0001752724-24-115109.txt : 20240523 0001752724-24-115109.hdr.sgml : 20240523 20240523132413 ACCESSION NUMBER: 0001752724-24-115109 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240331 FILED AS OF DATE: 20240523 DATE AS OF CHANGE: 20240523 PERIOD START: 20241231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CION Ares Diversified Credit Fund CENTRAL INDEX KEY: 0001678124 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23165 FILM NUMBER: 24977265 BUSINESS ADDRESS: STREET 1: 100 PARK AVENUE STREET 2: 25TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 212-418-4700 MAIL ADDRESS: STREET 1: 100 PARK AVENUE STREET 2: 25TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 NPORT-P 1 primary_doc.xml NPORT-P false 0001678124 XXXXXXXX CION Ares Diversified Credit Fund 811-23165 0001678124 549300F7A47KKXH50363 3 PARK AVENUE 36TH FLOOR New York 10016 646-845-2577 CION Ares Diversified Credit Fund 549300F7A47KKXH50363 2024-12-31 2024-03-31 N 5299271550.32 1781730743.84 3517540806.48 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 689078888.50000000 0.00000000 0.00000000 0.00000000 114902000.42 0.00000000 570000000.00000000 138416426.59000000 GBP CAD AUD SEK EUR USD N PFL MMA, Inc. 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N/A Mitchell International, Inc./Term Loan (Second Lien) 10/21 N/A 12251734.18000000 PA USD 12233846.65000000 0.347795443551 Long LON CORP US N 2 2029-10-15 Floating 11.94180000 N N N N N N VRC Companies, LLC N/A VRC Companies, LLC/Note 6/21 N/A 26032.07000000 PA USD 24730.47000000 0.000703061353 Long DBT CORP US N 3 2028-06-29 Fixed 12.00000000 N N Y N N N Visual Edge Technology, Inc. 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N/A Bamboo Purchaser, Inc./Delayed Draw Term Loan 11/21 N/A 819554.97000000 PA USD 778577.22000000 0.022134134693 Long LON CORP US N 3 2027-11-05 Floating 11.95940000 N N N N N N Telesat Canada / Telesat LLC N/A TELSAT 5.625% 1st lien Nts due 2026 144A 87952VAR7 14223000.00000000 PA USD 7147057.50000000 0.203183357157 Long DBT CORP CA Y 2 2026-12-06 Fixed 5.62500000 N N N N N N Osmose Utilities Services, Inc. 549300FSLVHLFZ3S0D82 Osmose Utilities Services, Inc./Term Loan 06/21 68835HAH3 25000000.00000000 PA USD 24625000.00000000 0.700062951782 Long LON CORP US N 2 2028-06-23 Floating 8.69180000 N N N N N N DS Admiral Bidco, LLC N/A DS Admiral Bidco, LLC/Term Loan 3/21 N/A 2371114.61000000 PA USD 2371114.61000000 0.067408304279 Long LON CORP US N 3 2028-03-16 Floating 11.80190000 N N N N N N Hills Distribution, Inc. N/A Hills Distribution, Inc./Term Loan 11/23 N/A 534068.00000000 PA USD 523386.64000000 0.014879333852 Long LON CORP US N 3 2029-11-08 Floating 11.32260000 N N N N N N Symplr Software Inc. N/A Symplr Software Inc./Second Lien Initial Term Loan 12/20 N/A 12342660.05000000 PA USD 11725527.05000000 0.333344449861 Long LON CORP US N 3 2028-12-22 Floating 13.28770000 N N N N N N Asurion, LLC N/A Asurion, LLC/New B-4 Term Loan 07/21 (2nd Lien) N/A 5000000.00000000 PA USD 4453900.00000000 0.126619710901 Long LON CORP US N 2 2029-01-20 Floating 10.69180000 N N N N N N Accession Risk Management Group, Inc. 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N/A Cobalt Buyer Sub, Inc./Closing Date Term Loan 10/21 N/A 7259727.45000000 PA USD 7259727.45000000 0.206386445798 Long LON CORP US N 3 2028-10-02 Floating 11.44460000 N N N N N N AffiniPay Midco, LLC N/A AffiniPay Midco, LLC/First Amendment Term Loan 1/21 N/A 707024.46000000 PA USD 707024.46000000 0.020099964688 Long LON CORP US N 3 2028-06-09 Floating 10.81270000 N N N N N N Trustly AB N/A Trustly AB/Facility D 06/18 N/A 2700000.00000000 PA 252242.15000000 0.007170980064 Long LON CORP SE N 3 2025-06-30 Floating 10.77300000 N N N N N N RMS Holdco II, LLC N/A RMS Holdco II, LLC/Closing Date Term Loan 12/21 N/A 7066633.77000000 PA USD 6783968.42000000 0.192861115001 Long LON CORP US N 3 2027-12-16 Floating 11.68020000 N N N N N N Elemica Parent, Inc. N/A Elemica Parent, Inc./Amendment No. 1 Term Loan 11/20 N/A 852543.68000000 PA USD 835492.81000000 0.023752185289 Long LON CORP US N 3 2025-09-18 Floating 10.97930000 N N N N N N USI, Inc. 2549006D7UF7072T7I27 USI, Inc./Term Loan 09/23 90351NAL9 7554725.17000000 PA USD 7557067.13000000 0.214839501394 Long LON CORP US N 2 2030-09-27 Floating 8.55190000 N N N N N N Trident TPI Holdings, Inc. 549300TPLK304J3RNC85 TEKNI 12.75% Sr Unsecured Nts due 2028 144A 89616RAC3 12102000.00000000 PA USD 12911055.01000000 0.367047767753 Long DBT CORP US Y 2 2028-12-31 Fixed 12.75000000 N N N N N N Invesco Vaf V Investments, LLC N/A Invesco Vaf V Investments, LLC/Term Loan 07/23 N/A 3333333.33000000 PA USD 3300000.00000000 0.093815542776 Long LON CORP US N 3 2028-07-10 Fixed 11.50000000 N N Y N N N Eagle Football Holdings Limited N/A Eagle Football Holdings Limited/Ordinary Shares N/A 14.00000000 NS 90379.78000000 0.002569402459 Long EC CORP GB Y 3 N N N BCC 2021-3 N/A BCC 2021-3A E 05683PAA5 500000.00000000 PA USD 493288.00000000 0.014023661050 Long ABS-CBDO CORP KY Y 3 2034-07-24 Floating 12.08020000 N N N N N N Helios Service Partners, LLC & Astra Service Partners, LLC N/A Helios Service Partners, LLC & Astra Service Partners, LLC/Delayed Draw Term Loan 1/24 N/A 504934.00000000 PA USD 504934.00000000 0.014354744629 Long LON CORP US N 3 2027-03-19 Floating 0.00000000 N N N N N N Scripps Escrow II Inc N/A SSP 3.875% 1st lien Nts due 2029 144A 81105DAA3 12325000.00000000 PA USD 9801272.61000000 0.278639912064 Long DBT CORP US Y 2 2029-01-15 Fixed 3.87500000 N N N N N N Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC N/A Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC/Initial Term Loan 11/22 N/A 5923722.58000000 PA USD 5923722.58000000 0.168405227000 Long LON CORP US N 3 2026-11-16 Floating 14.40940000 N N N N N N MAGNE 2020-28 54930077HHZ1QV5CPQ30 MAGNE 2020-28A SUB 55955MAC4 5250000.00000000 PA USD 4246725.00000000 0.120729942696 Long ABS-O CORP KY Y 3 N N N Enviva Inc. 549300WH5VXDEFM5KR81 Enviva Inc./DIP Tranche A 29415DAG4 3900386.05000000 PA USD 4563451.68000000 0.129734150392 Long LON CORP US N 3 2024-12-13 Floating 13.32930000 N N N N N N Conservice Midco, LLC 254900F6TNZYKCEM6A28 Conservice Midco, LLC/Initial Loan (Second Lien) 05/20 20848PAE8 13904605.26000000 PA USD 13904605.26000000 0.395293360474 Long LON CORP US N 3 2028-05-15 Floating 12.33020000 N N N N N N CIFC 2015-4 549300ZXX0SJBZWIWI81 CIFC 2015-4A SUB 12550VAE0 2251500.00000000 PA USD 782463.80000000 0.022244626091 Long ABS-O CORP KY Y 3 N N N Avaya Holdings Corp. 549300NZS2OZN6Q63A60 2261712D US Private Comp 05351X309 2607.00000000 NS USD 15859.68000000 0.000450874087 Long EC CORP US N 2 N N N OI European Group BV 72450053F5WRDY8CDZ66 OI 4.75% Sr Unsecured Nts due 2030 144A 67777LAD5 5250000.00000000 PA USD 4832187.68000000 0.137374033333 Long DBT CORP NL Y 2 2030-02-15 Fixed 4.75000000 N N N N N N WSHP FC Holdings LLC N/A WSHP FC Holdings LLC/Common Units N/A 361.66000000 NS USD 36564.73000000 0.001039496967 Long EC CORP US Y 3 N N N HRPK 2020-1 549300BI9STOGTECXV18 HRPK 2020-1A SUB 413718AC1 3985000.00000000 PA USD 3245631.07000000 0.092269891056 Long ABS-O CORP KY Y 3 N N N HH-Stella, Inc. 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N/A Capstone Acquisition Holdings, Inc./Revolving Credit 11/20 N/A 1150061.80000000 PA USD 1150061.80000000 0.032695052119 Long LON CORP US N 3 2025-11-12 Floating 0.00000000 N N N N N N PSC Group LLC N/A PSC Group LLC/Delayed Draw Term Loan 7/19 N/A 103863.39000000 PA USD 103863.39000000 0.002952727365 Long LON CORP US N 3 2025-07-23 Floating 11.49810000 N N N N N N High Street HoldCo LLC N/A High Street HoldCo LLC N/A 938770.82000000 NS USD 1099142.92000000 0.031247481705 Long EP CORP US Y 3 N N N ASPIRE BIDCO LIMITED N/A ASPIRE BIDCO LIMITED/Additional Facility B1 07/22 N/A 4218289.08000000 PA 5324105.87000000 0.151358752120 Long LON CORP JE N 3 2028-09-04 Floating 12.22420000 N N N N N N Gotham Greens Holdings, PBC N/A Gotham Greens Holdings, PBC/Warrant Shares N/A 31841.61960000 NC USD 0.00000000 0.000000 N/A DE CORP US Y 3 Company Direct N/A Call Purchased Gotham Greens Holdings, Pbc Gotham Greens Holdings, Pbc 1.00000000 0.01000000 USD 2032-06-28 XXXX 0.00000000 N N N AQ Sunshine, Inc. N/A AQ Sunshine, Inc./Tranche F Term Loan 12/23 N/A 897833.79000000 PA USD 897833.79000000 0.025524474040 Long LON CORP US N 3 2027-04-15 Floating 11.70190000 N N N N N N Reddy Ice LLC N/A Reddy Ice LLC/Revolver 7/19 N/A 955102.04000000 PA USD 955102.04000000 0.027152550390 Long LON CORP US N 3 2025-07-01 Floating 12.50000000 N N N N N N CVP Holdco, Inc. N/A CVP Holdco, Inc./Revolver 10/19 N/A 3004544.00000000 PA USD 3004544.00000000 0.085416038229 Long LON CORP US N 3 2024-10-31 Floating 0.00000000 N N N N N N AIMCO 2021-16 N/A AIMCO 2021-16X SUB BCC33J4N5 1000000.00000000 PA USD 795807.00000000 0.022623959288 Long ABS-O CORP KY N 3 N N N Brokers Alliance S.L. N/A Brokers Alliance S.L./Unitranche Facility EUR 03/22 N/A 901499.97000000 PA 972586.30000000 0.027649609585 Long LON CORP ES N 3 2029-04-09 Floating 10.13600000 N N N N N N MDPK 2021-59 N/A MDPK 2021-59X SUB BCC3491H2 1500000.00000000 PA USD 1047943.50000000 0.029791935833 Long ABS-O CORP KY N 3 N N N AllClear Military Inc. 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N/A GC Waves Holdings, Inc./2023 Replacing Delayed Draw Term Loan Commitments 7/23 N/A 7548.09000000 PA USD 7548.09000000 0.000214584290 Long LON CORP US N 3 2029-08-10 Floating 10.67730000 N N N N N N athenahealth Group Inc. N/A athenahealth Group Inc./Term Loan B 01/22 N/A 8005592.60000000 PA USD 7919292.31000000 0.225137183779 Long LON CORP US N 2 2029-02-15 Floating 8.58020000 N N N N N N Laboratories Bidco LLC N/A Laboratories Bidco LLC/Delayed Draw Term Loan 7/21 N/A 290640.33000000 PA USD 252857.09000000 0.007188462164 Long LON CORP US N 3 2027-07-23 Floating 12.20940000 N N N N N N 3 Step Sports LLC N/A 3 Step Sports LLC/Revolver 10/23 N/A 123730.00000000 PA USD 117543.50000000 0.003341638561 Long LON CORP US N 3 2028-10-02 Floating 13.33020000 N N N N N N MDPK 2016-22 254900YXXBTCF4NGD347 MDPK 2016-22A SUB 55819VAC0 7400000.00000000 PA USD 3946745.60000000 0.112201842626 Long ABS-O CORP KY Y 3 N N N Nomi Health, Inc. N/A Nomi Health, Inc. 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N/A Bamboo Purchaser, Inc./Revolver 11/21 N/A 1000.00000000 PA USD 1000.00000000 0.000028428952 Long LON CORP US N 3 2026-11-05 Floating 8.22570000 N N N N N N Optio Group Limited N/A Optio Group Limited/GBP Facility B 03/19 N/A 360248.44000000 PA 454686.91000000 0.012926272501 Long LON CORP GB N 3 2026-03-16 Floating 12.46600000 N N N N N N Clarion Home Services Group, LLC N/A Clarion Home Services Group, LLC/Closing Date Term Loan 12/21 N/A 2344056.27000000 PA USD 2156531.77000000 0.061307938944 Long LON CORP US N 3 2027-12-06 Floating 12.41270000 N N Y N N N 285 Schermerhorn LLC N/A 285 Schermerhorn LLC/Senior Loan 3/22 285S59208 4254363.68000000 PA USD 3218553.75000000 0.091500111216 Long LON CORP US N 3 2024-04-05 Floating 16.03920000 N N N N N N Mimecast Borrowerco, Inc. N/A Mimecast Borrowerco, Inc./Dollar Term Loan 5/22 N/A 37989893.70000000 PA USD 37989893.70000000 1.080012878031 Long LON CORP US N 3 2029-05-18 Floating 10.58000000 N N N N N N Registrar Intermediate, LLC N/A Registrar Intermediate, LLC/Initial Term Loan 8/21 N/A 4104369.61000000 PA USD 4022282.22000000 0.114349269597 Long LON CORP US N 3 2027-08-26 Floating 10.64440000 N N N N N N Consilio Midco Limited N/A Consilio Midco Limited/DDTL-2 05/21 N/A 427372.98000000 PA USD 427372.98000000 0.012149766086 Long LON CORP GB N 3 2028-05-26 Floating 11.20190000 N N N N N N Cority Software (USA) Inc. 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(f/k/a MedPlast Holdings Inc.) N/A Viant Medical Holdings, Inc. (f/k/a MedPlast Holdings Inc.)/k/a MedPlast Holdings Inc.)/k/a MedPlast Holdings Inc.)/New First Lien Term Loan 11/19 58506PAJ0 526655.52000000 PA USD 526655.52000000 0.014972264686 Long LON CORP US N 3 2025-07-02 Floating 11.69460000 N N N N N N AIMCO 2023-20 2549009AFNTQKXTAWE65 AIMCO 2023-20A SUB 00901TAC0 1500000.00000000 PA USD 1379487.00000000 0.039217370199 Long ABS-O CORP JE Y 3 N N N N/A N/A Forward Contracts: EUR 04/26/2024 N/A 1.00000000 NC -2003659.00000000 -0.05696192624 N/A DFE CORP N/A N 2 Morgan Stanley N/A -1855436.25000000 EUR -2017230.00000000 USD 2024-04-26 13571.00000000 N N N Tutor Perini Corporation 549300FHXYVPW8LJ6D98 TPC 6.875% Sr Unsecured Nts due 2025 144A 901109AF5 24116000.00000000 PA USD 23868926.76000000 0.678568581664 Long DBT CORP US Y 2 2025-05-01 Fixed 6.87500000 N N N N N N WorkWave Intermediate II, LLC N/A WorkWave Intermediate II, LLC/Delayed Draw Term Loan 6/21 N/A 1549919.23000000 PA USD 1549919.23000000 0.044062579946 Long LON CORP US N 3 2027-06-29 Floating 12.65940000 N N N N N N Aptean, Inc. N/A Aptean, Inc./Revolver 1/24 N/A 280475.00000000 PA USD 277670.25000000 0.007893874308 Long LON CORP US N 3 2031-01-30 Floating 0.00000000 N N N N N N TA/WEG Holdings, LLC N/A TA/WEG Holdings, LLC/2020 Delayed Draw Term Loan 11/20 N/A 2441324.38000000 PA USD 2441324.38000000 0.069404294486 Long LON CORP US N 3 2027-10-04 Floating 10.84130000 N N N N N N United Digestive MSO Parent, LLC N/A United Digestive MSO Parent, LLC/Revolver 03/23 N/A 129943.00000000 PA USD 129943.00000000 0.003694143356 Long LON CORP US N 3 2029-03-30 Floating 12.07080000 N N N N N N MWG BidCo ApS N/A MWG BidCo ApS/Facility B 08/21 N/A 4934211.00000000 PA 713670.53000000 0.020288905495 Long LON CORP DK N 3 2028-02-29 Floating 10.88600000 N N N N N N Veonet Lense GmbH N/A Veonet Lense GmbH/EUR Term Loan 02/ 22 N/A 5000000.00000000 PA 5376735.61000000 0.152854960491 Long LON CORP DE N 2 2029-03-14 Floating 8.15200000 N N N N N N Cloud Software Group, Inc. 04EEB871XLHVNY4RZJ65 Cloud Software Group, Inc./Term A Loan (First Lien) 09/22 88632NAX8 5228123.90000000 PA USD 5202715.22000000 0.147907743114 Long LON CORP US N 2 2028-09-29 Floating 9.90940000 N N N N N N GC Waves Holdings, Inc. 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N/A ExtraHop Networks, Inc./2023 Incremental Last Out Term Loan 03/23 N/A 380492.00000000 PA USD 380492.00000000 0.010816988940 Long LON CORP US N 3 2027-07-22 Floating 12.93020000 N N N N N N Mr. Greens Intermediate, LLC N/A Mr. Greens Intermediate, LLC/Delayed Draw Term Loan 05/23 N/A 966770.00000000 PA USD 966770.00000000 0.027484258269 Long LON CORP US N 3 2029-05-01 Floating 0.00000000 N N N N N N The Ultimus Group, LLC N/A The Ultimus Group, LLC N/A 1609.07000000 NS USD 736.59000000 0.000020940482 Long EC CORP US Y 3 N N N Neptune BidCo US Inc. N/A Neptune BidCo US Inc./Term Loan A 10/22 N/A 13211173.46000000 PA USD 12078843.78000000 0.343388874345 Long LON CORP US N 2 2028-10-11 Floating 10.17340000 N N N N N N RRAM 2019-6 549300KSO6EE9C4GF767 RRAM 2019-6A SUB 74990GAC5 1000000.00000000 PA USD 761073.00000000 0.021636508056 Long ABS-O CORP KY Y 3 N N N Edelman Financial Center, LLC 549300Z31KZXNP05U733 Edelman Financial Engines Center, LLC, The/2021 Refinancing Term Loan 27943UAK2 20000000.00000000 PA USD 19995200.00000000 0.568442588161 Long LON CORP US N 2 2028-04-07 Floating 8.94460000 N N N N N N Repairify, Inc. N/A Repairify, Inc./Revolver 6/21 N/A 765748.39000000 PA USD 750433.42000000 0.021334035944 Long LON CORP US N 3 2027-06-14 Floating 10.73440000 N N N N N N Ardonagh Finco B.V. and Ardonagh Finco LLC N/A Ardonagh Finco B.V. and Ardonagh Finco LLC/Facility B1 EUR Term Loan 2/24 N/A 12228878.76000000 PA 12995269.85000000 0.369441907427 Long LON CORP GB N 3 2031-02-17 Fixed 8.66800000 N N N N N N GS SEER Group Borrower LLC N/A GS SEER Group Borrower LLC/Term Loan 04/23 N/A 323244.34000000 PA USD 323244.34000000 0.009189497941 Long LON CORP US N 3 2030-04-29 Floating 12.05940000 N N N N N N Flexsys Holdings, Inc. N/A Flexsys Holdings, Inc./Term Loan B N/A 6982188.29000000 PA USD 6810566.10000000 0.193617259178 Long LON CORP US N 2 2028-11-01 Floating 10.82100000 N N N N N N Shermco Intermediate Holdings, Inc. N/A Shermco Intermediate Holdings, Inc./Third Amendment Incremental Delayed Draw Term 9/23 N/A 282061.01000000 PA USD 282061.01000000 0.008018699014 Long LON CORP US N 3 2026-06-05 Floating 10.58020000 N N N N N N Appriss Health, LLC N/A Appriss Health, LLC/Revolver 5/21 N/A 211867.29000000 PA USD 211867.29000000 0.006023165093 Long LON CORP US N 3 2027-05-06 Floating 14.50000000 N N N N N N ZB TopCo LLC N/A ZB TopCo LLC/Series A Units 06/23 N/A 50.00000000 NS USD 69026.93000000 0.001962363304 Long EC CORP US Y 3 N N N Enverus Holdings, Inc. N/A Enverus Holdings, Inc./Revolver 12/23 N/A 744469.00000000 PA USD 729579.62000000 0.020741184257 Long LON CORP US N 3 2029-12-24 Floating 0.00000000 N N N N N N Illinois Investment S.a.r.l. N/A Illinois Investment S.a.r.l. 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N/A Visual Edge Technology Inc. (Common) N/A 27334.00000000 NC USD 0.00000000 0.000000 N/A DE CORP US Y 3 Company Direct N/A Call Purchased Visual Edge Technology Inc. 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N/A PSP Registrar Co-Investment Fund, L.P. 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N/A IRI Group Holdings, Inc./2022 Incremental Term Loan 7/22 N/A 25055569.88000000 PA USD 25055569.88000000 0.712303602387 Long LON CORP US N 3 2028-12-01 Floating 11.57950000 N N Y N N N Foundation Risk Partners, Corp. N/A Foundation Risk Partners, Corp./Initial Term Loan 10/21 N/A 15756474.92000000 PA USD 15756474.92000000 0.447940074809 Long LON CORP US N 3 2028-10-30 Floating 11.40940000 N N N N N N Bamboo US BidCo LLC N/A Bamboo US BidCo LLC/Initial Euro Term Loan 9/23 N/A 2102672.47000000 PA 2245790.58000000 0.063845473401 Long LON CORP US N 3 2030-09-30 Floating 10.66200000 N N Y N N N VPP Intermediate Holdings, LLC N/A VPP Intermediate Holdings, LLC/Amendment No. 3 Delayed Draw Term Loan 7/23 N/A 2585571.24000000 PA USD 2585571.24000000 0.073505081596 Long LON CORP US N 3 2027-12-01 Floating 11.08020000 N N N N N N Pushpay USA Inc. N/A Pushpay USA Inc./Revolver Loan 5/23 N/A 17858.00000000 PA USD 17858.00000000 0.000507684231 Long LON CORP US N 3 2029-05-10 Floating 0.00000000 N N N N N N Consilio Midco Limited N/A Consilio Midco Limited/EUR DDTL4 Delayed TL 09/23 N/A 60086.84000000 PA 64824.89000000 0.001842903709 Long LON CORP GB N 3 2028-05-26 Floating 10.16000000 N N N N N N JMG Group Investments Limited N/A JMG Group Investments Limited/Uncommitted Additional Term Facility 11/22 N/A 3380588.99000000 PA 4266804.23000000 0.121300774169 Long LON CORP GB N 3 2028-12-11 Floating 11.58390000 N N N N N N GNZ Energy Bidco Limited N/A GNZ Energy Bidco Limited/Facility B 5/22 N/A 19293475.58000000 PA 11526888.59000000 0.327697366545 Long LON CORP NZ N 3 2027-07-26 Floating 11.71000000 N N N N N N Cority Software Inc. N/A Cority Software Inc./Incremental 2021-1 Term Loan 4/21 N/A 126718.52000000 PA USD 126718.52000000 0.003602474767 Long LON CORP CA N 3 2026-07-02 Floating 10.33020000 N N N N N N SPEAK 2018-5 635400SMPSPMTZRZQF40 SPEAK 2018-5A SUB 56845DAC6 2500000.00000000 PA USD 715000.00000000 0.020326700935 Long ABS-O CORP KY Y 3 N N N BlueHalo Global Holdings, LLC N/A BlueHalo Global Holdings, LLC/Fifth Amendment Term Loan 5/22 N/A 4688598.52000000 PA USD 4688598.52000000 0.133291943944 Long LON CORP US N 3 2025-10-31 Floating 10.09320000 N N N N N N ZB Holdco LLC N/A ZB Holdco LLC/Revolver 2/22 N/A 637141.00000000 PA USD 637141.00000000 0.018113251133 Long LON CORP US N 3 2028-02-09 Floating 10.97000000 N N N N N N DCert Buyer, Inc. N/A DCert Buyer, Inc./2nd Lien TL 02/21 N/A 5690906.00000000 PA USD 5633996.94000000 0.160168630584 Long LON CORP US N 3 2029-02-16 Floating 12.33020000 N N N N N N Plaskolite PPC Blocker LLC N/A Plaskolite PPC Blocker LLC/Co-Invest Units N/A 10.00000000 NS USD 527.94000000 0.000015008781 Long EC CORP US Y 3 N N N CC Fly Holding II A/S N/A CC Fly Holding II A/S/Accordion Facility 3 11/19 N/A 1411328.59000000 PA 198006.72000000 0.005629123609 Long LON CORP DK N 3 2025-05-09 Floating 11.35330000 N N N N N N Mitchell International, Inc. 5493002RDNIGEM7SSV41 Mitchell International, Inc./Term Loan 08/23 60662WAV4 9975000.00000000 PA USD 9974501.25000000 0.283564620817 Long LON CORP US N 2 2028-10-16 Floating 9.19460000 N N N N N N Aventine Intermediate LLC N/A Aventine Intermediate LLC/Delayed Draw Term Loan 12/21 N/A 870964.80000000 PA USD 844835.86000000 0.024017798413 Long LON CORP US N 3 2027-06-18 Floating 11.40940000 N N N N N N QF Holdings, Inc. N/A QF Holdings, Inc./Amendment No. 4 Term Loan 12/23 N/A 392799.00000000 PA USD 392799.00000000 0.011166864056 Long LON CORP US N 3 2027-12-15 Floating 11.19320000 N N N N N N Foundation Consumer Brands, LLC N/A Foundation Consumer Brands, LLC/Refinancing Revolving Loan 02/21 N/A 389287.57000000 PA USD 389287.57000000 0.011067037780 Long LON CORP US N 3 2026-10-01 Floating 0.00000000 N N N N N N TA/WEG Holdings, LLC N/A TA/WEG Holdings, LLC/WEG Holdings, LLC/Initial Term Loan 10/19 N/A 3404882.02000000 PA USD 3404882.02000000 0.096797228726 Long LON CORP US N 3 2027-10-04 Floating 10.80640000 N N N N N N Kene Holdings, L.P. N/A Kene Holdings, L.P. N/A 50000.00000000 NS USD 98547.70000000 0.002801607868 Long EC CORP US Y 3 N N N OAKC 2017-15 N/A OAKC 2017-15A SUB 67707AAB8 2161000.00000000 PA USD 1229144.39000000 0.034943287302 Long ABS-O CORP KY Y 3 N N N AUTHB 2021-1 N/A AUTHB 2021-1 A2 00091JAA6 24500.00000000 PA USD 21615.15000000 0.000614496069 Long ABS-O CORP US Y 3 2051-07-30 Fixed 3.73400000 N N N N N N N/A N/A Forward Contracts: CAD 04/26/2024 N/A 1.00000000 NC -116911.00000000 -0.00332365724 N/A DFE CORP N/A N 2 Morgan Stanley N/A -158305.76000000 CAD -116812.00000000 USD 2024-04-26 -99.00000000 N N N Lightbeam Bidco, Inc. N/A Lightbeam Bidco, Inc./Term Loan 05/23 N/A 1131540.06000000 PA USD 1131540.06000000 0.032168498455 Long LON CORP US N 3 2030-05-06 Floating 11.55940000 N N N N N N Wildcat BuyerCo, Inc. N/A Wildcat BuyerCo, Inc./First Incremental 18 Month Delayed Draw Term Loan 11/21 N/A 504494.96000000 PA USD 504494.96000000 0.014342263182 Long LON CORP US N 3 2027-02-26 Floating 11.05940000 N N N N N N Medmark Services Inc 549300473BJ7030DKO17 Medmark Services Inc/Term Loan (Second Lien) 06/21 05518PAE8 9139095.00000000 PA USD 8499358.35000000 0.241627853594 Long LON CORP US N 3 2028-06-11 Floating 14.07100000 N N N N N N Gainwell Acquisition Corp. N/A Gainwell Acquisition Corp./Term B Loan 10/20 59909TAC8 14497449.15000000 PA USD 13837815.21000000 0.393394589325 Long LON CORP US N 2 2027-10-01 Floating 9.40940000 N N N N N N OMERS Mahomes Investment Holdings LLC N/A OMERS Mahomes Investment Holdings LLC N/A 16.43000000 NS USD 109585.79000000 0.003115409202 Long EC CORP US Y 3 N N N Redwood Services, LLC N/A Redwood Services, LLC/Third Amendment Delayed Draw Term Loan 05/23 N/A 2168244.13000000 PA USD 2168244.13000000 0.061640909069 Long LON CORP US N 3 2025-12-31 Floating 11.93020000 N N N N N N Gestion ABS Bidco Inc./ABS Bidco Holdings Inc. N/A Gestion ABS Bidco Inc./ABS Bidco Holdings Inc./Revolver 2/24 N/A 98938.00000000 PA 72310.82000000 0.002055720856 Long LON CORP CA N 3 2031-03-03 Fixed 0.00000000 N N N N N N OAKC 2022-12 254900U4U4HIDOPWSL06 OAKC 2022-12A DR 67115TAS6 5000000.00000000 PA USD 5070400.00000000 0.144146160029 Long ABS-CBDO CORP BM Y 3 2036-07-20 Floating 10.31780000 N N N N N N City Line Investments LLC N/A City Line Investments LLC N/A 30037.81000000 NS USD 35004.14000000 0.000995131028 Long EP CORP US Y 3 N N N MailSouth, Inc. 549300DQVT7EBIQ47K51 MailSouth, Inc./Term Loan 04/18 56032YAE9 1977306.98000000 PA USD 0.00000000 0.000000 Long LON CORP US N 3 2024-04-23 Floating 12.48020000 N N N N N N Next Holdco, LLC N/A Next Holdco, LLC/Revolver 11/23 N/A 36840.00000000 PA USD 36287.40000000 0.001031612765 Long LON CORP US N 3 2029-11-09 Floating 0.00000000 N N N N N N N/A N/A Forward Contracts: DKK 04/29/2024 N/A 1.00000000 NC -4760072.00000000 -0.13532386010 N/A DFE CORP N/A N 2 Goldman Sachs & Co. N/A -32866029.00000000 DKK -4822955.00000000 USD 2024-04-29 62883.00000000 N N N INVCO 2021-2 N/A INVCO 2021-2A Y 46091AAC4 44000.00000000 PA USD 15034.40000000 0.000427412241 Long ABS-O CORP KY Y 3 N N N Aspris Bidco Limited N/A Aspris Bidco Limited/Acquisition Facility GBP 08/21 N/A 1406250.00000000 PA 1774895.87000000 0.050458430126 Long LON CORP GB N 3 2028-08-23 Floating 12.07940000 N N N N N N Enviva Inc. 549300WH5VXDEFM5KR81 Enviva Inc./Revolving Loan 10/18 29409YAF8 5086888.88000000 PA USD 5099606.10000000 0.144976458854 Long LON CORP US N 2 2027-06-30 Floating 10.00000000 Y Y N N N N Symbol Bidco I Limited N/A Symbol Bidco I Limited/Facility B 09/19 N/A 571429.00000000 PA 721228.07000000 0.020503758440 Long LON CORP GB N 3 2026-12-21 Floating 12.05870000 N N N N N N The Chemours Company 549300M1BOLNXL8DOV14 The Chemours Company 163851AF5 864000.00000000 PA USD 796709.35000000 0.022649612153 Long DBT CORP US Y 2 2028-11-15 Fixed 5.75000000 N N N N N N Spitfire Bidco Limited N/A Spitfire Bidco Limited/Facility B 09/23 N/A 14959542.18000000 PA USD 14959542.18000000 0.425284111912 Long LON CORP GB N 3 2029-09-28 Floating 12.56000000 N N N N N N Focus Financial Partners, LLC N/A Focus Financial Partners, LLC/Term Loan B7 01/24 N/A 8962537.50000000 PA USD 8928927.98000000 0.253840068139 Long LON CORP US N 2 2028-06-30 Floating 8.08020000 N N N N N N Ardonagh Finco Pty Limited N/A Ardonagh Finco Pty Limited/Facility B2 AUD Delayed Draw Term Loan 2/24 N/A 1527845.92000000 PA 980683.99000000 0.027879818428 Long LON CORP GB N 3 2031-02-17 Fixed 0.00000000 N N N N N N BCC Blueprint Investments, LLC N/A BCC Blueprint Investments, LLC/Promissory Note 9/21 N/A 756300.23000000 PA USD 756300.23000000 0.021500823205 Long DBT CORP US N 3 2026-09-15 Fixed 9.30000000 N N Y N N N Verscend Holding Corp. N/A Verscend Holding Corp./Term B-1 Loan 02/21 92531HAD9 6982051.28000000 PA USD 6982051.28000000 0.198492403190 Long LON CORP US N 2 2025-08-27 Floating 9.44460000 N N N N N N Crown Subsea Communications Holding, Inc. N/A Crown Subsea Communications Holding, Inc./Term Loan B 01/24 N/A 3847370.97000000 PA USD 3866607.82000000 0.109923609496 Long LON CORP US N 2 2031-01-30 Floating 10.06740000 N N N N N N Revalize, Inc. N/A Revalize, Inc./Revolving Loan 04/21 N/A 227000.00000000 PA USD 211110.00000000 0.006001636132 Long LON CORP US N 3 2027-04-15 Floating 11.22730000 N N N N N N Micromeritics Instrument Corp. N/A Micromeritics Instrument Corp./Revolver 12/19 N/A 331038.70000000 PA USD 331038.70000000 0.009411083430 Long LON CORP US N 3 2025-12-18 Floating 0.00000000 N N N N N N Automotive Keys Group, LLC N/A Automotive Keys Group, LLC/2022 Incremental Term Loan 12/22 N/A 234375.00000000 PA USD 227343.75000000 0.006463144637 Long LON CORP US N 3 2025-11-06 Floating 11.70940000 N N N N N N Cority Software (USA) Inc. N/A Cority Software (USA) Inc./Incremental 2019-1 Term Loans 10/19 N/A 528113.03000000 PA USD 528113.03000000 0.015013700168 Long LON CORP US N 3 2026-07-02 Floating 10.30190000 N N N N N N Registrar Intermediate, LLC N/A Registrar Intermediate, LLC/Revolver 8/21 N/A 764463.13000000 PA USD 749173.87000000 0.021298228257 Long LON CORP US N 3 2027-08-26 Floating 10.41770000 N N N N N N BARK 2021-1 5493005HSAGIQZIVAS94 BARK 2021-1A SUB 07025AAC7 250000.00000000 PA USD 183152.50000000 0.005206833696 Long ABS-O CORP KY Y 3 N N N Accession Risk Management Group, Inc. N/A Accession Risk Management Group, Inc./Tranche C Term Loan 11/21 N/A 44642.24000000 PA USD 44642.24000000 0.001269132114 Long LON CORP US N 3 2029-11-01 Floating 10.99320000 N N N N N N Appriss Health Intermediate Holdings, Inc. N/A Appriss Health Intermediate Holdings, Inc. N/A 3657.00000000 NS USD 4729674.77000000 0.134459698698 Long EP CORP US Y 3 N N N High Street HoldCo LLC N/A High Street HoldCo LLC N/A 347692.90000000 NS USD 407115.36000000 0.011573863173 Long EP CORP US Y 3 N N N Excel Fitness Holdings, Inc. N/A Excel Fitness Holdings, Inc./Series No. 3 New Term Loan 8/23 N/A 757474.57000000 PA USD 757474.57000000 0.021534208461 Long LON CORP US N 3 2029-04-27 Floating 10.80190000 N N N N N N Datix Bidco Limited N/A Datix Bidco Limited/Term Loan B3 5/19 N/A 1400103.90000000 PA USD 1400103.90000000 0.039803487067 Long LON CORP GB N 3 2025-04-28 Floating 9.94060000 N N N N N N Production Resource Group, LLC N/A Production Resource Group, LLC/Second Amendment Delayed Draw Term Loan 8/21 N/A 148702.18000000 PA USD 148702.18000000 0.004227447190 Long LON CORP US N 3 2024-08-21 Floating 12.99320000 N N N N N N DFC Global Facility Borrower III LLC N/A DFC Global Facility Borrower III LLC/Revolver 04/23 N/A -6666666.67000000 PA USD -6666666.67000000 -0.18952634913 Short LON CORP US N 3 2028-04-14 Floating 3.75000000 N N N N N N Isthmus Capital LLC N/A Isthmus Capital LLC / DDTL Upside Participation 5/23 N/A 10.52000000 NS USD 45225.55000000 0.001285715006 Long EC CORP US Y 3 N N N NMC Skincare Intermediate Holdings II, LLC N/A NMC Skincare Intermediate Holdings II, LLC/Revolver 10/18 N/A 464912.33100000 PA USD 432368.47000000 0.012291782634 Long LON CORP US N 3 2026-11-02 Floating 11.41870000 N N N N N N Mercury Borrower, Inc. N/A Mercury Borrower, Inc./Revolving Tranche 3 Loan (First Lien) 08/21 N/A 470000.00000000 PA USD 446500.00000000 0.012693527227 Long LON CORP US N 3 2026-07-31 Floating 0.00000000 N N N N N N High Street HoldCo LLC N/A High Street HoldCo LLC N/A 331611.14000000 NS USD 348973.64000000 0.009920954985 Long EP CORP US Y 3 N N N KKR Nest Co-Invest L.P. N/A KKR Nest Co-Invest L.P./Limited Partnership Interests N/A 50000.00000000 NS USD 54200.50000000 0.001540863432 Long EC CORP US Y 3 N N N Accession Risk Management Group, Inc. N/A Accession Risk Management Group, Inc./Initial Revolving Loan 10/19 N/A 76971.00000000 PA USD 76971.00000000 0.002188204891 Long LON CORP US N 3 2029-11-01 Floating 0.00000000 N N N N N N Air Methods Corporation N/A Air Methods Corporation Common Stock N/A 4700.00000000 NS USD 273120.95000000 0.007764542475 Long EC CORP US N 3 N N N Olympia Acquisition, Inc. 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N/A WebPT, Inc./Revolving Loan 08/19 N/A 216015.21000000 PA USD 216015.21000000 0.006141086113 Long LON CORP US N 3 2028-01-18 Floating 12.16910000 N N N N N N OMH-HealthEdge Holdings, LLC N/A OMH-HealthEdge Holdings, LLC/Initial Term Loan 10/2023 N/A 8101317.00000000 PA USD 7898784.08000000 0.224554156285 Long LON CORP US N 3 2029-10-08 Floating 11.22510000 N N N N N N MDPK 2019-34 N/A MDPK 2019-34A SUB 55820HAC8 780220.00000000 PA USD 485306.20000000 0.013796746838 Long ABS-O CORP KY Y 3 N N N DCert Preferred Holdings, Inc. N/A DCert Holdings, Inc. N/A 22284.00000000 NS USD 25890834.29000000 0.736049294504 Long EP CORP US Y 3 N N N Viant Medical Holdings, Inc. (f/k/a MedPlast Holdings Inc.) 549300E68YOWU15QSF58 Viant Medical Holdings, Inc. (f/k/a MedPlast Holdings Inc.) First Lien Term Loan 58506PAF8 12579348.27000000 PA USD 12519596.37000000 0.355919008727 Long LON CORP US N 2 2025-07-02 Floating 9.19460000 N N N N N N Precision Concepts International LLC N/A Precision Concepts International LLC/First Amendment Term Loan 6/21 N/A 2150659.22000000 PA USD 2150659.22000000 0.061140988500 Long LON CORP US N 3 2026-01-12 Floating 11.90940000 N N N N N N Anaqua Parent Holdings, Inc. N/A Anaqua Parent Holdings, Inc./Facility B Term Loan 4/19 N/A 1763076.93000000 PA USD 1763076.93000000 0.050122430044 Long LON CORP US N 3 2026-04-10 Floating 10.93460000 N N N N N N Cardinal Topco Holdings, L.P. N/A Cardinal Topco Holdings, L.P. 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N/A Artivion, Inc./Revolver 1/24 N/A 335000.00000000 PA USD 326625.00000000 0.009285606563 Long LON CORP US N 3 2030-01-18 Floating 9.29790000 N N N N N N TA/WEG Holdings, LLC N/A TA/WEG Holdings, LLC/Revolving Loan 10/19 N/A 971512.82000000 PA USD 971512.82000000 0.027619091673 Long LON CORP US N 3 2027-10-04 Floating 0.00000000 N N N N N N North Haven Stack Buyer, LLC N/A North Haven Stack Buyer, LLC/Delayed Draw Term Loan 7/21 N/A 242598.35000000 PA USD 242598.35000000 0.006896816933 Long LON CORP US N 3 2027-07-16 Floating 10.70190000 N N N N N N Bamboo US BidCo LLC N/A Bamboo US BidCo LLC/Initial Delayed Draw Term Loan 9/23 N/A 406884.75000000 PA USD 402815.90000000 0.011451634029 Long LON CORP US N 3 2030-09-30 Floating 12.06270000 N N N N N N APG Intermediate Holdings Corporation N/A APG Intermediate Holdings Corporation/Initial Term Loan 01/20 N/A 974416.26000000 PA USD 974416.26000000 0.027701633431 Long LON CORP US N 3 2025-01-03 Floating 10.70940000 N N N N N N Datix Bidco Limited N/A Datix Bidco Limited/Additional Facility 10/19 N/A 466003.04000000 PA USD 466003.04000000 0.013247978222 Long LON CORP GB N 3 2025-04-28 Floating 9.94060000 N N N N N N Sundance Group Holdings, Inc. 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N/A AQ Sunshine, Inc./Tranche F Delayed Draw Term Loan 12/23 N/A 18651.00000000 PA USD 18651.00000000 0.000530228390 Long LON CORP US N 3 2027-04-15 Floating 11.67730000 N N N N N N North Haven Stack Buyer, LLC N/A North Haven Stack Buyer, LLC/DDTL-4 07/21 N/A 10638.40000000 PA USD 10638.40000000 0.000302438566 Long LON CORP US N 3 2027-07-16 Floating 10.71270000 N N N N N N Calpine Corporation 43R4VPJBXTU2O15HEF41 Calpine Corporation/Term Loan B10 01/24 13134MBW2 2872500.00000000 PA USD 2853455.33000000 0.081120745628 Long LON CORP US N 2 2031-01-31 Floating 7.33020000 N N N N N N Crown CT Parent Inc. N/A Crown CT Parent Inc./Term Loan 3/22 N/A 8151968.28000000 PA USD 7744369.87000000 0.220164322066 Long LON CORP US N 3 2029-03-08 Floating 10.95940000 N N N N N N Freeport LNG investments, LLLP N/A Freeport LNG investments, LLLP/Term Loan A 12/21 N/A 5988828.82000000 PA USD 5918220.53000000 0.168248809483 Long LON CORP US N 2 2026-11-17 Floating 8.57940000 N N N N N N Revalize, Inc. N/A Revalize, Inc./Tranche 4 Delayed Draw Term Loan 04/21 N/A 206842.38000000 PA USD 192363.41000000 0.005468690218 Long LON CORP US N 3 2027-04-15 Floating 11.21270000 N N N N N N Capnor Connery Bidco A/S N/A Capnor Connery Bidco A/S/NOK Facility B 04/19 N/A 2551246.45000000 PA 234997.14000000 0.006680722497 Long LON CORP DK N 3 2026-04-30 Floating 11.47500000 N N N N N N MPLC Debtco Limited N/A MPLC Debtco Limited/Incremental Facility GBP Commitment 09/22 N/A 148305.09000000 PA 187183.00000000 0.005321416588 Long LON CORP JE N 3 2027-01-07 Floating 11.47200000 N N N N N N Eagle Football Holdings BidCo Limited N/A Eagle Football Holdings BidCo Limited/Original Series B1 Bridge HoldCo Note 11/22 N/A 636854.40000000 PA USD 636854.40000000 0.018105103395 Long DBT CORP GB N 3 2028-12-13 Fixed 16.00000000 N N Y N N N Steer Automotive Group Ltd N/A Steer Automotive Group Ltd/ Unitranche Acquisition Facility 03/22 N/A 1632653.06000000 PA 2060650.08000000 0.058582122948 Long LON CORP GB N 3 2029-04-19 Floating 12.05870000 N N N N N N Metis Holdco, Inc. N/A Metis Holdco, Inc. N/A 7958.60240000 NS USD 9739105.12000000 0.276872555452 Long EP CORP US Y 3 N N N EuroParcs Topholding B.V. N/A EuroParcs Topholding B.V./Incremental Facility 05/20 N/A 816176.46000000 PA 678011.75000000 0.019275163738 Long LON CORP NL N 3 2026-07-03 Floating 11.38500000 N N N N N N Comprehensive EyeCare Partners, LLC N/A Comprehensive EyeCare Partners, LLC/Delayed Draw Term Loan 02/18 N/A 676691.22000000 PA USD 602255.19000000 0.017121484103 Long LON CORP US N 3 2025-02-14 Floating 12.06350000 N N N N N N MPLC Debtco Limited N/A MPLC Debtco Limited/Facility B GBP Tranche 12/19 N/A 1051603.70000000 PA 1327279.69000000 0.037733171070 Long LON CORP JE N 3 2027-01-07 Floating 11.73250000 N N N N N N APG Intermediate Holdings Corporation N/A APG Intermediate Holdings Corporation/Delayed Draw Term Loan 1/20 N/A 57972.83800000 PA USD 57972.84000000 0.001648107106 Long LON CORP US N 3 2025-01-03 Floating 10.67860000 N N N N N N DRSLF 2021-95 N/A DRSLF 2021-95A SUB 262485AA3 1500000.00000000 PA USD 891384.00000000 0.025341113267 Long ABS-O CORP KY Y 3 N N N Storm Investment S.a.r.l. N/A Storm Investment S.a.r.l. N/A 491621.00000000 NS 820867.73000000 0.023336409587 Long EC CORP LU Y 3 N N N Banyan Software Holdings, LLC N/A Banyan Software Holdings, LLC/Amendment No. 3 Revolver 12/22 N/A 2000.00000000 PA USD 2000.00000000 0.000056857904 Long LON CORP US N 3 2026-10-30 Floating 10.83020000 N N N N N N Convey Health Solutions, Inc. N/A Convey Health Solutions, Inc./Term Loan 8/19 N/A 2657583.00000000 PA USD 2205793.89000000 0.062708409407 Long LON CORP US N 3 2026-09-04 Floating 10.65940000 N N N N N N Consilio Midco Limited N/A Consilio Midco Limited/EUR Euro DDTL-1 05/21 N/A 135932.56000000 PA 146651.30000000 0.004169142820 Long LON CORP GB N 3 2028-05-26 Floating 10.16000000 N N N N N N CP Atlas Buyer Inc 2549006ZZ07G0NDDCR36 CP Atlas Buyer Inc/Term B Loan 01/21 12658HAG7 6984507.48000000 PA USD 6891613.53000000 0.195921352704 Long LON CORP US N 2 2027-11-23 Floating 9.18020000 N N N N N N Pregis TopCo LLC 549300LJXHJYHS1GM034 Pregis TopCo LLC/Initial Term Loan 07/19 74045BAC1 16724816.00000000 PA USD 16739701.09000000 0.475892164752 Long LON CORP US N 2 2026-07-31 Floating 9.08020000 N N N N N N Tricolor Funding SPV 3 LLC N/A Tricolor Funding SPV 3 LLC/Revolver PacWest 08/20 N/A 795426.67000000 PA USD 795426.67000000 0.022613146904 Long LON CORP US N 3 2027-08-06 Floating 12.94010000 N N N N N N BradyIFS Holdings, LLC N/A BradyIFS Holdings, LLC/Delayed Draw Term Loan 10/23 N/A 2008043.35000000 PA USD 1967882.48000000 0.055944837267 Long LON CORP US N 3 2029-10-31 Floating 11.32570000 N N N N N N Businessolver.com, Inc. N/A Businessolver.com, Inc./Initial Delayed Draw Term Loan 12/21 N/A 618461.39000000 PA USD 618461.39000000 0.017582209390 Long LON CORP US N 3 2027-12-01 Floating 10.90940000 N N N N N N Tiger UK Bidco Limited N/A Tiger UK Bidco Limited/ Facility B1 05/21 N/A 5528571.43000000 PA 6977876.35000000 0.198373714304 Long LON CORP GB N 3 2028-06-30 Floating 12.04940000 N N N N N N Asclepius Holdings LLC N/A Asclepius Holdings LLC/Common Units N/A 448.34000000 NS USD 0.00000000 0.000000 Long EC CORP US Y 3 N N N TransDigm Inc. N/A TransDigm Inc./Term Loan I 02/23 N/A 16695912.89000000 PA USD 16748171.10000000 0.476132958262 Long LON CORP US N 2 2028-08-24 Floating 0.00000000 N N N N N N Network Bidco B.V. N/A Network Bidco B.V./Acquisition / Capex EUR 02/22 N/A 2222220.00000000 PA 2397449.59000000 0.068156980171 Long LON CORP NL N 3 2029-05-14 Floating 9.15100000 N N N N N N Platinum Credit Bidco Limited N/A Platinum Credit Bidco Limited/Interim Unitranche Facility 05/22 N/A 27960243.90000000 PA 35289970.84000000 1.003256899678 Long LON CORP JE N 3 2029-11-09 Floating 11.74280000 N N N N N N Patriot Growth Insurance Services, LLC N/A Patriot Growth Insurance Services, LLC/Closing Date Term Loan 10/21 N/A 1774356.41000000 PA USD 1756612.85000000 0.049938663021 Long LON CORP US N 3 2028-10-16 Floating 10.95190000 N N N N N N Delta Topco, Inc. N/A Delta Topco, Inc./Initial Term Loan N/A 4158060.90000000 PA USD 4160015.19000000 0.118264873639 Long LON CORP US N 2 2027-12-01 Floating 9.12110000 N N N N N N 1011778 B.C. Unlimited Liability Company (New Red Finance, Inc.) (aka Burger King/Tim Hortons) 549300RHSHNRWI5LLA86 1011778 B.C. Unlimited Liability Company (New Red Finance, Inc.) (aka Burger King/Tim Hortons)/Term Loan B 09/23 C6901LAJ6 14962500.00000000 PA USD 14947537.50000000 0.424942831436 Long LON CORP CA N 2 2030-09-20 Floating 7.58020000 N N N N N N MH Sub I, LLC (Micro Holding Corp.) 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N/A Mister Car Wash Holdings, Inc./Term Loan 03/24 N/A 10000000.00000000 PA USD 10016700.00000000 0.284764287070 Long LON CORP US N 2 2031-03-21 Fixed 0.00000000 N N N N N N Cority Parent, Inc. N/A Cority Parent, Inc. N/A 49.50000000 NS USD 233787.71000000 0.006646339669 Long EP CORP CA Y 3 N N N Professional Fighters League, LLC N/A Professional Fighters League, LLC/Term Loan 1/21 N/A 689623.65000000 PA USD 689623.65000000 0.019605277889 Long LON CORP US N 3 2026-01-20 Floating 14.00000000 N N Y N N N BCC Blueprint Holdings I, LLC N/A BCC Blueprint Holdings I, LLC/Initial Term Loan 9/21 N/A 7377069.45000000 PA USD 7377069.45000000 0.209722355925 Long LON CORP US N 3 2027-09-15 Floating 12.22930000 N N N N N N Illinois Investment S.a.r.l. N/A Illinois Investment S.a.r.l. N/A 3400700.00000000 NS 0.00000000 0.000000 Long EC CORP LU Y 3 N N N N/A N/A Forward Contracts: EUR 04/26/2024 N/A 1.00000000 NC -3453144.00000000 -0.09816926625 N/A DFE CORP N/A N 2 Morgan Stanley N/A -3197695.34000000 EUR -3466302.00000000 USD 2024-04-26 13158.00000000 N N N Caesars Entertainment Inc 549300FA4CTCW903Y781 Caesars Entertainment Inc/TL 1/24 12768EAH9 7000000.00000000 PA USD 7000000.00000000 0.199002666496 Long LON CORP US N 2 2031-02-06 Floating 8.04050000 N N N N N N High Street Buyer, Inc. N/A High Street Buyer, Inc./Delayed Draw A Term Loan 4/21 N/A 2706500.65000000 PA USD 2706500.65000000 0.076942978032 Long LON CORP US N 3 2028-04-14 Floating 10.55940000 N N N N N N The Options Clearing Corporation 549300CII6SLYGKNHA04 SPY US Put Option Jun 2024 -Strike 300 N/A -1000.00000000 NC USD -14000.00000000 -0.00039800533 N/A DE CORP US N 1 Goldman Sachs 784F5XWPLTWKTBV3E584 Put Written SPDR S&P 500 ETF Trust-SPY US 06/21/24 P300 SPDR S&P 500 ETF Trust-SPY US 06/21/24 P300 100.00000000 300.00000000 USD 2024-06-21 XXXX 92979.87000000 N N N HighTower Holding, LLC 254900MKOSB7RTMA9K12 HIGTOW 6.75% Sr Unsecured Nts due 2029 144A 43118DAA8 3280000.00000000 PA USD 3082310.14000000 0.087626848118 Long DBT CORP US Y 2 2029-04-15 Fixed 6.75000000 N N N N N N Consilio Midco Limited N/A Consilio Midco Limited/DDTL-1 05/21 N/A 1256979.45000000 PA USD 1256979.45000000 0.035734608897 Long LON CORP GB N 3 2028-05-26 Floating 11.20190000 N N N N N N WAX 2022-1 N/A WAX 2022-1A A2 26929HAB1 18667500.00000000 PA USD 17771805.35000000 0.505233807586 Long ABS-O CORP US Y 3 2052-03-15 Fixed 5.50000000 N N N N N N Aero Operating LLC N/A Aero Operating LLC/Delayed Draw Term Loan 01/20 N/A 805826.88000000 PA USD 684952.85000000 0.019472491939 Long LON CORP US N 3 2026-02-09 Floating 14.48020000 N N N N N N Cobalt Buyer Sub, Inc. N/A Cobalt Buyer Sub, Inc./Revolver 10/21 N/A 894868.49000000 PA USD 894868.49000000 0.025440173667 Long LON CORP US N 3 2027-10-01 Floating 11.44460000 N N N N N N United PF Holdings, LLC 2549002AF6PASVP2G486 United PF Holdings, LLC/Term Loan 6/20 91132UAK9 1310147.73000000 PA USD 1211886.65000000 0.034452667834 Long LON CORP US N 3 2026-12-30 Floating 14.07430000 N N N N N N Saldon Holdings, Inc. N/A Saldon Holdings, Inc./Delayed Draw Term Loan 1/24 N/A 234961.00000000 PA USD 234961.00000000 0.006679695074 Long LON CORP US N 3 2026-03-13 Floating 0.00000000 N N N N N N Cliffwater LLC N/A Cliffwater LLC/Revolver 10/2023 N/A 58401.00000000 PA USD 57232.98000000 0.001627073661 Long LON CORP US N 3 2030-10-07 Floating 0.00000000 N N N N N N Doxim Inc. N/A Doxim Inc./Delayed Draw Term Loan (first lien last out) 02/18 N/A 325452.97000000 PA USD 325452.97000000 0.009252286978 Long LON CORP US N 3 2026-05-31 Floating 11.83020000 N N N N N N MRI Software LLC N/A MRI Software LLC/Tranche B Term 02/20 N/A 7169380.23000000 PA USD 7169380.23000000 0.203817968985 Long LON CORP US N 3 2027-02-10 Floating 10.90190000 N N N N N N RRAM 2021-17 549300H1BYT42IUZDL59 RRAM 2021-17A SUB 74980YAC8 1000000.00000000 PA USD 684903.00000000 0.019471074755 Long ABS-O CORP KY Y 3 N N N Smarsh Inc. N/A Smarsh Inc./Initial Term Loan 2/22 N/A 3560796.00000000 PA USD 3560796.00000000 0.101229699835 Long LON CORP US N 3 2029-02-16 Floating 11.05940000 N N N N N N CGMS 2021-8 N/A CGMS 2021-8A SUBA 143117AE9 1000000.00000000 PA USD 632467.00000000 0.017980374210 Long ABS-O CORP KY Y 3 N N N The Mather Group, LLC N/A The Mather Group, LLC/Term Loan 3/22 N/A 4912500.00000000 PA USD 4765125.00000000 0.135467511598 Long LON CORP US N 3 2028-03-31 Floating 11.55940000 N N N N N N Solar Bidco Limited N/A Solar Bidco Limited/Acquisition/Capex Faility 11/23 N/A 1500000.00000000 PA 1893222.26000000 0.053822325430 Long LON CORP GB N 3 2029-11-23 Floating 9.65200000 N N N N N N Clarience Technologies, LLC N/A Clarience Technologies, LLC/Class A Units N/A 348.78000000 NS USD 857999.83000000 0.024392036289 Long EC CORP US Y 3 N N N SERV 2020-1 N/A SERV 2020-1 A2II 81761TAC9 23635.08000000 PA USD 20201.95000000 0.000574320274 Long ABS-O CORP US Y 3 2051-01-30 Fixed 3.33700000 N N N N N N Platinum Credit Bidco Limited N/A Platinum Credit Bidco Limited/Super Senior Revolving Facility 05/22 N/A 3490000.00000000 PA 4404897.13000000 0.125226610644 Long LON CORP JE N 3 2029-05-09 Floating 0.00000000 N N N N N N KNPC Holdco, LLC N/A KNPC Holdco, LLC/Incremental Term Loan B-1 12/22 N/A 489209.48000000 PA USD 489209.48000000 0.013907712999 Long LON CORP US N 3 2029-10-22 Floating 12.02700000 N N N N N N Shermco Intermediate Holdings, Inc. N/A Shermco Intermediate Holdings, Inc./Revolving Loan 06/18 N/A 1000000.00000000 PA USD 1000000.00000000 0.028428952356 Long LON CORP US N 3 2026-06-05 Floating 12.75000000 N N N N N N Anaqua Parent Holdings, Inc. N/A Anaqua Parent Holdings, Inc./Delayed Draw Facility 2 6/21 N/A 280844.42000000 PA USD 280844.42000000 0.007984112635 Long LON CORP US N 3 2026-04-10 Floating 10.83220000 N N N N N N Dye & Durham Corporation N/A Dye & Durham Corporation/Revolving Loan 12/21 N/A 1659353.34000000 PA 1225021.84000000 0.034826087525 Long LON CORP CA N 3 2026-12-03 Floating 0.00000000 N N N N N N ELM26 2024-1 N/A ELM26 2024-1A SUB 29004DAC0 800000.00000000 PA USD 700675.67000000 0.019919475239 Long ABS-O CORP KY Y 3 N N N N/A N/A Forward Contracts: NZD 04/26/2024 N/A 1.00000000 NC -11543478.00000000 -0.32816898609 N/A DFE CORP N/A N 2 Goldman Sachs & Co. N/A -19320645.00000000 NZD -11828099.00000000 USD 2024-04-26 284621.00000000 N N N Eternal Aus Bidco Pty Ltd N/A Eternal Aus Bidco Pty Ltd/Facility C Delayed Draw TL 11/23 N/A 353241.00000000 PA 230188.91000000 0.006544029555 Long LON CORP AU N 3 2029-10-29 Floating 0.00000000 N N N N N N North Haven Stack Buyer, LLC N/A North Haven Stack Buyer, LLC/DDTL-3 07/21 N/A 145776.87000000 PA USD 145776.87000000 0.004144283691 Long LON CORP US N 3 2027-07-16 Floating 10.71270000 N N N N N N Ivanti Software, Inc. N/A Ivanti Software, Inc./Revolving Credit Loan 11/20 N/A 460000.00000000 PA USD 427800.00000000 0.012161905818 Long LON CORP US N 3 2025-12-01 Floating 11.00000000 N N N N N N Prime Dental Alliance B.V. N/A Prime Dental Alliance B.V./Acquisition/Capex EUR Commitment N/A 1654410.00000000 PA 1784865.84000000 0.050741865928 Long LON CORP NL N 3 2027-06-21 Floating 11.15200000 N N N N N N Goldman Sachs & Co. LLC N/A CDX.NA.HY S39 Tranche 15-25 12/20/27 CXPHY5391 1.00000000 NC USD -259690.25000000 -0.00738272174 N/A DCR CORP US N 2 Goldman Sachs & Co. LLC 784F5XWPLTWKTBV3E584 CDX.NA.HY Series 39 2I65BRZH6 Y Underlying Performance 2027-12-20 0.00000000 USD 171264.00000000 USD 3568000.00000000 USD -88426.25000000 N N N Isthmus Capital LLC N/A Isthmus Capital LLC/ Delay Draw Term Loan 5/23 N/A 4975197.57000000 PA USD 4975197.57000000 0.141439654682 Long LON CORP US N 3 2030-06-13 Fixed 9.50000000 N N N N N N JMG Group Investments Limited N/A JMG Group Investments Limited/Uncommitted Additional Term Facility 05/22 N/A 1488095.00000000 PA 1878196.39000000 0.053395155687 Long LON CORP GB N 3 2028-12-11 Floating 11.36210000 N N N N N N WorkWave Intermediate II, LLC N/A WorkWave Intermediate II, LLC/Third Amendment Incremental Delayed Draw Term Loan 3/24 N/A 460866.00000000 PA USD 460866.00000000 0.013101937556 Long LON CORP US N 3 2027-06-29 Fixed 0.00000000 N N N N N N Peachtree Parent, Inc. N/A Peachtree Parent, Inc. N/A 25.00000000 NS USD 48650.52000000 0.001383083315 Long EP CORP US Y 3 N N N Anaplan, Inc. N/A Anaplan, Inc./Initial Term Loan 6/22 N/A 5991495.00000000 PA USD 5991495.00000000 0.170331925900 Long LON CORP US N 3 2029-06-21 Floating 11.80940000 N N N N N N Lightbeam Bidco, Inc. N/A Lightbeam Bidco, Inc./First Amendment Incremental Term Loan 11/23 N/A 131444.57000000 PA USD 131444.57000000 0.003736831418 Long LON CORP US N 3 2030-05-06 Floating 10.80940000 N N N N N N CMG HoldCo, LLC N/A CMG HoldCo, LLC/Delayed Draw Term Loan 2 05/22 N/A 1057694.29350000 PA USD 1057694.29000000 0.030069140578 Long LON CORP US N 3 2028-05-19 Floating 10.30940000 N N N N N N Bracket Intermediate Holding Corp. 54930011OZELK2VOFB56 Bracket Intermediate Holding Corp./Term Loan 04/23 10378RAK9 14404287.35000000 PA USD 14425893.78000000 0.410113046973 Long LON CORP US N 2 2028-05-08 Floating 10.40190000 N N N N N N North American Science Associates, LLC N/A North American Science Associates, LLC/Fourth Amendment Term Loan 9/21 N/A 4712562.11000000 PA USD 4712562.11000000 0.133973203702 Long LON CORP US N 3 2027-09-15 Floating 11.22930000 N N N N N N Hills Distribution, Inc. N/A Hills Distribution, Inc./Revolver 11/23 N/A 1000.00000000 PA USD 980.00000000 0.000027860373 Long LON CORP US N 3 2029-11-08 Floating 9.82260000 N N N N N N APG Intermediate Holdings Corporation N/A APG Intermediate Holdings Corporation/Revolving Credit Loan 01/20 N/A 1000.00000000 PA USD 1000.00000000 0.000028428952 Long LON CORP US N 3 2025-01-03 Floating 10.67860000 N N N N N N North American Science Associates, LLC N/A North American Science Associates, LLC/Revolver 9/21 N/A 2499000.00000000 PA USD 2499000.00000000 0.071043951939 Long LON CORP US N 3 2027-03-15 Floating 9.96500000 N N N N N N ATRM 15 N/A ATRM 15A SUB 04965EAC8 4080000.00000000 PA USD 2079975.84000000 0.059131534058 Long ABS-O CORP KY Y 3 N N N AffiniPay Midco, LLC N/A AffiniPay Midco, LLC/Second Amendment Term Loan 6/21 N/A 1882182.16000000 PA USD 1882182.16000000 0.053508466953 Long LON CORP US N 3 2028-06-09 Floating 10.81270000 N N N N N N High Street HoldCo LLC N/A High Street HoldCo LLC N/A 1480301.08000000 NS USD 1747425.85000000 0.049677486236 Long EP CORP US Y 3 N N N Antenore Bidco SpA N/A Antenore Bidco SpA/Principal Further Bond 10/23 N/A 1000000.00000000 PA 1078853.39000000 0.030670671624 Long LON CORP IT N 3 2031-11-02 Floating 0.00000000 N N N N N N City Line Distributors LLC N/A City Line Distributors LLC/Revolver 08/2023 N/A 1500.00000000 PA USD 1500.00000000 0.000042643428 Long LON CORP US N 3 2028-08-31 Floating 0.00000000 N N N N N N Bobcat Purchaser, LLC N/A Bobcat Purchaser, LLC/Revolver 06/23 N/A 306256.00000000 PA USD 306256.00000000 0.008706537232 Long LON CORP US N 3 2030-06-17 Floating 0.00000000 N N N N N N UCIT Online Security Inc. N/A UCIT Online Security Inc./Canadian Initial Term Loan 3/21 N/A 1615631.07000000 PA USD 1615631.07000000 0.045930698714 Long LON CORP CA N 3 2026-03-02 Floating 12.20190000 N N N N N N 2024-04-30 CION Ares Diversified Credit Fund Scott Lem Scott Lem Chief Accounting Officer XXXX NPORT-EX 2 CADCX_Q1_-_2024.htm Document

CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
SENIOR LOANS(b)(c)(d)
Automobiles and Components
Automotive Keys Group, LLC1st Lien Term Loan11.71% (3M SOFR + 6.25%)11/06/2025$1,654 $1,605 (e)(f)
Automotive Keys Group, LLC1st Lien Term Loan11.71% (3M SOFR + 6.25%)11/06/2025234 227 (e)
Clarios Global LP1st Lien Term Loan8.33% (1M SOFR + 3.00%)05/06/20307,817 7,830 
Collision SP Subco, LLC1st Lien Revolving Loan10.82% (6M SOFR + 5.50%)01/29/203011 11 (e)(h)
Collision SP Subco, LLC1st Lien Term Loan10.82% (3M SOFR + 5.50%)01/29/2030746 731 (e)
Collision SP Subco, LLC1st Lien Delay Draw Term Loan10.74% (6M SOFR + 5.50%)01/29/203020 20 (e)(h)
Continental Acquisition Holdings, Inc.1st Lien Revolving Loan9.18% (3M SOFR + 3.75%)01/20/2026(e)(h)
Continental Acquisition Holdings, Inc.1st Lien Term Loan12.46% (3M SOFR + 7.00%)01/20/20276,020 4,816 (e)(f)
Continental Acquisition Holdings, Inc.1st Lien Delay Draw Term Loan12.46% (3M SOFR + 7.00%)01/20/20271,462 1,170 (e)(f)
Highline Aftermarket Acquisition, LLC1st Lien Revolving Loan11/10/2025— — (e)(h)
Highline Aftermarket Acquisition, LLC2nd Lien Term Loan13.47% (3M SOFR + 8.00%)11/09/20285,942 5,942 (e)(f)
Highline Aftermarket Acquisition, LLC2nd Lien Delay Draw Term Loan13.47% (3M SOFR + 8.00%)11/09/20284,209 4,209 (e)
New Churchill Holdco LLC1st Lien Revolving Loan11/09/2029— — (e)(h)
New Churchill Holdco LLC1st Lien Term Loan10.81% (3M SOFR + 5.50%)11/09/20291,210 1,185 (e)(f)
New Churchill Holdco LLC1st Lien Delay Draw Term Loan10.83% (3M SOFR + 5.50%)11/09/2029383 375 (e)(h)
Sun Acquirer Corp.1st Lien Revolving Loan09/08/2027— — (e)(h)
Sun Acquirer Corp.1st Lien Term Loan11.19% (1M SOFR + 5.75%)09/08/20286,466 6,466 (e)
Sun Acquirer Corp.1st Lien Term Loan11.19% (1M SOFR + 5.75%)09/08/20281,726 1,726 (e)(f)
Sun Acquirer Corp.1st Lien Delay Draw Term Loan11.19% (1M SOFR + 5.75%)09/08/20284,702 4,702 (e)
Truck-Lite Co., LLC and Ecco Holdings Corp.1st Lien Revolving Loan11.07% (3M SOFR + 5.75%)02/13/203044 43 (e)(h)
Truck-Lite Co., LLC and Ecco Holdings Corp.1st Lien Term Loan11.06% (3M SOFR + 5.75%)02/13/203111,365 11,138 (e)(g)
Truck-Lite Co., LLC and Ecco Holdings Corp.1st Lien Delay Draw Term Loan02/13/2031— — (e)(g)(h)
Wand Newco 3, Inc.1st Lien Term Loan9.08% (1M SOFR + 3.75%)01/30/203117,959 18,001 
70,198 1.98 %
Capital Goods



