENTS - Continued

As of July 31, 2018                                                                                          

 

 

SWAP CONTRACTS
CREDIT DEFAULT SWAP CONTRACTS

Reference Entity 

Rating(a)

(Moody's/

S&P)

  

Pay/(b)

Receive

Fixed

Rate

  Fixed/Rate
Frequency
  Expiration
Date
  Notional
Amount
   Premium
Paid
(Received)
   Unrealized
Appreciation/
(Depreciation)
   Value 
JP Morgan                              
General Motors Co.-   Pay   5%/Monthly  6/20/23  $1,275,000   $(226,111)  $4,596   $(221,515)
TOTAL CREDIT DEFAULT SWAP CONTRACTS          $(226,111)  $4,596   $(221,515)

(a)Ratings are presented for credit default contracts in which the fund has sold protection on the underlying referenced debt. Ratings for an underlying index represent the average of the ratings of all the securities included in that index. The Moody’s and Standard & Poor’s (S&P) ratings are believed to be the most recent ratings available at July 31, 2018.
(b)If Palmer Square Opportunistic Income Fund is paying a fixed rate, the counterparty acts as guarantor of the variable instrument. If Palmer Square Opportunistic Income Fund is receiving a fixed rate, Palmer Square Opportunistic Income Fund acts as guarantor of the variable instrument.

 

See accompanying Notes to Financial Statements.

25 

 

Palmer Square Opportunistic Income Fund

SUMMARY OF INVESTMENTS

As of July 31, 2018

 

Security Type/Sector

Percent of Total

Net Assets

Bank Loans 7.1%
Bonds  
Asset-Backed Securities 82.1%
Commercial Mortgage-Backed Securities 0.7%
Corporate 5.8%
Residential Mortgage-Backed Securities 0.4%
Total Bonds 89.0%
Common Stocks  
Basic Materials 0.0%
Technology 0.1%
Total Common Stocks 0.1%
Purchased Options Contracts  
Put Options 0.1%
Total Purchased Options Contracts 0.1%
Short-Term Investments 5.8%
Total Investments 102.1%
Liabilities in Excess of Other Assets (2.1)%
Total Net Assets 100.0%

See accompanying Notes to Financial Statements. 

26 

 

Palmer Square Opportunistic Income Fund      
STATEMENT OF ASSETS AND LIABILITIES      
As of July 31, 2018      

Assets:    
Investments, at value (cost $136,405,544)  $136,271,842 
Purchased options contracts, at value (cost $168,276)   111,243 
Cash   1,175 
Cash held at broker for securites sold short and swap contracts   4,883,034 
Receivables:     
Investment securities sold   2,044,471 
Fund shares sold   344,380 
Unrealized appreciation on open swap contracts   4,596 
Interest   600,834 
Prepaid expenses   24,577 
Other assets   3 
Total assets   144,286,155 
      
Liabilities:     
Securities sold short, at value (proceeds $4,726,824)   4,695,066 
Payables:     
Investment securities purchased   5,442,256 
Premiums received on open swap contracts   226,111 
Advisory fees   103,157 
Interest on securities sold short   111,886 
Shareholder servicing fees (Note 6)   22,975 
Auditing fees   18,275 
Fund administration fees   13,035 
Fund accounting fees   11,745 
Trustees' fees and expenses   10,721 
Transfer agent fees and expenses   10,508 
Legal fees   9,957 
Custody fees   658 
Accrued other expenses   13,654 
Total liabilities   10,690,004 
      
Net Assets  $133,596,151 

See accompanying Notes to Financial Statements.

 

27 

 

Palmer Square Opportunistic Income Fund

STATEMENT OF ASSETS AND LIABILITIES – Continued

As of July 31, 2018  

 

 

Components of Net Assets:    
Paid-in capital (par value of $0.01 per share with an unlimited number of shares authorized)  $131,769,847 
Accumulated net investment income   560,212 
Accumulated net realized gain on investments, securities sold short, purchased options     
contracts and swap contracts   1,420,473 
Net unrealized appreciation (depreciation) on:     
Investments   (133,702)
Purchased options contracts   (57,033)
Securities sold short   31,758 
Swap contracts   4,596 
Net Assets  $133,596,151 
      
Maximum Offering Price per Share:     
Net assets applicable to shares outstanding  $133,596,151 
Shares of beneficial interest issued and outstanding   6,880,704 
Redemption price per share  $19.42 

See accompanying Notes to Financial Statements.

 

28 

 

Palmer Square Opportunistic Income Fund

STATEMENT OF OPERATIONS

For the Year Ended July 31, 2018  

 

 

Investment Income:    
Interest  $7,763,833 
Dividends   1,619 
Total investment income   7,765,452 
      
Expenses:     
Advisory fees   1,124,156 
Shareholder servicing fees (Note 6)   136,959 
Transfer agent fees and expenses   120,013 
Fund administration fees   100,535 
Fund accounting fees   92,953 
Interest on securities sold short   82,116 
Legal fees   68,204 
Trustees' fees and expenses   60,500 
Registration fees   32,602 
Miscellaneous   27,700 
Shareholder reporting fees   26,764 
Insurance fees   19,801 
Auditing fees   17,147 
Custody fees   9,882 
Commitment fees (Note 11)   9,053 
Total expenses   1,928,385 
Advisory fees waived   (146,289)
Fees paid indirectly (Note 3)   (4,695)
Net expenses   1,777,401 
Net investment income   5,988,051 
      
Realized and Unrealized Gain (Loss):     
Net realized gain (loss) on:     
Investments   2,717,285 
Purchased options contracts   (79,754)
Securities sold short   16,508 
Written options contracts   8,756 
Swap contracts   55,718 
Net realized gain   2,718,513 
Net change in unrealized appreciation/depreciation on:     
Investments   (3,011,494)
Purchased options contracts   (34,331)
Securities sold short   45,592 
Swap contracts   24,311 
Net change in unrealized appreciation/depreciation   (2,975,922)
Net realized and unrealized loss on investments, securities sold short, purchased options contracts,     
written options contracts and swap contracts   (257,409)
      
Net Increase in Net Assets from Operations  $5,730,642 

 

See accompanying Notes to Financial Statements.

 

29 

 

Palmer Square Opportunistic Income Fund

STATEMENTS OF CHANGES IN NET ASSETS   

 
   For the   For the 
   Year Ended   Year Ended 
   July 31, 2018   July 31, 2017 
Increase (Decrease) in Net Assets from:        
Operations:        
Net investment income  $5,988,051   $5,015,421 
Net realized gain on investments, securities sold short, purchased options contracts,          
futures contracts, written options contracts, swaptions contracts, swap contracts and foreign currency   2,718,513    1,661,976 
Net change in unrealized appreciation/depreciation on investments, securities sold short,          
purchased options contracts, futures contracts, written options contracts          
swaptions contracts, swap contracts and foreign currency   (2,975,922)   4,569,409 
Net increase from payment by affiliates (Note 3)       32,147 
Net increase in net assets resulting from operations   5,730,642    11,278,953 
           
Distributions to Shareholders:          
From net investment income   (5,140,711)   (5,005,538)
Total distributions to shareholders   (5,140,711)   (5,005,538)
           
Capital Transactions:          
Net proceeds from shares sold   51,247,191    25,071,943 
Reinvestment of distributions   3,140,326    3,610,236 
Cost of shares redeemed   (17,253,361)   (9,104,295)
Net increase in net assets from capital transactions   37,134,156    19,577,884 
           
           
Total increase in net assets   37,724,087    25,851,299 
           
Net Assets:          
Beginning of period   95,872,064    70,020,765 
End of period  $133,596,151   $95,872,064 
           
Accumulated net investment income  $560,212   $175,177 
           
Capital Share Transactions:          
Shares sold   2,631,866    1,326,477 
Shares reinvested   162,083    194,351 
Shares redeemed   (885,269)   (490,328)
           
Net increase in capital share transactions   1,908,680    1,030,500 

 

See accompanying Notes to Financial Statements.

 

30 

 

Palmer Square Opportunistic Income Fund

FINANCIAL HIGHLIGHTS   

 

 

Per share operating performance.                            
For a capital share outstanding throughout each period.                            

 

  For the Year Ended July 31,  For the Period

 
    2018    2017    2016    

August 29, 2014*

through

July 31, 2015

 
                     
Net asset value, beginning of period  $19.28   $17.76   $20.06   $20.00 
Income from Investment Operations:                    
Net investment income1   1.04    1.16    1.12    0.97 
Net realized and unrealized gain (loss)   (0.02)   1.52    (2.29)   (0.23)
Total from investment operations   1.02    2.68    (1.17)   0.74 
Less Distributions:                    
From net investment income   (0.88)   (1.17)   (1.10)   (0.68)
From net realized gains           (0.03)    
Total distributions   (0.88)   (1.17)   (1.13)   (0.68)
                     
Net increase from payments by affiliates (Note 3)1       0.01         
                     
Net asset value, end of period  $19.42   $19.28   $17.76   $20.06 
                     
Total return2   5.40%   15.56%6   (5.50)%   3.79% 3
                     
Ratios and Supplemental Data:                    
Net assets, end of period (in thousands)  $133,596   $95,872   $70,021   $52,174 
                     
Ratio of expenses to average net assets (including brokerage expense, interest expense and interest on securities sold short):                    
Before fees waived and expense absorbed5   1.72%   1.80%   1.93%   2.40% 4
After fees waived and expense absorbed5   1.58%   1.53%   1.50%   1.50% 4
                     
Ratio of net investment income to average net assets (including brokerage expense, interest expense and interest on securities sold short):                    
Before fees waived and expenses absorbed   5.19%   5.89%   5.97%   4.33% 4
After fees waived and expenses absorbed   5.33%   6.16%   6.40%   5.23% 4
                     
Portfolio turnover rate   168%   109%   74%   10% 3

 

*Commencement of operations.
1Based on average shares outstanding for the period.
2Total returns would have been lower had expenses not been waived and/or absorbed by the Advisor. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.
3Not annualized.
4Annualized.
5If brokerage expense, interest expense and interest on securities sold short had been excluded, the expense ratios would have been lowered by 0.08%, 0.03% and 0.00%, for the fiscal years ended July 31, 2018, 2017 and 2016, respectively, and 0.00% for the period ended July 31, 2015.

6Payment from affiliates had a positive 0.04% impact to total return.

 

See accompanying Notes to Financial Statements.

 

31 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS

July 31, 2018

 

Note 1 – Organization

The Palmer Square Opportunistic Income Fund (the “Fund”) was organized as a Delaware statutory trust (the “Trust”) on May 1, 2014, and is registered as a non-diversified, closed-end investment company under the Investment Company Act of 1940, as amended. Shares of the Fund are being offered on a continuous basis (the “Shares”). The Fund commenced operations on August 29, 2014. The Fund had no operations prior to August 29, 2014 other than those relating to its organization and the sale of 5,000 shares of beneficial interest in the Fund at $20.00 per share to the Fund’s advisor, Palmer Square Capital Management LLC.

 

The Fund has an “interval fund” structure pursuant to which the Fund, subject to applicable law, has adopted a fundamental investment policy to make quarterly offers to repurchase between 5% and 25% of its outstanding Shares at net asset value (“NAV”). Subject to the approval of the Fund’s Board of Trustees, the Fund will seek to conduct such quarterly repurchase offers typically for 10% of the Fund’s outstanding Shares at NAV. In connection with any repurchase offer, the Fund may offer to repurchase only the minimum amount of 5% of its outstanding Shares. Repurchases may be oversubscribed, preventing shareholders from selling some or all of their tendered Shares back to the Fund. The Fund’s Shares are not listed on any securities exchange and there is no secondary trading market for its Shares.

 

The Fund’s investment objective is to seek a high level of current income. As a secondary objective, the Fund seeks long-term capital appreciation.

 

The Fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (FASB) Accounting Standard Codification Topic 946 “Financial Services—Investment Companies”.

 

Note 2 – Accounting Policies

The following is a summary of the significant accounting policies consistently followed by the Fund in the preparation of its financial statements. The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (“GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from these estimates.

 

(a) Valuation of Investments

The Fund values equity securities at the last reported sale price on the principal exchange or in the principal over the counter (“OTC”) market in which such securities are traded, as of the close of regular trading on the NYSE on the day the securities are being valued or, if the last-quoted sales price is not readily available, the securities will be valued at the last bid or the mean between the last available bid and ask price. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price (“NOCP”). Investments in open-end investment companies are valued at the daily closing net asset value of the respective investment company. Debt securities are valued by utilizing a price supplied by independent pricing service providers. The independent pricing service providers may use various valuation methodologies including matrix pricing and other analytical pricing models as well as market transactions and dealer quotations. These models generally consider such factors as yields or prices of bonds of comparable quality, type of issue, coupon, maturity, ratings and general market conditions. If a price is not readily available for a portfolio security, the security will be valued at fair value (the amount which the Fund might reasonably expect to receive for the security upon its current sale) as determined in good faith by the Fund’s advisor, subject to review and approval by the Valuation Committee, pursuant to procedures adopted by the Board of Trustees. The actions of the Valuation Committee are subsequently reviewed by the Board at its next regularly scheduled board meeting. The Valuation Committee meets as needed. The Valuation Committee is comprised of all the Trustees, but action may be taken by any one of the Trustees.

32 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

(b) Investment Transactions, Investment Income and Expenses

Investment transactions are accounted for on the trade date. Realized gains and losses on investments are determined on the identified cost basis. Dividend income is recorded net of applicable withholding taxes on the ex-dividend date and interest income is recorded on an accrual basis. Withholding taxes on foreign dividends, if applicable, are paid (a portion of which may be reclaimable) or provided for in accordance with the applicable country’s tax rules and rates and are disclosed in the Statement of Operations. Withholding tax reclaims are filed in certain countries to recover a portion of the amounts previously withheld. The Fund records a reclaim receivable based on a number of factors, including a jurisdiction’s legal obligation to pay reclaims as well as payment history and market convention. Discounts or premiums on debt securities are accreted or amortized to interest income over the lives of the respective securities using the effective interest method. Expenses incurred by the Trust with respect to more than one fund are allocated in proportion to the net assets of each fund except where allocation of direct expenses to each Fund or an alternative allocation method can be more appropriately made.

 

Income from securitization vehicles and equity investments in the equity class securities of CLO vehicles (typically income notes or subordinated notes) is recorded using the effective interest method in accordance with the provisions of ASC 325-40, Beneficial Interests in Securitized Financial Assets, based upon a calculation of the effective yield to the expected redemption date based on an estimate of future cash flows, including those CLO equity investments that have not made their inaugural distribution for the relevant period end. The Fund monitors the expected residual payments, and the effective yield is determined and updated quarterly, or as required. Accordingly, investment income recognized on CLO equity securities in the GAAP statement of operations differs from both the tax-basis investment income and from the cash distributions actually received by the Fund during the period.

 

In conjunction with the use of futures contracts and swap contracts, the Fund may be required to maintain collateral in various forms. At July 31, 2018, such collateral is denoted in the Fund’s Statement of Assets and Liabilities. Also in conjunction with the use of futures contracts or swap contracts, the Fund, when appropriate, utilizes a segregated margin deposit account with the counterparty. At July 31, 2018, these segregated margin deposit accounts are denoted in the Fund’s Statement of Assets and Liabilities.

 

(c) Asset-Backed Securities

Asset-backed securities include pools of mortgages, loans, receivables or other assets. Payment of principal and interest may be largely dependent upon the cash flows generated by the assets backing the securities, and, in certain cases, supported by letters of credit, surety bonds, or other credit enhancements. The value of asset-backed securities may also be affected by the creditworthiness of the servicing agent for the pool, the originator of the loans or receivables, or the financial institution(s) providing the credit support. In addition, asset-backed securities are not backed by any governmental agency.

 

Collateralized Debt Obligations (“CDOs”) include Collateralized Bond Obligations (“CBOs”), Collateralized Loan Obligations (“CLOs”) and other similarly structured securities. CBOs and CLOs are types of asset backed securities. A CBO is a trust which is backed by a diversified pool of high risk, below investment grade fixed income securities. A CLO is a trust typically collateralized by a pool of loans, which may include, among others, domestic and foreign senior secured loans, senior unsecured loans, and subordinate corporate loans, including loans that may be rated below investment grade or equivalent unrated loans. The risks of an investment in a CDO depend largely on the type of the collateral securities and the class of the CDO in which a Fund invests. CDOs carry additional risks including, but not limited to, (i) the possibility that distributions from collateral securities will not be adequate to make interest or other payments, (ii) the collateral may decline in value or default, (iii) a Fund may invest in CDOs that are subordinate to other classes, and (iv) the complex structure of the security may not be fully understood at the time of investment and may produce disputes with the issuer or unexpected investment results.

 

33 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

(d) Mortgage-Backed Securities

The Fund may invest in mortgage-backed securities ("MBS"), representing direct or indirect interests in pools of underlying residential or commercial mortgage loans that are secured by real property. These securities provide investors with payments consisting of both principal and interest as the mortgages in the underlying mortgage pools are paid.

The timely payment of principal and interest (but not the market value) on MBS issued or guaranteed by Ginnie Mae (formally known as the Government National Mortgage Association or GNMA) is backed by Ginnie Mae and the full faith and credit of the US government. Obligations issued by Fannie Mae (formally known as the Federal National Mortgage Association or FNMA) and Freddie Mac (formally known as the Federal Home Loan Mortgage Corporation or FHLMC) are historically supported only by the credit of the issuer, but currently are guaranteed by the US government in connection with such agencies being placed temporarily into conservatorship by the US government.