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
AIM Acquisition, LLC1st Lien Revolving Loan10.44% (3M SOFR + 5.00%)12/02/202546 46 (e)(h)
AIM Acquisition, LLC1st Lien Term Loan10.49% (6M SOFR + 5.00%)12/02/2025212 211 (e)(f)
Airx Climate Solutions, Inc.1st Lien Revolving Loan11.57% (1M SOFR + 6.25%)11/07/202926 25 (e)(h)
Airx Climate Solutions, Inc.1st Lien Term Loan11.68% (3M SOFR + 6.25%)11/07/20291,509 1,471 (e)(f)
Airx Climate Solutions, Inc.1st Lien Delay Draw Term Loan11/07/2029— — (e)(h)
AllClear Military Inc.1st Lien Term Loan10.45% (3M SOFR + 5.00%)08/10/20251,914 1,339 (e)
Artera Services, LLC1st Lien Term Loan9.81% (3M SOFR + 4.50%)02/15/20317,829 7,852 
Barentz International B.V.Netherlands1st Lien Term Loan03/30/20315,000 5,012 (e)(i)
BlueHalo Global Holdings, LLC1st Lien Revolving Loan10/31/2025— — (e)(h)
BlueHalo Global Holdings, LLC1st Lien Term Loan10.09% (3M SOFR + 4.75%)10/31/20254,678 4,678 (e)(f)
Box Bidco LimitedUnited Kingdom1st Lien Term Loan11.48% (6M EURIBOR + 7.42%)11/24/2028878 947 (e)(f)
Box Bidco LimitedUnited Kingdom1st Lien Term Loan11.50% (6M SOFR + 5.75%)11/24/20281,691 1,691 (e)(f)
Brown Group Holding, LLC1st Lien Term Loan8.18% (1M SOFR + 2.75%)06/07/20284,946 4,940 
Brown Group Holding, LLC1st Lien Term Loan8.31% (3M SOFR + 3.00%)07/02/20292,496 2,495 
Burgess Point Purchaser Corporation1st Lien Term Loan10.68% (1M SOFR + 5.25%)07/25/20294,136 3,935 
Chart Industries, Inc.1st Lien Term Loan8.67% (1M SOFR + 3.25%)03/15/20306,361 6,369 
CP Atlas Buyer Inc1st Lien Term Loan9.18% (1M SOFR + 3.75%)11/23/20276,985 6,892 
CPIG Holdco Inc.1st Lien Revolving Loan10.18% (3M SOFR + 4.75%)04/28/2028— (e)(h)
CPIG Holdco Inc.1st Lien Term Loan12.41% (3M SOFR + 7.00%)04/28/20283,844 3,844 (e)
Crown Subsea Communications Holding, Inc.1st Lien Term Loan10.07% (3M SOFR + 4.75%)01/30/20313,847 3,867 
Cube Industrials Buyer, Inc. & Cube A&D Buyer Inc.1st Lien Revolving Loan10/18/2029— — (e)(h)
Cube Industrials Buyer, Inc. & Cube A&D Buyer Inc.1st Lien Term Loan11.30% (3M SOFR + 6.00%)10/18/20304,308 4,308 (e)
Dynamic NC Aerospace Holdings, LLC1st Lien Revolving Loan12.48% (3M SOFR + 7.00%)12/30/2025691 691 (e)(h)
Dynamic NC Aerospace Holdings, LLC1st Lien Term Loan12.48% (3M SOFR + 7.00%)12/30/20262,720 2,720 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Dynasty Acquisition Co., Inc.1st Lien Term Loan08/24/202817,344 17,364 (i)
Eleda BidCo AB (fka EISG BidCo AB)Sweden1st Lien Term Loan10.29% (3M STIBOR + 6.25%)06/30/2026SEK45,107 4,214 (e)(f)
Eleda BidCo AB (fka EISG BidCo AB)Sweden1st Lien Delay Draw Term Loan10.96% (3M NIBOR + 6.25%)06/30/2026SEK2,106 197 (e)
Eleda BidCo AB (fka EISG BidCo AB)Sweden1st Lien Delay Draw Term Loan10.29% (3M STIBOR + 6.25%)06/30/2026SEK9,070 847 (e)(f)
EPS NASS Parent, Inc.1st Lien Revolving Loan11.21% (3M SOFR + 5.75%)04/17/2026135 135 (e)(h)
EPS NASS Parent, Inc.1st Lien Term Loan11.21% (3M SOFR + 5.75%)04/19/20285,701 5,701 (e)(f)
EPS NASS Parent, Inc.1st Lien Delay Draw Term Loan11.21% (3M SOFR + 5.75%)04/19/2028321 321 (e)
Helix Acquisition Holdings, Inc.1st Lien Term Loan12.40% (3M SOFR + 7.00%)03/29/2030473 473 (e)
Husky Injection Molding Systems Ltd.Canada1st Lien Term Loan8.44% (1M SOFR + 3.00%)03/28/202515,047 15,028 
Husky Injection Molding Systems Ltd.Canada1st Lien Term Loan02/01/202916,000 16,033 (i)
INNIO Group Holding GmbHGermany1st Lien Term Loan8.18% (3M EURIBOR + 4.25%)11/02/20286,900 7,455 
Kaman Corporation1st Lien Term Loan03/26/20318,000 8,005 (i)
Kene Acquisition, Inc.1st Lien Revolving Loan02/07/2031— — (e)(h)
Kene Acquisition, Inc.1st Lien Term Loan10.57% (6M SOFR + 5.25%)02/07/20311,797 1,761 (e)
Kene Acquisition, Inc.1st Lien Delay Draw Term Loan02/07/2031— — (e)(h)
Kodiak BP, LLC1st Lien Term Loan8.82% (3M SOFR + 3.25%)03/12/20288,554 8,538 
Kodiak Building Partners Inc.1st Lien Term Loan03/17/20284,000 4,000 (e)(i)
LBM Acquisition LLC1st Lien Term Loan9.18% (1M SOFR + 3.75%)12/17/20278,221 8,202 
Maverick Acquisition, Inc.1st Lien Term Loan11.55% (3M SOFR + 6.25%)06/01/20275,227 4,234 (e)(f)
Maverick Acquisition, Inc.1st Lien Delay Draw Term Loan11.55% (3M SOFR + 6.25%)06/01/20271,191 965 (e)
MIWD Holdco II LLC1st Lien Term Loan03/20/20312,000 2,007 (i)
Osmose Utilities Services, Inc.1st Lien Term Loan8.69% (1M SOFR + 3.25%)06/23/202824,238 23,874 
Osmose Utilities Services, Inc.2nd Lien Term Loan12.19% (1M SOFR + 6.75%)06/25/20298,237 8,155 (e)
Osmosis Buyer Limited1st Lien Term Loan9.07% (1M SOFR + 3.75%)07/31/202817,038 17,057 
Osmosis Buyer Limited1st Lien Delay Draw Term Loan9.58% (1M SOFR + 4.25%)07/31/20282,267 2,276 (h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Prime Buyer, L.L.C.1st Lien Revolving Loan12/22/2026— — (e)(h)
Prime Buyer, L.L.C.1st Lien Term Loan10.68% (1M SOFR + 5.25%)12/22/202613,533 12,451 (e)(f)
Radius Aerospace Europe LimitedUnited Kingdom1st Lien Revolving Loan10.94% (1M SONIA + 5.75%)03/29/2025£186 234 (e)
Radius Aerospace Europe LimitedUnited Kingdom1st Lien Term Loan11.21% (3M SOFR + 5.75%)03/29/20251,566 1,566 (e)(f)
Radius Aerospace, Inc.1st Lien Revolving Loan11.24% (3M SOFR + 5.75%)03/29/202571 71 (e)(h)
Radius Aerospace, Inc.1st Lien Term Loan11.20% (3M SOFR + 5.75%)03/29/20252,246 2,246 (e)(f)
Sigma Electric Manufacturing Corporation1st Lien Revolving Loan10/31/2024— — (e)(h)
Sigma Electric Manufacturing Corporation1st Lien Term Loan11.21% (3M SOFR + 5.75%)10/31/2024385 385 (e)(f)
Specialty Building Products Holdings, LLC1st Lien Term Loan9.18% (1M SOFR + 3.75%)10/15/20288,001 7,967 
SPX Flow, Inc.1st Lien Term Loan9.93% (1M SOFR + 4.50%)04/05/20295,500 5,519 
SRS Distribution Inc.1st Lien Term Loan8.94% (1M SOFR + 3.50%)06/02/20284,005 4,030 
SRS Distribution Inc.1st Lien Term Loan8.68% (1M SOFR + 3.25%)06/02/20283,303 3,318 
Sunk Rock Foundry Partners LP1st Lien Term Loan11.21% (3M SOFR + 5.75%)10/31/2024192 192 (e)(f)
TransDigm Inc.1st Lien Term Loan8.06% (3M SOFR + 2.75%)08/24/202817,807 17,862 
Two Six Labs, LLC1st Lien Revolving Loan08/20/2027— — (e)(h)
Two Six Labs, LLC1st Lien Term Loan10.81% (3M SOFR + 5.50%)08/20/20277,280 7,280 (e)(f)
Two Six Labs, LLC1st Lien Term Loan11.31% (3M SOFR + 6.00%)08/20/20271,335 1,335 (e)
Two Six Labs, LLC1st Lien Delay Draw Term Loan10.81% (3M SOFR + 5.50%)08/20/20272,828 2,828 (e)
Victory Buyer LLC1st Lien Term Loan9.34% (3M SOFR + 3.75%)11/19/20285,279 5,002 
WEC US Holdings Ltd.1st Lien Term Loan8.08% (1M SOFR + 2.75%)01/27/203121,108 21,077 
Wilsonart LLC1st Lien Term Loan8.65% (3M SOFR + 3.25%)12/31/202616,145 16,154 
329,692 9.29 %
Commercial and Professional Services
Aero Operating LLC1st Lien Term Loan14.45% (3M SOFR + 9.00%)02/09/20262,874 2,443 (e)(f)
Aero Operating LLC1st Lien Term Loan14.48% (3M SOFR + 9.00%)02/09/202691 77 (e)(f)
AMCP Clean Acquisition Company, LLC1st Lien Term Loan10.33% (6M SOFR + 5.00%)06/15/2028808 796 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Applied Technical Services, LLC1st Lien Revolving Loan13.25% (PRIME + 4.75%)12/29/2026130 130 (e)(h)
Applied Technical Services, LLC1st Lien Term Loan11.20% (3M SOFR + 5.75%)12/29/20264,204 4,204 (e)(f)
Applied Technical Services, LLC1st Lien Term Loan11.45% (3M SOFR + 6.00%)12/29/2026571 571 (e)
Applied Technical Services, LLC1st Lien Term Loan11.20% (3M SOFR + 5.75%)12/29/2026321 321 (e)
Applied Technical Services, LLC1st Lien Delay Draw Term Loan11.20% (3M SOFR + 5.75%)12/29/20261,417 1,417 (e)(f)
Applied Technical Services, LLC1st Lien Delay Draw Term Loan11.20% (3M SOFR + 5.75%)12/29/20264,081 4,080 (e)(h)
Applied Technical Services, LLC1st Lien Delay Draw Term Loan11.45% (3M SOFR + 6.00%)12/29/2026570 570 (e)
Argenbright Holdings V, LLC1st Lien Term Loan12.71% (3M SOFR + 7.25%)11/30/20262,784 2,784 (e)(f)
Argenbright Holdings V, LLC1st Lien Delay Draw Term Loan11/30/2026— — (e)(h)
Armorica Lux S.a.r.l.Luxembourg1st Lien Term Loan8.84% (3M EURIBOR + 4.93%)07/28/20286,500 6,741 
Auxadi Midco S.L.U.Spain1st Lien Term Loan8.65% (3M EURIBOR + 4.75%)07/17/2028473 510 (e)(g)
Capstone Acquisition Holdings, Inc.1st Lien Revolving Loan11/12/2025— — (e)(h)
Capstone Acquisition Holdings, Inc.1st Lien Term Loan10.18% (1M SOFR + 4.75%)11/12/202710,704 10,704 (e)(f)
Capstone Acquisition Holdings, Inc.1st Lien Delay Draw Term Loan10.18% (1M SOFR + 4.75%)11/12/2027628 628 (e)
Capstone Acquisition Holdings, Inc.2nd Lien Term Loan14.18% (1M SOFR + 8.75%)11/13/20283,008 3,008 (e)(f)
Compex Legal Services, Inc.1st Lien Revolving Loan10.85% (3M SOFR + 5.45%)02/07/2025180 180 (e)(h)
Compex Legal Services, Inc.1st Lien Term Loan10.86% (3M SOFR + 5.45%)02/09/20261,267 1,267 (e)(f)
Dispatch Acquisition Holdings, LLC1st Lien Term Loan9.70% (3M SOFR + 4.25%)03/27/202814,755 13,667 (f)
Dun & Bradstreet Corporation, The1st Lien Term Loan8.08% (1M SOFR + 2.75%)01/18/202910,101 10,096 
Eagle Parent Corp.1st Lien Term Loan9.55% (3M SOFR + 4.25%)04/02/20292,670 2,644 
Elevation Services Parent Holdings, LLC1st Lien Revolving Loan11.46% (3M SOFR + 6.00%)12/18/2026101 99 (e)(h)
Elevation Services Parent Holdings, LLC1st Lien Term Loan11.45% (3M SOFR + 6.00%)12/18/20261,306 1,280 (e)(f)
Elevation Services Parent Holdings, LLC1st Lien Term Loan11.46% (3M SOFR + 6.00%)12/18/2026623 611 (e)(f)
Elevation Services Parent Holdings, LLC1st Lien Delay Draw Term Loan11.46% (3M SOFR + 6.00%)12/18/20261,746 1,711 (e)(f)
Elevation Services Parent Holdings, LLC1st Lien Delay Draw Term Loan11.49% (3M SOFR + 6.00%)12/18/2026373 366 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Erasmus Acquisition Holding B.V.Netherlands1st Lien Term Loan11.95% (6M EURIBOR + 8.06%)03/13/20303,323 3,585 (e)(g)
Erasmus Acquisition Holding B.V.Netherlands1st Lien Delay Draw Term Loan11.95% (6M EURIBOR + 8.06%)03/13/2030222 240 (e)(g)(h)
Flywheel Acquireco, Inc.1st Lien Revolving Loan11.83% (1M SOFR + 6.50%)05/12/20281,110 1,110 (e)(h)
Flywheel Acquireco, Inc.1st Lien Term Loan11.83% (1M SOFR + 6.50%)05/13/203013,748 13,748 (e)
HH-Stella, Inc.1st Lien Revolving Loan04/22/2027— — (e)(h)
HH-Stella, Inc.1st Lien Term Loan11.46% (3M SOFR + 6.00%)04/24/20286,015 6,015 (e)(f)
HH-Stella, Inc.1st Lien Delay Draw Term Loan11.46% (3M SOFR + 6.00%)04/24/20282,396 2,396 (e)
HP RSS Buyer, Inc.1st Lien Term Loan10.32% (3M SOFR + 5.00%)12/11/20291,265 1,240 (e)(f)
HP RSS Buyer, Inc.1st Lien Delay Draw Term Loan10.32% (3M SOFR + 5.00%)12/11/2029270 267 (e)
HP RSS Buyer, Inc.1st Lien Delay Draw Term Loan10.31% (3M SOFR + 5.00%)12/11/2029357 352 (e)(h)
Integrated Power Services Holdings, Inc.2nd Lien Term Loan12.93% (1M SOFR + 7.50%)11/23/20294,983 4,909 (e)
IRI Group Holdings, Inc.1st Lien Revolving Loan11.08% (1M SOFR + 5.75%)12/01/2027731 731 (e)(h)
IRI Group Holdings, Inc.1st Lien Term Loan11.58% (3M SOFR + 6.25%)12/01/202825,056 25,055 (e)(g)
Ishtar Bidco Norway ASUnited Kingdom1st Lien Delay Draw Term Loan15.94% (6M SONIA + 10.75%)11/26/2025£735 761 (e)(f)
Kellermeyer Bergensons Services, LLC1st Lien Term Loan13.59% (3M SOFR + 8.00%)11/09/20262,848 2,848 (e)(f)
Kellermeyer Bergensons Services, LLC1st Lien Term Loan10.73% (6M SOFR + 5.25%)11/06/20286,549 6,549 (e)(g)
Kellermeyer Bergensons Services, LLC1st Lien Delay Draw Term Loan11/06/2028— — (e)(h)
Kings Buyer, LLC1st Lien Revolving Loan14.00% (PRIME + 5.50%)10/29/202712 11 (e)(h)
Kings Buyer, LLC1st Lien Term Loan11.80% (3M SOFR + 6.50%)10/29/20273,428 3,428 (e)
LABL, Inc.1st Lien Term Loan10.43% (1M SOFR + 5.00%)10/29/20284,266 4,173 
Laboratories Bidco LLC1st Lien Revolving Loan14.25% (PRIME + 5.75%)07/23/20271,155 1,004 (e)(h)
Laboratories Bidco LLC1st Lien Term Loan12.21% (3M SOFR + 6.75%)07/23/20271,886 1,641 (e)(f)(g)
Laboratories Bidco LLC1st Lien Term Loan12.05% (3M CDOR + 6.75%)07/23/2027CAD1,768 1,136 (e)(f)
Laboratories Bidco LLC1st Lien Term Loan12.21% (3M SOFR + 6.75%)07/23/20273,920 3,410 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Laboratories Bidco LLC1st Lien Term Loan12.21% (3M SOFR + 6.75%)07/23/20273,981 3,464 (e)
Laboratories Bidco LLC1st Lien Delay Draw Term Loan12.21% (3M SOFR + 6.75%)07/23/2027290 252 (e)
Lavatio Midco SarlLuxembourg1st Lien Delay Draw Term Loan10.64% (6M EURIBOR + 6.75%)11/30/2026569 614 (e)(h)
Lavatio Midco SarlLuxembourg1st Lien Delay Draw Term Loan10.64% (6M EURIBOR + 6.75%)11/30/2026746 805 (e)(f)
Lightbeam Bidco, Inc.1st Lien Revolving Loan05/04/2029— — (e)(h)
Lightbeam Bidco, Inc.1st Lien Term Loan11.56% (3M SOFR + 6.25%)05/06/20301,129 1,129 (e)(f)
Lightbeam Bidco, Inc.1st Lien Term Loan10.81% (3M SOFR + 5.50%)05/06/2030131 131 (e)(f)
Lightbeam Bidco, Inc.1st Lien Delay Draw Term Loan11.56% (3M SOFR + 6.25%)05/06/2030171 171 (e)
Lightbeam Bidco, Inc.1st Lien Delay Draw Term Loan10.84% (3M SOFR + 5.50%)05/06/2030264 264 (e)(h)
Lowe P27 Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.81% (6M SOFR + 6.50%)07/31/2026610 609 (e)
Lowe P27 Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.11% (6M SONIA + 6.50%)07/31/2026£1,706 2,153 (e)
Lowe P27 Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.01% (6M SONIA + 6.50%)07/31/2026£462 583 (e)
Lowe P27 Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.62% (3M EURIBOR + 6.75%)07/31/2026£1,183 1,493 (e)(h)
Marmic Purchaser, LLC1st Lien Revolving Loan11.21% (3M SOFR + 5.75%)03/05/202729 29 (e)(h)
Marmic Purchaser, LLC1st Lien Term Loan11.21% (3M SOFR + 5.75%)03/05/20272,001 2,001 (e)(f)
Marmic Purchaser, LLC1st Lien Delay Draw Term Loan11.21% (3M SOFR + 5.75%)03/05/20272,011 2,011 (e)
Marmic Purchaser, LLC1st Lien Delay Draw Term Loan11.71% (3M SOFR + 6.25%)03/05/20271,268 1,268 (e)(h)
MPLC Debtco LimitedJersey1st Lien Term Loan11.47% (1M SONIA + 6.25%)01/07/2027£148 187 (e)(f)
MPLC Debtco LimitedJersey1st Lien Delay Draw Term Loan12.05% (6M SOFR + 6.25%)01/07/20272,100 2,100 (e)(f)
MPLC Debtco LimitedJersey1st Lien Delay Draw Term Loan11.73% (6M SONIA + 6.25%)01/07/2027£1,052 1,327 (e)(f)
Neptune BidCo US Inc.1st Lien Revolving Loan10/11/2027— — (e)(h)
Neptune BidCo US Inc.1st Lien Term Loan10.17% (3M SOFR + 4.75%)10/11/202813,211 12,079 (f)
Neptune BidCo US Inc.1st Lien Term Loan10.42% (3M SOFR + 5.00%)04/11/202915,283 14,070 (f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Neptune BidCo US Inc.2nd Lien Term Loan15.17% (3M SOFR + 9.75%)10/11/20299,882 9,487 (e)(f)
Nest Topco Borrower Inc.1st Lien Term Loan16.00% (PRIME + 7.50%)08/31/202913,162 13,162 (e)(g)
North American Fire Holdings, LLC1st Lien Revolving Loan11.21% (3M SOFR + 5.75%)05/19/2027257 257 (e)(h)
North American Fire Holdings, LLC1st Lien Term Loan11.21% (3M SOFR + 5.75%)05/19/20272,274 2,274 (e)(f)
North American Fire Holdings, LLC1st Lien Delay Draw Term Loan11.21% (3M SOFR + 5.75%)05/19/20272,151 2,151 (e)(f)
North American Fire Holdings, LLC1st Lien Delay Draw Term Loan11.22% (3M SOFR + 5.75%)05/19/20272,845 2,845 (e)
North Haven Fairway Buyer, LLC1st Lien Revolving Loan11.81% (3M SOFR + 6.50%)05/17/2028(e)(h)
North Haven Fairway Buyer, LLC1st Lien Term Loan11.81% (3M SOFR + 6.50%)05/17/202845 45 (e)
North Haven Fairway Buyer, LLC1st Lien Delay Draw Term Loan11.82% (3M SOFR + 6.50%)05/17/2028175 175 (e)(h)
North Haven Stack Buyer, LLC1st Lien Revolving Loan10.70% (3M SOFR + 5.25%)07/16/202752 52 (e)(h)
North Haven Stack Buyer, LLC1st Lien Term Loan10.71% (3M SOFR + 5.25%)07/16/20271,310 1,310 (e)(f)
North Haven Stack Buyer, LLC1st Lien Delay Draw Term Loan10.70% (3M SOFR + 5.25%)07/16/2027242 242 (e)
North Haven Stack Buyer, LLC1st Lien Delay Draw Term Loan10.71% (3M SOFR + 5.25%)07/16/2027740 740 (e)
North Haven Stack Buyer, LLC1st Lien Delay Draw Term Loan07/16/2027— — (e)(h)
North Haven Stack Buyer, LLC1st Lien Delay Draw Term Loan10.73% (3M SOFR + 5.25%)07/16/2027198 198 (e)
North Haven Stack Buyer, LLC1st Lien Delay Draw Term Loan10.72% (1M SOFR + 5.25%)07/16/2027169 169 (e)
Orbit Private Holdings I LtdUnited Kingdom1st Lien Term Loan10.94% (3M SONIA + 5.75%)12/11/2028£4,915 6,048 (e)
Priority Waste Holdings LLC1st Lien Revolving Loan10.80% (3M SOFR + 5.50%)08/20/2029(e)(h)
Priority Waste Holdings LLC1st Lien Term Loan13.33% (3M SOFR + 8.00%)08/20/20291,811 1,811 (e)(g)
Priority Waste Holdings LLC1st Lien Delay Draw Term Loan13.30% (3M SOFR + 8.00%)08/20/20291,201 1,201 (e)(g)
Priority Waste Holdings LLC1st Lien Delay Draw Term Loan13.33% (3M SOFR + 8.00%)08/20/2029700 700 (e)(g)(h)
PSC Group LLC1st Lien Revolving Loan11.46% (3M SOFR + 6.00%)07/23/2025253 252 (e)(h)
PSC Group LLC1st Lien Term Loan11.46% (3M SOFR + 6.00%)07/23/20255,205 5,205 (e)(f)
PSC Group LLC1st Lien Term Loan11.47% (3M SOFR + 6.00%)07/23/20253,511 3,511 (e)(f)
PSC Group LLC1st Lien Delay Draw Term Loan11.50% (3M SOFR + 6.00%)07/23/2025104 104 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
PSC Group LLC1st Lien Delay Draw Term Loan11.45% (1M SOFR + 6.00%)07/23/20251,572 1,572 (e)
PSC Group LLC1st Lien Delay Draw Term Loan11.46% (3M SOFR + 6.00%)07/23/2025957 957 (e)
PSC Group LLC1st Lien Delay Draw Term Loan11.48% (3M SOFR + 6.00%)07/23/2025836 836 (e)
Pye-Barker Fire & Safety, LLC1st Lien Delay Draw Term Loan11/26/2027— — (e)(h)
Registrar Intermediate, LLC1st Lien Revolving Loan10.42% (1M SOFR + 5.00%)08/26/202789 87 (e)(h)
Registrar Intermediate, LLC1st Lien Term Loan10.64% (6M SOFR + 5.00%)08/26/20274,094 4,012 (e)(f)
Research Now Group, LLC1st Lien Term Loan12/20/20243,464 2,047 (f)(j)
Research Now Group, LLC2nd Lien Term Loan12/20/2025893 197 (e)(f)(j)
Rodeo AcquisitionCo LLC1st Lien Revolving Loan11.49% (3M SOFR + 6.00%)07/26/2027225 221 (e)(h)
Rodeo AcquisitionCo LLC1st Lien Term Loan11.49% (3M SOFR + 6.00%)07/26/20272,070 2,029 (e)
RSK Group LimitedUnited Kingdom1st Lien Term Loan10.20% (3M SONIA + 4.88%)08/07/2028£3,405 4,297 (e)(f)(g)
RSK Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.18% (3M SONIA + 4.88%)08/07/2028£8,248 10,411 (e)(f)(g)
RSK Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan8.78% (3M EURIBOR + 4.88%)08/07/20281,033 1,114 (e)(f)(g)
RSK Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.22% (3M SONIA + 4.88%)08/07/2028£13,314 16,804 (e)(g)
RSK Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.24% (3M SONIA + 4.88%)08/07/2028£4,156 5,246 (e)(g)(h)
Saturn Purchaser Corp.1st Lien Term Loan10.67% (3M SOFR + 5.25%)07/23/2029236 236 (e)
Schill Landscaping and Lawn Care Services, LLC1st Lien Revolving Loan12/16/2027— — (e)(h)
Schill Landscaping and Lawn Care Services, LLC1st Lien Term Loan11.18% (1M SOFR + 5.75%)12/16/20272,532 2,532 (e)(f)
Schill Landscaping and Lawn Care Services, LLC1st Lien Delay Draw Term Loan11.18% (1M SOFR + 5.75%)12/16/20271,496 1,496 (e)(h)
Shermco Intermediate Holdings, Inc.1st Lien Revolving Loan10.58% (1M SOFR + 5.25%)06/05/2026550 550 (e)(h)
Shermco Intermediate Holdings, Inc.1st Lien Term Loan10.58% (1M SOFR + 5.25%)06/05/202630,849 30,849 (e)(f)
Shermco Intermediate Holdings, Inc.1st Lien Delay Draw Term Loan10.58% (1M SOFR + 5.25%)06/05/202637 37 (e)(h)
SSE Buyer, Inc.1st Lien Revolving Loan7.43% (1M SOFR + 2.00%)06/30/2025(e)(h)
SSE Buyer, Inc.2nd Lien Term Loan06/30/2026735 — (e)(f)(j)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Stealth Holding LLC1st Lien Term Loan12.20% (3M SOFR + 6.75%)03/02/20262,417 2,417 (e)(f)
Stealth Holding LLC1st Lien Delay Draw Term Loan12.24% (3M SOFR + 6.75%)03/02/20264,149 4,149 (e)
Steer Automotive Group LtdUnited Kingdom1st Lien Term Loan12.06% (3M SONIA + 6.75%)04/19/2029£2,449 3,091 (e)(f)
Steer Automotive Group LtdUnited Kingdom1st Lien Term Loan12.06% (3M SONIA + 6.75%)04/19/2029£1,542 1,946 (e)
Steer Automotive Group LtdUnited Kingdom1st Lien Term Loan11.94% (3M SONIA + 6.75%)04/19/2029£4,509 5,691 (e)
Steer Automotive Group LtdUnited Kingdom1st Lien Term Loan12.06% (3M SONIA + 6.75%)06/30/2030£4,723 5,961 (e)
Steer Automotive Group LtdUnited Kingdom1st Lien Term Loan11.94% (3M SONIA + 6.75%)02/03/2031£1,376 1,736 (e)(g)
Steer Automotive Group LtdUnited Kingdom1st Lien Delay Draw Term Loan12.06% (3M SONIA + 6.75%)04/19/2029£3,191 4,027 (e)
Survitec Group Holdco LimitedUnited Kingdom1st Lien Term Loan13.33% (3M SONIA + 8.00%)04/06/2027£8,255 10,106 (e)(f)(g)
Survitec Group Holdco LimitedUnited Kingdom1st Lien Term Loan13.86% (6M SONIA + 8.38%)04/06/2027£501 614 (e)
Survitec Group Holdco LimitedUnited Kingdom1st Lien Term Loan13.49% (6M SONIA + 8.00%)04/06/2027£1,782 2,182 (e)(f)(g)
Systems Planning and Analysis, Inc.1st Lien Revolving Loan08/16/2027— — (e)(h)
Systems Planning and Analysis, Inc.1st Lien Term Loan11.08% (3M SOFR + 5.75%)08/16/20274,433 4,433 (e)(f)
Thermostat Purchaser III, Inc.1st Lien Revolving Loan08/31/2026— — (e)(h)
Thermostat Purchaser III, Inc.2nd Lien Term Loan12.74% (3M SOFR + 7.25%)08/31/20293,575 3,504 (e)
TSS Buyer, LLC1st Lien Term Loan10.95% (3M SOFR + 5.50%)06/22/2029260 260 (e)
TSS Buyer, LLC1st Lien Delay Draw Term Loan10.95% (1M SOFR + 5.50%)06/22/2029130 130 (e)(h)
UCIT Online Security Inc.Canada1st Lien Term Loan12.20% (3M SOFR + 6.75%)03/02/20261,620 1,620 (e)(f)
UP Intermediate II LLC1st Lien Revolving Loan03/14/2030— — (e)(h)
UP Intermediate II LLC1st Lien Term Loan10.58% (6M SOFR + 5.25%)03/14/2031374 365 (e)
Villa Dutch Bidco B.V.Netherlands1st Lien Term Loan9.37% (1M EURIBOR + 5.50%)11/03/20296,000 6,459 
Visual Edge Technology, Inc.1st Lien Term Loan12.48% (3M SOFR + 7.00%)12/31/20252,203 2,203 (e)(f)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Visual Edge Technology, Inc.1st Lien Delay Draw Term Loan12/31/2025— — (e)(g)(h)
VRC Companies, LLC1st Lien Revolving Loan06/29/2027— — (e)(h)
VRC Companies, LLC1st Lien Term Loan11.07% (3M SOFR + 5.50%)06/29/202716,490 16,160 (e)
Waste Services Finco Pty LtdAustralia1st Lien Term Loan9.97% (1M BBSW + 5.63%)12/23/2027AUD11,142 7,260 (e)(f)
Waste Services Finco Pty LtdAustralia1st Lien Delay Draw Term Loan10.06% (3M BBSW + 5.63%)12/23/2027AUD802 523 (e)(h)
424,565 11.96 %
Consumer Discretionary Distribution and Retail
Bamboo Purchaser, Inc.1st Lien Revolving Loan8.23% (3M SOFR + 2.75%)11/05/2026(e)(h)
Bamboo Purchaser, Inc.1st Lien Term Loan11.96% (3M SOFR + 6.50%)11/05/20273,474 3,301 (e)(f)
Bamboo Purchaser, Inc.1st Lien Delay Draw Term Loan11.96% (3M SOFR + 6.50%)11/05/2027820 778 (e)
BradyIFS Holdings, LLC1st Lien Revolving Loan10/31/2029— — (e)(h)
BradyIFS Holdings, LLC1st Lien Term Loan11.31% (3M SOFR + 6.00%)10/31/202918,200 17,836 (e)(f)
BradyIFS Holdings, LLC1st Lien Delay Draw Term Loan11.30% (SOFR + 6.00%)10/31/2029491 482 (e)(h)
Hills Distribution, Inc.1st Lien Revolving Loan9.82% (3M SOFR + 4.50%)11/08/2029(e)(h)
Hills Distribution, Inc.1st Lien Term Loan11.32% (6M SOFR + 6.00%)11/08/2029533 522 (e)
Hills Distribution, Inc.1st Lien Delay Draw Term Loan11/08/2029— — (e)(h)
Marcone Yellowstone Buyer Inc.1st Lien Term Loan11.70% (3M SOFR + 6.25%)06/23/202810,652 10,226 (e)(f)
Marcone Yellowstone Buyer Inc.1st Lien Delay Draw Term Loan11.70% (3M SOFR + 6.25%)06/23/20283,514 3,374 (e)
Mavis Tire Express Services Topco Corp.1st Lien Revolving Loan8.84% (3M SOFR + 3.25%)05/04/2026— (e)(h)
Reddy Ice LLC1st Lien Revolving Loan12.50% (PRIME + 4.00%)07/01/202567 67 (e)(h)
Reddy Ice LLC1st Lien Term Loan10.48% (3M SOFR + 5.00%)07/01/20257,238 7,238 (e)(f)
Reddy Ice LLC1st Lien Delay Draw Term Loan10.48% (3M SOFR + 5.00%)07/01/20252,892 2,892 (e)(h)
Saldon Holdings, Inc.1st Lien Revolving Loan03/13/2026— — (e)(h)
Saldon Holdings, Inc.1st Lien Term Loan11.43% (1M SOFR + 6.00%)03/13/20266,932 6,932 (e)(f)
Saldon Holdings, Inc.1st Lien Term Loan11.43% (1M SOFR + 6.00%)03/13/20261,116 1,116 (e)
Saldon Holdings, Inc.1st Lien Delay Draw Term Loan03/13/2026— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
SCIH Salt Holdings Inc.1st Lien Term Loan9.44% (3M SOFR + 4.00%)03/16/202711,586 11,602 
Trader CorporationCanada1st Lien Revolving Loan12/22/2028CAD— — (e)(h)
Trader CorporationCanada1st Lien Term Loan12.04% (1M CDOR + 6.75%)12/21/2029CAD230 170 (e)
US Salt Investors, LLC1st Lien Revolving Loan07/20/2026— — (e)(h)
US Salt Investors, LLC1st Lien Term Loan10.71% (3M SOFR + 5.25%)07/19/20285,892 5,892 (e)(f)
Wrench Group LLC1st Lien Term Loan9.57% (3M SOFR + 4.00%)10/30/20285,000 5,012 
77,442 2.18 %
Consumer Durables and Apparel
Centric Brands LLC1st Lien Term Loan10.79% (3M SOFR + 5.50%)08/06/2029964 964 (e)
Centric Brands TopCo, LLC1st Lien Term Loan13.29% (3M SOFR + 8.00%)02/06/20311,814 1,814 (e)(g)
DRS Holdings III, Inc.1st Lien Revolving Loan11/01/2025— — (e)(h)
DRS Holdings III, Inc.1st Lien Term Loan11.71% (3M SOFR + 6.25%)11/01/202514,199 13,915 (e)(f)
Rawlings Sporting Goods Company, Inc.1st Lien Revolving Loan9.18% (1M SOFR + 3.75%)12/31/2025(e)(h)
Rawlings Sporting Goods Company, Inc.1st Lien Term Loan11.71% (3M SOFR + 6.25%)12/31/20266,577 6,576 (e)(f)(g)
Rawlings Sporting Goods Company, Inc.1st Lien Term Loan11.71% (3M SOFR + 6.25%)12/31/2026792 792 (e)
24,063 0.68 %
Consumer Services
1011778 BC ULC / New Red Finance, Inc.Canada1st Lien Term Loan7.58% (1M SOFR + 2.25%)09/20/203014,963 14,947 
Aimbridge Acquisition Co., Inc.2nd Lien Term Loan12.94% (1M SOFR + 7.50%)02/01/20274,788 4,692 (e)(f)
American Residential Services L.L.C.1st Lien Revolving Loan10.75% (PRIME + 2.25%)10/15/2025(e)(h)
American Residential Services L.L.C.2nd Lien Term Loan14.07% (3M SOFR + 8.50%)10/16/20288,314 8,314 (e)
Apex Service Partners, LLC1st Lien Revolving Loan11.83% (3M SOFR + 6.50%)10/24/2029810 790 (e)(g)(h)
Apex Service Partners, LLC1st Lien Term Loan12.32% (3M SOFR + 7.00%)10/24/203023,996 23,396 (e)(g)
Apex Service Partners, LLC1st Lien Delay Draw Term Loan12.34% (3M SOFR + 7.00%)10/24/20303,130 3,052 (e)(g)(h)
ASP Dream Acquisition Co LLC1st Lien Term Loan9.43% (1M SOFR + 4.00%)12/15/20286,026 6,026 (e)(f)
Aspris Bidco LimitedUnited Kingdom1st Lien Term Loan12.10% (3M SONIA + 6.75%)08/23/2028£3,234 4,082 (e)(f)
Aspris Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.08% (3M SONIA + 6.75%)08/23/2028£1,406 1,775 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Aspris Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.58% (3M SONIA + 7.25%)02/08/2030£462 584 (e)(h)
Belfor Holdings, Inc.1st Lien Term Loan9.08% (1M SOFR + 3.75%)11/01/20303,435 3,447 (e)
Caesars Entertainment Inc1st Lien Term Loan8.04% (3M SOFR + 2.75%)02/06/20317,000 7,000 
CC Fly Holding II A/SDenmark1st Lien Term Loan12.22% (3M NIBOR + 7.50%)05/09/2025DKK717 101 (e)(f)
CC Fly Holding II A/SDenmark1st Lien Delay Draw Term Loan12.22% (3M NIBOR + 7.50%)05/09/2025DKK3,403 477 (e)(f)
CC Fly Holding II A/SDenmark1st Lien Delay Draw Term Loan11.35% (3M CIBOR + 7.50%)05/09/2025DKK5,465 767 (e)(f)
Clarion Home Services Group, LLC1st Lien Revolving Loan11.43% (3M SOFR + 6.00%)12/06/202762 57 (e)(h)
Clarion Home Services Group, LLC1st Lien Term Loan12.41% (3M SOFR + 7.00%)12/06/20272,344 2,156 (e)(f)(g)
Clarion Home Services Group, LLC1st Lien Delay Draw Term Loan12.41% (3M SOFR + 7.00%)12/06/20271,330 1,224 (e)(g)
Clarion Home Services Group, LLC1st Lien Delay Draw Term Loan13.68% (3M SOFR + 8.25%)12/06/2027243 223 (e)(g)(h)
ClubCorp Holdings, Inc.1st Lien Term Loan10.56% (3M SOFR + 5.00%)09/18/20266,698 6,703 
CMG HoldCo, LLC1st Lien Revolving Loan05/19/2028— — (e)(h)
CMG HoldCo, LLC1st Lien Term Loan10.31% (3M SOFR + 5.00%)05/19/2028713 713 (e)(f)
CMG HoldCo, LLC1st Lien Delay Draw Term Loan10.33% (3M SOFR + 5.00%)05/19/2028421 421 (e)
CMG HoldCo, LLC1st Lien Delay Draw Term Loan10.32% (1M SOFR + 5.00%)05/19/20281,036 1,036 (e)(h)
CMG HoldCo, LLC1st Lien Delay Draw Term Loan05/19/2028— — (e)(h)
CST Holding Company1st Lien Revolving Loan12.18% (1M SOFR + 6.75%)11/01/2028(e)(h)
CST Holding Company1st Lien Term Loan12.18% (1M SOFR + 6.75%)11/01/20281,066 1,066 (e)
ECG Bidco S.A.S.France1st Lien Term Loan11.69% (3M SONIA + 6.50%)10/02/2028£9,567 12,075 (e)(f)
ECG Bidco S.A.S.France1st Lien Term Loan10.44% (3M EURIBOR + 6.50%)10/02/20286,010 6,484 (e)(f)
ECG Bidco S.A.S.France1st Lien Delay Draw Term Loan10/02/2028— — (e)(f)(h)
ECG Bidco S.A.S.France1st Lien Delay Draw Term Loan02/01/2030— — (e)(g)(h)
ECG Bidco S.A.S.France1st Lien Delay Draw Term Loan10.94% (3M EURIBOR + 7.00%)02/01/203017,736 19,134 (e)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Equinox Holdings, Inc.1st Lien Term Loan13.56% (3M SOFR + 8.25%)03/08/202941,747 40,703 (e)(g)
Equinox Holdings, Inc.2nd Lien Term Loan16.00%06/30/20273,348 3,248 (e)(g)
Essential Services Holding Corporation1st Lien Revolving Loan11.22% (3M SOFR + 5.75%)11/17/2025624 624 (e)(h)
Essential Services Holding Corporation1st Lien Term Loan11.20% (3M SOFR + 5.75%)11/16/20269,460 9,460 (e)(f)
Essential Services Holding Corporation1st Lien Delay Draw Term Loan11.20% (3M SOFR + 5.75%)11/16/202611,317 11,317 (e)(f)
Essential Services Holding Corporation1st Lien Delay Draw Term Loan11.23% (3M SOFR + 5.75%)11/16/202610,205 10,205 (e)(f)
Essential Services Holding Corporation1st Lien Delay Draw Term Loan11.23% (3M SOFR + 5.75%)11/16/20267,992 7,993 (e)
Eternal Aus Bidco Pty LtdAustralia1st Lien Term Loan10.64% (3M BBSY + 6.25%)10/29/2029AUD1,834 1,195 (e)(g)
Eternal Aus Bidco Pty LtdAustralia1st Lien Delay Draw Term Loan10/29/2029AUD— — (e)(g)(h)
EuroParcs Topholding B.V.Netherlands1st Lien Term Loan07/03/20262,653 2,203 (e)(j)
EuroParcs Topholding B.V.Netherlands1st Lien Delay Draw Term Loan07/03/20264,691 3,897 (e)(j)
Excel Fitness Holdings, Inc.1st Lien Term Loan10.80% (3M SOFR + 5.50%)04/27/2029756 756 (e)
Excel Fitness Holdings, Inc.1st Lien Delay Draw Term Loan04/27/2029— — (e)(h)
Family First Bidco LimitedUnited Kingdom1st Lien Term Loan12.50%12/31/2029£27 34 (e)
Flint Opco, LLC1st Lien Revolving Loan08/15/2029— — (e)(h)
Flint Opco, LLC1st Lien Term Loan10.55% (3M SOFR + 5.25%)08/15/20301,031 1,031 (e)
Flint Opco, LLC1st Lien Delay Draw Term Loan10.58% (3M SOFR + 5.25%)08/15/2030332 332 (e)(h)
Goldcup 16786 ABSweden1st Lien Delay Draw Term Loan10.61% (6M STIBOR + 6.25%)08/18/2025SEK9,368 875 (e)(f)
GS SEER Group Borrower LLC1st Lien Revolving Loan04/30/2029— — (e)(h)
GS SEER Group Borrower LLC1st Lien Term Loan12.06% (3M SOFR + 6.75%)04/29/2030323 323 (e)
GS SEER Group Borrower LLC1st Lien Delay Draw Term Loan12.08% (3M SOFR + 6.75%)04/29/203060 60 (e)(h)
Helios Service Partners, LLC & Astra Service Partners, LLC1st Lien Revolving Loan11.56% (3M SOFR + 6.00%)03/19/2027(e)(h)
Helios Service Partners, LLC & Astra Service Partners, LLC1st Lien Term Loan11.81% (3M SOFR + 6.25%)03/19/2027496 496 (e)
Helios Service Partners, LLC & Astra Service Partners, LLC1st Lien Delay Draw Term Loan11.81% (3M SOFR + 6.25%)03/19/2027714 714 (e)(h)
Infinity Home Services HoldCo, Inc.1st Lien Revolving Loan14.25% (PRIME + 5.75%)12/28/202880 80 (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Infinity Home Services HoldCo, Inc.1st Lien Revolving Loan12.20% (PRIME + 5.00%)12/28/2028CAD— — (e)(h)
Infinity Home Services HoldCo, Inc.1st Lien Term Loan12.16% (3M SOFR + 6.75%)12/28/20283,366 3,366 (e)
Infinity Home Services HoldCo, Inc.1st Lien Delay Draw Term Loan12.18% (3M SOFR + 6.75%)12/28/20281,043 1,043 (e)
Infinity Home Services HoldCo, Inc.1st Lien Delay Draw Term Loan11.31% (1M CDOR + 6.00%)12/28/2028176 176 (e)(h)
IRB Holding Corp.1st Lien Term Loan8.18% (1M SOFR + 2.75%)12/15/202712,642 12,639 
Leviathan Intermediate Holdco, LLC1st Lien Revolving Loan12/27/2027— — (e)(h)
Leviathan Intermediate Holdco, LLC1st Lien Term Loan12.96% (3M SOFR + 7.50%)12/27/20271,317 1,317 (e)
LGDN Bidco LimitedUnited Kingdom1st Lien Term Loan14.15% (3M SONIA + 8.84%)12/09/2027£2,114 2,669 (e)
LGDN Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12/09/2027£— — (e)(f)(h)
Mister Car Wash Holdings, Inc.1st Lien Term Loan03/21/203110,000 10,017 (i)
Movati Athletic (Group) Inc.Canada1st Lien Term Loan11.30% (3M CDOR + 6.00%)10/05/2024CAD234 173 (e)(f)(g)
Movati Athletic (Group) Inc.Canada1st Lien Delay Draw Term Loan11.30% (3M CDOR + 6.00%)10/05/2024CAD170 125 (e)(g)
Northwinds Holding, Inc.1st Lien Revolving Loan14.00% (PRIME + 5.50%)05/01/2029221 221 (e)(h)
Northwinds Holding, Inc.1st Lien Term Loan12.18% (3M SOFR + 6.50%)05/01/20294,264 4,263 (e)
Northwinds Holding, Inc.1st Lien Delay Draw Term Loan12.15% (6M SOFR + 6.50%)05/01/2029946 946 (e)
Northwinds Holding, Inc.1st Lien Delay Draw Term Loan12.18% (3M SOFR + 6.50%)05/01/20291,361 1,361 (e)(h)
Ontario Gaming GTA LPCanada1st Lien Term Loan9.56% (3M SOFR + 4.25%)08/01/20302,494 2,501 
PestCo, LLC1st Lien Revolving Loan02/17/2028— — (e)(h)
PestCo, LLC1st Lien Term Loan11.71% (3M SOFR + 6.25%)02/17/2028396 396 (e)
PestCo, LLC1st Lien Delay Draw Term Loan11.43% (1M SOFR + 6.00%)02/17/202826 26 (e)(h)
PG Polaris Bidco S.A.R.L.Luxembourg1st Lien Term Loan02/24/20316,000 6,007 (e)(i)
Radiant Intermediate Holding, LLC1st Lien Term Loan11.19% (3M SOFR + 5.75%)11/23/2026495 465 (e)
Redwood Services, LLC1st Lien Revolving Loan12/31/2025— — (e)(g)(h)
Redwood Services, LLC1st Lien Term Loan12.14% (3M SOFR + 6.50%)12/31/2025775 775 (e)(g)
Redwood Services, LLC1st Lien Delay Draw Term Loan12.14% (6M SOFR + 6.50%)12/31/20252,740 2,740 (e)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Redwood Services, LLC1st Lien Delay Draw Term Loan11.93% (1M SOFR + 6.50%)12/31/20252,828 2,828 (e)(g)(h)
Safe Home Security, Inc.1st Lien Term Loan12.69% (1M SOFR + 7.25%)08/05/2024(e)(f)
Safe Home Security, Inc.1st Lien Delay Draw Term Loan12.69% (1M SOFR + 7.25%)08/05/2024100 100 (e)
Service Logic Acquisition, Inc.1st Lien Revolving Loan10/30/2025— — (e)(h)
Service Logic Acquisition, Inc.1st Lien Term Loan9.57% (3M SOFR + 4.00%)10/29/202715,340 15,321 
Station Casinos LLC1st Lien Term Loan7.58% (1M SOFR + 2.25%)03/07/20318,403 8,387 
United PF Holdings, LLC1st Lien Term Loan14.07% (3M SOFR + 8.50%)12/30/20261,310 1,212 (e)
Vertex Service Partners, LLC1st Lien Revolving Loan11/08/2030— — (e)(h)
Vertex Service Partners, LLC1st Lien Term Loan10.82% (3M SOFR + 5.50%)11/08/20301,044 1,018 (e)
Vertex Service Partners, LLC1st Lien Delay Draw Term Loan10.82% (3M SOFR + 5.50%)11/08/2030903 881 (e)(h)
Witherslack Bidco LimitedUnited Kingdom1st Lien Term Loan11.93% (3M SONIA + 6.59%)08/17/2028£5,702 7,196 (e)(f)(g)
Witherslack Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan08/17/2028£— — (e)(g)(h)
YE Brands Holdings, LLC1st Lien Revolving Loan10.93% (1M SOFR + 5.50%)10/18/2027172 172 (e)(h)
YE Brands Holdings, LLC1st Lien Term Loan10.91% (3M SOFR + 5.50%)10/18/20271,057 1,058 (e)(f)
YE Brands Holdings, LLC1st Lien Term Loan11.16% (3M SOFR + 5.75%)10/18/2027718 718 (e)(f)
YE Brands Holdings, LLC1st Lien Term Loan11.16% (3M SOFR + 5.75%)10/18/2027420 420 (e)
YE Brands Holdings, LLC1st Lien Delay Draw Term Loan11.16% (3M SOFR + 5.75%)10/18/202750 50 (e)(h)
316,888 8.93 %
Consumer Staples Distribution and Retail
BR PJK Produce, LLC1st Lien Delay Draw Term Loan11.46% (3M SOFR + 6.00%)11/15/2027195 191 (e)(h)
Continental Cafe, LLC1st Lien Revolving Loan11.43% (1M SOFR + 6.00%)11/30/2027393 393 (e)(h)
Continental Cafe, LLC1st Lien Term Loan11.43% (1M SOFR + 6.00%)11/30/20276,812 6,812 (e)(f)
Continental Cafe, LLC1st Lien Term Loan11.42% (1M SOFR + 6.00%)11/30/2027704 704 (e)
Continental Cafe, LLC1st Lien Term Loan11.68% (1M SOFR + 6.25%)11/30/2027806 806 (e)
Continental Cafe, LLC1st Lien Delay Draw Term Loan11.43% (1M SOFR + 6.00%)11/30/20272,767 2,767 (e)
DecoPac, Inc.1st Lien Revolving Loan11.46% (3M SOFR + 6.00%)05/14/2026715 715 (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
DecoPac, Inc.1st Lien Term Loan11.46% (3M SOFR + 6.00%)05/15/202821,739 21,738 (e)(f)(g)
LJ Perimeter Buyer, Inc.1st Lien Term Loan11.96% (3M SOFR + 6.50%)10/31/20283,241 3,177 (e)
LJ Perimeter Buyer, Inc.1st Lien Delay Draw Term Loan11.95% (3M SOFR + 6.50%)10/31/2028417 408 (e)(h)
Mr. Greens Intermediate, LLC1st Lien Revolving Loan05/01/2029— — (e)(h)
Mr. Greens Intermediate, LLC1st Lien Term Loan11.67% (1M SOFR + 6.25%)05/01/20292,303 2,303 (e)
Mr. Greens Intermediate, LLC1st Lien Delay Draw Term Loan05/01/2029— — (e)(h)
SFE Intermediate HoldCo LLC1st Lien Term Loan11.46% (3M SOFR + 6.00%)07/31/20262,058 2,058 (e)(f)
Worldwide Produce Acquisition, LLC1st Lien Revolving Loan01/18/2029— — (e)(h)
Worldwide Produce Acquisition, LLC1st Lien Term Loan11.56% (3M SOFR + 6.25%)01/18/2029143 141 (e)
Worldwide Produce Acquisition, LLC1st Lien Delay Draw Term Loan11.56% (3M SOFR + 6.25%)01/18/202928 28 (e)
Worldwide Produce Acquisition, LLC1st Lien Delay Draw Term Loan11.57% (3M SOFR + 6.25%)01/18/202923 23 (e)(h)
Worldwide Produce Acquisition, LLC1st Lien Delay Draw Term Loan01/18/2029— — (e)(h)
ZB Holdco LLC1st Lien Revolving Loan10.97% (3M SOFR + 5.50%)02/09/2028229 229 (e)(h)
ZB Holdco LLC1st Lien Term Loan10.96% (3M SOFR + 5.50%)02/09/20281,570 1,570 (e)(f)
ZB Holdco LLC1st Lien Term Loan10.96% (3M SOFR + 5.50%)02/09/2028382 382 (e)
ZB Holdco LLC1st Lien Delay Draw Term Loan10.96% (3M SOFR + 5.50%)02/09/2028793 793 (e)
ZB Holdco LLC1st Lien Delay Draw Term Loan10.98% (3M SOFR + 5.50%)02/09/2028355 355 (e)(h)
ZB Holdco LLC1st Lien Delay Draw Term Loan02/09/2028— — (e)(h)
45,593 1.28 %
Energy
Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC1st Lien Term Loan14.41% (3M SOFR + 9.00%)11/16/20265,924 5,924 (e)
Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC1st Lien Delay Draw Term Loan11/16/2026— — (e)(h)
Enviva Inc.1st Lien Revolving Loan10.00% (3M SOFR + 1.50%)06/30/20275,074 5,087 (h)
Enviva Inc.1st Lien Delay Draw Term Loan13.33% (3M SOFR + 8.00%)12/13/20242,340 2,738 (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Enviva Inc.1st Lien Delay Draw Term Loan12/13/2024— — (h)
Freeport LNG investments, LLLP1st Lien Term Loan8.58% (3M SOFR + 3.00%)11/17/20265,989 5,918 
GNZ Energy Bidco LimitedNew Zealand1st Lien Delay Draw Term Loan11.71% (3M BKBM + 6.00%)07/26/2027NZD19,293 11,527 (e)(f)
GNZ Energy Bidco LimitedNew Zealand1st Lien Delay Draw Term Loan07/26/2027NZD— — (e)(h)
Gulf Finance, LLC1st Lien Term Loan12.18% (1M SOFR + 6.75%)08/25/20265,000 4,999 
Halcon Holdings, LLC1st Lien Term Loan12.95% (3M SOFR + 7.50%)11/24/202510,226 10,226 (e)
Halcon Holdings, LLC1st Lien Delay Draw Term Loan13.00% (3M SOFR + 7.50%)11/24/20251,790 1,790 (e)
HighPeak Energy, Inc.1st Lien Term Loan12.95% (3M SOFR + 7.50%)09/30/202615,147 15,147 (e)
Offen, Inc.1st Lien Term Loan10.44% (1M SOFR + 5.00%)06/22/20262,643 2,643 (e)(f)
Offen, Inc.1st Lien Delay Draw Term Loan10.44% (1M SOFR + 5.11%)06/22/20261,006 1,006 (e)(f)
Offen, Inc.1st Lien Delay Draw Term Loan10.44% (1M SOFR + 5.00%)06/22/202612,572 12,572 (e)
Prairie ECI Acquiror LP1st Lien Term Loan10.08% (1M SOFR + 4.75%)08/01/20297,571 7,537 
PX HoldCo3 LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.83% (3M SONIA + 6.50%)04/27/2027£2,947 3,720 (e)(f)(g)
PX HoldCo3 LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.81% (3M SONIA + 6.50%)04/27/2027£221 279 (e)(g)(h)
91,113 2.57 %
Financial Services
Alpha Luxco 2 SarlLuxembourg1st Lien Delay Draw Term Loan10.45% (6M EURIBOR + 6.56%)01/09/20251,013 1,093 (e)(f)(g)
Antenore Bidco SpAItaly1st Lien Delay Draw Term Loan11/02/2031— — (e)(h)
AQ Sage Buyer, LLC1st Lien Revolving Loan01/26/2026— — (e)(h)
AQ Sage Buyer, LLC1st Lien Delay Draw Term Loan11.45% (3M SOFR + 6.00%)01/25/2027255 247 (e)(h)
BCC Blueprint Holdings I, LLC1st Lien Term Loan12.23% (3M SOFR + 6.75%)09/15/20277,377 7,377 (e)
Beacon Pointe Harmony, LLC1st Lien Revolving Loan12/29/2027— — (e)(h)
Beacon Pointe Harmony, LLC1st Lien Term Loan10.83% (1M SOFR + 5.50%)12/29/20286,016 6,016 (e)(f)
Beacon Pointe Harmony, LLC1st Lien Delay Draw Term Loan10.83% (1M SOFR + 5.50%)12/29/20283,666 3,666 (e)
BlauwTrust Holding B.V.Netherlands1st Lien Delay Draw Term Loan10.90% (3M EURIBOR + 7.00%)01/08/20295,591 6,032 (e)(f)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
BlauwTrust Holding B.V.Netherlands1st Lien Delay Draw Term Loan10.90% (3M EURIBOR + 7.00%)01/08/2029523 564 (e)(g)
Brokers Alliance S.L.Spain1st Lien Term Loan10.14% (3M EURIBOR + 6.25%)04/09/2029901 973 (e)(f)(g)
Brokers Alliance S.L.Spain1st Lien Term Loan10.89% (3M EURIBOR + 7.00%)04/09/20291,989 2,146 (e)(g)
Brokers Alliance S.L.Spain1st Lien Delay Draw Term Loan10.14% (3M EURIBOR + 6.25%)04/09/20291,539 1,660 (e)(g)
Brokers Alliance S.L.Spain1st Lien Delay Draw Term Loan10.89% (3M EURIBOR + 7.00%)04/09/2029213 230 (e)(g)(h)
Cliffwater LLC1st Lien Revolving Loan10/07/2030— — (e)(h)
Cliffwater LLC1st Lien Term Loan11.33% (1M SOFR + 6.00%)10/07/2030685 671 (e)
Convera International Financial S.a r.l.Luxembourg1st Lien Term Loan11.46% (3M SOFR + 6.00%)03/01/202820,892 20,892 (e)(f)
Convera International Financial S.a r.l.Luxembourg1st Lien Term Loan11.46% (3M SOFR + 6.00%)03/01/20284,462 4,462 (e)
Convera International Holdings LimitedJersey1st Lien Revolving Loan03/01/2027— — (e)(h)
Edelman Financial Center, LLC1st Lien Term Loan8.94% (1M SOFR + 3.50%)04/07/202819,949 19,944 
Edelman Financial Center, LLC2nd Lien Term Loan12.19% (1M SOFR + 6.75%)07/20/20261,402 1,407 
Focus Financial Partners, LLC1st Lien Term Loan7.83% (1M SOFR + 2.50%)06/30/2028903 898 
Focus Financial Partners, LLC1st Lien Term Loan8.08% (1M SOFR + 2.75%)06/30/20288,963 8,929 
GC Waves Holdings, Inc.1st Lien Revolving Loan08/10/2029— — (e)(h)
GC Waves Holdings, Inc.1st Lien Term Loan10.68% (1M SOFR + 5.25%)08/10/2029999 999 (e)
GC Waves Holdings, Inc.1st Lien Delay Draw Term Loan11.43% (1M SOFR + 6.00%)08/10/2029418 418 (e)(h)
GC Waves Holdings, Inc.1st Lien Delay Draw Term Loan10.68% (1M SOFR + 5.25%)08/10/2029(e)
GTCR F Buyer Corp.1st Lien Revolving Loan09/06/2029— — (e)(h)
GTCR F Buyer Corp.1st Lien Term Loan11.31% (1M SOFR + 6.00%)09/06/2030897 897 (e)
GTCR F Buyer Corp.1st Lien Delay Draw Term Loan11.33% (3M SOFR + 6.00%)09/06/2030136 136 (e)(h)
GTCR W Merger Sub LLC1st Lien Term Loan8.31% (3M SOFR + 3.00%)01/31/203111,500 11,531 
HighTower Holding, LLC1st Lien Term Loan9.59% (3M SOFR + 4.00%)04/21/20285,479 5,479 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
The Mather Group, LLC1st Lien Revolving Loan13.50% (PRIME + 5.00%)03/31/2028300 291 (e)(h)
The Mather Group, LLC1st Lien Term Loan11.43% (6M SOFR + 6.00%)03/31/20284,913 4,765 (e)(f)
The Mather Group, LLC1st Lien Delay Draw Term Loan11.69% (3M SOFR + 6.00%)03/31/20281,906 1,849 (e)(h)
Mercury Borrower, Inc.1st Lien Revolving Loan07/31/2026— — (e)(h)
Merlin Buyer Inc.United Kingdom1st Lien Term Loan9.07% (3M SOFR + 3.50%)11/12/202911,220 11,195 
Monica Holdco (US), Inc.1st Lien Revolving Loan11.23% (3M SOFR + 5.75%)01/08/20261,002 1,002 (e)(h)
Monica Holdco (US), Inc.1st Lien Term Loan11.21% (3M SOFR + 5.75%)01/07/20287,994 7,994 (e)(f)
Pathstone Family Office LLC1st Lien Revolving Loan14.25% (PRIME + 5.75%)05/15/202866 66 (e)(h)
Pathstone Family Office LLC1st Lien Term Loan12.18% (1M SOFR + 6.75%)05/15/20293,594 3,594 (e)
Pathstone Family Office LLC1st Lien Delay Draw Term Loan05/15/2029— — (e)(h)
PCIA SPV-3, LLC1st Lien Revolving Loan08/01/2029— — (e)(h)
PCIA SPV-3, LLC1st Lien Term Loan11.56% (3M SOFR + 6.25%)08/01/20291,512 1,512 (e)
PCIA SPV-3, LLC1st Lien Delay Draw Term Loan11.56% (3M SOFR + 6.25%)08/01/2029202 202 (e)(h)
PCS Midco, Inc.1st Lien Revolving Loan11.08% (3M SOFR + 5.75%)03/01/2030(e)(h)
PCS Midco, Inc.1st Lien Term Loan11.09% (3M SOFR + 5.75%)03/01/20301,028 1,007 (e)(g)
PCS Midco, Inc.1st Lien Delay Draw Term Loan11.07% (3M SOFR + 5.75%)03/01/203036 36 (e)(h)
Pegasus (Bidco) LimitedJersey1st Lien Term Loan12.59% (6M SONIA + 7.00%)04/04/2029£4,125 4,946 (e)(f)
Pegasus (Bidco) LimitedJersey1st Lien Delay Draw Term Loan12.59% (6M SONIA + 7.00%)04/04/2029£822 985 (e)
Perigon Wealth Mgmt LLC1st Lien Revolving Loan03/28/2031— — (e)(h)
Perigon Wealth Mgmt LLC1st Lien Term Loan11.08% (1M SOFR + 5.75%)03/28/20312,032 1,991 (e)
Perigon Wealth Mgmt LLC1st Lien Delay Draw Term Loan03/28/2031— — (e)(h)
Platinum Credit Bidco LimitedJersey1st Lien Term Loan11.74% (6M SONIA + 6.50%)11/09/2029£27,960 35,290 (e)(f)
Plutus Bidco LimitedJersey1st Lien Term Loan11.01% (6M SONIA + 5.75%)09/21/2028£5,250 6,626 (e)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Plutus Bidco LimitedJersey1st Lien Delay Draw Term Loan10.94% (6M SONIA + 5.75%)09/21/2028£1,750 2,209 (e)(g)
ProFund S.a r.l.Poland1st Lien Term Loan9.89% (6M EURIBOR + 6.00%)12/03/20272,164 2,335 (e)(f)
ProFund S.a r.l.Poland1st Lien Delay Draw Term Loan9.89% (6M EURIBOR + 6.00%)12/03/202790 97 (e)(h)
ProFund S.a r.l.Poland1st Lien Delay Draw Term Loan10.05% (6M WIBOR + 6.00%)12/03/2027PLN15,023 3,761 (e)
Steward Partners Global Advisory, LLC1st Lien Term Loan10.72% (3M SOFR + 5.25%)10/16/2028387 380 (e)
Steward Partners Global Advisory, LLC1st Lien Delay Draw Term Loan10.75% (6M SOFR + 5.25%)10/16/202824 23 (e)(h)
Symbol Bidco I LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.06% (3M SONIA + 6.75%)12/21/2026£571 721 (e)(f)
Symbol Bidco I LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.06% (3M SONIA + 6.75%)12/21/2026£429 541 (e)
Symbol Bidco I LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.32% (3M SONIA + 7.00%)12/21/2026£381 481 (e)(h)
TK Elevator Midco GmbHGermany1st Lien Term Loan04/30/20306,000 6,456 (i)
TK Elevator Midco GmbH TLB 1LGermany1st Lien Term Loan8.79% (3M SOFR + 3.50%)04/30/20305,064 5,078 
Toscafund LimitedUnited Kingdom1st Lien Delay Draw Term Loan13.60% (6M SONIA + 8.00%)04/02/2025£1,980 2,499 (e)(f)
Trustly ABSweden1st Lien Term Loan10.77% (3M STIBOR + 6.75%)06/30/2025SEK5,500 514 (e)
Trustly ABSweden1st Lien Delay Draw Term Loan10.77% (3M STIBOR + 6.75%)06/30/2025SEK2,700 252 (e)
The Ultimus Group Midco, LLC1st Lien Revolving Loan03/07/2030— — (e)(h)
The Ultimus Group Midco, LLC1st Lien Term Loan10.93% (6M SOFR + 5.50%)03/07/20313,009 2,979 (e)
The Ultimus Group Midco, LLC1st Lien Delay Draw Term Loan03/07/2031— — (e)(h)
Waverly Advisors, LLC1st Lien Revolving Loan03/01/2028— — (e)(h)
Waverly Advisors LLC, TL1st Lien Delay Draw Term Loan03/01/2028— — (e)(h)
Waverly Advisors, LLC1st Lien Term Loan11.21% (3M SOFR + 5.75%)03/01/20282,026 2,026 (e)(f)
Waverly Advisors, LLC1st Lien Delay Draw Term Loan11.21% (3M SOFR + 5.75%)03/01/20281,481 1,481 (e)
Wealth Enhancement Group, LLC1st Lien Revolving Loan10/04/2027— — (e)(h)
Wealth Enhancement Group, LLC1st Lien Term Loan10.81% (3M SOFR + 5.50%)10/04/20273,405 3,405 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Wealth Enhancement Group, LLC1st Lien Delay Draw Term Loan10.91% (3M SOFR + 5.50%)10/04/202710,308 10,308 (e)(f)
Wealth Enhancement Group, LLC1st Lien Delay Draw Term Loan10.84% (3M SOFR + 5.50%)10/04/20272,441 2,441 (e)
Wealth Enhancement Group, LLC1st Lien Delay Draw Term Loan10.91% (3M SOFR + 5.50%)10/04/20271,683 1,683 (e)
Wealth Enhancement Group, LLC1st Lien Delay Draw Term Loan10/04/2027— — (e)(h)
239,700 6.75 %
Food and Beverage
8th Avenue Food & Provisions, Inc.1st Lien Term Loan9.19% (1M SOFR + 3.75%)10/01/20256,376 6,252 
Berner Food & Beverage, LLC1st Lien Revolving Loan13.00% (PRIME + 4.50%)07/30/2026183 183 (e)(h)
Berner Food & Beverage, LLC1st Lien Term Loan10.96% (3M SOFR + 5.50%)07/30/20272,574 2,573 (e)(f)
CHG PPC Parent LLC2nd Lien Term Loan12.19% (1M SOFR + 6.75%)12/10/20293,000 3,000 (e)(f)
Chobani, LLC1st Lien Term Loan8.94% (1M SOFR + 3.50%)10/25/20274,181 4,189 
Chobani, LLC1st Lien Term Loan9.08% (1M SOFR + 3.75%)10/25/20276,484 6,516 
City Line Distributors LLC1st Lien Revolving Loan08/31/2028— — (e)(h)
City Line Distributors LLC1st Lien Term Loan11.42% (3M SOFR + 6.00%)08/31/2028313 313 (e)
City Line Distributors LLC1st Lien Delay Draw Term Loan11.43% (1M SOFR + 6.00%)08/31/2028126 126 (e)
Demakes Borrower, LLC1st Lien Term Loan11.57% (6M SOFR + 6.25%)12/12/2029956 932 (e)
Demakes Borrower, LLC1st Lien Delay Draw Term Loan12/12/2029— — (e)(h)
Florida Food Products, LLC1st Lien Term Loan10.44% (1M SOFR + 5.00%)10/18/202837 34 (e)
Florida Food Products, LLC2nd Lien Term Loan13.44% (1M SOFR + 8.00%)10/18/20297,299 6,715 (e)
Gotham Greens Holdings, PBC1st Lien Term Loan14.81% (1M SOFR + 9.38%)12/29/20266,720 6,720 (e)(f)
Gotham Greens Holdings, PBC1st Lien Delay Draw Term Loan14.81% (1M SOFR + 9.38%)12/29/20268,615 8,615 (e)(h)
KNPC Holdco, LLC1st Lien Term Loan10.78% (3M SOFR + 5.50%)10/22/20292,049 2,049 (e)(f)
KNPC Holdco, LLC1st Lien Term Loan12.03% (3M SOFR + 6.75%)10/22/2029489 489 (e)
KNPC Holdco, LLC1st Lien Term Loan11.28% (6M SOFR + 6.00%)10/22/2029476 476 (e)
Max US Bidco Inc.1st Lien Term Loan10.31% (3M SOFR + 5.00%)10/02/203010,000 9,136 
Quirch Foods Holdings, LLC1st Lien Term Loan10.32% (3M SOFR + 4.75%)10/27/20277,227 7,237 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
RB Holdings Interco, LLC1st Lien Revolving Loan10.47% (3M SOFR + 5.00%)05/04/2028535 524 (e)(h)
RB Holdings Interco, LLC1st Lien Term Loan10.47% (3M SOFR + 5.00%)05/04/20283,723 3,648 (e)(f)
Sigma Holdco BVNetherlands1st Lien Term Loan10.29% (3M SOFR + 4.75%)01/02/20282,026 2,014 
Sugar PPC Buyer LLC1st Lien Term Loan11.32% (1M SOFR + 6.00%)10/02/20302,149 2,100 (e)
Sugar PPC Buyer LLC1st Lien Delay Draw Term Loan11.32% (1M SOFR + 6.00%)10/02/2030597 584 (e)
Watermill Express, LLC1st Lien Revolving Loan11.21% (1M SOFR + 5.75%)07/05/202991 91 (e)(h)
Watermill Express, LLC1st Lien Term Loan11.21% (3M SOFR + 5.75%)07/05/20292,805 2,805 (e)(f)
Watermill Express, LLC1st Lien Delay Draw Term Loan11.21% (3M SOFR + 5.75%)07/05/2029216 216 (e)
Watermill Express, LLC1st Lien Delay Draw Term Loan11.18% (1M SOFR + 5.75%)07/05/202929 29 (e)(h)
Winebow Holdings, Inc.1st Lien Term Loan11.68% (1M SOFR + 6.25%)07/01/20253,362 3,227 (e)(f)
80,793 2.28 %
Health Care Equipment and Services
Artivion, Inc.1st Lien Revolving Loan9.30% (6M SOFR + 4.00%)01/18/2030168 163 (e)(h)
Artivion, Inc.1st Lien Term Loan11.80% (3M SOFR + 6.50%)01/18/20302,278 2,221 (e)
Artivion, Inc.1st Lien Delay Draw Term Loan01/18/2030— — (e)(h)
athenahealth Group Inc.1st Lien Revolving Loan02/15/2027— — (e)(h)
athenahealth Group Inc.1st Lien Term Loan8.58% (1M SOFR + 3.25%)02/15/20298,006 7,919 
Avalign Technologies, Inc.1st Lien Revolving Loan12/20/2028— — (e)(h)
Avalign Technologies, Inc.1st Lien Term Loan11.83% (1M SOFR + 6.50%)12/20/20281,664 1,631 (e)(g)
Bracket Intermediate Holding Corp.1st Lien Term Loan10.40% (3M SOFR + 5.00%)05/08/202814,368 14,390 
CEP V I 5 UK LimitedUnited Kingdom1st Lien Delay Draw Term Loan13.27% (6M SOFR + 8.00%)02/18/202726,856 24,170 (e)(f)
CNT Holdings I Corp1st Lien Term Loan8.82% (3M SOFR + 3.50%)11/08/20276,199 6,207 
Color Intermediate, LLC1st Lien Term Loan10.91% (3M SOFR + 5.50%)10/04/20291,845 1,845 (e)(f)
Comprehensive EyeCare Partners, LLC1st Lien Revolving Loan12.06% (3M SOFR + 6.50%)02/14/2025(e)
Comprehensive EyeCare Partners, LLC1st Lien Term Loan12.06% (3M SOFR + 6.50%)02/14/2025980 872 (e)(f)
Comprehensive EyeCare Partners, LLC1st Lien Delay Draw Term Loan12.06% (3M SOFR + 6.50%)02/14/2025690 614 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Confluent Medical Technologies, Inc.1st Lien Term Loan9.06% (3M SOFR + 3.75%)02/16/20292,500 2,494 (e)
Convey Health Solutions, Inc.1st Lien Term Loan10.66% (3M SOFR + 5.25%)09/04/20262,658 2,206 (e)(f)
Crown CT Parent Inc.1st Lien Revolving Loan10.96% (3M SOFR + 5.50%)03/08/2028181 172 (e)(h)
Crown CT Parent Inc.1st Lien Term Loan10.96% (3M SOFR + 5.50%)03/08/20298,152 7,744 (e)(f)
CVP Holdco, Inc.1st Lien Revolving Loan10/31/2024— — (e)(h)
CVP Holdco, Inc.1st Lien Term Loan11.33% (1M SOFR + 5.90%)10/31/20252,794 2,794 (e)(f)
CVP Holdco, Inc.1st Lien Delay Draw Term Loan11.33% (1M SOFR + 5.90%)10/31/20252,571 2,571 (e)(f)
CVP Holdco, Inc.1st Lien Delay Draw Term Loan11.33% (1M SOFR + 5.90%)10/31/202526,905 26,905 (e)
CVP Holdco, Inc.1st Lien Delay Draw Term Loan11.68% (1M SOFR + 6.25%)10/31/2025899 899 (e)(h)
Datix Bidco LimitedUnited Kingdom1st Lien Term Loan9.94% (6M SOFR + 4.50%)04/28/20253,009 3,009 (e)(f)
Datix Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan9.94% (6M SOFR + 4.50%)04/28/2025— — (e)
Datix Bidco LimitedUnited Kingdom2nd Lien Term Loan13.19% (6M SOFR + 7.75%)04/27/20261,884 1,884 (e)
Electron Bidco Inc.1st Lien Term Loan8.44% (1M SOFR + 3.00%)11/01/20289,950 9,966 
Ensemble RCM LLC1st Lien Term Loan8.32% (3M SOFR + 3.00%)08/01/20293,950 3,957 
Envisage Dental UK LimitedUnited Kingdom1st Lien Term Loan02/07/2031£— — (e)(g)(h)(i)
Envisage Dental UK LimitedUnited Kingdom1st Lien Delay Draw Term Loan02/07/2031£— — (e)(g)(h)(i)
Evolent Health LLC1st Lien Revolving Loan9.48% (3M SOFR + 4.00%)01/22/2029(e)(h)
Floss Bidco LimitedUnited Kingdom1st Lien Term Loan13.16% (6M SONIA + 7.63%)09/07/2026£437 496 (e)(f)
Floss Bidco LimitedUnited Kingdom1st Lien Term Loan13.53% (6M SONIA + 8.00%)09/07/2026£338 384 (e)(f)
Global Medical Response, Inc.1st Lien Term Loan9.82% (3M SOFR + 4.25%)03/14/20254,172 3,881 
Global Medical Response, Inc.1st Lien Term Loan9.84% (3M SOFR + 4.25%)10/02/202511,833 11,012 
Global Medical Response, Inc.2nd Lien Term Loan12.08% (1M SOFR + 6.75%)12/17/202929,366 27,310 (e)
LifeScan Global Corporation1st Lien Term Loan12/31/20263,510 2,106 (j)
LifeScan Global Corporation2nd Lien Term Loan03/31/20275,692 2,772 (e)(j)
Mamba Purchaser, Inc.1st Lien Term Loan8.94% (1M SOFR + 3.50%)10/16/20287,960 7,958 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Mamba Purchaser, Inc.2nd Lien Term Loan11.94% (1M SOFR + 6.50%)10/15/20292,000 1,975 
Medline Borrower, LP1st Lien Term Loan10/23/20283,951 3,959 
Medmark Services Inc1st Lien Term Loan10.57% (3M SOFR + 5.00%)06/11/20271,773 1,702 (e)(f)
Medmark Services Inc1st Lien Delay Draw Term Loan10.57% (3M SOFR + 5.00%)06/11/20271,524 1,463 (e)(f)
Medmark Services Inc2nd Lien Term Loan14.07% (3M SOFR + 8.50%)06/11/20289,139 8,499 (e)
Medmark Services Inc2nd Lien Delay Draw Term Loan14.11% (3M SOFR + 8.50%)06/11/20284,897 4,554 (e)
Network Bidco B.V.Netherlands1st Lien Term Loan9.73% (3M EURIBOR + 5.83%)05/14/20295,778 6,233 (e)(f)
Network Bidco B.V.Netherlands1st Lien Delay Draw Term Loan9.15% (3M EURIBOR + 5.25%)05/14/2029870 939 (e)(h)
Next Holdco, LLC1st Lien Revolving Loan11/09/2029— — (e)(h)
Next Holdco, LLC1st Lien Term Loan11.32% (3M SOFR + 6.00%)11/11/2030996 981 (e)
Next Holdco, LLC1st Lien Delay Draw Term Loan11/11/2030— — (e)(h)
NextCare, Inc.2nd Lien Term Loan15.96% (3M SOFR + 10.5%)12/31/20247,517 7,517 (e)(f)(g)
Nomi Health, Inc.1st Lien Term Loan13.58% (3M SOFR + 8.25%)07/21/20282,495 2,445 (e)
NSPC Intermediate Corp.1st Lien Term Loan02/13/2026100 — (e)(j)
Olympia Acquisition, Inc.1st Lien Term Loan02/26/20273,625 1,958 (e)(j)
Olympia Acquisition, Inc.1st Lien Delay Draw Term Loan02/26/2027558 301 (e)(j)
Olympia Acquisition, Inc.1st Lien Delay Draw Term Loan14.98% (3M SOFR + 9.50%)02/26/2027194 194 (e)(h)
OMH-HealthEdge Holdings, LLC1st Lien Revolving Loan10/08/2029— — (e)(h)
OMH-HealthEdge Holdings, LLC1st Lien Term Loan11.23% (3M SOFR + 6.00%)10/08/20298,101 7,899 (e)
Paragon 28, Inc.1st Lien Revolving Loan9.33% (3M SOFR + 4.00%)11/02/2028(e)(h)
Paragon 28, Inc.1st Lien Term Loan12.08% (6M SOFR + 6.75%)11/02/20283,652 3,560 (e)(g)
Paragon 28, Inc.1st Lien Delay Draw Term Loan11/02/2028— — (e)(g)(h)
Phoenix Guarantor Inc.1st Lien Term Loan8.58% (1M SOFR + 3.25%)02/21/20312,417 2,384 
Pluto Acquisition I, Inc.1st Lien Term Loan9.32% (3M SOFR + 4.00%)09/20/202821,362 18,585 (e)(f)(g)
Premise Health Holding Corp.1st Lien Revolving Loan03/01/2030— — (e)(h)
Premise Health Holding Corp.1st Lien Term Loan10.84% (3M SOFR + 5.50%)03/03/20312,681 2,641 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Prime Dental Alliance B.V.Netherlands1st Lien Term Loan11.15% (3M EURIBOR + 7.25%)06/21/20272,200 2,374 (e)(f)
Prime Dental Alliance B.V.Netherlands1st Lien Delay Draw Term Loan11.15% (3M EURIBOR + 7.25%)06/21/20271,654 1,785 (e)
Prime Dental Alliance B.V.Netherlands1st Lien Delay Draw Term Loan11.40% (3M EURIBOR + 7.50%)06/21/20273,497 3,773 (e)(h)
Rubicone Bidco LimitedUnited Kingdom1st Lien Term Loan12.58% (3M SONIA + 7.25%)12/01/2028£2,889 3,646 (e)(f)(g)
Rubicone Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.58% (3M SONIA + 7.25%)12/01/2028£1,667 2,104 (e)(g)
Rubicone Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12/01/2028£— — (e)(g)(h)(i)
Select Medical Corporation1st Lien Term Loan8.33% (1M SOFR + 3.00%)03/06/20274,811 4,814 
SiroMed Physician Services, Inc.1st Lien Revolving Loan03/31/2025— — (e)(h)
SiroMed Physician Services, Inc.1st Lien Term Loan10.71% (1M SOFR + 5.25%)03/31/2025468 468 (e)(f)
Sotera Health Holdings, LLC1st Lien Term Loan8.19% (1M SOFR + 2.75%)12/11/202611,336 11,274 
Symplr Software Inc.1st Lien Revolving Loan9.06% (3M SOFR + 3.75%)12/22/2025— (e)(h)
Symplr Software Inc.1st Lien Term Loan9.91% (3M SOFR + 4.50%)12/22/2027813 764 
Symplr Software Inc.2nd Lien Term Loan13.29% (3M SOFR + 7.88%)12/22/202812,343 11,726 (e)
Tandarts Today Holding B.V.Netherlands1st Lien Term Loan11.40% (3M EURIBOR + 7.50%)02/24/2028643 694 (e)(f)(g)
Tandarts Today Holding B.V.Netherlands1st Lien Delay Draw Term Loan11.40% (3M EURIBOR + 7.50%)02/24/20281,169 1,261 (e)(g)(h)
Therapy Brands Holdings LLC2nd Lien Term Loan12.19% (1M SOFR + 6.75%)05/18/20294,334 4,117 (e)
United Digestive MSO Parent, LLC1st Lien Revolving Loan12.07% (3M SOFR + 6.75%)03/30/202936 36 (e)(h)
United Digestive MSO Parent, LLC1st Lien Term Loan12.21% (3M SOFR + 6.75%)03/30/20293,137 3,138 (e)
United Digestive MSO Parent, LLC1st Lien Delay Draw Term Loan03/30/2029— — (e)(h)
Veonet Lense GmbHGermany1st Lien Term Loan8.15% (3M EURIBOR + 4.25%)03/14/20295,000 5,377 
Viant Medical Holdings, Inc.1st Lien Term Loan9.19% (1M SOFR + 3.75%)07/02/202512,546 12,486 
Viant Medical Holdings, Inc.1st Lien Term Loan11.69% (1M SOFR + 6.25%)07/02/2025526 526 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Viant Medical Holdings, Inc.2nd Lien Term Loan13.19% (1M SOFR + 7.75%)07/02/20262,504 2,456 
VPP Intermediate Holdings, LLC1st Lien Revolving Loan12/01/2027— — (e)(h)
VPP Intermediate Holdings, LLC1st Lien Term Loan11.18% (1M SOFR + 5.75%)12/01/20271,545 1,545 (e)(f)
VPP Intermediate Holdings, LLC1st Lien Delay Draw Term Loan11.18% (1M SOFR + 5.75%)12/01/2027465 465 (e)
VPP Intermediate Holdings, LLC1st Lien Delay Draw Term Loan11.08% (1M SOFR + 5.75%)12/01/2027903 903 (e)(h)
VPP Intermediate Holdings, LLC1st Lien Delay Draw Term Loan12/01/2027— — (e)(h)
Waystar Technologies, Inc.1st Lien Term Loan9.33% (1M SOFR + 4.00%)10/22/20298,011 8,024 
WSHP FC Acquisition LLC1st Lien Revolving Loan11.96% (3M SOFR + 6.50%)03/30/20282,757 2,591 (e)(h)
WSHP FC Acquisition LLC1st Lien Term Loan11.96% (3M SOFR + 6.50%)03/30/202819,265 18,111 (e)(f)
WSHP FC Acquisition LLC1st Lien Delay Draw Term Loan11.96% (3M SOFR + 6.50%)03/30/20281,224 1,150 (e)(f)
WSHP FC Acquisition LLC1st Lien Delay Draw Term Loan11.96% (3M SOFR + 6.50%)03/30/20285,696 5,354 (e)
Zelis Cost Management Buyer, Inc.1st Lien Term Loan8.08% (1M SOFR + 2.75%)09/28/20296,000 5,997 
375,303 10.57 %
Household and Personal Products
Beacon Wellness Brands, Inc.1st Lien Revolving Loan12/22/2027— — (e)(h)
Beacon Wellness Brands, Inc.1st Lien Term Loan11.18% (1M SOFR + 5.75%)12/22/20271,650 1,583 (e)(f)
Foundation Consumer Brands, LLC1st Lien Revolving Loan10/01/2026— — (e)(h)
Foundation Consumer Brands, LLC1st Lien Term Loan11.73% (3M SOFR + 6.25%)02/12/202711,887 11,887 (e)
Premier Specialties, Inc.1st Lien Revolving Loan12.43% (1M SOFR + 7.00%)08/20/202758 52 (e)(h)
Premier Specialties, Inc.1st Lien Term Loan12.43% (1M SOFR + 7.00%)08/20/20273,034 2,700 (e)(f)
Silk Holdings III Corp.1st Lien Revolving Loan11.31% (3M SOFR + 6.00%)05/01/2029(e)(h)
Silk Holdings III Corp.1st Lien Term Loan13.06% (3M SOFR + 7.75%)05/01/20293,967 3,967 (e)
20,190 0.57 %
Insurance
Accession Risk Management Group, Inc.1st Lien Revolving Loan11/01/2029— — (e)(h)
Accession Risk Management Group, Inc.1st Lien Term Loan10.99% (3M SOFR + 5.50%)11/01/20293,859 3,859 (e)(f)
Accession Risk Management Group, Inc.1st Lien Term Loan10.99% (3M SOFR + 5.50%)11/01/202945 45 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Accession Risk Management Group, Inc.1st Lien Delay Draw Term Loan11/01/2029— — (e)(h)
Accession Risk Management Group, Inc.1st Lien Delay Draw Term Loan11.32% (3M SOFR + 6.00%)11/01/2029435 435 (e)
Acrisure, LLC1st Lien Term Loan9.83% (1M SOFR + 4.50%)11/06/2030248 249 
Alfred AcquiCo B.V.Netherlands1st Lien Term Loan10.61% (1M EURIBOR + 6.75%)09/17/20292,000 2,158 (e)(f)
Amynta Agency Borrower Inc. and Amynta Warranty Borrower Inc.1st Lien Term Loan9.55% (3M SOFR + 4.25%)02/28/2028231 231 
AQ Sunshine, Inc.1st Lien Revolving Loan04/15/2027— — (e)(h)
AQ Sunshine, Inc.1st Lien Term Loan11.70% (3M SOFR + 6.25%)04/15/20274,960 4,960 (e)(f)
AQ Sunshine, Inc.1st Lien Term Loan11.70% (3M SOFR + 6.25%)04/15/20272,592 2,593 (e)
AQ Sunshine, Inc.1st Lien Delay Draw Term Loan11.70% (3M SOFR + 6.25%)04/15/20278,379 8,378 (e)
AQ Sunshine, Inc.1st Lien Delay Draw Term Loan11.68% (1M SOFR + 6.25%)04/15/2027(e)(h)
Ardonagh Finco B.V. and Ardonagh Finco LLCUnited Kingdom1st Lien Term Loan8.67% (6M EURIBOR + 4.75%)02/17/203112,229 12,995 (e)
Ardonagh Finco B.V. and Ardonagh Finco LLCUnited Kingdom1st Lien Term Loan10.04% (6M SOFR + 4.75%)02/17/203129,029 28,594 (e)
Ardonagh Finco B.V. and Ardonagh Finco LLCUnited Kingdom1st Lien Delay Draw Term Loan02/17/2031— — (e)(h)
Ardonagh Finco Pty LimitedUnited Kingdom1st Lien Term Loan9.07% (6M BBSY + 4.75%)02/17/2031AUD3,053 1,959 (e)
Ardonagh Finco Pty LimitedUnited Kingdom1st Lien Delay Draw Term Loan02/17/2031AUD— — (e)(h)
Broadstreet Partners, Inc.1st Lien Term Loan8.44% (1M SOFR + 3.00%)01/27/20278,926 8,946 
Captive Resources Midco, LLC1st Lien Revolving Loan07/03/2028— — (e)(h)
Captive Resources Midco, LLC1st Lien Term Loan10.58% (1M SOFR + 5.25%)07/01/20291,327 1,327 (e)(f)(g)
CFCo, LLC1st Lien Term Loan09/13/20383,231 — (e)(j)
Daylight Beta Parent LLC1st Lien Term Loan09/12/20331,859 899 (e)(g)(j)
DOXA Insurance Holdings, LLC1st Lien Revolving Loan12/20/2029— — (e)(h)
DOXA Insurance Holdings, LLC1st Lien Term Loan10.83% (3M SOFR + 5.50%)12/20/20301,256 1,231 (e)
DOXA Insurance Holdings, LLC1st Lien Delay Draw Term Loan10.81% (3M SOFR + 5.50%)12/20/2030492 482 (e)(h)
Foundation Risk Partners, Corp.1st Lien Revolving Loan10/29/2027— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Foundation Risk Partners, Corp.1st Lien Term Loan11.41% (3M SOFR + 6.00%)10/30/202819,053 19,052 (e)(f)
Foundation Risk Partners, Corp.1st Lien Delay Draw Term Loan11.41% (3M SOFR + 6.00%)10/30/202816,747 16,747 (e)
Foundation Risk Partners, Corp.1st Lien Delay Draw Term Loan10.91% (3M SOFR + 5.50%)10/30/2028697 683 (e)(h)
Galway Borrower LLC1st Lien Revolving Loan10.66% (3M SOFR + 5.25%)09/29/2028185 185 (e)(h)
Galway Borrower LLC1st Lien Term Loan10.65% (3M SOFR + 5.25%)09/29/202811,967 11,967 (e)(f)
Galway Borrower LLC1st Lien Delay Draw Term Loan09/29/2028— — (e)(g)(h)
Gestion ABS Bidco Inc./ABS Bidco Holdings Inc.Canada1st Lien Revolving Loan03/03/2031CAD— — (e)(h)
Gestion ABS Bidco Inc./ABS Bidco Holdings Inc.Canada1st Lien Term Loan10.27% (6M CDOR + 5.25%)03/03/2031CAD646 472 (e)(g)
Gestion ABS Bidco Inc./ABS Bidco Holdings Inc.Canada1st Lien Delay Draw Term Loan03/03/2031CAD— — (e)(g)(h)
Higginbotham Insurance Agency, Inc.1st Lien Delay Draw Term Loan10.93% (1M SOFR + 5.50%)11/24/2028597 597 (e)
Higginbotham Insurance Agency, Inc.1st Lien Delay Draw Term Loan11/24/2028— — (e)(h)
High Street Buyer, Inc.1st Lien Revolving Loan04/16/2027— — (e)(h)
High Street Buyer, Inc.1st Lien Term Loan10.56% (3M SOFR + 5.25%)04/14/20284,675 4,675 (e)(f)
High Street Buyer, Inc.1st Lien Delay Draw Term Loan10.56% (3M SOFR + 5.25%)04/14/202817,501 17,502 (e)(f)
High Street Buyer, Inc.1st Lien Delay Draw Term Loan10.56% (3M SOFR + 5.25%)04/14/20286,664 6,664 (e)(h)
High Street Buyer, Inc.1st Lien Delay Draw Term Loan04/14/2028— — (e)(h)
Hub International Limited1st Lien Term Loan8.57% (3M SOFR + 3.25%)06/20/203010,040 10,042 
Hyperion Refinance S.a r.l.Luxembourg1st Lien Term Loan8.83% (1M SOFR + 3.50%)02/15/203113,175 13,176 
Inszone Mid, LLC1st Lien Revolving Loan11/30/2029— — (e)(h)
Inszone Mid, LLC1st Lien Term Loan10.98% (3M SOFR + 5.75%)11/30/20292,063 2,063 (e)
Inszone Mid, LLC1st Lien Delay Draw Term Loan10.98% (3M SOFR + 5.75%)11/30/2029356 356 (e)(h)
Jewel Bidco LimitedUnited Kingdom1st Lien Term Loan11.99% (6M SONIA + 6.50%)07/24/2028£6,203 7,828 (e)(f)
Jewel Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.97% (6M SONIA + 6.50%)07/24/2028£3,446 4,350 (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
JMG Group Investments LimitedUnited Kingdom1st Lien Term Loan11.36% (3M SONIA + 6.00%)12/11/2028£310 391 (e)(f)(g)
JMG Group Investments LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.36% (3M SONIA + 6.00%)12/11/2028£2,678 3,380 (e)(g)
JMG Group Investments LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.58% (3M SONIA + 6.25%)12/11/2028£3,381 4,267 (e)(g)
JMG Group Investments LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.95% (3M SONIA + 6.63%)12/11/2028£1,717 2,167 (e)(h)
Keystone Agency Partners LLC1st Lien Revolving Loan05/03/2027— — (e)(h)
Keystone Agency Partners LLC1st Lien Term Loan10.95% (3M SOFR + 5.50%)05/03/2027383 379 (e)(f)
Keystone Agency Partners LLC1st Lien Delay Draw Term Loan05/03/2027— — (e)(h)
LJo Finco ABSweden1st Lien Revolving Loan06/12/2030SEK— — (e)(h)
LJo Finco ABSweden1st Lien Term Loan10.54% (3M STIBOR + 6.50%)09/12/2030SEK86,000 8,034 (e)
LJo Finco ABSweden1st Lien Delay Draw Term Loan09/12/2030SEK— — (e)(h)
Lucida Broking Holdings LimitedUnited Kingdom1st Lien Term Loan12.56% (3M SONIA + 7.25%)06/06/2024£1,000 1,262 (e)(f)
Lucida Broking Holdings LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.76% (6M SONIA + 7.25%)06/06/2024£667 842 (e)(f)
Oakbridge Insurance Agency LLC1st Lien Revolving Loan11/01/2029— — (e)(h)
Oakbridge Insurance Agency LLC1st Lien Term Loan11.07% (1M SOFR + 5.75%)11/01/20291,290 1,264 (e)
Oakbridge Insurance Agency LLC1st Lien Delay Draw Term Loan11/01/2029— — (e)(h)
Optio Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.47% (6M SONIA + 7.00%)03/16/2026£360 455 (e)(f)
Optio Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.94% (6M EURIBOR + 7.00%)03/16/2026£280 353 (e)(g)
Patriot Growth Insurance Services, LLC1st Lien Revolving Loan10/16/2028— — (e)(h)
Patriot Growth Insurance Services, LLC1st Lien Term Loan10.95% (3M SOFR + 5.50%)10/16/20281,770 1,752 (e)
People CorporationCanada1st Lien Revolving Loan02/18/2027CAD— — (e)(h)
People CorporationCanada1st Lien Term Loan11.61% (3M CDOR + 6.25%)02/18/2028CAD7,004 5,171 (e)(f)
People CorporationCanada1st Lien Delay Draw Term Loan11.61% (3M CDOR + 6.25%)02/18/2028CAD2,286 1,688 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
People CorporationCanada1st Lien Delay Draw Term Loan11.11% (3M CDOR + 5.75%)02/18/2028CAD4,062 2,999 (e)
People CorporationCanada1st Lien Delay Draw Term Loan11.36% (3M CDOR + 6.00%)02/18/2028CAD795 586 (e)(h)
Project Hammond Bidco LimitedUnited Kingdom1st Lien Term Loan10.57% (3M SONIA + 5.25%)12/04/2028£1,750 2,209 (e)(f)(g)
Project Hammond Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.58% (3M SONIA + 5.25%)12/04/2028£875 1,104 (e)(g)(h)
Project Hammond Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12/04/2028£— — (e)(h)(i)
SageSure Holdings, LLC1st Lien Term Loan11.32% (3M SOFR + 5.75%)01/28/20285,519 5,519 (e)(f)(g)
SageSure Holdings, LLC1st Lien Delay Draw Term Loan11.32% (3M SOFR + 5.75%)01/28/202883 83 (e)(g)(h)
SageSure Holdings, LLC1st Lien Delay Draw Term Loan01/28/2028— — (e)(g)(h)
SCM Insurance Services Inc.Canada1st Lien Revolving Loan08/29/2025CAD— — (e)(h)
SCM Insurance Services Inc.Canada1st Lien Term Loan11.55% (3M CDOR + 6.25%)08/29/2025CAD215 159 (e)
SelectQuote, Inc.1st Lien Term Loan14.93% (1M SOFR + 9.50%)02/18/20257,046 6,553 (e)(g)
Seventeen Group LimitedUnited Kingdom1st Lien Term Loan11.67% (6M SONIA + 6.25%)07/26/2028£455 574 (e)(f)(g)
Seventeen Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan11.60% (3M SONIA + 6.25%)07/26/2028£145 183 (e)(g)(h)
SG Acquisition, Inc.1st Lien Term Loan10.91% (3M SOFR + 5.50%)01/27/20272,730 2,730 (e)(f)
Spitfire Bidco LimitedUnited Kingdom1st Lien Term Loan12.56% (6M SOFR + 7.25%)09/28/202914,960 14,959 (e)(f)
Spitfire Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.99% (6M SOFR + 7.25%)09/28/2029£668 844 (e)(h)
Spring Insurance Solutions, LLC1st Lien Term Loan11.95% (3M SOFR + 6.50%)11/24/20253,385 3,080 (e)(f)
Spring Insurance Solutions, LLC1st Lien Delay Draw Term Loan11.95% (3M SOFR + 6.50%)11/24/2025577 525 (e)
Staysure Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.62% (3M SONIA + 7.25%)07/01/2025£1,000 1,262 (e)
Truist Insurance Holdings, LLC1st Lien Term Loan03/24/2031300 300 (i)
USI, Inc.1st Lien Term Loan8.30% (3M SOFR + 3.00%)11/22/20297,096 7,095 
USI, Inc.1st Lien Term Loan8.55% (3M SOFR + 3.25%)09/27/20307,536 7,538 
World Insurance Associates, LLC1st Lien Revolving Loan04/03/2028— — (e)(h)
World Insurance Associates, LLC1st Lien Delay Draw Term Loan04/03/2028— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
285,410 8.04 %
Materials
Anchor Packaging, LLC1st Lien Term Loan8.93% (3M SOFR + 3.50%)07/18/20267,217 7,208 
ASP-r-pac Acquisition Co LLC1st Lien Revolving Loan11.44% (1M SOFR + 6.00%)12/29/2027143 140 (e)(h)
ASP-r-pac Acquisition Co LLC1st Lien Term Loan11.57% (3M SOFR + 6.00%)12/29/20276,119 5,997 (e)(f)
Charter Next Generation, Inc.1st Lien Term Loan8.83% (1M SOFR + 3.50%)12/01/20279,131 9,144 
Flexsys Holdings, Inc.1st Lien Term Loan10.82% (3M SOFR + 5.25%)11/01/20286,982 6,811 
Meyer Laboratory, LLC1st Lien Revolving Loan02/28/2030— — (e)(h)
Meyer Laboratory, LLC1st Lien Term Loan10.83% (1M SOFR + 5.50%)02/28/2030665 652 (e)
Meyer Laboratory, LLC1st Lien Delay Draw Term Loan02/28/2030— — (e)(h)
Nelipak Holding Company1st Lien Revolving Loan10.81% (3M SOFR + 5.50%)03/26/203197 96 (e)(g)(h)
Nelipak Holding Company1st Lien Revolving Loan03/26/2031— — (e)(g)(h)
Nelipak Holding Company1st Lien Term Loan10.81% (3M SOFR + 5.50%)03/26/2031989 974 (e)(g)
Nelipak Holding Company1st Lien Term Loan9.40% (3M EURIBOR + 5.50%)03/26/20311,900 2,019 (e)(g)
Nelipak Holding Company1st Lien Delay Draw Term Loan03/26/2031— — (e)(g)(h)
Novipax Buyer, L.L.C.1st Lien Term Loan13.68% (1M SOFR + 8.25%)12/01/20264,033 3,670 (e)(f)
Novipax Buyer, L.L.C.1st Lien Term Loan13.68% (1M SOFR + 8.25%)12/01/2026241 219 (e)
Plaskolite PPC Intermediate II LLC1st Lien Term Loan9.44% (1M SOFR + 4.00%)12/15/20258,246 8,065 
Plaskolite PPC Intermediate II LLC2nd Lien Term Loan12.82% (3M SOFR + 7.25%)12/14/20262,960 2,900 (e)(f)
Polymer Solutions Group, LLC1st Lien Term Loan9.72% (3M SOFR + 4.50%)11/26/2026644 644 (e)(f)
Precision Concepts Canada CorporationCanada1st Lien Term Loan11.91% (3M SOFR + 6.50%)01/12/2026619 619 (e)(f)
Precision Concepts International LLC1st Lien Revolving Loan01/12/2026— — (e)(h)
Precision Concepts International LLC1st Lien Term Loan11.91% (3M SOFR + 6.50%)01/12/20264,806 4,806 (e)(f)
Pregis TopCo LLC1st Lien Term Loan9.08% (1M SOFR + 3.75%)07/31/202616,725 16,740 
Pretium PKG Holdings, Inc.1st Lien Term Loan10.31% (3M SOFR + 5.00%)10/02/20281,876 1,895 
Pretium PKG Holdings, Inc.1st Lien Term Loan9.91% (3M SOFR + 4.60%)10/02/20289,870 8,809 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Trident TPI Holdings, Inc.1st Lien Term Loan9.57% (3M SOFR + 4.00%)09/15/202812,076 12,071 
Trident TPI Holdings, Inc.1st Lien Term Loan9.81% (3M SOFR + 4.50%)09/15/20283,182 3,182 
Vobev, LLC1st Lien Revolving Loan10.40% (6M SOFR + 5.00%)04/20/2028(e)(h)
Vobev, LLC1st Lien Term Loan13.18% (3M SOFR + 7.75%)04/20/202812,587 10,195 (e)(g)
Vobev, LLC1st Lien Delay Draw Term Loan13.16% (3M SOFR + 7.75%)04/20/20282,655 2,151 (e)(g)
Vobev, LLC1st Lien Delay Draw Term Loan13.16% (1M SOFR + 7.75%)04/20/20281,358 1,100 (e)(g)
110,108 3.10 %
Media and Entertainment
3 Step Sports LLC1st Lien Revolving Loan13.33% (3M SOFR + 8.00%)10/02/202831 29 (e)(h)
3 Step Sports LLC1st Lien Term Loan13.47% (3M SOFR + 8.00%)10/02/20291,926 1,830 (e)(g)
3 Step Sports LLC1st Lien Delay Draw Term Loan13.35% (3M SOFR + 8.00%)10/02/2029219 208 (e)(g)(h)
Aventine Intermediate LLC1st Lien Term Loan11.41% (3M SOFR + 6.00%)06/18/20272,224 2,157 (e)(f)(g)
Aventine Intermediate LLC1st Lien Delay Draw Term Loan11.41% (3M SOFR + 6.00%)06/18/2027880 854 (e)(g)
AVSC Holding Corp.1st Lien Term Loan8.93% (1M SOFR + 3.50%)03/03/20255,020 5,023 (g)
AVSC Holding Corp.1st Lien Term Loan10.93% (1M SOFR + 5.50%)10/15/20265,819 5,829 (g)
Broadcast Music, Inc.1st Lien Revolving Loan02/08/2030— — (e)(h)
Broadcast Music, Inc.1st Lien Term Loan11.07% (3M SOFR + 5.75%)02/08/20302,924 2,851 (e)
CC Globe Holding II A/SDenmark1st Lien Term Loan11.10% (3M CIBOR + 7.25%)03/31/2028DKK19,796 2,863 (e)(f)(g)
CC Globe Holding II A/SDenmark1st Lien Term Loan11.14% (6M CIBOR + 7.25%)03/31/2028DKK18,316 2,649 (e)(g)
CC Globe Holding II A/SDenmark1st Lien Delay Draw Term Loan11.10% (3M CIBOR + 7.25%)03/31/2028DKK11,149 1,613 (e)(g)
CC Globe Holding II A/SDenmark1st Lien Delay Draw Term Loan03/31/2028DKK— — (e)(g)(h)
Creative Artists Agency, LLC1st Lien Term Loan11/27/20287,950 7,959 
Global Music Rights, LLC1st Lien Revolving Loan08/27/2029— — (e)(h)
Global Music Rights, LLC1st Lien Term Loan10.91% (3M SOFR + 5.50%)08/27/20304,904 4,904 (e)(f)
Gray Television, Inc.1st Lien Term Loan8.44% (1M SOFR + 3.00%)12/01/20284,012 3,751 
MailSouth, Inc.1st Lien Term Loan04/23/20241,977 — (e)(j)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
NEP Group, Inc.1st Lien Term Loan8.69% (1M SOFR + 3.25%)08/19/20267,757 7,364 
NEP Group, Inc.1st Lien Term Loan9.44% (1M SOFR + 4.00%)08/19/20267,085 6,749 (e)
Nexstar Broadcasting Inc1st Lien Term Loan7.94% (1M SOFR + 2.50%)09/18/20264,000 3,999 
Production Resource Group, LLC1st Lien Term Loan19.49% (1M SOFR + 8.50%)08/21/2024872 872 (e)(g)
Production Resource Group, LLC1st Lien Delay Draw Term Loan12.99% (3M SOFR + 7.50%)08/21/2024461 461 (e)
Professional Fighters League, LLC1st Lien Term Loan14.00%01/20/2026690 690 (e)(g)
Professional Fighters League, LLC2nd Lien Delay Draw Term Loan16.00%01/20/2026(e)(g)
Storm Investment S.a.r.l.Luxembourg1st Lien Term Loan3.75%06/22/20299,193 9,918 (e)
StubHub Holdco Sub, LLC1st Lien Term Loan10.08% (1M SOFR + 4.75%)03/12/20305,750 5,748 
Summer (BC) Bidco B LLC1st Lien Term Loan02/15/20293,986 3,967 (i)
Univision Communications Inc1st Lien Term Loan8.66% (3M SOFR + 3.25%)06/24/20272,959 2,935 
William Morris Endeavor Entertainment, LLC (IMG Worldwide Holdings, LLC)1st Lien Term Loan8.19% (1M SOFR + 2.75%)05/18/202523,109 23,076 
108,305 3.05 %
Pharmaceuticals, Biotechnology and Life Sciences
ADMA Biologics, Inc.1st Lien Revolving Loan9.13% (3M SOFR + 3.75%)12/20/2027(e)
ADMA Biologics, Inc.1st Lien Term Loan11.83% (3M SOFR + 6.50%)12/20/2027900 889 (e)(f)
AI Sirona (Luxembourg) Acquisition S.a.r.l.Luxembourg1st Lien Term Loan7.83% (1M EURIBOR + 4.00%)09/30/20287,000 7,536 
Alcami Corporation1st Lien Revolving Loan12/21/2028— — (e)(h)
Alcami Corporation1st Lien Term Loan12.49% (3M SOFR + 7.00%)12/21/2028203 203 (e)
Alcami Corporation1st Lien Delay Draw Term Loan12.47% (3M SOFR + 7.00%)12/21/202815 15 (e)
Aspire Bidco LimitedJersey1st Lien Term Loan12.22% (3M SONIA + 6.90%)09/04/2028£7,777 9,816 (e)(f)(g)
Aspire Bidco LimitedJersey1st Lien Delay Draw Term Loan12.22% (3M SONIA + 6.90%)09/04/2028£647 817 (e)(g)(h)
Bamboo US BidCo LLC1st Lien Revolving Loan10/01/2029— — (e)(h)
Bamboo US BidCo LLC1st Lien Term Loan12.06% (3M SOFR + 6.75%)09/30/20302,626 2,600 (e)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Bamboo US BidCo LLC1st Lien Term Loan10.66% (3M EURIBOR + 6.75%)09/30/20302,097 2,240 (e)(g)
Bamboo US BidCo LLC1st Lien Delay Draw Term Loan12.06% (3M SOFR + 6.75%)09/30/203043 43 (e)(h)
Catalent Pharma Solutions, Inc.1st Lien Term Loan8.33% (1M SOFR + 3.00%)02/22/20286,000 6,007 (e)
Cheplapharm Arzneimittel GmbHGermany1st Lien Term Loan7.94% (3M EURIBOR + 4.00%)02/22/20296,875 7,425 
Cobalt Buyer Sub, Inc.1st Lien Revolving Loan11.44% (1M SOFR + 6.00%)10/01/2027456 457 (e)(h)
Cobalt Buyer Sub, Inc.1st Lien Term Loan11.44% (1M SOFR + 6.00%)10/02/20287,260 7,260 (e)(f)
Cobalt Buyer Sub, Inc.1st Lien Term Loan11.44% (1M SOFR + 6.00%)10/02/20282,517 2,517 (e)
Cobalt Buyer Sub, Inc.1st Lien Delay Draw Term Loan11.44% (1M SOFR + 6.00%)10/02/20282,434 2,434 (e)
Curia Global, Inc.1st Lien Term Loan9.16% (3M SOFR + 3.75%)08/30/20267,145 6,787 
Da Vinci Purchaser Corp.1st Lien Term Loan9.44% (1M SOFR + 4.00%)01/08/20278,087 8,085 
Grifols Worldwide Operations USA, Inc.1st Lien Term Loan7.46% (3M SOFR + 2.00%)11/15/20277,952 7,690 
NMC Skincare Intermediate Holdings II, LLC1st Lien Revolving Loan11.42% (1M SOFR + 6.00%)11/02/2026112 104 (e)(h)
NMC Skincare Intermediate Holdings II, LLC1st Lien Revolving Loan11.43% (1M SOFR + 6.00%)11/02/2026(e)
NMC Skincare Intermediate Holdings II, LLC1st Lien Term Loan11.42% (1M SOFR + 6.00%)11/02/20262,193 2,040 (e)(f)(g)
NMC Skincare Intermediate Holdings II, LLC1st Lien Delay Draw Term Loan11.42% (1M SOFR + 6.00%)11/02/2026618 574 (e)(g)
North American Science Associates, LLC1st Lien Revolving Loan9.97% (3M SOFR + 4.50%)03/15/20272,083 2,082 (e)(h)
North American Science Associates, LLC1st Lien Term Loan11.23% (3M SOFR + 5.75%)09/15/20276,892 6,892 (e)(f)
North American Science Associates, LLC1st Lien Term Loan11.23% (3M SOFR + 5.75%)09/15/20274,713 4,713 (e)
North American Science Associates, LLC1st Lien Delay Draw Term Loan11.23% (3M SOFR + 5.75%)09/15/2027984 984 (e)(f)
North American Science Associates, LLC1st Lien Delay Draw Term Loan11.23% (3M SOFR + 5.75%)09/15/2027899 899 (e)
Packaging Coordinators Midco, Inc.1st Lien Term Loan9.07% (3M SOFR + 3.50%)11/30/20274,987 4,994 
Solar Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan9.65% (3M EURIBOR + 5.75%)11/23/2029£393 495 (e)(g)(h)
SOLAR BIDCO LTDUnited Kingdom1st Lien Delay Draw Term Loan11/23/2029£— — (e)(h)(i)
Verista, Inc.1st Lien Revolving Loan11.59% (3M SOFR + 6.00%)02/16/2027167 162 (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Verista, Inc.1st Lien Term Loan11.59% (3M SOFR + 6.00%)02/16/20278,898 8,631 (e)(f)
Verista, Inc.1st Lien Delay Draw Term Loan11.57% (3M SOFR + 6.00%)02/16/20271,827 1,772 (e)
WCI-BXC Purchaser, LLC1st Lien Revolving Loan11/06/2029— — (e)(h)
WCI-BXC Purchaser, LLC1st Lien Term Loan11.54% (3M SOFR + 6.25%)11/06/2030766746 (e)
107,914 3.04 %
Real Estate Management and Development
285 Mezz LLC1st Lien Delay Draw Term Loan12/31/20254,972 3,762 (e)(j)
285 Schermerhorn LLC1st Lien Delay Draw Term Loan12/31/20254,254 3,219 (e)(h)(j)
Forest City Enterprises, L.P.1st Lien Term Loan12/08/20253,000 2,861 
Odevo ABSweden1st Lien Term Loan9.96% (3M STIBOR + 5.88%)12/21/20286,948 7,496 (e)(f)
Odevo ABSweden1st Lien Delay Draw Term Loan11.25% (3M SONIA + 5.88%)12/21/202810,285 11,095 (e)
Odevo ABSweden1st Lien Delay Draw Term Loan12.06% (1M SOFR + 6.63%)12/21/20286,656 7,181 (e)(h)
35,614 1.00 %
Software and Services
Access CIG, LLC1st Lien Term Loan10.33% (1M SOFR + 5.00%)08/18/202811,182 11,182 
Activate holdings (US) Corp.1st Lien Revolving Loan07/27/2029— — (e)(h)
Activate holdings (US) Corp.1st Lien Term Loan11.56% (3M SOFR + 6.25%)07/29/203010,968 10,968 (e)
AffiniPay Midco, LLC1st Lien Revolving Loan06/09/2028— — (e)(h)
AffiniPay Midco, LLC1st Lien Term Loan10.81% (3M SOFR + 5.50%)06/09/20289,543 9,543 (e)(f)
AffiniPay Midco, LLC1st Lien Term Loan10.82% (3M SOFR + 5.50%)06/09/20289,364 9,364 (e)(f)
AffiniPay Midco, LLC1st Lien Term Loan10.81% (3M SOFR + 5.50%)06/09/2028295 295 (e)
AffiniPay Midco, LLC1st Lien Delay Draw Term Loan10.81% (3M SOFR + 5.50%)06/09/20281,331 1,331 (e)
Anaplan, Inc.1st Lien Revolving Loan06/21/2028— — (e)(h)
Anaplan, Inc.1st Lien Term Loan11.81% (3M SOFR + 6.50%)06/21/20295,991 5,992 (e)(f)
Anaqua Parent Holdings, Inc.1st Lien Revolving Loan10/10/2025— — (e)(h)
Anaqua Parent Holdings, Inc.1st Lien Term Loan9.61% (3M EURIBOR + 5.50%)04/10/2026650 701 (e)
Anaqua Parent Holdings, Inc.1st Lien Term Loan10.93% (3M SOFR + 5.25%)04/10/20263,709 3,710 (e)(f)(g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Anaqua Parent Holdings, Inc.1st Lien Delay Draw Term Loan10.83% (6M SOFR + 5.25%)04/10/2026280 280 (e)(g)
APG Intermediate Holdings Corporation1st Lien Revolving Loan10.68% (1M SOFR + 5.25%)01/03/2025— — (e)(h)
APG Intermediate Holdings Corporation1st Lien Term Loan10.71% (3M SOFR + 5.25%)01/03/2025974 975 (e)
APG Intermediate Holdings Corporation1st Lien Delay Draw Term Loan10.68% (1M SOFR + 5.25%)01/03/202558 58 (e)
Applied Systems, Inc.1st Lien Term Loan8.81% (3M SOFR + 3.50%)02/24/20315,001 5,029 
AppLovin Corporation1st Lien Term Loan7.83% (1M SOFR + 2.50%)08/16/20304,300 4,295 
Appriss Health, LLC1st Lien Revolving Loan14.50% (PRIME + 6.00%)05/06/202721 21 (e)(h)
Appriss Health, LLC1st Lien Term Loan12.48% (3M SOFR + 7.00%)05/06/20272,876 2,876 (e)
Aptean, Inc.1st Lien Revolving Loan01/30/2031— — (e)(h)
Aptean, Inc.1st Lien Term Loan10.57% (6M SOFR + 5.25%)01/30/20312,279 2,244 (e)
Aptean, Inc.1st Lien Delay Draw Term Loan10.72% (3M SOFR + 5.25%)01/30/203120 20 (e)(h)
Asurion, LLC1st Lien Term Loan8.69% (1M SOFR + 3.25%)12/23/20266,704 6,557 
Asurion, LLC1st Lien Term Loan8.69% (1M SOFR + 3.25%)07/31/20273,505 3,361 
Asurion, LLC1st Lien Term Loan9.68% (1M SOFR + 4.25%)08/19/20283,535 3,406 
Asurion, LLC2nd Lien Term Loan10.69% (1M SOFR + 5.25%)01/20/20295,000 4,454 
Avaya Inc.1st Lien Term Loan13.83% (1M SOFR + 8.50%)08/01/20288,025 7,111 (g)
Banyan Software Holdings, LLC1st Lien Revolving Loan10.83% (1M SOFR + 5.50%)10/30/2026(e)(h)
Banyan Software Holdings, LLC1st Lien Term Loan12.43% (1M SOFR + 7.00%)10/30/20263,476 3,475 (e)(f)
Banyan Software Holdings, LLC1st Lien Delay Draw Term Loan12.43% (1M SOFR + 7.00%)10/30/20261,492 1,492 (e)(f)
Banyan Software Holdings, LLC1st Lien Delay Draw Term Loan12.43% (1M SOFR + 7.00%)10/30/20263,549 3,549 (e)
Banyan Software Holdings, LLC1st Lien Delay Draw Term Loan12.68% (1M SOFR + 7.25%)10/30/2026195 196 (e)(h)
Banyan Software Holdings, LLC1st Lien Delay Draw Term Loan10/30/2026— — (e)(h)
BCTO Ignition Purchaser, Inc.1st Lien Term Loan14.30% (3M SOFR + 9.00%)10/19/2030893 893 (e)
Bobcat Purchaser, LLC1st Lien Revolving Loan06/17/2030— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Bobcat Purchaser, LLC1st Lien Term Loan11.56% (3M SOFR + 6.25%)06/17/20302,947 2,947 (e)
Bobcat Purchaser, LLC1st Lien Delay Draw Term Loan11.56% (3M SOFR + 6.25%)06/17/2030999 999 (e)
Bottomline Technologies, Inc. and Legal Spend Holdings, LLC1st Lien Revolving Loan05/15/2028— — (e)(h)
Bottomline Technologies, Inc. and Legal Spend Holdings, LLC1st Lien Term Loan10.58% (1M SOFR + 5.25%)05/14/202917,938 17,938 (e)(f)
Bottomline Technologies, Inc. and Legal Spend Holdings, LLC1st Lien Term Loan11.08% (1M SOFR + 5.75%)05/14/2029732 732 (e)
Businessolver.com, Inc.1st Lien Term Loan10.91% (3M SOFR + 5.50%)12/01/20274,217 4,217 (e)(f)
Businessolver.com, Inc.1st Lien Delay Draw Term Loan10.91% (3M SOFR + 5.50%)12/01/2027149 148 (e)(h)
Capnor Connery Bidco A/SDenmark1st Lien Term Loan10.72% (1M EURIBOR + 6.88%)04/30/20262,954 3,187 (e)(f)
Capnor Connery Bidco A/SDenmark1st Lien Term Loan10.88% (1M STIBOR + 6.88%)04/30/2026SEK4,210 393 (e)(f)
Capnor Connery Bidco A/SDenmark1st Lien Term Loan11.48% (1M NIBOR + 6.88%)04/30/2026NOK2,551 235 (e)(f)
Capnor Connery Bidco A/SDenmark1st Lien Term Loan10.73% (1M CIBOR + 6.88%)04/30/2026DKK9,255 1,339 (e)(f)
Capnor Connery Bidco A/SDenmark1st Lien Delay Draw Term Loan10.73% (1M CIBOR + 6.88%)04/30/2026DKK12,810 1,853 (e)(f)
Capnor Connery Bidco A/SDenmark1st Lien Delay Draw Term Loan10.72% (3M EURIBOR + 6.88%)04/30/2026DKK12,324 1,783 (e)(h)
Cardinal Parent, Inc.1st Lien Revolving Loan11/12/2025— — (e)(h)
Cardinal Parent, Inc.2nd Lien Term Loan13.22% (3M SOFR + 7.75%)11/13/20289,269 8,805 (e)(f)
CCC Intelligent Solutions Inc.1st Lien Term Loan7.69% (1M SOFR + 2.25%)09/21/2028997 996 
Cloud Software Group, Inc.1st Lien Revolving Loan09/30/2027— — (e)(h)
Cloud Software Group, Inc.1st Lien Term Loan9.91% (3M SOFR + 4.50%)09/29/20285,228 5,203 (f)
Cloud Software Group, Inc.1st Lien Term Loan9.91% (3M SOFR + 4.50%)03/30/202942,736 42,510 (f)
Cloud Software Group, Inc.1st Lien Term Loan04/09/2029159 158 (i)
Compusoft US LLC1st Lien Term Loan11.20% (3M SOFR + 5.75%)05/26/2028834 834 (e)
Compusoft US LLC1st Lien Term Loan11.20% (3M SOFR + 5.75%)05/26/20281,715 1,715 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Confirmasoft ABSweden1st Lien Delay Draw Term Loan10.82% (3M STIBOR + 6.75%)06/03/20271,502 1,621 (e)(h)
Confirmasoft ABSweden1st Lien Delay Draw Term Loan10.68% (3M EURIBOR + 6.75%)06/03/20271,995 2,152 (e)(f)
Confirmasoft ABSweden1st Lien Delay Draw Term Loan11.07% (3M STIBOR + 7.00%)06/03/20271,120 1,208 (e)(h)
Conservice Midco, LLC1st Lien Term Loan9.33% (1M SOFR + 4.00%)05/13/20272,494 2,499 
Conservice Midco, LLC2nd Lien Term Loan12.33% (1M SOFR + 7.00%)05/15/202813,905 13,905 (e)(f)
Consilio Midco LimitedUnited Kingdom1st Lien Revolving Loan11.20% (3M SOFR + 5.75%)05/26/202889 89 (e)(h)
Consilio Midco LimitedUnited Kingdom1st Lien Term Loan11.20% (3M SOFR + 5.75%)05/26/20286,703 6,703 (e)(f)
Consilio Midco LimitedUnited Kingdom1st Lien Term Loan10.16% (3M EURIBOR + 6.25%)05/26/20281,979 2,135 (e)(f)
Consilio Midco LimitedUnited Kingdom1st Lien Term Loan11.20% (3M SOFR + 5.75%)05/26/20281,680 1,680 (e)
Consilio Midco LimitedUnited Kingdom1st Lien Term Loan10.16% (3M EURIBOR + 6.25%)05/26/2028136 146 (e)
Consilio Midco LimitedUnited Kingdom1st Lien Delay Draw Term Loan10.16% (3M EURIBOR + 6.25%)05/26/2028177 188 (e)(h)
Cority Software (USA) Inc.1st Lien Term Loan10.30% (3M SOFR + 5.00%)07/02/2026528 528 (e)(f)
Cority Software (USA) Inc.1st Lien Term Loan10.33% (3M SOFR + 5.00%)07/02/20261,069 1,069 (e)(f)
Cority Software (USA) Inc.1st Lien Term Loan12.33% (3M SOFR + 7.00%)07/02/2026136 136 (e)(f)
Cority Software (USA) Inc.1st Lien Term Loan11.33% (3M SOFR + 6.00%)07/02/2026900 900 (e)
Cority Software Inc.Canada1st Lien Revolving Loan07/02/2025— — (e)(h)
Cority Software Inc.Canada1st Lien Term Loan10.30% (3M SOFR + 5.00%)07/02/20261,698 1,697 (e)(f)
Cority Software Inc.Canada1st Lien Term Loan10.33% (3M SOFR + 5.00%)07/02/2026127 127 (e)(f)
Cornerstone OnDemand, Inc.1st Lien Revolving Loan8.69% (1M SOFR + 3.25%)10/15/2026(e)(h)
Cornerstone OnDemand, Inc.2nd Lien Term Loan11.94% (1M SOFR + 6.50%)10/15/202917,522 17,171 (e)
Coupa Holdings, LLC1st Lien Revolving Loan02/27/2029— — (e)(h)
Coupa Holdings, LLC1st Lien Term Loan12.81% (3M SOFR + 7.50%)02/27/2030229 229 (e)
Coupa Holdings, LLC1st Lien Delay Draw Term Loan02/27/2030— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Dayforce, Inc.1st Lien Term Loan7.83% (1M SOFR + 2.50%)03/03/20313,750 3,743 
DCert Buyer, Inc.1st Lien Term Loan9.33% (1M SOFR + 4.00%)10/16/202610,789 10,729 (f)
DCert Buyer, Inc.2nd Lien Term Loan12.33% (1M SOFR + 7.00%)02/16/20295,691 5,634 (e)(f)
Denali Holdco LLC1st Lien Revolving Loan09/15/2027— — (e)(h)
Denali Holdco LLC1st Lien Term Loan10.96% (3M SOFR + 5.50%)09/15/20274,132 4,132 (e)(f)
Denali Holdco LLC1st Lien Delay Draw Term Loan10.92% (1M SOFR + 5.50%)09/15/202786 86 (e)(h)
Diligent Corporation1st Lien Revolving Loan11.71% (3M SOFR + 6.25%)08/04/2025226 226 (e)(h)
Diligent Corporation1st Lien Term Loan11.71% (3M SOFR + 6.25%)08/04/20252,981 2,981 (e)(f)
Diligent Corporation1st Lien Term Loan11.21% (3M SOFR + 5.75%)08/04/20252,205 2,205 (e)(f)
Diligent Corporation1st Lien Term Loan11.71% (3M SOFR + 6.25%)08/04/2025476 476 (e)
Doxim Inc.1st Lien Term Loan13.43% (1M SOFR + 8.00%)05/31/20266,154 6,153 (e)(f)
Doxim Inc.1st Lien Term Loan12.43% (1M SOFR + 7.00%)05/31/2026809 809 (e)(f)
Doxim Inc.1st Lien Term Loan12.18% (1M SOFR + 6.75%)05/31/20263,345 3,345 (e)(f)
Doxim Inc.First Lien Last Out Term Loan11.83% (1M SOFR + 6.40%)05/31/2026710 710 (e)(f)
Doxim Inc.First Lien Last Out Delay Draw Term Loan11.83% (1M SOFR + 6.40%)05/31/2026325 326 (e)
DS Admiral Bidco, LLC1st Lien Revolving Loan03/16/2026— — (e)(h)
DS Admiral Bidco, LLC1st Lien Term Loan11.80% (3M SOFR + 6.50%)03/16/20282,365 2,365 (e)(f)
Dye & Durham CorporationCanada1st Lien Revolving Loan12/03/2026CAD— — (e)(h)
Dye & Durham CorporationCanada1st Lien Term Loan11.04% (1M CDOR + 5.75%)12/03/2027CAD6,711 4,955 (e)(f)
Dye & Durham CorporationCanada1st Lien Delay Draw Term Loan11.12% (1M CDOR + 5.75%)12/03/2027CAD1,496 1,104 (e)
Echo Purchaser, Inc.1st Lien Revolving Loan11/19/2029— — (e)(g)(h)
Echo Purchaser, Inc.1st Lien Term Loan10.83% (1M SOFR + 5.50%)11/19/20291,840 1,803 (e)(g)
Echo Purchaser, Inc.1st Lien Delay Draw Term Loan11/19/2029— — (e)(g)(h)
Edmunds GovTech, Inc.1st Lien Revolving Loan9.30% (3M SOFR + 4.00%)02/26/203032 31 (e)(h)
Edmunds GovTech, Inc.1st Lien Term Loan10.80% (3M SOFR + 5.50%)02/26/2031334 328 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Edmunds GovTech, Inc.1st Lien Delay Draw Term Loan02/26/2031— — (e)(h)
Elemica Parent, Inc.1st Lien Revolving Loan10.98% (3M SOFR + 5.50%)09/18/2025479 469 (e)
Elemica Parent, Inc.1st Lien Term Loan10.98% (3M SOFR + 5.50%)09/18/20253,624 3,551 (e)(f)
Elemica Parent, Inc.1st Lien Delay Draw Term Loan10.98% (3M SOFR + 5.50%)09/18/2025543 533 (e)(f)
Elemica Parent, Inc.1st Lien Delay Draw Term Loan10.97% (3M SOFR + 5.50%)09/18/20252,209 2,165 (e)(f)
Empower Payments Investor, LLC1st Lien Revolving Loan03/12/2030— — (e)(h)
Empower Payments Investor, LLC1st Lien Term Loan10.48% (6M SOFR + 5.25%)03/12/2031477 468 (e)
Empower Payments Investor, LLC1st Lien Delay Draw Term Loan03/12/2031— — (e)(h)
Enigma Acquisition B.V.Netherlands1st Lien Delay Draw Term Loan11.05% (6M EURIBOR + 7.19%)01/26/20284,343 4,686 (e)(f)
Ensono, Inc.1st Lien Term Loan9.44% (1M SOFR + 4.00%)05/26/20287,479 7,237 
Enverus Holdings, Inc.1st Lien Revolving Loan12/24/2029— — (e)(h)
Enverus Holdings, Inc.1st Lien Term Loan10.83% (1M SOFR + 5.50%)12/24/20298,762 8,587 (e)(f)
Enverus Holdings, Inc.1st Lien Delay Draw Term Loan12/24/2029— — (e)(h)
Epicor Software Corporation1st Lien Term Loan8.69% (1M SOFR + 3.25%)07/30/20278,214 8,237 
eResearch Technology, Inc.1st Lien Term Loan9.94% (1M SOFR + 4.50%)02/04/2027995 997 (f)
eResearch Technology, Inc.2nd Lien Term Loan13.43% (1M SOFR + 8.00%)02/04/20285,869 5,869 (e)
eResearch Technology, Inc.2nd Lien Term Loan13.43% (1M SOFR + 8.00%)02/04/20285,297 5,298 (e)(f)
eResearch Technology, Inc.2nd Lien Delay Draw Term Loan13.43% (1M SOFR + 8.00%)02/04/2028672 672 (e)
ESHA Research, LLC1st Lien Revolving Loan11.02% (3M SOFR + 5.75%)06/08/202865 65 (e)(h)
ESHA Research, LLC1st Lien Term Loan11.02% (6M SOFR + 5.75%)06/08/2028479 478 (e)(f)
ExtraHop Networks, Inc.1st Lien Revolving Loan07/22/2027— — (e)(h)
ExtraHop Networks, Inc.1st Lien Term Loan12.93% (1M SOFR + 7.50%)07/22/20271,998 1,998 (e)
ExtraHop Networks, Inc.1st Lien Delay Draw Term Loan03/24/2025— — (e)(h)
ExtraHop Networks, Inc.1st Lien Delay Draw Term Loan12.93% (1M SOFR + 7.50%)07/22/2027692 692 (e)(h)
Finastra USA, Inc.1st Lien Revolving Loan09/13/2029— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Finastra USA, Inc.1st Lien Term Loan12.46% (3M SOFR + 7.25%)09/13/202918,908 18,908 (e)(f)
Flexential Topco Corporation1st Lien Revolving Loan0.1208/25/20273,000 3,000 (e)
Flexera Software LLC1st Lien Term Loan9.19% (1M SOFR + 3.75%)03/03/20286,836 6,846 
Gainwell Acquisition Corp.1st Lien Term Loan9.41% (3M SOFR + 4.00%)10/01/202714,497 13,838 
Gilfoyle Bidco ABSweden1st Lien Term Loan13.06% (6M STIBOR + 9.00%)09/04/2028SEK65,475 5,933 (e)(g)
Gilfoyle Bidco ABSweden1st Lien Delay Draw Term Loan13.06% (6M STIBOR + 9.00%)09/04/2028SEK11,119 1,008 (e)(h)
GraphPAD Software, LLC1st Lien Revolving Loan11.46% (3M SOFR + 6.00%)04/27/2027(e)
GraphPAD Software, LLC1st Lien Term Loan11.46% (3M SOFR + 6.00%)04/27/20274,614 4,614 (e)(f)
GraphPAD Software, LLC1st Lien Term Loan11.19% (3M SOFR + 5.50%)04/27/2027(e)(f)
GraphPAD Software, LLC1st Lien Term Loan10.96% (3M SOFR + 5.50%)04/27/20271,953 1,953 (e)(f)
GraphPAD Software, LLC1st Lien Delay Draw Term Loan11.13% (3M SOFR + 5.50%)04/27/2027436 436 (e)
Guidepoint Security Holdings, LLC1st Lien Revolving Loan10/02/2029— — (e)(h)
Guidepoint Security Holdings, LLC1st Lien Term Loan11.32% (3M SOFR + 6.00%)10/02/20291,140 1,117 (e)
Guidepoint Security Holdings, LLC1st Lien Delay Draw Term Loan10/02/2029— — (e)(h)
Hakken Bidco B.V.Netherlands1st Lien Term Loan10.93% (3M EURIBOR + 7.00%)07/26/20303,060 3,301 (e)
Hakken Bidco B.V.Netherlands1st Lien Delay Draw Term Loan10.89% (3M EURIBOR + 7.00%)07/26/2030358 386 (e)(h)
Heavy Construction Systems Specialists, LLC1st Lien Revolving Loan11/16/2027— — (e)(h)
Heavy Construction Systems Specialists, LLC1st Lien Term Loan10.83% (1M SOFR + 5.50%)11/16/20284,095 4,095 (e)(f)
Heavy Construction Systems Specialists, LLC1st Lien Term Loan10.58% (1M SOFR + 5.25%)11/16/20282,946 2,946 (e)
Help/Systems Holdings, Inc.1st Lien Term Loan9.43% (1M SOFR + 4.00%)11/19/202615,688 15,155 (f)
Help/Systems Holdings, Inc.2nd Lien Term Loan12.19% (3M SOFR + 6.75%)11/19/20272,360 1,953 (f)
Hyland Software, Inc.1st Lien Revolving Loan09/19/2029— — (e)(h)
Hyland Software, Inc.1st Lien Term Loan11.33% (1M SOFR + 6.00%)09/19/20309,658 9,658 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Icefall Parent, Inc.1st Lien Revolving Loan01/25/2030— — (e)(g)(h)
Icefall Parent, Inc.1st Lien Term Loan11.80% (6M SOFR + 6.50%)01/25/20302,328 2,282 (e)(g)
Idemia Group S.A.S.France1st Lien Term Loan7.90% (3M EURIBOR + 4.00%)09/30/20287,000 7,536 
Idera, Inc.1st Lien Term Loan9.21% (3M SOFR + 3.75%)03/02/20285,562 5,533 (f)
Idera, Inc.2nd Lien Term Loan12.21% (3M SOFR + 6.75%)03/02/20293,567 3,451 
Imprivata, Inc.2nd Lien Term Loan11.56% (3M SOFR + 6.25%)12/01/20286,384 6,384 (e)(f)
IQN Holding Corp.1st Lien Revolving Loan05/02/2028— — (e)(h)
IQN Holding Corp.1st Lien Term Loan10.59% (3M SOFR + 5.25%)05/02/20296,755 6,619 (e)
IQN Holding Corp.1st Lien Delay Draw Term Loan05/02/2029— — (e)(h)
Ivanti Software, Inc.1st Lien Revolving Loan11.00% (PRIME + 2.50%)12/01/202537 34 (e)(h)
Kaseya Inc.1st Lien Revolving Loan10.83% (1M SOFR + 5.50%)06/25/2029598 598 (e)(g)(h)
Kaseya Inc.1st Lien Term Loan11.31% (3M SOFR + 6.00%)06/25/202939,641 39,641 (e)(f)(g)
Kaseya Inc.1st Lien Delay Draw Term Loan06/25/2029— — (e)(g)(h)
Kaseya Inc.1st Lien Delay Draw Term Loan10.81% (3M SOFR + 5.50%)06/25/2029146 146 (e)
LeanTaaS Holdings, Inc.1st Lien Term Loan12.81% (3M SOFR + 7.50%)07/12/20282,635 2,635 (e)
LeanTaaS Holdings, Inc.1st Lien Delay Draw Term Loan12.81% (3M SOFR + 7.50%)07/12/20281,382 1,382 (e)(h)
Majesco1st Lien Revolving Loan09/21/2027— — (e)(h)
Majesco1st Lien Term Loan10.05% (3M SOFR + 4.75%)09/21/20288,969 8,968 (e)(f)
Majesco09/21/2027706 706 (e)
Maltese Bidco 1 LimitedUnited Kingdom1st Lien Term Loan10.90% (6M EURIBOR + 7.00%)02/14/20293,600 3,884 (e)(f)(g)
Marcel Bidco GmbHGermany1st Lien Term Loan9.81% (3M SOFR + 4.50%)11/11/20301,429 1,438 
MH Sub I, LLC (Micro Holding Corp.)1st Lien Term Loan9.58% (1M SOFR + 4.25%)05/03/202811,637 11,555 
Mimecast Borrowerco, Inc.1st Lien Term Loan10.58% (1M SOFR + 5.25%)05/18/202937,990 37,990 (e)(f)(g)
Mimecast Borrowerco, Inc.1st Lien Term Loan10.44% (3M SONIA + 5.25%)05/18/2029£6,947 8,768 (e)(f)(g)
Mimecast Borrowerco, Inc.1st Lien Delay Draw Term Loan10.58% (1M SOFR + 5.25%)05/18/20291,147 1,147 (e)(g)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Mimecast Borrowerco, Inc.1st Lien Delay Draw Term Loan05/18/2029— — (e)(h)
Mitchell International, Inc.1st Lien Term Loan9.19% (1M SOFR + 3.75%)10/15/202899 99 
Mitchell International, Inc.1st Lien Term Loan9.19% (1M SOFR + 3.75%)10/16/20289,975 9,975 
Mitchell International, Inc.2nd Lien Term Loan11.94% (1M SOFR + 6.50%)10/15/202912,252 12,234 
MRI Software LLC1st Lien Revolving Loan02/10/2027— — (e)(h)
MRI Software LLC1st Lien Term Loan10.90% (3M SOFR + 5.50%)02/10/20279,843 9,843 (e)(f)(g)
MRI Software LLC1st Lien Delay Draw Term Loan02/10/2027— — (e)(h)
Netsmart, Inc.1st Lien Term Loan9.19% (1M SOFR + 3.75%)10/01/20278,669 8,679 
Open Text CorpCanada1st Lien Term Loan8.18% (1M SOFR + 2.75%)01/31/203011,959 11,972 
OpenMarket Inc.1st Lien Term Loan11.82% (3M SOFR + 6.25%)09/17/20267,061 7,061 (e)(f)
ParentPay Group LimitedUnited Kingdom1st Lien Term Loan12.05% (3M SONIA + 6.72%)06/30/2028£5,529 6,978 (e)(f)
ParentPay Group LimitedUnited Kingdom1st Lien Delay Draw Term Loan12.05% (3M SONIA + 6.72%)06/30/2028£1,464 1,847 (e)
PDDS Holdco, Inc.1st Lien Revolving Loan13.10% (6M SOFR + 7.50%)07/18/202817 18 (e)(h)
PDDS Holdco, Inc.1st Lien Term Loan12.93% (3M SOFR + 7.50%)07/18/2028733 733 (e)
PDDS Holdco, Inc.1st Lien Delay Draw Term Loan12.93% (6M SOFR + 7.50%)07/18/202870 70 (e)
PDDS Holdco, Inc.1st Lien Delay Draw Term Loan12.93% (3M SOFR + 7.50%)07/18/2028197 197 (e)(g)(h)
PDI TA Holdings, Inc.1st Lien Revolving Loan02/03/2031— — (e)(h)
PDI TA Holdings, Inc.1st Lien Term Loan10.83% (1M SOFR + 5.50%)02/03/20311,798 1,780 (e)(g)
PDI TA Holdings, Inc.1st Lien Delay Draw Term Loan02/03/2031— — (e)(g)(h)
Pluralsight, Inc.1st Lien Revolving Loan13.47% (3M SOFR + 8.00%)04/06/20271,204 1,024 (e)
Pluralsight, Inc.1st Lien Term Loan13.47% (3M SOFR + 8.00%)04/06/202716,506 14,030 (e)
PracticeTek Purchaser, LLC1st Lien Revolving Loan9.83% (1M SOFR + 4.50%)08/30/2029— (e)(h)
PracticeTek Purchaser, LLC1st Lien Term Loan11.08% (1M SOFR + 5.75%)08/30/20297,578 7,578 (e)
PracticeTek Purchaser, LLC1st Lien Delay Draw Term Loan08/30/2029— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Precisely Software Incorporated (f/k/a Syncsort Incorporated)1st Lien Term Loan9.59% (3M SOFR + 4.00%)04/24/202813,264 13,253 (f)
ProfitSolv Purchaser, Inc.1st Lien Revolving Loan03/05/2027— — (e)(h)
ProfitSolv Purchaser, Inc.1st Lien Term Loan10.43% (1M SOFR + 5.00%)03/05/20273,718 3,718 (e)(f)
ProfitSolv Purchaser, Inc.1st Lien Delay Draw Term Loan10.43% (1M SOFR + 5.00%)03/05/20271,327 1,327 (e)
Project Boost Purchaser, LLC1st Lien Term Loan8.93% (1M SOFR + 3.50%)05/30/202611,371 11,393 
Project Boost Purchaser, LLC1st Lien Term Loan8.94% (1M SOFR + 3.50%)06/01/20265,533 5,541 
Project Essential Bidco, Inc.1st Lien Revolving Loan04/20/2027— — (e)(h)
Project Essential Bidco, Inc.1st Lien Term Loan11.72% (3M SOFR + 6.25%)04/20/20284,135 3,722 (e)(f)
Proofpoint, Inc.1st Lien Revolving Loan08/31/2026— — (e)(h)
Proofpoint, Inc.1st Lien Term Loan8.69% (1M SOFR + 3.25%)08/31/202828,292 28,292 
Pushpay USA Inc.1st Lien Revolving Loan05/10/2029— — (e)(h)
Pushpay USA Inc.1st Lien Term Loan12.21% (3M SOFR + 6.75%)05/10/2030231 231 (e)
QF Holdings, Inc.1st Lien Revolving Loan11.16% (3M SOFR + 5.75%)12/15/2027159 159 (e)(h)
QF Holdings, Inc.1st Lien Term Loan11.16% (3M SOFR + 5.75%)12/15/20271,313 1,313 (e)
QF Holdings, Inc.1st Lien Term Loan11.16% (3M SOFR + 5.75%)12/15/20272,500 2,500 (e)(f)
QF Holdings, Inc.1st Lien Term Loan11.19% (3M SOFR + 5.75%)12/15/2027393 393 (e)
QF Holdings, Inc.1st Lien Delay Draw Term Loan11.16% (3M SOFR + 5.75%)12/15/2027526 524 (e)
Quest Software US Holdings Inc.1st Lien Term Loan9.71% (3M SOFR + 4.25%)02/01/20298,567 6,476 
Quest Software US Holdings Inc.2nd Lien Term Loan12.96% (3M SOFR + 7.50%)02/01/2030686 283 
Raptor Technologies, LLC (Sycamore Bidco Ltd)1st Lien Revolving Loan10/05/2027— — (e)(h)
Raptor Technologies, LLC (Sycamore Bidco Ltd)1st Lien Term Loan10.93% (3M SOFR + 5.63%)10/05/20283,167 3,167 (e)(f)
Raptor Technologies, LLC (Sycamore Bidco Ltd)1st Lien Term Loan10.93% (3M SOFR + 5.63%)10/05/20282,772 2,773 (e)
RealPage, Inc.1st Lien Term Loan8.44% (1M SOFR + 3.00%)04/24/20282,992 2,909 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
RealPage, Inc.2nd Lien Term Loan11.94% (1M SOFR + 6.50%)04/23/202921,773 21,337 (e)
Relativity ODA LLC1st Lien Revolving Loan05/12/2027— — (e)(g)(h)
Relativity ODA LLC1st Lien Term Loan11.93% (1M SOFR + 6.50%)05/12/20277,543 7,543 (e)(g)
Revalize, Inc.1st Lien Revolving Loan11.21% (3M SOFR + 5.75%)04/15/202757 53 (e)(h)
Revalize, Inc.1st Lien Delay Draw Term Loan11.21% (3M SOFR + 5.75%)04/15/20272,911 2,707 (e)
RMS Holdco II, LLC1st Lien Revolving Loan12/16/2027— — (e)(h)
RMS Holdco II, LLC1st Lien Term Loan11.68% (1M SOFR + 6.25%)12/16/20277,067 6,784 (e)(f)
Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.)1st Lien Term Loan9.08% (1M SOFR + 3.75%)02/24/202815,556 15,580 
Smarsh Inc.1st Lien Revolving Loan11.08% (1M SOFR + 5.75%)02/16/202991 91 (e)(h)
Smarsh Inc.1st Lien Term Loan11.06% (3M SOFR + 5.75%)02/16/20293,561 3,561 (e)(f)
Smarsh Inc.1st Lien Delay Draw Term Loan11.06% (3M SOFR + 5.75%)02/16/2029445 445 (e)(h)
Sophia, L.P.1st Lien Term Loan8.93% (3M SOFR + 3.50%)10/09/202912,163 12,209 
Sophia, L.P.2nd Lien Term Loan13.43% (1M SOFR + 8.00%)10/09/20286,548 6,548 (e)(f)
Storable, Inc.2nd Lien Term Loan11.93% (6M SOFR + 6.75%)04/16/20299,527 9,527 (e)(f)
Sundance Group Holdings, Inc.1st Lien Revolving Loan11.66% (3M SOFR + 6.25%)07/02/2027(e)(h)
Sundance Group Holdings, Inc.1st Lien Term Loan11.67% (3M SOFR + 6.25%)07/02/20271,510 1,510 (e)(f)
Sundance Group Holdings, Inc.1st Lien Term Loan11.69% (3M SOFR + 6.25%)07/02/202781 81 (e)
Sundance Group Holdings, Inc.1st Lien Delay Draw Term Loan11.67% (3M SOFR + 6.25%)07/02/2027453 453 (e)
TCP Hawker Intermediate LLC1st Lien Revolving Loan08/28/2026— — (e)(h)
TCP Hawker Intermediate LLC1st Lien Term Loan10.96% (3M SOFR + 5.50%)08/28/20262,700 2,700 (e)(f)
TCP Hawker Intermediate LLC1st Lien Term Loan11.46% (3M SOFR + 6.00%)08/28/20261,232 1,232 (e)
TCP Hawker Intermediate LLC1st Lien Delay Draw Term Loan10.96% (3M SOFR + 5.50%)08/28/2026963 963 (e)(f)
TCP Hawker Intermediate LLC1st Lien Delay Draw Term Loan10.96% (3M SOFR + 5.50%)08/28/2026909 908 (e)
TCP Hawker Intermediate LLC1st Lien Delay Draw Term Loan08/28/2026— — (e)(h)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
UKG Inc.1st Lien Revolving Loan02/01/2026— — (e)
UserZoom Technologies, Inc.1st Lien Term Loan12.99% (3M SOFR + 7.50%)04/05/2029250 248 (e)
Verscend Holding Corp.1st Lien Term Loan9.44% (1M SOFR + 4.00%)08/27/20256,982 6,982 
WebPT, Inc.1st Lien Revolving Loan12.17% (3M SOFR + 6.75%)01/18/2028113 113 (e)(h)
WebPT, Inc.1st Lien Term Loan12.19% (3M SOFR + 6.75%)01/18/20282,042 2,042 (e)
Wellness AcquisitionCo, Inc.1st Lien Revolving Loan01/20/2027— — (e)(h)
Wellness AcquisitionCo, Inc.1st Lien Term Loan10.94% (3M SOFR + 5.50%)01/20/20273,024 3,024 (e)(f)
Wellness AcquisitionCo, Inc.1st Lien Delay Draw Term Loan10.94% (3M SOFR + 5.50%)01/20/202791 91 (e)(h)
WorkWave Intermediate II, LLC1st Lien Revolving Loan06/29/2027— — (e)(h)
WorkWave Intermediate II, LLC1st Lien Term Loan12.41% (3M SOFR + 7.00%)06/29/20274,746 4,746 (e)
WorkWave Intermediate II, LLC1st Lien Delay Draw Term Loan12.41% (3M SOFR + 7.00%)06/29/20273,199 3,199 (e)(g)
WorkWave Intermediate II, LLC1st Lien Delay Draw Term Loan06/29/2027— — (e)(g)(h)
WSBidCo LimitedJersey1st Lien Term Loan12.31% (3M SONIA + 7.00%)06/16/2028£2,679 3,381 (e)(f)(g)
WSBidCo LimitedJersey1st Lien Delay Draw Term Loan12.31% (3M SONIA + 7.00%)06/16/2028£5,275 6,657 (e)(g)(h)
910,356 25.65 %
Technology Hardware and Equipment
Chariot Buyer LLC1st Lien Revolving Loan01/26/2029— — (e)(h)
Chariot Buyer LLC1st Lien Term Loan9.08% (1M SOFR + 3.75%)11/03/202816,900 16,921 
Cotiviti Holdings, Inc.1st Lien Term Loan02/21/20315,000 5,006 (i)
Cotiviti Holdings, Inc.1st Lien Term Loan02/24/203110,000 9,975 (i)
Emerald Debt Merger Sub LLC1st Lien Term Loan8.29% (3M SOFR + 3.00%)05/31/20306,143 6,137 
FL Hawk Intermediate Holdings, Inc.1st Lien Revolving Loan02/22/2027— — (e)(h)
FL Hawk Intermediate Holdings, Inc.1st Lien Term Loan10.31% (3M SOFR + 4.75%)02/22/20287,177 7,177 (e)(f)
Micromeritics Instrument Corp.1st Lien Revolving Loan12/18/2025— — (e)(h)
Micromeritics Instrument Corp.1st Lien Term Loan9.93% (3M SOFR + 4.50%)12/18/20251,333 1,334 (e)(f)
MWG BidCo ApSDenmark1st Lien Term Loan10.89% (3M CIBOR + 7.00%)02/29/2028DKK20,066 2,902 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
MWG BidCo ApSDenmark1st Lien Delay Draw Term Loan10.89% (3M EURIBOR + 7.00%)02/29/2028DKK4,660 674 (e)(h)
MWG BidCo ApSDenmark1st Lien Delay Draw Term Loan02/29/2028DKK— — (e)(h)(i)
Repairify, Inc.1st Lien Revolving Loan10.73% (3M SOFR + 5.00%)06/14/2027689 675 (e)(h)
Repairify, Inc.1st Lien Term Loan10.43% (6M SOFR + 5.00%)06/14/20273,481 3,412 (e)(f)
Stellant Midco, LLC1st Lien Term Loan11.04% (6M SOFR + 5.50%)10/02/20281,594 1,594 (e)(f)
Verifone Systems, Inc.1st Lien Term Loan9.59% (3M SOFR + 4.00%)08/20/20252,155 1,902 
Wildcat BuyerCo, Inc.1st Lien Revolving Loan02/26/2027— — (e)(h)
Wildcat BuyerCo, Inc.1st Lien Term Loan11.06% (3M SOFR + 5.75%)02/26/20274,192 4,192 (e)(f)
Wildcat BuyerCo, Inc.1st Lien Delay Draw Term Loan11.06% (3M SOFR + 5.75%)02/26/20271,107 1,107 (e)(f)
Wildcat BuyerCo, Inc.1st Lien Delay Draw Term Loan11.06% (3M SOFR + 5.75%)02/26/20271,527 1,527 (e)(h)
64,535 1.82 %
Telecommunication Services
CB-SDG LimitedUnited Kingdom1st Lien Term Loan03/31/2028£1,587 1,942 (e)(g)(j)
Delta Topco, Inc.1st Lien Term Loan9.12% (3M SOFR + 3.75%)12/01/20274,158 4,160 
Hamsard 3713 LimitedUnited Kingdom1st Lien Term Loan10.76% (3M EURIBOR + 6.86%)11/22/20308,541 9,214 (e)(g)
Hamsard 3713 LimitedUnited Kingdom1st Lien Delay Draw Term Loan11/22/2030— — (e)(g)(h)
Iridium Satellite LLC1st Lien Term Loan7.83% (1M SOFR + 2.50%)09/20/20304,000 3,996 
Panther NewCoFrance1st Lien Term Loan9.65% (3M EURIBOR + 5.75%)05/24/20298,250 8,901 (e)(g)
Panther NewCoFrance1st Lien Delay Draw Term Loan9.62% (3M EURIBOR + 5.75%)05/24/20292,309 2,490 (e)(g)(h)
Switch Master Holdco LLC1st Lien Term Loan8.33% (3M SOFR + 3.00%)12/15/202411,017 10,764 (e)
Zayo Group Holdings, Inc.1st Lien Term Loan8.44% (1M SOFR + 3.00%)03/09/20279,441 8,262 
49,729 1.40 %
Transportation
Draken Bidco LimitedUnited Kingdom1st Lien Term Loan11.81% (3M SOFR + 6.50%)07/20/202910,560 10,560 (e)(f)(g)
Draken Bidco LimitedUnited Kingdom1st Lien Delay Draw Term Loan07/20/2029— — (e)(g)(h)
Neovia Logistics, LP1st Lien Term Loan14.41% (3M SOFR + 9.00%)11/01/2027446 445 (e)
Shur-Co Acquisition, Inc.1st Lien Term Loan11.23% (6M SOFR + 6.05%)06/30/20272,571 2,571 (e)(f)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Shur-Co Acquisition, Inc.1st Lien Term Loan11.23% (6M SOFR + 6.05%)06/30/2027552 552 (e)
14,128 0.40 %
Utilities
Calpine Corporation1st Lien Term Loan7.33% (1M SOFR + 2.00%)01/31/20316,918 6,874 
CQP Holdco L.P.1st Lien Term Loan8.30% (3M SOFR + 3.00%)12/31/20306,983 7,003 
Discovery Energy Corp.1st Lien Term Loan01/30/20313,000 3,003 (i)
NRG Energy Inc1st Lien Term Loan03/27/20313,750 3,743 (i)
Scholt Energy B.V.Netherlands1st Lien Term Loan9.65% (3M EURIBOR + 5.75%)08/10/20287,500 8,091 (e)(f)
28,714 0.81 %
TOTAL SENIOR LOANS (Cost $3,844,496)3,810,353 107.36 %
SUBORDINATED LOANS(b)(c)(d)(e)
Capital Goods
Eleda BidCo AB (fka EISG BidCo AB)SwedenSubordinated Term Loan14.04% (3M STIBOR + 10.00%)06/29/2026SEK15,384 1,437 (g)
1,437 0.04 %
Financial Services
eCapital Finance Corp.CanadaSubordinated Term Loan13.18% (1M SOFR + 7.75%)12/31/202535,493 35,494 
eCapital Finance Corp.CanadaSubordinated Delay Draw Term Loan13.18% (1M SOFR + 7.75%)12/31/20252,804 2,803 
TVG-TMG Topco, Inc.Subordinated Term Loan12.00%03/30/20293,493 3,283 (g)
41,580 1.17 %
Health Care Equipment and Services
AmeriVet Partners Management, Inc.Subordinated Term Loan16.50%12/02/20306,841 6,430 (g)
AmeriVet Partners Management, Inc.Subordinated Delay Draw Term Loan16.50%12/02/20301,103 1,037 (g)(h)
7,467 0.21 %
Media and Entertainment
22 HoldCo LimitedUnited KingdomSubordinated Term Loan12.96% (6M SONIA + 7.50%)08/23/2033£2,942 3,602 (g)
22 HoldCo LimitedUnited KingdomSubordinated Delay Draw Term Loan12.96% (6M SONIA + 7.50%)08/23/2033£646 791 (g)(h)
4,3930.12 %
Pharmaceuticals, Biotechnology and Life Sciences
Cardinal Topco Holdings, L.P.Subordinated Term Loan11.00%03/17/2025(g)
— %
TOTAL SUBORDINATED LOANS (Cost $54,864)54,886 1.55 %
CORPORATE BONDS(b)(c)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Capital Goods
CP Atlas Buyer Inc7.00%12/01/202810,219 9,586 (d)
LBM Acquisition LLC6.25%01/15/202920,680 19,385 (d)
Specialty Building Products Holdings LLC / SBP Finance Corp6.38%09/30/202615,674 15,563 (d)
SRS Distribution Inc.6.00%12/01/20297,000 7,142 (d)
Tutor Perini Corporation6.88%05/01/202524,116 23,869 (d)
VistaJet Malta Finance PLC / Vista Management Holding IncMalta9.50%06/01/20288,051 6,846 (d)
VistaJet Malta Finance PLC / Vista Management Holding IncMalta6.38%02/01/203013,221 9,772 (d)
92,163 2.60 %
Commercial and Professional Services
NBLY 2021-13.58%04/30/205124 22 (d)(e)
Neptune BidCo US Inc.9.29%04/15/20298,991 8,503 (d)
VRC Companies, LLC12.00%06/29/202826 25 (e)(g)
8,550 0.24 %
Consumer Discretionary Distribution and Retail
Carvana Co12.00%12/01/2028118 116 (d)(g)
Carvana Co13.00%06/01/2030181 177 (d)(g)
Carvana Co14.00%06/01/2031214 215 (d)(g)
508 0.01 %
Consumer Services
AUTHB 2021-13.73%07/30/205125 22 (d)(e)
Caesars Entertainment Inc8.13%07/01/20277,517 7,699 (d)
SERV 2020-13.34%01/30/205124 20 (d)(e)
7,741 0.22 %
Consumer Staples Distribution and Retail
BUNDT 2021-12.99%07/30/205125 23 (d)(e)
23 — %
Energy
Ascent Resources - Utica LLC/ARU Finance Corp9.00%11/01/2027500 629 (d)
Enviva Partners LP / Enviva Partners Finance Corp01/15/202617,217 7,575 (d)(j)
ITT Holdings LLC6.50%08/01/202916,264 14,838 (d)
Summit Midstream Holdings LLC / Summit Midstream Finance Corp12.00%10/15/202616,116 16,237 (d)
Tallgrass Energy Partners LP / Tallgrass Energy Finance Corp6.00%12/31/2030200 190 (d)
Transocean Inc.Cayman Islands6.80%03/15/203813,528 11,334 
50,803 1.43 %