Some MBS are sponsored or issued by private entities. Payments of principal and interest (but not the market value) of such private MBS may be supported by pools of residential or commercial mortgage loans or other MBS that are guaranteed, directly or indirectly, by the US government or one of its agencies or instrumentalities, or they may be issued without any government guarantee of the underlying mortgage assets but may contain some form of non-government credit enhancement.

Collateralized mortgage obligations ("CMO") are a type of MBS. A CMO is a debt security that may be collateralized by whole mortgage loans or mortgage pass-through securities. The mortgage loans or mortgage pass-through securities are divided into classes or tranches with each class having its own characteristics. Investors typically receive payments out of the interest and principal on the underlying mortgages. The portions of these payments that investors receive, as well as the priority of their rights to receive payments, are determined by the specific terms of the CMO class.

The yield characteristics of MBS differ from those of traditional debt securities. Among the major differences are that interest and principal payments are made more frequently, usually monthly, and that principal may be prepaid at any time because the underlying mortgage loans or other obligations generally may be prepaid at any time. Prepayments on a pool of mortgage loans are influenced by a variety of economic, geographic, social and other factors. Generally, prepayments on fixed-rate mortgage loans will increase during a period of falling interest rates and decrease during a period of rising interest rates. Certain classes of CMOs and other MBS are structured in a manner that makes them extremely sensitive to changes in prepayment rates.

(e) Swap Agreements and Swaptions

The Fund may enter into credit default swap agreements for investment purposes. A credit default swap agreement may have as reference obligations one or more securities that are not currently held by the Fund. The Fund may be either the buyer or seller in the transaction. Credit default swaps may also be structured based on the debt of a basket of issuers, rather than a single issuer, and may be customized with respect to the default event that triggers purchase or other factors. As a seller, the Fund would generally receive an upfront payment or a fixed rate of income throughout the term of the swap, which typically is between six months and three years, provided that there is no credit event. If a credit event occurs, generally the seller must pay the buyer the full face amount of deliverable obligations of the reference obligations that may have little or no value. The notional value will be used to segregate liquid assets for selling protection on credit default swaps. If the Fund were a buyer and no credit event occurs, the Fund would recover nothing if the swap is held through its termination date. However, if a credit event occurs, the buyer may elect to receive the full notional value of the swap in exchange for an equal face amount of deliverable obligations of the reference obligation that may have little or no value. The use of swap agreements by the Fund entails certain risks, which may be different from, or possibly greater than, the risks associated with investing directly in the securities and other investments that are the referenced asset for the swap agreement. Swaps are highly specialized instruments that require investment techniques, risk analyses, and tax planning different from those associated with stocks, bonds, and other traditional investments. The use of a swap requires an understanding not only of the referenced asset, reference rate, or index, but also of the swap itself, without the benefit of observing the performance of the swap under all the possible market conditions. Because some swap agreements have a leverage component, adverse changes in the value or level of the underlying asset, reference rate, or index can result in a loss substantially greater than the amount invested in the swap itself. Certain swaps have the potential for unlimited loss, regardless of the size of the initial investment.

 

34 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

The Fund may also purchase credit default swap contracts in order to hedge against the risk of default of the debt of a particular issuer or basket of issuers, in which case the Fund would function as the counterparty referenced in the preceding paragraph. This would involve the risk that the investment may expire worthless and would only generate income in the event of an actual default by the issuer(s) of the underlying obligation(s) (or, as applicable, a credit downgrade or other indication of financial instability). It would also involve the risk that the seller may fail to satisfy its payment obligations to the Fund in the event of a default. The purchase of credit default swaps involves costs, which will reduce the Fund's return.

 

The Fund may enter into total return swap contracts for investment purposes. Total return swaps are contracts in which one party agrees to make periodic payments based on the change in market value of the underlying assets, which may include a specified security, basket of securities or security indexes during the specified period, in return for periodic payments based on a fixed or variable interest rate of the total return from other underlying assets. Total return swap agreements may be used to obtain exposure to a security or market without owning or taking physical custody of such security or market, including in cases in which there may be disadvantages associated with direct ownership of a particular security. In a typical total return equity swap, payments made by the Fund or the counterparty are based on the total return of a particular reference asset or assets (such as an equity security, a combination of such securities, or an index). That is, one party agrees to pay another party the return on a stock, basket of stocks, or stock index in return for a specified interest rate. By entering into an equity index swap, for example, the index receiver can gain exposure to stocks making up the index of securities without actually purchasing those stocks. Total return swaps involve not only the risk associated with the investment in the underlying securities, but also the risk of the counterparty not fulfilling its obligations under the agreement.

 

An option on a swap agreement, or a “swaption,” is a contract that gives a counterparty the right (but not the obligation) to enter into a new swap agreement or to shorten, extend, cancel or otherwise modify an existing swap agreement, at some designated future time on specified terms. In return, the purchaser pays a “premium” to the seller of the contract. The seller of the contract receives the premium and bears the risk of unfavorable changes on the underlying swap. The Fund may write (sell) and purchase put and call swaptions. The Fund may also enter into swaptions on either an asset-based or liability-based basis, depending on whether the Fund is hedging its assets or its liabilities. The Fund may write (sell) and purchase put and call swaptions to the same extent it may make use of standard options on securities or other instruments. The Fund may enter into these transactions primarily to preserve a return or spread on a particular investment or portion of its holdings, as a duration management technique, to protect against an increase in the price of securities the Fund anticipates purchasing at a later date, or for any other purposes, such as for speculation to increase returns. Swaptions are generally subject to the same risks involved in the Fund’s use of options.

 

Depending on the terms of the particular option agreement, the Fund will generally incur a greater degree of risk when it writes a swaption than it will incur when it purchases a swaption. When the Fund purchases a swaption, it risks losing only the amount of the premium it has paid should it decide to let the option expire unexercised. However, when the Fund writes a swaption, upon exercise of the option the Fund will become obligated according to the terms of the underlying agreement. The Fund did not enter into any transactions in written swaptions contracts for the year ended July 31, 2018.

 

35 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

(f) Options Contracts

The Fund may write or purchase options contracts primarily to enhance the Fund’s returns or reduce volatility. In addition, the Fund may utilize options in an attempt to generate gains from options premiums or to reduce overall portfolio risk. When the Fund writes or purchases an option, an amount equal to the premium received or paid by the Fund is recorded as a liability or an asset and is subsequently adjusted to the current market value of the option written or purchased. Premiums received or paid from writing or purchasing options which expire unexercised are treated by the Fund on the expiration date as realized gains or losses. The difference between the premium and the amount paid or received on effecting a closing purchase or sale transaction, including brokerage commissions, is also treated as a realized gain or loss. If an option is exercised, the premium paid or received is added to the cost of the purchase or proceeds from the sale in determining whether the Fund has realized a gain or a loss on investment transactions. The Fund, as a writer of an option, may have no control over whether the underlying securities may be sold (call) or purchased (put) and as a result bears the market risk of an unfavorable change in the price of the security underlying the written option.

 

(g) Futures Contracts

The Fund may use interest rate, foreign currency, index and other futures contracts. A futures contract provides for the future sale by one party and purchase by another party of a specified quantity of the security or other financial instrument at a specified price and time. A futures contract on an index is an agreement pursuant to which two parties agree to take or make delivery of an amount of cash equal to the difference between the value of the index at the close of the last trading day of the contract and the price at which the index contract originally was written. Although the value of an index might be a function of the value of certain specified securities, physical delivery of these securities is not always made.

 

A futures contract held by the Fund is valued daily at the official settlement price of the exchange on which it is traded. Each day the Fund pays or receives cash, called "variation margin", equal to the daily change in value of the futures contract. This process is known as "marking to market". Variation margin does not represent a borrowing or loan by the Fund but is instead a settlement between the Fund and the broker of the amount one would owe the other if the futures contract expired. In computing daily net asset value, the Fund will mark to market its open futures positions. The Fund also is required to deposit and to maintain margin with respect to put and call options on futures contracts written by it. Such margin deposits will vary depending on the nature of the underlying futures contract (and the related initial margin requirements), the current market value of the option and other futures positions held by the Fund. Although some futures contracts call for making or taking delivery of the underlying securities, generally these obligations are closed out prior to delivery by offsetting purchases or sales of matching futures contracts (involving the same exchange, underlying security or index and delivery month). If an offsetting purchase price is less than the original sale price, the Fund realizes a capital gain, or if it is more, the Fund realizes a capital loss. Conversely, if an offsetting sale price is more than the original purchase price, the Fund realizes a capital gain, or if it is less, the Fund realizes a capital loss. The transaction costs also must be included in these calculations.

 

(h) Short Sales

Short sales are transactions under which the Fund sells a security it does not own in anticipation of a decline in the value of that security. To complete such a transaction, the Fund must borrow the security to make delivery to the buyer. The Fund then is obligated to replace the security borrowed by purchasing the security at market price at the time of replacement. The price at such time may be more or less than the price at which the security was sold by the Fund. When a security is sold short a decrease in the value of the security will be recognized as a gain and an increase in the value of the security will be recognized as a loss, which is potentially limitless. Until the security is replaced, the Fund is required to pay the lender amounts equal to dividend or interest that accrue during the period of the loan which is recorded as an expense. To borrow the security, the Fund also may be required to pay a premium or an interest fee, which are recorded as interest expense. Cash or securities are segregated for the broker to meet the necessary margin requirements. The Fund is subject to the risk that it may not always be able to close out a short position at a particular time or at an acceptable price.

 

36 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

(i) Forward Foreign Currency Exchange Contracts

The Fund may utilize forward foreign currency exchange contracts (“forward contracts”) under which it is obligated to exchange currencies on specified future dates at specified rates, and are subject to the translations of foreign exchange rates fluctuations. All contracts are “marked-to-market” daily and any resulting unrealized gains or losses are recorded as unrealized appreciation or depreciation on foreign currency translations. The Fund records realized gains or losses at the time the forward contract is settled. Counterparties to these forward contracts are major U.S. financial institutions.

 

(j) Bank Loans

The Fund may purchase participations in commercial loans. Such investments may be secured or unsecured. Loan participations typically represent direct participation, together with other parties, in a loan to a corporate borrower, and generally are offered by banks or other financial institutions or lending syndicates. The Fund may participate in such syndications, or can buy part of a loan, becoming a part lender. When purchasing indebtedness and loan participations, the Fund assumes the credit risk associated with the corporate borrower and may assume the credit risk associated with an interposed bank or other financial intermediary. The indebtedness and loan participations in which the Fund intends to invest may not be rated by any nationally recognized rating service.

 

Bank loans may be structured to include both term loans, which are generally fully funded at the time of investment and unfunded loan commitments, which are contractual obligations for future funding. Unfunded loan commitments may include revolving credit facilities, which may obligate the Fund to supply additional cash to the borrower on demand, representing a potential financial obligation by the Fund in the future. The Fund may receive a commitment fee based on the undrawn portion of the underlying line of credit portion of a senior floating rate interest. Commitment fees are processed as a reduction in cost.

 

In addition, the Fund may enter into, or acquire participations in, delayed funding loans and revolving credit facilities. Delayed funding loans and revolving credit facilities are borrowing arrangements in which the lender agrees to make loans up to a maximum amount upon demand by the borrower during a specified term. A revolving credit facility differs from a delayed funding loan in that as the borrower repays the loan, an amount equal to the repayment may be borrowed again during the term of the revolving credit facility. Delayed funding loans and revolving credit facilities usually provide for floating or variable rates of interest. These commitments may have the effect of requiring the Fund to increase its investment in a company at a time when it might not otherwise decide to do so (including at a time when the company's financial condition makes it unlikely that such amounts will be repaid). To the extent that the Fund is committed to advance additional funds, it will at all-times segregate or "earmark" liquid assets, in an amount sufficient to meet such commitments.

 

(k) Federal Income Taxes

The Fund intends to comply with the requirements of Subchapter M of the Internal Revenue Code applicable to regulated investment companies and to distribute substantially all of its net investment income and any net realized gains to its shareholders. Therefore, no provision is made for federal income or excise taxes. Due to the timing of dividend distributions and the differences in accounting for income and realized gains and losses for financial statement and federal income tax purposes, the fiscal year in which amounts are distributed may differ from the year in which the income and realized gains and losses are recorded by the Fund.

  

37 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

Accounting for Uncertainty in Income Taxes (the “Income Tax Statement”) requires an evaluation of tax positions taken (or expected to be taken) in the course of preparing a Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements. The Fund recognizes interest and penalties, if any, related to unrecognized tax benefits as income tax expense in the Statement of Operations.

 

The Income Tax Statement requires management of the Fund to analyze tax positions taken in the prior three open tax years, if any, and tax positions expected to be taken in the Fund’s current tax year, as defined by the IRS statute of limitations for all major jurisdictions, including federal tax authorities and certain state tax authorities. As of and during the period August 29, 2014 (commencement of operations) through July 31, 2015, as of and during the years ended July 31, 2016-2018 the Fund did not have a liability for any unrecognized tax benefits. The Fund has no examination in progress and is not aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will significantly change in the next twelve months.

 

(l) Distributions to Shareholders

The Fund will make quarterly distributions of net investment income and capital gains, if any, at least annually. Distributions to shareholders are recorded on the ex-dividend date. The amount and timing of distributions are determined in accordance with federal income tax regulations, which may differ from GAAP.

 

The character of distributions made during the year from net investment income or net realized gains may differ from the characterization for federal income tax purposes due to differences in the recognition of income, expense and gain (loss) items for financial statement and tax purposes.

 

(m) Counterparty Risks

The Fund may be exposed to counterparty risk on institution or other entity with which the Fund has unsettled or open transactions. Although the Fund expects to enter into transactions only with counterparties believed by the Advisor or relevant Sub-Advisor to be creditworthy, there can be no assurance that a counterparty will not default and that the Fund will not sustain a loss on a transaction as a result. The Fund is subject to the risk that issuers of the instruments in which it invests and trades may default on their obligations, and that certain events may occur that have an immediate and significant adverse effect on the value of those instruments.

 

The Fund is subject to various Master Agreements, which govern the terms of certain transactions with select counterparties. The Master Agreements reduce the counterparty risk associated with relevant transactions by specifying credit protection mechanisms and providing standardization that improves legal certainty. Master Agreements can also help limit counterparty risk by specifying collateral posting arrangements at pre-arranged exposure levels. Under the Master Agreement, collateral is routinely transferred if the total net exposure to certain transactions (net of existing collateral already in place) governed under the relevant master agreement with a counterparty in a given account exceeds a specified threshold.

 

The Master Repurchase Agreement governs transactions between the Fund and the counterparty. The Master Repurchase Agreement maintains provisions for, among other things, initiation, income payments, events of default, and maintenance of collateral for Repurchase Agreements.

 

International Swaps and Derivatives Association, Inc. Master Agreements (“ISDA Master Agreements”) govern OTC financial derivative transactions entered into by the Fund and those counterparties. The ISDA Master Agreements maintain provisions for general obligations, representations, agreements, collateral and events of default or termination. Events of termination include conditions that may entitle counterparties to elect to terminate early and cause settlement of all outstanding transactions under the applicable ISDA Master Agreement.

 

38 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

Note 3 – Investment Advisory and Other Agreements

The Fund entered into an Investment Advisory Agreement (the “Agreement”) with Palmer Square Capital Management LLC (the “Advisor”). Under the terms of the Agreement, the Fund pays a monthly investment advisory fee to the Advisor at the annual rate of 1.00% of the Fund’s average daily net assets.

 

The Advisor has contractually agreed to waive or reduce its fee and/or to absorb other operating expenses to ensure that total annual Fund operating expenses (excluding taxes, leverage interest, brokerage commissions, dividend and interest expenses on short sales, acquired fund fees and expenses, expenses incurred in connection with any merger or reorganization, and extraordinary expenses such as litigation expenses) do not exceed 1.50% of the Fund’s average daily net assets. This agreement is in effect until December 1, 2018, and it may be terminated before that date only by the Fund’s Board of Trustees.

 

For the year ended July 31, 2018, the Advisor waived advisory fees totaling $146,289. The Fund’s advisor is permitted to seek reimbursement from the Fund, subject to certain limitations, of fees waived or payments made to the Fund for a period ending three full fiscal years after the date of the waiver or payment. This reimbursement may be requested from the Fund if the reimbursement will not cause the Fund’s annual expense ratio to exceed the lesser of (a) the expense limitation amount in effect at the time such fees were waived or payments made, or (b) the expense limitation amount in effect at the time of the reimbursement . This reimbursement may be requested from the Fund if the reimbursement will not cause the Fund’s annual expense ratio to exceed the lesser of (a) the expense limitation amount in effect at the time such fees were waived or payments made, or (b) the expense limitation amount in effect at the time of the reimbursement. At July 31, 2018, the amount of these potentially recoverable expenses was $597,181. The Advisor may recapture all or a portion of this amount no later than July 31, of the years stated below:

 

2019 $ 239,505
2020  211,387
2021  146,289
Total $ 597,181

 

The advisor reimbursed the Fund $32,147 for fee reimbursements for certain trades during the fiscal year ended July 31, 2017. This amount is reported on the Fund’s Statements of Changes in Net Assets under the caption “Net increase from payment by affiliates.” This reimbursement had a positive 0.04% impact to total return.

 

Foreside Fund Services, LLC, (“Foreside”) serves as the Fund’s distributor; UMB Fund Services, Inc. (“UMBFS”) serves as the Fund’s fund accountant, transfer agent and co-administrator; and Mutual Fund Administration, LLC (“MFAC”) serves as the Fund’s other co-administrator. UMB Bank, n.a., an affiliate of UMBFS, serves as the Fund’s custodian.