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Equity Real Estate Investment Trusts (REITs)
Brookfield Property REIT Inc / BPR Cumulus LLC / BPR Nimbus LLC / GGSI Sellco LL4.50%04/01/202711,997 10,952 (d)
Iron Mountain Inc5.25%07/15/20304,089 3,868 (d)
14,820 0.42 %
Financial Services
Antenore Bidco SpAItaly10/08/20303,000 3,237 (e)
BCC Blueprint Investments, LLC9.30%09/15/2026756 756 (d)(e)(g)
HighTower Holding, LLC6.75%04/15/20293,280 3,082 (d)
Midcap Financial Issuer Trust6.50%05/01/202819,660 18,137 (d)
Nationstar Mortgage Holdings Inc.5.50%08/15/20287,880 7,544 (d)
WAX 2022-15.50%03/15/205218,668 17,772 (d)(e)
50,528 1.42 %
Food and Beverage
Triton Water Holdings, Inc.6.25%04/01/2029100 91 (d)
91 — %
Health Care Equipment and Services
JDC Healthcare Management, LLC09/29/202935 — (e)(g)(j)
— — %
Materials
Ardagh Packaging Finance PLC / Ardagh Holdings USA IncIreland5.25%08/15/202724,222 15,260 (d)
The Chemours Company5.75%11/15/2028864 797 (d)
Chemours Company, The4.63%11/15/20296,079 5,229 (d)
OI European Group BVNetherlands4.75%02/15/20305,250 4,832 (d)
Owens-Brockway Glass Container Inc6.63%05/13/20272,250 2,251 (d)
Trident TPI Holdings, Inc.12.75%12/31/202812,102 12,911 (d)
41,280 1.16 %
Media and Entertainment
ANGI Group LLC3.88%08/15/20286,003 5,214 (d)
Aventine Holdings II LLC10.25%12/23/203013,392 11,115 (e)(g)
Eagle Football Holdings BidCo LimitedUnited Kingdom13.27% (6M SOFR + 8.00%)12/13/20281,398 1,356 (e)
Eagle Football Holdings BidCo LimitedUnited Kingdom16.00%12/13/2028652 652 (e)(g)
Scripps Escrow II Inc3.88%01/15/202912,325 9,801 (d)
28,138 0.79 %
Pharmaceuticals, Biotechnology and Life Sciences
Grifols SASpain4.75%10/15/20281,4001,158(d)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
1,1580.03 %
Software and Services
AffiniPay Intermediate Holdings, LLC15.31% (3M SOFR + 10.00%)06/09/20305,362 5,362 (e)(g)
Cloud Software Group, Inc.9.00%09/30/2029100 96 (d)
Insightful Science Intermediate I, LLC10.50%04/28/20321,645 1,530 (e)
Open Text Holdings Inc4.13%02/15/20308,500 7,614 (d)
Practicetek Midco, LLC14.00%08/30/20308,460 8,460 (e)(g)
23,062 0.65 %
Telecommunication Services
Level 3 Financing Inc.11.00%11/15/202911,150 11,596 (d)
Telesat Canada / Telesat LLCCanada5.63%12/06/202614,223 7,147 (d)
Zayo Group Holdings, Inc.4.00%03/01/20273,000 2,469 (d)
21,212 0.60 %
TOTAL CORPORATE BONDS (Cost $346,696)340,077 9.58 %
COLLATERALIZED LOAN OBLIGATIONS - CREDIT LINKED NOTE
Financial Services
Buttercup 2023-1 LLC12.27% (1M SOFR + 6.50%)09/30/203011,300 11,300 
11,300 0.32 %
TOTAL COLLATERALIZED LOAN OBLIGATIONS - CREDIT LINKED NOTE (Cost $11,300)11,300 0.32 %
COLLATERALIZED LOAN OBLIGATIONS - DEBT(b)(c)(d)(e)
AIMCO 2021-15A ECayman Islands11.53% (3M SOFR + 6.21%)10/17/2034750 745 
AIMCO 2021-16A ECayman Islands11.78% (3M SOFR + 6.46%)01/17/2035913 918 
AMMC 2012-11A ER2Cayman Islands11.38% (3M SOFR + 6.06%)04/30/20311,500 1,472 
AMMC 2018-22A E2Cayman Islands11.09% (3M SOFR + 5.76%)04/25/2031750 700 
ANCHF 2020-12A ECayman Islands0.069110/25/20381,000 871 
ATCLO 2016-7A FRCayman Islands13.64% (3M SOFR + 8.31%)11/27/2031937 579 
BALLY 2023-24A CJersey10.36% (3M SOFR + 5.05%)07/15/20362,000 2,058 
BCC 2019-2A ERCayman Islands11.90% (3M SOFR + 6.58%)10/17/20321,250 1,190 
BCC 2019-4A ERCayman Islands13.31% (3M SOFR + 7.99%)04/23/20356,000 5,857 
BCC 2021-3A ECayman Islands12.08% (3M SOFR + 6.76%)07/24/2034500 493 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
BCC 2022-2A EJersey13.16% (3M SOFR + 7.84%)04/22/20359,480 9,500 
BCC 2023-3A DJersey10.57% (3M SOFR + 5.25%)07/24/20363,000 3,070 
CANYC 2018-1A ECayman Islands11.33% (3M SOFR + 6.01%)07/15/2031850 835 
CANYC 2020-1A ERCayman Islands11.93% (3M SOFR + 6.61%)07/15/20341,952 1,948 
CGMS 2023-2A D1Cayman Islands10.32% (3M SOFR + 5.00%)07/20/20365,000 5,130 
CIFC 2014-3A ER2Cayman Islands11.68% (3M SOFR + 6.36%)10/22/2031997 997 
DEN12 2016-1A ERCayman Islands11.48% (3M SOFR + 6.16%)04/15/2031375 364 
DEN14 2016-1A ERCayman Islands11.93% (3M SOFR + 6.61%)10/23/2031750 724 
DRSLF 2018-55A ECayman Islands10.98% (3M SOFR + 5.66%)04/15/2031375 364 
DRSLF 2018-57A ECayman Islands10.77% (3M SOFR + 5.46%)05/15/2031500 480 
DRSLF 2018-58A ECayman Islands10.93% (3M SOFR + 5.61%)07/17/20311,000 974 
DRSLF 2018-70A ECayman Islands11.63% (3M SOFR + 6.31%)01/16/2032250 248 
DRSLF 2020-78A ECayman Islands12.18% (3M SOFR + 6.86%)04/17/20331,000 990 
DRSLF 2020-83A ECayman Islands11.11% (3M SOFR + 5.81%)01/18/2032800 788 
DRSLF 2022-106A DCayman Islands11.01% (3M SOFR + 5.70%)10/15/20351,000 1,009 
DRSLF 2022-106A ECayman Islands14.18% (3M SOFR + 8.87%)10/15/2035500 507 
DRSLF 2022-108A DJersey9.55% (3M SOFR + 4.25%)07/18/20352,000 2,008 
ELM16 2022-3A FRCayman Islands13.32% (3M SOFR + 8.00%)04/20/2037658 605 
ELM24 2023-3A ECayman Islands12.91% (3M SOFR + 7.57%)12/11/2033445 449 
ELMW4 2020-1A ECayman Islands12.18% (3M SOFR + 6.86%)04/15/2033663 667 
GLD10 2015-10A ERCayman Islands11.23% (3M SOFR + 5.91%)07/20/2031750 752 
INGIM 2013-3A DRCayman Islands11.46% (3M SOFR + 6.16%)10/18/20311,250 1,199 
JNPPK 2023-1A DJersey10.02% (3M SOFR + 4.70%)07/20/20352,500 2,512 
KKR 2022-41A ECayman Islands12.02% (3M SOFR + 6.70%)04/15/20351,500 1,455 
KKR 34X ECayman Islands12.43% (3M SOFR + 7.11%)07/15/2034600 602 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
KKR 44A DCayman Islands10.31% (3M SOFR + 5.00%)01/20/20363,800 3,857 
MDPK 2014-14A FRCayman Islands13.35% (3M SOFR + 8.03%)10/22/20301,000 854 
MDPK 2018-27A DCayman Islands10.58% (3M SOFR + 5.26%)04/20/2030650 637 
MDPK 2018-28A FCayman Islands13.18% (3M SOFR + 7.86%)07/15/2030500 478 
MDPK 2021-52A ECayman Islands12.08% (3M SOFR + 6.76%)01/22/20351,455 1,457 
MDPK 2022-55A ECayman Islands13.47% (3M SOFR + 8.17%)07/18/2035662 672 
OAKC 2022-12A DRBermuda10.32% (3M SOFR + 5.00%)07/20/20365,000 5,070 
OCT35 2018-1A DCayman Islands10.78% (3M SOFR + 5.46%)01/20/20311,500 1,398 
OCT70 2023-1A ECayman Islands12.03% (3M SOFR + 6.66%)10/20/20361,000 971 
OHALF 2015-1X ER3Cayman Islands12.22% (3M SOFR + 6.91%)01/19/2037860 863 
OHALF 2016-1A ERCayman Islands11.93% (3M SOFR + 6.61%)01/20/20334,000 4,012 
RRAM 2022-21A DBermuda12.96% (3M SOFR + 7.65%)07/15/20351,000 1,006 
VOYA 2019-4X ERCayman Islands12.29% (3M SOFR + 6.97%)01/15/2035500 485 
WOODS 2018-12BA ECayman Islands11.38% (3M SOFR + 6.05%)06/15/2031750 677 
TOTAL COLLATERALIZED LOAN OBLIGATIONS - DEBT (Cost $75,245)75,497 2.13 %
COLLATERALIZED LOAN OBLIGATIONS - EQUITY(d)(e)
AIMCO 2020-11A SUBCayman Islands23.86%10/17/20347,258 5,949 
AIMCO 2021-16A SUBCayman Islands16.70%01/17/20354,600 3,661 
AIMCO 2021-16X SUBCayman Islands16.70%01/17/20351,000 796 
AIMCO 2023-20A SUBJersey10/16/20361,500 1,379 
AIMCO 2024-22A SUBJersey04/19/2037700 651 (l)
ANCHC 2019-13X SUBCayman Islands17.81%04/15/2034750 440 
ANCHC 2020-15A SUBCayman Islands14.04%07/20/20341,250 888 
ANCHC 2021-20A SUBCayman Islands4.07%01/20/20353,500 1,915 
ANCHC 2021-20X SUBCayman Islands4.07%01/20/20351,150 629 
ANCHF 2015-1A SBR1Cayman Islands07/28/20374,860 3,319 
ANCHF 2015-2A SBRACayman Islands04/25/20384,550 2,622 
ANCHF 2016-3A SB1RCayman Islands01/28/20392,840 1,708 
ANCHF 2016-3A SUBRCayman Islands01/28/2039520 313 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
ANCHF 2016-4A SUBACayman Islands04/27/20394,830 2,859 
ANCHF 2018-5A SUB2Cayman Islands04/25/20364,900 3,010 
ANCHF 2018-6A SUB2Cayman Islands07/25/20361,800 798 
ANCHF 2019-7A SUB2Cayman Islands04/25/20371,420 734 
ANCHF 2019-8A SUBACayman Islands07/25/2037404 187 
ANCHF 2019-9A SUBCayman Islands10/25/2037680 430 
ANCHF 2019-9A SUBACayman Islands10/25/2037250 158 
ANCHF 2020-10A SUBACayman Islands04/25/20381,731 864 
ANCHF 2021-13A SUBCayman Islands07/27/2039640 402 
ATRM 15A SUBCayman Islands20.30%01/23/20314,080 2,080 
BARK 2021-1A SUBCayman Islands22.77%04/20/2034250 183 
BCC 2017-2A SUBCayman Islands16.63%07/25/20343,461 1,859 
BCC 2018-1A SUBCayman Islands5.57%04/23/20311,420 264 
BCC 2019-2A SUBCayman Islands21.16%10/17/2032810 367 
BCC 2020-1A SUBCayman Islands28.60%04/18/20331,250 727 
BCC 2020-2A SUBCayman Islands48.25%07/19/2034800 444 
BCC 2021-2A SUBCayman Islands14.72%07/16/20341,000 527 
BCC 2022-1A SUBCayman Islands19.54%04/18/20356,750 4,216 
CANYC 2019-1A SUBCayman Islands22.29%04/15/20322,798 1,304 
CEDF 2016-5A SUBCayman Islands19.13%07/17/20312,000 934 
CGMS 2018-3A SUBCayman Islands10/15/2030750 273 
CGMS 2018-4A SUBCayman Islands13.70%01/20/20312,310 1,033 
CGMS 2019-3A SUBCayman Islands14.85%04/20/20374,600 3,112 
CGMS 2021-2A SUBCayman Islands20.61%04/20/20345,460 3,660 
CGMS 2021-4A SUBCayman Islands21.38%04/20/2034750 550 
CGMS 2021-5A SUBCayman Islands21.80%07/20/2034500 323 
CGMS 2021-8A SUBACayman Islands19.97%10/15/20341,000 632 
CGMS 2023-5A SUBCayman Islands01/27/20363,080 2,754 
CIFC 2015-4A SUBCayman Islands14.84%04/20/20342,252 782 
CIFC 2019-1A SUBCayman Islands28.82%04/20/20321,500 865 
CIFC 2019-FAL SUBCayman Islands12.54%01/20/20333,050 1,932 
CIFC 2020-3A SUBCayman Islands16.44%10/20/20341,000 812 
CIFC 2021-2A SUBCayman Islands22.46%04/15/20343,080 2,295 
CIFC 2021-5A SUBCayman Islands21.53%07/15/20345,200 3,765 
CIFC 2021-7A SUBCayman Islands21.54%01/23/2035250 189 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
DAVIS 2022-1A M1Cayman Islands04/20/20357,250 104 
DAVIS 2022-1A M2Cayman Islands04/20/20357,250 205 
DAVIS 2022-1A SUBCayman Islands18.51%04/20/20357,250 5,649 
DRSLF 2018-58X SUBCayman Islands15.19%07/17/20313,125 1,231 
DRSLF 2020-78A SUBCayman Islands24.43%04/17/20337,225 4,138 
DRSLF 2021-95A SUBCayman Islands25.70%08/20/20341,500 891 
DRSLF 2022-108A SUBJersey26.13%07/18/2035875 627 
DRSLF 2022-98A SUBCayman Islands20.64%04/20/20354,000 2,768 
DRSLF 2022-98X SUBCayman Islands20.64%04/20/20351,000 692 
ELM11 2021-4A SUBCayman Islands19.87%10/20/20344,050 3,785 
ELM15 2022-2A INCCayman Islands20.29%04/22/20353,050 2,672 
ELM16 2022-3A SUBCayman Islands04/20/20343,575 2,510 
ELM17 2022-4A SUBCayman Islands20.32%07/17/20352,880 2,598 
ELM24 2023-3A SUBCayman Islands12/11/20331,555 1,393 
ELM26 2024-1A SUBCayman Islands04/18/2037800 701 
ELMW5 2020-2A SUBCayman Islands33.05%07/24/20312,500 2,503 
ELMW8 2021-1A SUBCayman Islands01/20/20342,003 1,425 
ELMW8 2021-1X SUBCayman Islands01/20/2034385 274 
GNRT 2022-10A SUBCayman Islands23.90%07/22/20356,500 5,242 
GNRT 9A SUBCayman Islands24.60%10/20/20341,000 781 
HRPK 2020-1A SUBCayman Islands15.95%04/20/20343,985 3,246 
ICG 2021-1A SUBCayman Islands12.76%04/17/20341,783 699 
ICG 2021-1X SUBCayman Islands11.96%04/17/2034600 235 
INVCO 2021-2A SUBCayman Islands17.16%07/15/2034440 264 
INVCO 2021-2A YCayman Islands29.00%07/15/203444 15 
INVCO 2021-3A SUBCayman Islands16.93%10/22/20342,700 1,574 
INVCO 2021-3A YCayman Islands11.00%10/22/2034270 76 
INVCO 2021-3X SUBCayman Islands16.93%10/22/2034957 558 
INVCO 2021-3X YCayman Islands71.00%10/22/203496 27 
KKR 2024-50A SUBCayman Islands04/20/20371,948 1,685 (l)
MAGNE 2020-28A SUBCayman Islands25.27%01/20/20355,250 4,247 
MAGNE 2024-38A SUB04/15/2037362 326 
MDPK 2016-22A SUBCayman Islands20.12%01/15/20337,400 3,947 
MDPK 2018-31A SUBCayman Islands23.20%01/23/20484,250 2,507 
MDPK 2018-32A SUBCayman Islands25.35%01/22/20481,250 689 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
MDPK 2019-34A SUBCayman Islands25.02%04/25/2032780 485 
MDPK 2019-37A SUBCayman Islands28.80%07/15/20497,500 5,464 
MDPK 2021-38A SUBCayman Islands18.43%07/17/20341,290 912 
MDPK 2021-50A SUBCayman Islands19.30%04/19/20342,500 1,920 
MDPK 2021-59A SUBCayman Islands17.49%01/18/20344,500 3,144 
MDPK 2021-59X SUBCayman Islands17.49%01/18/20341,500 1,048 
MDPK 2022-53A SUBCayman Islands19.59%04/21/20356,000 4,489 
MDPK 2022-55A SUBCayman Islands24.71%07/18/20353,025 2,725 
MDPK 2023-63A SUBCayman Islands13.61%04/21/20356,050 5,209 
MDPK 2024-67A SUBCayman Islands04/25/2037265 255 (l)
OAKC 2012-7A SUBCayman Islands16.73%02/20/2034500 273 
OAKC 2014-10RA SUBCayman Islands16.62%04/20/20344,658 2,140 
OAKC 2014-10RX SUBCayman Islands21.60%04/20/20341,000 459 
OAKC 2017-15A SUBCayman Islands01/20/20302,161 1,229 
OAKC 2021-16A SUBCayman Islands19.95%10/18/20344,575 3,688 
OAKCL 2019-2A SUBCayman Islands16.84%04/15/20313,860 1,618 
OAKCL 2019-3A SUBCayman Islands23.26%10/20/20346,229 3,621 
OCP 2023-30A SUBJersey01/24/20373,850 2,902 
OHALF 2013-1A SUBCayman Islands19.55%07/23/2031876 325 
OHALF 2016-1A SUBCayman Islands18.46%01/20/20338,800 5,967 
RESPK 2020-1A M2Cayman Islands10/15/20342,953 101 
RESPK 2020-1A SUBCayman Islands23.88%10/15/20342,953 1,659 
ROCKP 2021-1A M1Cayman Islands04/20/20341,000 
ROCKP 2021-1A M2Cayman Islands04/20/20341,000 17 
ROCKP 2021-1A SUBCayman Islands17.36%04/20/20341,000 687 
ROCKP 2021-1X M1Cayman Islands04/20/20341,100 
ROCKP 2021-1X M2Cayman Islands04/20/20341,100 19 
ROCKP 2021-1X SUBCayman Islands17.36%04/20/20341,100 755 
RRAM 2017-2A SUBCayman Islands11.67%10/15/2117500 319 
RRAM 2019-6A SUBCayman Islands13.07%04/15/20361,000 761 
RRAM 2020-8A SUBCayman Islands16.84%04/15/2120550 340 
RRAM 2021-14A SUBCayman Islands14.11%04/15/2121750 530 
RRAM 2021-17A SUBCayman Islands17.20%07/15/20341,000 685 
RRAM 2021-19X SUBCayman Islands15.93%10/15/20351,166 996 
RRAM 2023-25A SUBBermuda10/15/20377,560 6,326 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
RRAM 2023-26A SUBCayman Islands14.73%04/15/203814,483 11,456 
RRAMX 2022-7A SUBCayman Islands16.48%07/15/21222,175 1,540 
SPEAK 2018-5A SUBCayman Islands04/25/20372,500 715 
SPEAK 2020-8A SUBCayman Islands16.59%04/20/20336,350 3,338 
TPRK 2021-1A SUBCayman Islands20.35%04/15/20341,500 1,281 
WELF 2020-1A SUBCayman Islands21.13%04/15/20335,955 $2,564 
WLLMN 2021-1A M1Cayman Islands07/15/20342,550 31 
WLLMN 2021-1A M2Cayman Islands07/15/20342,550 69 
WLLMN 2021-1A SUBCayman Islands17.17%07/15/20342,550 1,822 
YCLO 2019-2Cayman Islands04/22/20374,000 3,127 
TOTAL COLLATERALIZED LOAN OBLIGATIONS - EQUITY (Cost $226,307)216,906 6.11 %
PRIVATE ASSET-BACKED INVESTMENTS (b)(c)(d)(e)
Automobiles and Components
HV Chimera LLC8.33% (3M SOFR + 2.80%)08/10/20264,062 4,032 
4,032 0.11 %
Consumer Discretionary Distribution and Retail
Tricolor Funding SPV 3 LLC12.94% (1M SOFR + 7.50%)08/06/20271,628 1,629 (h)(n)
1,629 0.05 %
Consumer Services
CFG Investments WH Limited11.44% (1M SOFR + 6.00%)02/17/20254,674 4,674 (h)
4,674 0.13 %
Financial Services
Adonis Financial Funding, LLC12/15/2026456 278 (j)
ASF Copper, L.P.9.93% (3M EURIBOR + 6.00%)08/16/2028137 148 
ASF Pollock, L.P.11.35% (3M SOFR + 6.00%)08/16/2028272 272 
ASF Pollock, L.P.9.93% (3M EURIBOR + 6.00%)08/16/202872 78 
ASF VII Wagner B L.P.United Kingdom11.35% (3M SOFR + 6.00%)08/16/2028217 217 
ASF VII Wagner B L.P.United Kingdom9.93% (3M EURIBOR + 6.00%)08/16/2028140 151 
ASF VII Wagner L.P.United Kingdom11.35% (3M SOFR + 6.00%)08/16/2028462 462 
ASF VII Wagner L.P.United Kingdom11.35% (3M EURIBOR + 6.00%)08/16/2028299 323 
DFC Global Facility Borrower III LLC12.93% (1M SOFR + 7.50%)04/14/2028CAD21,656 15,987 (h)(m)
Hg Saturn 2 SumoCo LimitedGuernsey12.56% (3M SOFR + 7.25%)01/19/202716,368 16,368 (g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Isthmus Capital LLC9.50% (3M LIBOR + 1.00%)06/13/20304,975 4,975 
Isthmus Capital LLC06/13/20231045 (d)
Sera 2021 LLC11.06% (3M SOFR + 5.75%)03/30/2026732 733 (h)
Sunbit Receivables Trust IV12.59% (3M SOFR + 7.25%)12/22/20262,048 2,038 (h)
42,075 1.19 %
Media and Entertainment
Orange Barrel Media, LLC/IKE Smart City, LLC03/04/2027— — (h)
Orange Barrel Media, LLC/IKE Smart City, LLC11.08% (1M SOFR + 5.75%)03/04/20274,7844,724
4,7240.0013
Real Estate Management and Development
Illinois Investment S.a.r.l.Luxembourg12/31/2024SEK5,025 470 (e)
Illinois Investment S.a.r.l.Luxembourg5.17%12/31/2026SEK31,362 2,858 (e)
Invesco Vaf V Investments, LLC11.50%07/10/20285,000 4,950 (g)
Pallas Funding Trust No.2Australia2.75%02/07/2027AUD6,808 4,414 (h)
Pallas Funding Trust No.2Australia7.85%02/07/2027AUD2,567 1,664 (h)
Pallas Funding Trust No.2Australia6.50%02/07/2027AUD4,715 3,057 (h)
17,413 0.49 %
TOTAL PRIVATE ASSET-BACKED INVESTMENTS (Cost $74,849)74,547 2.10 %
PREFERRED STOCK(b)(c)(d)(e)
Automobiles and Components
Automotive Keys Investor, LLC9.00%12/22/202037,749 20 (g)
Automotive Keys Investor, LLC15.00%01/01/202325,000 14 (g)
34 — %
Commercial and Professional Services
KBS Topco, LLC03/18/2024901,730 1,718 (f)(k)
Marmic Topco, L.P.8.00%03/05/202157,624 153 (g)
Visual Edge Technology, Inc.10.00%07/20/202313 114 (g)
Visual Edge Technology, Inc.07/20/202317 — (k)
1,985 0.06 %
Consumer Discretionary Distribution and Retail
GMP Hills, LP8.00%11/08/2023611,000 611 (g)
Metis Holdco, Inc.Class A7.00%05/04/20217,959 9,739 (g)
Monolith Brands Group, Inc.Series A04/14/2022192,811 1,760 (k)
12,110 0.34 %
Consumer Services



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Aragorn Parent Holdings LPSeries A10.00%10/15/202050,000 90 (g)
Family First Bidco LimitedUnited Kingdom12.50%12/01/202220,838 
OMERS Mahomes Investment Holdings LLC15.00%07/26/2023(g)
Redwood Services Holdco, LLCSeries D8.00%12/31/2020100,000 309 (g)
412 0.01 %
Financial Services
Aquarian Peninsula Holdings LLC14.09%12/29/202253,151,910 52,089 (g)
ASE Royal Aggregator, LLCClass A07/31/20231,646,000 1,773 (k)
Corient Holdings, Inc.Series A05/23/20239,627 10,922 (k)
The Ultimus Group, LLCClass A8.00%02/01/2019(g)
TVG-TMG Holdings, LLCSeries A03/31/202250 22 (k)
64,808 1.83 %
Food and Beverage
City Line Investments LLCClass A8.00%08/31/202330,038 35 (g)
Gotham Greens Holdings, PBCSeries E-16.00%06/29/202273,501 6,307 (g)
Gotham Greens Holdings, PBCSeries E-108/02/20233,278 — (f)(g)(k)
Watermill Express Holdings, LLCClass A8.00%04/20/20215,000 76 (g)
6,418 0.18 %
Health Care Equipment and Services
Evolent Health, Inc.Series A11.45% (3M SOFR + 6.00%)01/20/202364 73 (g)
Minerva Holdco, Inc.Series A10.75%02/15/202221,262 25,650 (g)
Olympia Acquisition, Inc.02/28/2022472 — (g)(k)
Olympia TopCo, L.P.07/28/20212,184 — (g)(k)
OMERS Wildcats Investment Holdings LLCClass A15.00%08/02/2023(g)
Symplr Software Intermediate Holdings, Inc.Series C-111.00%12/22/202050 61 (g)
Symplr Software Intermediate Holdings, Inc.Series C-211.00%06/18/20215,980 6,907 (g)
Symplr Software Intermediate Holdings, Inc.Series C-311.00%10/12/2021789 879 (g)
33,574 0.95 %
Insurance
High Street HoldCo LLCSeries A-110.00%01/01/20223,898,354 4,856 (g)
High Street HoldCo LLCSeries A-210.00%01/01/2022789,494 971 (g)
High Street HoldCo LLCSeries A-310.00%01/01/2022389,813 476 (g)
High Street HoldCo LLCSeries A-410.00%01/01/20221,480,301 1,747 (g)
High Street HoldCo LLCSeries A-510.00%01/01/2022347,693 407 (g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
High Street HoldCo LLCSeries A-610.00%01/01/2022660,617 786 (g)
High Street HoldCo LLCSeries A-710.00%01/01/2022938,771 1,099 (g)
High Street HoldCo LLCSeries A-810.00%11/01/2022409,637 438 (g)
High Street HoldCo LLCSeries A-910.00%11/08/202297,533 104 (g)
High Street HoldCo LLCSeries A-1010.00%12/12/2022253,585 268 (g)
High Street HoldCo LLCSeries A-1110.00%12/30/2022331,611 349 (g)
High Street HoldCo LLCSeries A-1210.00%02/01/2023702,235 732 (g)
High Street HoldCo LLCSeries A-1310.00%04/11/2023214,572 220 (g)
High Street HoldCo LLCSeries A-1410.00%07/10/2023136,546 137 (g)
High Street HoldCo LLCSeries A-1510.00%07/18/2023711,315 709 (g)
13,299 0.37 %
Materials
Novipax Parent Holding Company, L.L.C.Class A10.00%12/01/202050 12 (g)
Plaskolite PPC Blocker LLC15.00%10/31/2023— (g)
12 — %
Media and Entertainment
3 Step Holdings, LLCSeries D10/02/20233,038 50 (k)
CFC Funding LLC9.75%07/21/20234,270 4,478 (g)
League One Volleyball, Inc.Series B07/27/2023194 (k)
LiveBarn Inc.Canada08/17/2023648,925 2,429 (k)
PFL MMA, Inc.Series E04/26/20227,823 25 (k)
PRG III, LLCClass A11.05%10/06/20202,250 734 (g)
7,717 0.22 %
Pharmaceuticals, Biotechnology and Life Sciences
Cardinal Topco Holdings, L.P.Class A8.00%09/15/202083 260 (g)
Cobalt Holdings I, LP8.00%10/01/202150 (g)
Cobalt Intermediate I, Inc.Series A15.56% (3M SOFR + 10.00%)10/01/20218,582 12,006 (g)
12,273 0.35 %
Software and Services
Activate holdings (US) Corp.8.00%10/11/202350,000 64 (g)
Appriss Health Intermediate Holdings, Inc.Series A11.00%05/06/20213,657 4,730 (g)
Banyan Software, LP01/07/202216,323 1,488 (k)
Cority Parent, Inc.CanadaClass A-19.00%07/02/201950 234 (g)
DCert Preferred Holdings, Inc.Series A10.50%05/25/202122,284 25,891 (g)
Diligent Preferred Issuer, Inc.10.50%04/06/20211,476 1,854 (g)
EZ Elemica Holdings, Inc.09/18/201950 69 (k)
GSV PracticeTek Holdings, LLCClass A8.00%03/31/2021269,272 278 (g)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Insightful Science Holdings, LLC14.00%04/28/202162,340 2,236 (g)
Knockout Intermediate Holdings I Inc.11.75%06/22/20227,299 8,687 (g)
Magic Topco, L.P.Class A9.00%09/21/202058 126 (g)
Packers Software Intermediate Holdings, Inc.Series A11.00%11/12/202050 63 (g)
Packers Software Intermediate Holdings, Inc.Series A-211.00%12/23/202018 22 (g)
Packers Software Intermediate Holdings, Inc.Series A-311.00%11/24/202124 26 (g)
Peachtree Parent, Inc.Series A13.25%03/19/201925 49 (g)
Picard Holdco, Inc.Series A17.31% (3M SOFR + 12.00%)09/29/2022428 463 (g)
Project Essential Super Parent, Inc.14.96% (3M SOFR + 9.50%)04/20/20212,963 3,869 (g)
Sunshine Software Holdings, Inc.Series A10.50%10/15/202115,929 17,582 (g)
Titan DI Preferred Holdings, Inc.13.50%02/11/2020— 85(g)
67,816 1.91 %
Telecommunication Services
6DG TOPCO LIMITEDUnited Kingdom02/06/20241,371,829,990 — (k)
— 
Transportation
Neovia Logistics Holdings Ltd.Class B19.43%11/01/2022718 935(g)
935 0.03 %
Utilities
Ferrellgas, L.P.8.96%03/30/20218,734 8,821 
8,821 0.25 %
TOTAL PREFERRED STOCK (Cost $235,537)230,214 6.49 %
COMMON STOCK
Automobiles and Components
Automotive Keys Investor, LLCClass A11/06/202062,749 — (d)(k)
Clarience Technologies, LLC02/12/2024349 858 (k)
Highline PPC Blocker LLC11/04/2020500 64 (d)(k)
Sun TopCo, LPClass A09/08/20211,000 126 (d)(k)
Victory Topco, LPClass A-211/10/20232,510 321 (d)(k)
1,369 0.04 %
Capital Goods
Dynamic NC Investment Holdings, LP12/30/202050,000 54 (d)(k)
Kene Holdings, L.P.Class A08/08/201950,000 99(d)(k)
153 — %
Commercial and Professional Services