 

The Fund has a fee arrangement with its custodian, UMB Bank, n.a., which provides for custody fees to be reduced by earning credits based on cash balances left on deposit with the custodian. For the year ended July 31, 2018, the total fees reduced by earning credits were $4,695. Such amount is shown as a reduction of expenses, "Fees paid indirectly", on the Statement of Operations.

 

Certain trustees and officers of the Trust are employees of the Advisor and its affiliate. The Fund does not compensate trustees and officers affiliated with the Fund’s Advisor.

 

39 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

Note 4 – Federal Income Taxes

At July 31, 2018, the cost of securities on a tax basis and gross unrealized appreciation and depreciation on investments for federal income tax purposes were as follows:

 

Cost of investments $ 131,855,628
     
Gross unrealized appreciation $ 621,509
Gross unrealized depreciation   (789,118)
     
Net unrealized depreciation on investments $ (167,609)

 

The difference between cost amounts for financial statement and federal income tax purposes is due primarily to timing differences in recognizing certain gains and losses in security transactions.

 

GAAP requires that certain components of net assets be reclassified between financial and tax reporting. These reclassifications have no effect on net assets or net asset value per share. For the year ended July 31, 2018, permanent differences in book and tax accounting have been reclassified to paid-in capital, accumulated net investment income/loss and accumulated net realized gain/loss as follows:

 

Increase (Decrease)
Paid-in Capital Accumulated Net Investment Income/Loss Accumulated Net Realized Gain/Loss
$ 1,104 $ (462,305) $ 461,201

 

As of July 31, 2018, the components of accumulated earnings (deficit) on a tax basis were as follows:

 

Undistributed ordinary income  $1,720,433 
Undistributed long-term capital gains   273,480 
Accumulated earnings   1,993,913 
      
Accumulated capital and other losses   - 
Unrealized depreciation on securities sold short   31,758 
Unrealized depreciation on investments   (199,367)
Total accumulated earnings  $1,826,304 

 

The tax character of distributions paid during the fiscal years ended July 31, 2018 and July 31, 2017 were as follows:

 

   2018   2017 
Distributions paid from:          
Ordinary income  $5,140,711   $5,005,538 
Net long-term capital gains   -    - 
Total taxable distributions   5,140,711    5,005,538 
Total distributions paid  $5,140,711   $5,005,538 

 

The Fund utilized $1,761,363 of its capital loss carryforwards during the year ended July 31, 2018.

 

40 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

Note 5 – Investment Transactions

For the year ended July 31, 2018, purchases and sales of investments, excluding short-term investments, futures contracts, options contracts and swap contracts, were $198,010,693 and $165,810,181, respectively. Proceeds from securities sold short and cover short securities were $24,463,944 and $20,795,649, respectively, for the same period.

 

Note 6 – Shareholder Servicing Plan

The Fund has adopted a Shareholder Servicing Plan to pay a fee at an annual rate of up to 0.25% of average daily net assets of shares serviced by shareholder servicing agents who provide administrative and support services to their customers.

 

For the year ended July 31, 2018, shareholder servicing fees incurred are disclosed on the Statement of Operations.

 

Note 7 – Indemnifications

In the normal course of business, the Fund enters into contracts that contain a variety of representations which provide general indemnifications. The Fund’s maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Fund that have not yet occurred. However, the Fund expects the risk of loss to be remote.

 

Note 8 – Fair Value Measurements and Disclosure

Fair Value Measurements and Disclosures defines fair value, establishes a framework for measuring fair value in accordance with GAAP, and expands disclosure about fair value measurements. It also provides guidance on determining when there has been a significant decrease in the volume and level of activity for an asset or a liability, when a transaction is not orderly, and how that information must be incorporated into a fair value measurement.

 

Under Fair Value Measurements and Disclosures, various inputs are used in determining the value of the Fund’s investments. These inputs are summarized into three broad Levels as described below:

 

Level 1 – Unadjusted quoted prices in active markets for identical assets or liabilities that the Fund has the ability to access.

 

Level 2 – Observable inputs other than quoted prices included in Level 1 that are observable for the asset or liability, either directly or indirectly. These inputs may include quoted prices for the identical instrument on an inactive market, prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates and similar data.

 

Level 3 – Unobservable inputs for the asset or liability, to the extent relevant observable inputs are not available, representing the Fund’s own assumptions about the assumptions a market participant would use in valuing the asset or liability, and would be based on the best information available.

 

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3.

 

41 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

The inputs used to measure fair value may fall into different Levels of the fair value hierarchy. In such cases, for disclosure purposes, the Level in the fair value hierarchy within which the fair value measurement falls in its entirety, is determined based on the lowest Level input that is significant to the fair value measurement in its entirety.

 

The inputs or methodology used for valuing securities are not an indication of the risk associated with investing in those securities. The following is a summary of the inputs used, as of July 31, 2018, in valuing the Fund’s assets carried at fair value:

 

Assets  Level 1   Level 2   Level 3**   Total   
Bank Loans  $-   $9,548,471   $-   $9,548,471   
Bonds                  
Asset-Backed Securities   -    109,635,326    -    109,635,326   
Commercial Mortgage-Backed Securities   -    968,508    -    968,508   
Corporate*   -    7,733,628    -    7,733,628   
Residential Mortgage-Backed Securities   -    519,296    -    519,296   
Common Stock*   137,064    -    -    137,064   
Purchased Options Contracts   111,243    -    -    111,243   
Short-Term Investments   7,729,549    -    -    7,729,549   
Total Investments   7,977,856    128,405,229    -    136,383,085   
Other Financial Instruments***                      
 Credit Default Swap Contracts   -    4,596    -    4,596   
Total Assets  $7,977,856   $128,409,825   $-   $136,387,681 

 

Liabilities

                    
Bonds                    
Corporate*  $-   $4,695,066   $-   $4,695,066 
Total Liabilities  $-   $4,695,066   $-   $4,695,066 

 

*All corporate bonds held in the Fund are Level 2 securities and all common stocks held in the Fund are Level 1 securities. For a detailed break-out by major industry classification, please refer to the Schedule of Investments.
**The Fund did not hold any Level 3 securities at period end.
***Other financial instruments are derivative instruments, such as futures contracts and swap contracts. Futures contracts and swap contracts are valued at the unrealized appreciation (depreciation) on the instrument.

 

Transfers between Levels 1, 2, or 3 are recognized at the end of the reporting period. There were no transfers between levels at period end.

 

Note 9 – Derivatives and Hedging Disclosures

Derivatives and Hedging requires enhanced disclosures about the Fund’s derivative and hedging activities, including how such activities are accounted for and their effects on the Fund’s financial position, performance and cash flows.

 

The effects of these derivative instruments on the Fund's financial position and financial performance as reflected in the Statement of Assets and Liabilities and Statement of Operations are presented in the tables below. The fair values of derivative instruments as of July 31, 2018 by risk category are as follows:

 

42 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

 Derivatives not designated as hedging instruments
  

Credit

Contracts

  

Equity

Contracts

  

Interest

Rate

Contracts

   Total 
Assets                
Unrealized appreciation on                    
 open swap contracts  $4,596   $-   $-   $4,596 
Purchased options contracts,at fair value   -    111,243    -    111,243 
   $4,596   $111,243   $-   $115,839 

 

 Derivatives not designated as hedging instruments
  

Credit

Contracts

  

Equity

Contracts

  

Interest

Rate

Contracts

   Total 
Realized Gain (Loss) on Derivatives                
Purchased options contracts  $-   $(79,754)  $-   $(79,754)
Written Options Contracts   -    8,756    -    8,756 
Swaps contracts   55,718    -    -    55,718 
  $55,718   $(70,998)  $-   $(15,280)
    

Credit

Contracts

    

Equity

Contracts

    

 

Interest

Rate

Contracts

    Total 
Net Change in Unrealized Appreciation/Depreciation on Derivatives                
Purchased options contracts  $-   $(34,331)  $-   $(34,331)
Swap contracts   24,311    -    -    24,311 
   $24,311   $(34,331)  $-   $(10,020)

 

The notional amount is included on the Schedule of Investments. The quarterly average volumes of derivative instruments as of July 31, 2018 are as follows:

 

Derivatives not designated as hedging instruments       
Credit contracts  Credit default swap contracts  Notional amount  $1,475,000 
Equity contracts  Purchased options contracts  Notional amount   2,842,360 
Equity contracts  Written options contracts  Notional amount   (69,000)

 

43 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

Note 10 - Disclosures about Offsetting Assets and Liabilities

Disclosures about Offsetting Assets and Liabilities requires an entity to disclose information about offsetting and related arrangements to enable users of its financial statements to understand the effect of those arrangements on its financial position. The guidance requires retrospective application for all comparative periods presented.

 

A Fund mitigates credit risk with respect to OTC derivative counterparties through credit support annexes included with ISDA Master Agreements or other Master Netting Agreements which are the standard contracts governing most derivative transactions between the Fund and each of its counterparties. These agreements allow the Fund and each counterparty to offset certain derivative financial instruments’ payables and/or receivables against each other and/or with collateral, which is generally held by the Fund’s custodian. The amount of collateral moved to/from applicable counterparties is based upon minimum transfer amounts specified in the agreement. To the extent amounts due to the Fund from its counterparties are not fully collateralized contractually or otherwise, the Fund bears the risk of loss from counterparty non-performance.