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Bedrock Parent Holdings, LPClass A04/22/2021644 59(d)(e)(k)
Capstone Parent Holdings, LPClass A11/12/202050 96(d)(e)(k)
Elliott Metron Co-Investor Aggregator L.P.10/05/20221,000,000 1,250(d)(e)(k)
IRI-NPD Co-Invest Aggregator, L.P.08/01/202231 37 (d)(e)(k)
KBS Topco, LLC03/18/2024901,730 — (d)(e)(k)
KKR Nest Co-Invest L.P.09/28/202150,000 54 (d)(e)(k)
Laboratories Topco LLC07/23/202133,333 (d)(e)(k)
Landscape Parallel Partners, L.P.12/16/202120 73 (d)(e)(k)
North American Fire Ultimate Holdings, LLC05/19/202168,175 279 (d)(e)(k)
PSP Registrar Co-Investment Fund, L.P.Class A08/26/202150,000 52 (d)(e)(k)
RC V Tecmo Investor LLC08/14/202050,000 83 (d)(e)(k)
SSE Parent, LP06/30/202025 — (d)(e)(k)
SSE Parent, LP06/30/202025 — (d)(e)(k)
UPBW Blocker, LLC03/13/20244,700 470 (d)(e)(k)
2,462 0.07 %
Consumer Discretionary Distribution and Retail
Arko Corp12/22/2020106 — (k)
Emerald Lake Pearl Acquisition-A, L.P.07/19/202143,500 53 (d)(e)(k)
Fastsigns Holdings Inc.03/13/201950 152 (d)(e)(k)
Marcone Yellowstone Holdings, LLCClass A06/23/202196 107 (d)(e)(k)
Metis Topco, LP05/04/202150 70 (d)(e)(k)
Stonecourt IV Partners LP10/08/20212,423,676 3,225 (d)(e)(k)
3,607 0.10 %
Consumer Durables and Apparel
Centric Brands L.P.10/09/202021,364 279 (d)(e)(k)
DRS Holdings I, Inc.11/01/201950 38 (d)(e)(k)
317 0.01 %
Consumer Services
Apex Service Partners Holdings, LLCSeries B10/24/202344,263 1,414 (d)(e)(k)
CMG Buyer Holdings, Inc.05/19/2022150 (d)(e)(k)
Family First Bidco LimitedUnited Kingdom12/01/2022176 — (d)(e)(k)
GS SEER Group Holdings LLCClass A04/28/202325 22 (d)(e)(k)
IHS Parent Holdings, L.P.Class A12/28/202225,000 33 (d)(e)(k)
LBC Breeze Holdings LLCClass A12/06/202150 21 (d)(e)(k)
Leviathan Holdings, L.P.12/27/202238,000 50 (d)(e)(k)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Northwinds Services Group LLC05/01/202360,684 87 (d)(e)(k)
OMERS Mahomes Investment Holdings LLCClass A11/16/202016 110 (d)(e)(k)
PestCo Holdings, LLCClass A01/26/202335 (d)(e)(k)
Vertex Service Partners Holdings, LLCClass B11/08/202333 58 (d)(e)(k)
ZBS Mechanical Group Co-Invest Fund 2, LLC10/07/202150,000 208 (d)(e)(k)
2,188 0.06 %
Consumer Staples Distribution and Retail
KCAKE Holdings Inc.05/14/202150 53 (d)(e)(k)
LJ Perimeter Co-Invest, L.P.Class A10/26/202250,052 39 (d)(e)(k)
REP WWP Coinvest IV, L.P.01/17/202325,000 22 (d)(e)(k)
Restaurant Produce and Services Blocker, LLCTranche B05/01/202350,000 48 (d)(e)(k)
ZB TopCo LLC02/09/202250 69 (e)(k)
231 0.01 %
Energy
Galileo Co-Investment Trust INew Zealand07/07/202250,000 37 (d)(e)(k)
SilverBow Resources, Inc.06/30/20225,936 203 (d)(k)
Summit Midstream Partners LP02/25/202227,500772(k)
1,012 0.03 %
Financial Services
BCC Blueprint Investments, LLC09/15/2021776,277 636 (d)(e)(k)
Constellation Wealth Capital Fund, L.P.8.00%01/19/2024270,155 270 (d)(e)(g)
CWC Fund I Co-Invest (AlTi) LP03/26/20243,276,000 3,276 (d)(e)(k)
CWC Fund I Co-Invest (Prism) LP03/27/20242,374,000 2,374 (d)(e)(k)
GTCR (D) Investors LP09/19/202337,037 39 (d)(e)(k)
Kelso XI Tailwind Co-Investment, L.P.09/11/202343,595 40 (d)(e)(k)
Mars Downstop Loan Purchaser Trust02/09/20249,696,876 9,697 (e)(k)
PCS Parent, L.P.03/01/202480,000 80 (d)(e)(k)
Sera 2021 LLCClass A03/30/2021166 (d)(e)(k)
The Ultimus Group Aggregator, LP02/01/2019— — (d)(e)(k)
The Ultimus Group Aggregator, LPClass B02/01/2019182 — (d)(e)(k)
The Ultimus Group, LLCClass B02/01/20191,609 (d)(e)(k)
TVG-TMG Holdings, LLC03/31/202250 — (d)(e)(k)
WAAM Topco, LLCClass A06/22/202341,556 60 (e)(k)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
16,639 0.47 %
Food and Beverage
PPC CHG Blocker LLC12/10/202165 (d)(e)(k)
65 — %
Health Care Equipment and Services
Air Methods Corporation12/28/20234,700 273 (e)(k)
Asclepius Holdings LLC02/28/2022448 — (d)(e)(k)
AVE Holdings LPClass C11/30/2023983 424 (d)(e)(k)
AVE Holdings LP03/01/2024402 174 (d)(e)(k)
BCPE Co-Invest (A), LPClass A02/15/202245,000 53 (d)(e)(k)
Crown CT HoldCo Inc.Class A03/08/202231 (d)(e)(k)
Crown CT Management LLC03/08/2022(d)(e)(k)
KOLN Co-Invest Unblocked, LPClass A03/29/202350 50 (d)(e)(k)
Network Investco BVNetherlands07/08/20221,073,830 1,854 (d)(e)(k)
NSPC Holdings, LLC02/13/20235,360 — (d)(e)(k)
Olympia TopCo, L.P.Class A09/24/201950,000 — (d)(e)(k)
OMERS Bluejay Investment Holdings LPClass A07/10/201825 37 (d)(e)(k)
OMERS Wildcats Investment Holdings LLCClass A10/31/2019216 115 (d)(e)(k)
SiroMed Equity Holdings, LLC03/26/20183,703 (d)(e)(k)
VPP Group Holdings, L.P.12/01/202150 74 (d)(e)(k)
VPP Group Holdings, L.P.Class A203/22/2023— — (d)(e)(k)
WSHP FC Holdings LLC07/01/2022368 37 (d)(e)(k)
3,136 0.09 %
Household and Personal Products
CDI Holdings I Corp.12/22/202150 35 (d)(e)(k)
RMCF V CIV XLIV, L.P.08/20/202150,004 14 (d)(e)(k)
Silk Holdings I Corp.05/01/202350 123 (d)(e)(k)
172 — %
Insurance
CFCo, LLCClass B09/11/20235,035,395 — (d)(e)(k)
High Street HoldCo LLCClass A10.00%04/16/202150,000 130 (d)(e)
High Street HoldCo LLCClass C10.00%04/16/2021563,740 1,463 (d)(e)
INSZ Holdings, LLC11/08/202231,139 31 (d)(e)(k)
INSZ Holdings, LLC11/30/20231,073,000 1,059 (d)(e)(k)
Maple Acquisition Holdings, LPClass A-211/01/202313,871 277 (d)(e)(k)
Rocket Co-Invest, SLPLuxembourg03/20/2024188,027 188 (d)(e)(k)
SageSure LLCSeries A02/18/2022140 (d)(e)(k)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
3,288 0.09 %
Materials
ASP-r-pac Holdings LPClass A12/29/2021500 27 (d)(e)(k)
KNPAK Holdings, LPClass A07/02/2019100,000 138 (d)(e)(k)
Meyer Parent, LLC02/29/202412,000 12 (d)(e)(k)
Novipax Parent Holding Company, L.L.C.Class C12/01/202050 — (d)(e)(k)
Plaskolite PPC Blocker LLC12/14/201810 — (d)(e)(k)
177 — %
Media and Entertainment
Eagle Football Holdings LimitedUnited Kingdom09/14/202314 91 (d)(e)(k)
Storm Investment S.a.r.l.Luxembourg06/24/2021590 27 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass A06/24/2021491,621 820 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass B06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass C06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass D06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass E06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass F06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass G06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass H06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.LuxembourgClass I06/24/2021491,621 821 (d)(e)(k)
Storm Investment S.a.r.l.Luxembourg04/01/202225,565 — (d)(e)(k)
7,506 0.21 %
Pharmaceuticals, Biotechnology and Life Sciences
Athyrium Buffalo LP/Partnership Interests06/17/20222,097,909 2,035 (d)(e)(k)
Athyrium Buffalo LP/Partnership InterestsClass B08/25/20231,032,980 1,002 (d)(e)(k)
Cobalt Holdings I, LPClass A10/01/2021500 73 (d)(e)(k)
WCI-BXC Investment Holdings, L.P.11/03/2023126,000 126 (d)(e)(k)
3,236 0.09 %
Real Estate Management and Development
Illinois Investment S.a.r.l.Luxembourg09/15/20214,081 25 (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass A09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass B09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass C09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass D09/15/20213,400,700 — (d)(e)(k)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
Illinois Investment S.a.r.l.LuxembourgClass E09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass F09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass G09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass H09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.LuxembourgClass I09/15/20213,400,700 — (d)(e)(k)
Illinois Investment S.a.r.l.Luxembourg05/26/2022106,292 — (d)(e)(k)
25 — %
Software and Services
APG Holdings, LLCClass A01/03/202050,000 45 (d)(e)(k)
Astorg VII Co-Invest ERTLuxembourg01/31/20201,208,500 1,929 (d)(e)(k)
Avaya Holdings Corp.11/15/20232,607 16(k)
Avaya Holdings Corp.10/26/202357,134 347(k)
Bobcat Topco, L.P.06/16/202356,770 57 (e)(k)
Consilio Investment Holdings, L.P.05/28/20215,038 92 (d)(e)(k)
Consilio Investment Holdings, L.P.Series A09/15/2022243 (d)(e)(k)
Cority Parent, Inc.CanadaClass B-107/02/201947,536 (d)(e)(k)
Denali Apexco LPClass A09/15/202150,000 63 (d)(e)(k)
Destiny Digital Holdings, L.P.05/27/20213,076 38 (d)(e)(k)
Elliott Alto Co-Investor Aggregator L.P.09/28/2022500,000 887 (d)(e)(k)
EQT IX Co-Investment (E) SCSP04/16/20215,000 73 (d)(e)(k)
H&F Unite Partners, L.P.05/01/201950,032 85 (d)(e)(k)
Insight PDI Holdings, LLCClass A03/19/201926,548 58 (d)(e)(k)
Magic Topco, L.P.Class B09/21/202012,975 — (d)(e)(k)
Magnesium Co- Invest SCSpLuxembourg05/06/202257 (d)(e)(k)
PS Co-Invest, L.P.03/05/202150,000 78 (d)(e)(k)
RMCF VI CIV XLVIII, L.P.06/08/202264,827 70 (d)(e)(k)
RMS Group Holdings, Inc.12/16/202147 (d)(e)(k)
Rocket Parent, LLCClass A12/17/201874,502 205 (d)(e)(k)
Skywalker TopCo, LLC11/20/202025,407 158 (d)(e)(k)
Sunshine Software Holdings, Inc.Class A-110/15/20215,000 62 (d)(e)(k)
4,373 0.12 %
Technology Hardware and Equipment