 

The Fund’s Statement of Assets and Liabilities presents financial instruments on a gross basis, therefore there are no net amounts and no offset amounts within the Statement of Assets and Liabilities to present below. Gross amounts of the financial instruments, amounts related to financial instruments/cash collateral not offset in the Statement of Assets and Liabilities and net amounts are presented below:

 

         

Amounts Not Offset in Statement of

Assets and Liabilities

    
Description/Financial Instrument/Statement of Assets and Liabilities Category  Counterparty 

Gross Amounts Recognized in Statement of

Assets and Liabilities

   Financial Instruments*  Cash Collateral**   Net Amount 
Unrealized appreciation on open swap contracts – asset  J.P. Morgan  $4,596 $ (4,596)  $-   $-

 

 

 

*Amounts relate to master netting agreements and collateral agreements (for example, ISDA) which have been determined by the Advisor to be legally enforceable in the event of default and where certain other criteria are met in accordance with applicable offsetting accounting guidance.
**Amounts relate to master netting agreements and collateral agreements which have been determined by the Advisor to be legally enforceable in the event of default but where certain other criteria are not met in accordance with applicable offsetting accounting guidance. The collateral amounts may exceed the related net amounts of financial assets and liabilities presented in the Statement of Assets and Liabilities. Where this is the case, the total amount reported is limited to the net amounts of financial assets and liabilities with that counterparty.

 

Note 11 – Line of Credit

The Fund together with other funds managed by the Advisor (together “Palmer Square Funds”) has entered into a Senior Secured Revolving Credit Facility (“Facility”) of $25,000,000 with UMB Bank, n.a. The Fund is permitted to borrow up to the lesser of one-third of the Fund’s total assets, or $2,500,000, the maximum amount permitted subject to the Fund’s investment limitations. The purpose of the Facility is to finance temporarily the repurchase or redemption of shares of each fund. Borrowings under this agreement bear interest at the one-month London Interbank Offered Rate (LIBOR) plus 1.75%. As compensation for holding the lending commitment available, the Palmer Square Funds are charged a commitment fee on the average daily unused balance of the Facility at the rate of 0.20% per annum. Commitment fees for the year ended July 31, 2018 are disclosed in the Statement of Operations. The Fund did not borrow under the line of credit agreement during the year ended July 31, 2018.

 

44 

 

Palmer Square Opportunistic Income Fund

NOTES TO FINANCIAL STATEMENTS - Continued

July 31, 2018

 

Note 12 – Events Subsequent to the Fiscal Period End

The Fund has adopted financial reporting rules regarding subsequent events which require an entity to recognize in the financial statements the effects of all subsequent events that provide additional evidence about conditions that existed at the date of the balance sheet. Management has evaluated the Fund’s related events and transactions that occurred through the date of issuance of the Fund’s financial statements. There were no events or transactions that occurred during this period that materially impacted the amounts or disclosures in the Fund’s financial statements.

 

45 

 

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

To the Board of Trustees

and the Shareholders of the Palmer Square Opportunistic Income Fund

 

Opinion on the Financial Statements

 

We have audited the accompanying statement of assets and liabilities of the Palmer Square Opportunistic Income Fund (the “Fund”), including the schedule of investments, as of July 31, 2018, the related statement of operations for the year then ended, the statements of changes in net assets for each of the two years in the period then ended, financial highlights for each of the three years in the period then ended and for the period August 29, 2014 (commencement of operations) through July 31, 2015, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of July 31, 2018, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period then ended, and the financial highlights for each of the three years in the period then ended and for the period August 29, 2014 (commencement of operations) through July 31, 2015, in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB. We have served as the auditor of the Fund since 2014.

 

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Fund is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting, but not for the purpose of expressing an opinion on the effectiveness of the Fund’s internal control over financial reporting. Accordingly, we express no such opinion.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of July 31, 2018 by correspondence with the custodian and brokers; when replies from brokers were not received, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

  TAIT, WELLER & BAKER LLP

 

Philadelphia, Pennsylvania

September 28, 2018

 

46 

 

Palmer Square Opportunistic Income Fund

SUPPLEMENTAL INFORMATION (Unaudited)

 

Trustees and Officers Information

Additional information about the Trustees is included in the Fund’s Statement of Additional Information which is available, without charge, upon request by calling (866) 933-9033. The Trustees and officers of the Fund and their principal occupations during the past five years are as follows:

Name, Address, Year of Birth and

Position(s) held with Trust

Term of Office; Length of Time Served

Principal Occupation During the

Past Five Years and Other Affiliations

Number of Portfolios in the Fund Complex

Overseen by Trustee

Other Directorships Held by Trustee During the

Past Five Years

“Independent” Trustees:      

Megan Leigh Webber, CPA

(born 1975)

Trustee

Indefinite; Since August 2014 Financial Reporting Manager, The Anschutz Corporation (2000 - present). Supervising Audit Senior, KPMG, LLP (1997 - 2000). 1 None

James Neville Jr.

(born 1964)

Trustee

Indefinite; Since August 2014 Portfolio Manager, Great Plains Principal Trading (January 2012 - present). Proprietary Trader (1987 - 2011). 1

None

 

Interested Trustee:      

Christopher D. Long

(born 1975)

Trustee, Chairman of the Board and President

Indefinite; Since February 2018 President and Founder of Palmer Square Capital Management LLC (2009 - present). Managing Director and Investment Committee Member, Prairie Capital Management, LLC (October 2006 – April 2009). Trustee and Chairman of the Board (February 2018-present). President (August 2016-present) and Vice President (August 2014- August 2016) Palmer Square Opportunistic Income Fund Trust. N/A N/A
Officers of the Trust:    

Jeffrey Fox

(born 1975)

Treasurer

Indefinite; Since March 2017 Managing Director, Palmer Square Capital Management LLC (April 2013–present). Managing Director, Sandler O’Neil and Partners (September 2011 – March 2013). N/A

N/A

 

 

Daniel Fowler

(born 1981)

Secretary

Indefinite; Since August 2018 Senior Compliance Associate, Palmer Square Capital Management, LLC (April 2018-present). Senior Compliance Associate, Mariner Holdings, LLC (June 2017-March 2018). Assistant Director of Fund Administration, State Street (March 2015-May 2017). Fund Administration Manager, State Street (August 2013-February 2015). N/A N/A

Scott Betz

(born 1977)

Chief Compliance Officer

Indefinite; Since April 2018

Chief Operating Officer and Chief Compliance Officer, Palmer Square Capital Management, LLC (March 2018-present). Chief Operating Officer, Scout Investments, (December 2010-March 2018). Chief Compliance Officer, Scout Investments (May 2016-January 2018).

N/A N/A

 

The address for the Trustees and officers is 2000 Shawnee Mission Parkway, Suite 300, Mission Woods, KS 66205.

 

47 

 

Palmer Square Opportunistic Income Fund

EXPENSE EXAMPLE

For the Six Months Ended July 31, 2018 (Unaudited)

 

Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, and (2) ongoing costs, including management fees, distribution fees and other Fund expenses. The examples below are intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds.

 

These examples are based on an investment of $1,000 invested at the beginning of the period and held for the entire period from February 1, 2018 to July 31, 2018.

 

Actual Expenses

The information in the row titled “Actual Performance” of the table below provides actual account values and actual expenses. You may use the information in these columns, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the appropriate row under the column titled “Expenses Paid During Period” to estimate the expenses you paid on your account during this period.

 

Hypothetical Example for Comparison Purposes

The information in the row titled “Hypothetical (5% annual return before expenses)” of the table below provides hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratios and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in the Fund and other funds. To do so, compare these 5% hypothetical examples with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

 

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as sales charges (load) or contingent deferred sales charges. Therefore, the information in the row titled “Hypothetical (5% annual return before expenses)” is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

 

Beginning

Account Value

Ending

Account Value

Expenses Paid

During Period*

  2/1/18 7/31/18 2/1/18 – 7/31/18
Actual Performance $ 1,000.00 $ 1,013.60 $ 8.14
Hypothetical (5% annual return before expenses) $ 1,000.00 $ 1,016.71 $ 8.15

 

*Expenses are equal to the Fund’s annualized expense ratio of 1.63% multiplied by the average account value over the period, multiplied by 181/365 (to reflect the six month period). The expense ratios reflect an expense waiver. Assumes all dividends and distributions were reinvested.

 

48 

 

Palmer Square Opportunistic Income Fund

 

Investment Advisor

Palmer Square Capital Management LLC

2000 Shawnee Mission Parkway, Suite 300

Mission Woods, Kansas 66205

 

Independent Registered Public Accounting Firm

Tait, Weller & Baker LLP

1818 Market Street, Suite 2400

Philadelphia, Pennsylvania 19103

 

Custodian

UMB Bank, n.a.

928 Grand Boulevard, 5th Floor

Kansas City, Missouri 64106

 

Fund Co-Administrator

Mutual Fund Administration, LLC

2220 E. Route 66, Suite 226

Glendora, California 91740

 

Fund Co-Administrator, Transfer Agent and Fund Accountant

UMB Fund Services, Inc.

235 W. Galena Street

Milwaukee, Wisconsin 53212

 

Distributor

Foreside Fund Services, LLC

Three Canal Plaza, Suite 100

Portland, Maine 04101

www.foreside.com

 

 

 

FUND INFORMATION

  TICKER CUSIP
Palmer Square Opportunistic Income Fund PSOIX 611776 105

 

Privacy Principles of the Palmer Square Opportunistic Income Fund for Shareholders

The Fund is committed to maintaining the privacy of its shareholders and to safeguarding its non-public personal information. The following information is provided to help you understand what personal information the Fund collects, how we protect that information and why, in certain cases, we may share information with select other parties.

 

Generally, the Fund does not receive any non-public personal information relating to its shareholders, although certain non-public personal information of its shareholders may become available to the Fund. The Fund does not disclose any non-public personal information about its shareholders or former shareholders to anyone, except as permitted by law or as is necessary in order to service shareholder accounts (for example, to a transfer agent or third party administrator).

 


 

This report is sent to shareholders of the Palmer Square Opportunistic Income Fund for their information. It is not a Prospectus, circular or representation intended for use in the purchase or sale of shares of the Fund or of any securities mentioned in this report.

 

Proxy Voting Policies and Procedures

A description of the Fund’s proxy voting policies and procedures related to portfolio securities is available without charge, upon request, by calling the Fund at (866) 933-9033, or on the U.S. Securities and Exchange Commission’s (“SEC”) website at www.sec.gov.

 

Proxy Voting Record

Information regarding how the Fund voted proxies for portfolio securities, if applicable, during the most recent 12-month period ended June 30, is also available, without charge and upon request by calling the Fund at (866) 933-9033, or by accessing the Fund’s Form N-PX on the SEC’s website at www.sec.gov.

 

Form N-Q Disclosure

The Fund files its complete schedule of portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-Q. The Fund’s Form N-Q is available on the SEC website at www.sec.gov or by calling the Fund at (866) 933-9033. The Fund’s Form N-Q may also be viewed and copied at the SEC’s Public Reference Room in Washington, DC. Information on the operation of the Public Reference Room may be obtained by calling (800) SEC-0330.

 

Householding

The Fund will mail only one copy of shareholder documents, including prospectuses, annual and semi-annual reports and proxy statements, to shareholders with multiple accounts at the same address. This practice is commonly called “householding” and is intended to reduce expenses and eliminate duplicate mailings of shareholder documents. Mailings of your shareholder documents may be householded indefinitely unless you instruct us otherwise. If you do not want the mailing of these documents to be combined with those other members of your household, please call the Fund at (866) 933-9033.

 

Palmer Square Opportunistic Income Fund

P.O. Box 2175

Milwaukee, WI 53201

Toll Free: (866) 933-9033

 

 

 

Item 2. Code of Ethics.

 

The registrant has adopted a code of ethics that applies to the registrant’s principal executive officer and principal financial officer. The registrant has not made any amendments to its code of ethics during the period covered by this report. The registrant has not granted any waivers from any provisions of the code of ethics during the period covered by this report.

 

Item 3. Audit Committee Financial Expert.

 

The Board of Trustees of the Registrant has determined that the Registrant does not have an audit committee financial expert serving on its audit committee. The audit committee is composed of the Registrant’s two independent Trustees, each of whom possesses extensive industry experience, but none of whom has all of the technical attributes identified in Instruction 2(b) to Item 3 of Form N-CSR to qualify as an “audit committee financial expert.” The Board of Trustees believes that the audit committee has sufficient knowledge and experience to meet its obligations as the audit committee of the Registrant. In addition, the Board of Trustees notes that the audit committee has the authority to retain any experts necessary to carry out its duties.

 

Item 4. Principal Accountant Fees and Services.

 

The registrant has engaged its principal accountant to perform audit services, audit-related services, tax services and other services during the past two fiscal years. "Audit services" refer to performing an audit of the registrant's annual financial statements or services that are normally provided by the accountant in connection with statutory and regulatory filings or engagements for those fiscal years. "Audit-related services" refer to the assurance and related services by the principal accountant that are reasonably related to the performance of the audit. "Tax services" refer to professional services rendered by the principal accountant for tax compliance, tax advice, and tax planning. There were no "other services" provided by the principal accountant. The following table details the aggregate fees billed or expected to be billed for each of the last two fiscal years for audit fees, audit-related fees, tax fees and other fees by the principal accountant.

 

  FYE 7/31/2018 FYE 7/31/2017
Audit Fees $15,750 $15,250
Audit-Related Fees N/A N/A
Tax Fees $2,500 $2,500
All Other Fees N/A N/A

 

The audit committee has adopted pre-approval policies and procedures that require the audit committee to pre-approve all audit and non-audit services of the registrant, including services provided to any entity affiliated with the registrant.

 

 

 

The percentage of fees billed by Tait Weller applicable to non-audit services pursuant to waiver of pre-approval requirement were as follows:

 

  FYE 7/31/2018 FYE 7/31/2017
Audit-Related Fees 0% 0%
Tax Fees 0% 0%
All Other Fees 0% 0%

 

All of the principal accountant's hours spent on auditing the registrant's financial statements were attributed to work performed by full-time permanent employees of the principal accountant.

 

The following table indicates the non-audit fees billed or expected to be billed by the registrant's accountant for services to the registrant and to the registrant's investment adviser (and any other controlling entity, etc.—not sub-adviser) for the last two years. The audit committee of the Board of Trustees has considered whether the provision of non-audit services that were rendered to the registrant's investment adviser is compatible with maintaining the principal accountant's independence and has concluded that the provision of such non-audit services by the accountant has not compromised the accountant's independence.

 

Non-Audit Related Fees FYE 7/31/2018 FYE 7/31/2017
Registrant N/A N/A
Registrant’s Investment Advisor N/A N/A

 

Item 5. Audit Committee of Listed Registrants.

 

Not applicable to registrants who are not listed issuers (as defined in Rule 10A-3 under the Securities Exchange Act of 1934).

 

Item 6. Schedule of Investments.

 

(a) Schedule of Investments is included as part of the report to shareholders filed under Item 1 of this Form.

 

(b) Not Applicable.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

In accordance with Rules 30b1-4 (new) & 206(4)-6 (new) & 204-2 (amended) of the Investment Advisers Act of 1940, Palmer Square Capital Management LLC (“Palmer Square”) is providing all clients with a summary of its proxy voting procedures.

 

Upon opening an account with Palmer Square, clients are given the option to delegate proxy-voting discretion to Palmer Square by completing the appropriate documents. Palmer Square will only exercise proxy-voting discretion over client shares in the instances where clients give Palmer Square discretionary authority to vote on their behalf.

 

It is Palmer Square’s policy to vote client shares primarily in conformity with Glass Lewis & Co. recommendations, in order to limit conflict of interest issues between Palmer Square and its clients. Glass Lewis & Co. and Palmer Square retain a record of all recommendations.

 

 

 

Glass Lewis & Co. is a neutral third party that issues recommendations based upon its own internal guidelines.

 

Palmer Square may vote client shares inconsistent with Glass Lewis & Co. recommendations if Palmer Square believes it is in the best interest of its clients. In such a case, Palmer Square will have on file a written disclosure detailing why they believe Glass Lewis & Co.’s recommendation was not in the client’s best interest.

 

In situations where there is a conflict of interest in the voting of proxies due to business or personal relationships that Palmer Square maintains with persons having an interest in the outcome of certain votes, Palmer Square will take appropriate steps to ensure that its proxy voting decisions are made in the best interest of its clients.

 

Palmer Square votes client shares via ProxyEdge, an electronic voting platform provided by Broadridge Financial Solutions, Inc. Additionally, ProxyEdge retains a record of proxy votes for each client.

 

Annually, Palmer Square will file Form N-PX with the SEC, which will contain each fund’s complete proxy voting record.

 

Palmer Square’s Compliance Department will periodically review all proxy votes to ensure consistency with its procedures.

 

Upon request, clients can receive a copy of Palmer Square’s proxy voting procedures and Glass Lewis & Co.’s proxy voting guidelines.

 

These procedures are currently in effect.

 

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

 

(a)(1) Information presented is as of September 1, 2018

 

Angie K. Long and Christopher D. Long are jointly and primarily responsible for the day to day management of the Fund and have managed the Fund since it commenced operations on August 29, 2014.

 

Christopher D. Long. Mr. Long is the President and founder of the Advisor and is responsible for the Advisor’s alternative investments business and credit business, managing both the firm’s investment activities and operations as well as defining its investment policy. Mr. Long was a Managing Director and Investment Committee Member at Prairie Capital Management, LLC (“Prairie”) from 2006 to 2009, where he was one of the team members responsible for the firm’s proprietary alternative investment products. Prior to joining Prairie, Mr. Long was at various New York City-based firms including Sandell Asset Management, Corp. (“Sandell”), a multi-billion multi-strategy hedge fund, where he, as a Research Analyst, invested in both equity and debt securities from 2005 to 2006. Prior to Sandell, he worked at Morgan Stanley in the Credit Derivatives and Distressed Securities Group as an Associate, focusing on the firm’s proprietary investments during the summer of 2004. Before Morgan Stanley, Mr. Long worked at TH Lee Putnam Ventures, a $1.1 billion private equity fund sponsored by Thomas H. Lee Partners and Putnam Investments, from 1999 to 2003. In that role, he was a member of the investment team investing over $200 million of capital and served as a director and board observer at certain companies in which the fund invested. Mr. Long started his career at JPMorgan & Co. in Leveraged Finance and Mergers & Acquisitions (FIG Group), advising corporations and private equity firms on investment banking and capital markets, from 1997 through 1999. Mr. Long received an MBA from the Harvard Business School in 2005, and an undergraduate degree in Economics, cum laude, from Princeton University in 1997.

 

 

 

Angie K. Long, CFA. Ms. Long has been the Chief Investment Officer of the Advisor since February 2011. She is a member of the Advisor’s Investment Committee and has key responsibilities for all investment-related activities with a particular focus on portfolio construction and risk management. Prior to joining Palmer Square, Ms. Long worked for JPMorgan Chase & Co. in New York from 1998 to 2011. There, she held a variety of management and trading roles, including Deputy Head of Credit Trading for North America, Head of High Yield Trading, and Head of Credit Derivatives Trading. She has been a trader within many products and strategies including high yield bonds, high yield credit derivatives, distressed debt, capital structure arbitrage and structured credit. Among other career achievements, Ms. Long is credited with creating the High Yield Debt Index, the first liquid credit trading index. She was named a managing director of JPMorgan Chase & Co. at age 29. She was responsible for building JPMorgan’s High Yield Credit Derivatives business and Credit Options business. Ms. Long holds the Series 7, 63, 4, 55, and 24 securities licenses. She received an AB degree in Economics from Princeton University in 1997 and is a CFA® charterholder.

 

(a)(2) The following tables show information regarding accounts (other than the Fund) managed by each named portfolio manager as of July 31, 2018:

 

           With Advisory Fee based on Performance 

 

Type of Accounts

 

Number

of Accounts

  

Total

Assets

  

Number

of Accounts

  

Total

Assets

 
Christopher D. Long        
Registered Investment Companies:   4   $870,627,777    0   $0 
Other pooled investment vehicles:   20   $5,086,445,209    11   $3,284,898,326 
Other accounts:
   56   $478,798,725    0   $0 
                     
Angie K. Long, CFA                    
Registered Investment Companies:   4   $870,627,777    0   $0 
Other pooled investment vehicles:   20   $5,086,445,209    10   $3,284,898,326 
Other accounts:   24   $467,753,557    0   $0 
 

 

Portfolio Manager Potential Material Conflicts of Interest

 

It is possible that conflicts of interest may arise in connection with the portfolio managers' management of the Fund's investments on the one hand and the investments of other accounts or vehicles for which the portfolio managers are responsible on the other. For example, a portfolio manager may have conflicts of interest in allocating management time, resources and investment opportunities among the Fund and the other accounts or vehicles the portfolio manager advises. In addition, due to differences in the investment strategies or restrictions among the Fund and the other accounts, a portfolio manager may take action with respect to another account that differs from the action taken with respect to the Fund. In some cases, another account managed by a portfolio manager may provide more revenue to the Advisor. While this may appear to create additional conflicts of interest for the portfolio manager in the allocation of management time, resources and investment opportunities, the Advisor strives to ensure that portfolio managers endeavor to exercise their discretion in a manner that is equitable to all interested persons. In this regard, in the absence of specific account-related impediments, it is the policy of the Advisor to allocate investment ideas pro rata to all accounts with the same primary investment objective.

 

 

The goal of the Advisor is to provide high quality investment services to all of its clients, while meeting its fiduciary obligation to treat all clients fairly. The Advisor have adopted and implemented policies and procedures, including brokerage and trade allocation policies and procedures that it believes address the conflicts associated with managing multiple accounts for multiple clients.

 

(a)(3) Portfolio Managers’ Compensation as of July 31, 2018.

 

The portfolio managers receive a fixed base salary. Each portfolio manager is an equity owner of the firm and shares in the firm’s profits. The portfolio managers’ compensation arrangements are not determined on the basis of specific funds or accounts managed.

 

(a)(4) Beneficial Ownership of Securities as of July 31, 2018.

 

Portfolio Manager

Dollar Range of Equity Securities

of the Fund Beneficially Owned

Angie K. Long, CFA None
Christopher D. Long None

 

(b) Not applicable.

 

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

 

Not applicable.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

There have been no material changes to the procedures by which shareholders may recommend nominees to the registrant’s board of trustees.

 

Item 11. Controls and Procedures.

 

(a)The Registrant’s President and Treasurer have reviewed the Registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the “Act”)) as of a date within 90 days of the filing of this report, as required by Rule 30a-3(b) under the Act and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934. Based on their review, such officers have concluded that the disclosure controls and procedures are effective in ensuring that information required to be disclosed in this report is appropriately recorded, processed, summarized and reported and made known to them by others within the Registrant and by the Registrant’s service provider.

 

(b)There were no changes in the Registrant's internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant's internal control over financial reporting.

 

 

 

Item 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

The registrant did not have any Securities Lending Activities during the period covered by the report.

 

Item 13. Exhibits.

 

(1) Any code of ethics or amendment thereto, that is subject of the disclosure required by Item 2, to the extent that the registrant intends to satisfy Item 2 requirements through filing an exhibit. Incorporated by reference to the Registrant’s Form N-CSR filed October 9, 2015.

(a)

(2) Certifications pursuant to Section 302 of the Sarbanes-Oxley Act of 2002. Filed herewith.

 

(3) Any written solicitation to purchase securities under Rule 23c-1 under the Act sent or given during the period covered by the report by or on behalf of the registrant to 10 or more persons. Not applicable.

 

(b)Certification pursuant to Section 906 of the Sarbanes-Oxley Act of 2002. Furnished herewith.

 

 

SIGNATURES

 

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

 

(Registrant) Palmer Square Opportunistic Income Fund  
     
By (Signature and Title) /s/ Christopher D. Long  
  Christopher D. Long, President and Principal Executive Officer  
     
Date 10/9/18  

 

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

 

By (Signature and Title) /s/ Christopher D. Long  
  Christopher D. Long, President and Principal Executive Officer  
     
Date 10/9/18  
     
By (Signature and Title) /s/ Jeffrey D. Fox  
  Jeffrey D. Fox, Treasurer and Principal Financial Officer  
     
Date 10/9/18  
     

EX-99.CERT 2 fp0036172_ex99cert.htm

EX.99.CERT

CERTIFICATIONS

 

I, Christopher D. Long, certify that:

 

1.I have reviewed this report on Form N-CSR of Palmer Square Opportunistic Income Fund;

 

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

 

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

 

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

 

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

 

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

 

(c)Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

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

 

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

 

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

 

Date: 10/09/18   /s/ Christopher D. Long  
     

Christopher D. Long

 
     

President and Principal Executive Officer

 

 

 

 

 

CERTIFICATIONS

 

I, Jeffrey D. Fox, certify that:

 

1.I have reviewed this report on Form N-CSR of Palmer Square Opportunistic Income Fund;

 

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

 

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

 

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

 

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

 

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

 

(c)Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

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

 

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

 

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

 

Date: 10/9/18   /s/ Jeffrey D. Fox  
      Jeffrey D. Fox  
      Treasurer and Principal Financial Officer  

EX-99.906 CERT 3 fp0036172_ex99906cert.htm

EX.99.906CERT

Certification of CEO and CFO Pursuant to

18 U.S.C. Section 1350,

as Adopted Pursuant to

Section 906 of the Sarbanes-Oxley Act of 2002

 

In connection with the report on Form N-CSR of Palmer Square Opportunistic Income Fund for the fiscal year ended July 31, 2018 (the “Report”), Christopher D. Long, as President and Principal Executive Officer of the Trust, and Jeffrey D. Fox, as Treasurer and Principal Financial Officer of the Trust, each hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of his or her knowledge:

 

  (1) the Report fully complies with the requirements of Section 13 (a) or 15 (d) of the Securities Exchange Act of 1934; and

 

  (2) the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Date 10/9/2018  
     
/s/ Christopher D. Long  
Christopher D. Long  
President and Principal Executive Officer  
     
/s/ Jeffrey D. Fox  
Jeffrey D. Fox  
Treasurer and Principal Financial Officer  

 

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