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
PerkinElmer Topco GP, L.L.C.01/21/2022365 50 (e)(k)
Repairify Holdings, LLCClass A06/14/20211,655 39 (d)(e)(k)
Wildcat Parent, LP02/27/2020535 186 (d)(e)(k)
275 0.01 %
Transportation
Neovia Acquisition, LLC11/01/202281 (e)(k)
Shur-Co HoldCo, Inc.06/30/2021500 115 (d)(e)(k)
196 0.01 %
Utilities
Apex Clean Energy TopCo, LLCClass A11/17/2021149,776 21,592 (d)(e)(k)
21,592 0.61 %
TOTAL COMMON STOCK (Cost $55,092)72,019 2.03 %
WARRANTS(d)(k)
Commercial and Professional Services
Priority Waste Super Holdings, LLC08/18/20234,230 201 (e)
Visual Edge Technology, Inc.03/22/201827,334 — (e)
201 0.01 %
Consumer Discretionary Distribution and Retail
Arko Corp12/22/202055 — 
— — %
Food and Beverage
Gotham Greens Holdings, PBC06/29/202231,842 — (e)(f)
— — %
Health Care Equipment and Services
Air Medical Buyer Corp03/14/2018122 (e)
Air Methods Corporation12/28/202313,942 145 (e)
Air Methods Corporation12/28/20236,604 43 (e)
CHPPR Holdings Inc.12/28/20237,625 443 (e)
CHPPR Holdings Inc.12/28/20233,054 178 (e)
GMR Buyer Corp.12/17/20211,927 29 (e)
Nomi Health, Inc.07/21/20232,174 14 (e)
854 0.02 %
Materials
Vobev Holdings, LLC04/20/20231,079 — (e)
Vobev Holdings, LLC11/06/202314,652 — (e)
— — %
Media and Entertainment
Eagle Football Holdings Limited12/09/2022113 (e)
Eagle Football Holdings Limited12/09/202237 (e)
PFL MMA, Inc.01/19/2021115,111 41 (e)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyCountry (a)InvestmentInterestMaturity DateAcquisition DateSharesPrincipal Amount (a)Fair Value (a)% of Net Assets
PFL MMA, Inc.11/23/20222,457 (e)
198 0.01 %
TOTAL WARRANTS(Cost $707)1,253 0.04 %
TOTAL INVESTMENTS (Cost $4,925,093)4,887,052 137.70 %
LIABILITIES IN EXCESS OF OTHER ASSETS(1,337,953)(37.70)%
NET ASSETS$3,549,097 100.00 %




CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
____________________________________________________

(a)Investment holdings in foreign currencies are converted to U.S. Dollars using period end spot rates. Investments are in United States enterprises and all principal balances shown are in U.S. Dollars unless otherwise noted.

(b)Variable rate loans bear interest at a rate that may be determined by reference to the Secured Overnight Financing Rate (“SOFR”), London Interbank Offered Rate (“LIBOR”), or an alternate base rate such as the Bank Bill Swap Bid Rate (“BBSY”), Bank Bill Benchmark Rate (“BKBM”), Canadian Dollar Offered Rate (“CDOR”), Copenhagen Interbank Offered Rate (“CIBOR”), Euro Interbank Offered Rate (“EURIBOR”), Norwegian Interbank Offered Rate (“NIBOR”), Prime Rate (“PRIME”), Sterling Overnight Index Average (“SONIA”), Stockholm Interbank Offered Rate (“STIBOR”) or Warsaw Interbank Offered Rate (“WIBOR”), at the borrower’s option. SOFR based contracts may include a credit spread adjustment that is charged in addition to the base rate and the stated spread. Stated interest rates in this schedule represents the “all-in” rate as of March 31, 2024.

(c)Variable rate coupon rate shown as of March 31, 2024.

(d)These investments, which as of March 31, 2024 represented 135.82% of the Fund's net assets or 98.64% of the Fund's total assets, may be subject to legal restrictions on sales. Acquisition dates are included above for equity securities that may be subject to legal restrictions on sales.

(e)Investments whose values were determined using significant unobservable inputs (Level 3) (See Note 3 to the consolidated financial statements).

(f)These assets are held at CADEX Credit Financing, LLC, a wholly owned special purpose financing vehicle, and are pledged as collateral for a secured revolving credit facility.

(g)Includes a payment-in-kind provision.

(h)As of March 31, 2024, the Fund had the following commitments to fund various revolving and delayed draw senior secured and subordinated loans. Such commitments are subject to the satisfaction of certain conditions set forth in the documents governing these loans and there can be no assurance that such conditions will be satisfied.
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
22 HoldCo LimitedSubordinated Delay Draw Term Loan$1,545 $— $1,545 
3 Step Sports LLC1st Lien Revolving Loan124 (31)93 
3 Step Sports LLC1st Lien Delay Draw Term Loan1,498 — 1,498 
Accession Risk Management Group, Inc.1st Lien Revolving Loan77 — 77 
Accession Risk Management Group, Inc.1st Lien Delay Draw Term Loan553 — 553 
Activate holdings (US) Corp.1st Lien Revolving Loan579 — 579 
AffiniPay Midco, LLC1st Lien Revolving Loan1,517 — 1,517 
AIM Acquisition, LLC1st Lien Revolving Loan457 (46)411 
Airx Climate Solutions, Inc.1st Lien Revolving Loan148 (26)122 
Airx Climate Solutions, Inc.1st Lien Delay Draw Term Loan534 — 534 
Alcami Corporation1st Lien Revolving Loan27 — 27 
American Residential Services L.L.C.1st Lien Revolving Loan(1)— 
AmeriVet Partners Management, Inc.Subordinated Delay Draw Term Loan867 — 867 
Anaplan, Inc.1st Lien Revolving Loan381 — 381 
Anaqua Parent Holdings, Inc.1st Lien Revolving Loan231 — 231 
Antenore Bidco SpA1st Lien Delay Draw Term Loan1,079 — 1,079 
Apex Service Partners, LLC1st Lien Revolving Loan2,131 (810)1,321 
Apex Service Partners, LLC1st Lien Delay Draw Term Loan2,579 — 2,579 
APG Intermediate Holdings Corporation1st Lien Revolving Loan— 
Applied Technical Services, LLC1st Lien Revolving Loan910 (130)780 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
Applied Technical Services, LLC1st Lien Delay Draw Term Loan417 — 417 
Aptean, Inc.1st Lien Revolving Loan280 — 280 
Aptean, Inc.1st Lien Delay Draw Term Loan391 — 391 
AQ Sage Buyer, LLC1st Lien Revolving Loan50 — 50 
AQ Sage Buyer, LLC1st Lien Delay Draw Term Loan278 — 278 
AQ Sunshine, Inc.1st Lien Revolving Loan1,163 — 1,163 
AQ Sunshine, Inc.1st Lien Delay Draw Term Loan529 — 529 
Ardonagh Finco B.V. and Ardonagh Finco LLC1st Lien Delay Draw Term Loan5,393 — 5,393 
Ardonagh Finco Pty Limited1st Lien Delay Draw Term Loan996 — 996 
Argenbright Holdings V, LLC1st Lien Delay Draw Term Loan178 — 178 
Artivion, Inc.1st Lien Revolving Loan336 (168)168 
Artivion, Inc.1st Lien Delay Draw Term Loan1,199 — 1,199 
ASPIRE BIDCO LIMITED1st Lien Delay Draw Term Loan1,633 — 1,633 
Aspris Bidco Limited1st Lien Delay Draw Term Loan399 — 399 
ASP-r-pac Acquisition Co LLC1st Lien Revolving Loan840 (143)697 
athenahealth Group Inc.1st Lien Revolving Loan2,100 — 2,100 
Avalign Technologies, Inc.1st Lien Revolving Loan249 — 249 
Bamboo Health Holdings, LLC1st Lien Revolving Loan212 (21)191 
Bamboo Purchaser, Inc.1st Lien Revolving Loan(1)— 
Bamboo US BidCo LLC1st Lien Revolving Loan1,413 — 1,413 
Bamboo US BidCo LLC1st Lien Delay Draw Term Loan363 — 363 
Banyan Software Holdings, LLC1st Lien Revolving Loan(1)
Banyan Software Holdings, LLC1st Lien Delay Draw Term Loan2,189 — 2,189 
Beacon Pointe Harmony, LLC1st Lien Revolving Loan909 — 909 
Beacon Pointe Harmony, LLC1st Lien Delay Draw Term Loan987 — 987 
Beacon Wellness Brands, Inc.1st Lien Revolving Loan410 — 410 
Berner Food & Beverage, LLC1st Lien Revolving Loan262 (183)79 
BlueHalo Global Holdings, LLC (f/k/a Aegis Global Holdings, LLC)1st Lien Revolving Loan759 — 759 
Bobcat Purchaser, LLC1st Lien Revolving Loan306 — 306 
Bottomline Technologies, Inc. and Legal Spend Holdings, LLC1st Lien Revolving Loan1,811 — 1,811 
BR PJK Produce, LLC1st Lien Delay Draw Term Loan371 — 371 
BradyIFS Holdings, LLC1st Lien Revolving Loan1,783 — 1,783 
BradyIFS Holdings, LLC1st Lien Delay Draw Term Loan1,517 — 1,517 
Broadcast Music, Inc.1st Lien Revolving Loan500 — 500 
Brokers Alliance S.L.1st Lien Delay Draw Term Loan3,213 — 3,213 
Businessolver.com, Inc.1st Lien Delay Draw Term Loan470 — 470 
Capstone Acquisition Holdings, Inc.1st Lien Revolving Loan1,150 — 1,150 
Captive Resources Midco, LLC1st Lien Revolving Loan102 — 102 
Cardinal Parent, Inc.1st Lien Revolving Loan— 
CC Globe Holding II A/S1st Lien Delay Draw Term Loan548 — 548 
CFG Investments WH Limited1st Lien Revolving Loan5,000 (4,674)326 
Chariot Buyer LLC1st Lien Revolving Loan100 — 100 
Cheyenne Petroleum Company Limited Partnership, CPC 2001 LLC and Mill Shoals LLC1st Lien Delay Draw Term Loan1,168 — 1,168 
City Line Distributors LLC1st Lien Revolving Loan— 
Clarion Home Services Group, LLC1st Lien Revolving Loan416 (62)354 
Clarion Home Services Group, LLC1st Lien Delay Draw Term Loan261 — 261 
Cliffwater LLC1st Lien Revolving Loan58 — 58 
Cloud Software Group, Inc.1st Lien Revolving Loan2,574 — 2,574 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
CMG HoldCo, LLC1st Lien Revolving Loan318 — 318 
CMG HoldCo, LLC1st Lien Delay Draw Term Loan2,603 — 2,603 
Cobalt Buyer Sub, Inc.1st Lien Revolving Loan894 (456)438 
Collision SP Subco, LLC1st Lien Revolving Loan74 (11)63 
Collision SP Subco, LLC1st Lien Delay Draw Term Loan412 — 412 
Compex Legal Services, Inc.1st Lien Revolving Loan900 (180)720 
Confirmasoft AB1st Lien Delay Draw Term Loan559 — 559 
Conscia Nederland B.V.1st Lien Delay Draw Term Loan4,865 — 4,865 
Consilio Midco Limited1st Lien Revolving Loan123 (89)34 
Consilio Midco Limited1st Lien Delay Draw Term Loan77 — 77 
Continental Acquisition Holdings, Inc.1st Lien Revolving Loan(1)— 
Continental Cafe, LLC1st Lien Revolving Loan786 (393)393 
Convera International Holdings Limited1st Lien Revolving Loan1,777 — 1,777 
Cority Software Inc.1st Lien Revolving Loan231 — 231 
Cornerstone OnDemand, Inc.1st Lien Revolving Loan100 (3)97 
Coupa Holdings, LLC1st Lien Revolving Loan— 
Coupa Holdings, LLC1st Lien Delay Draw Term Loan20 — 20 
CPIG Holdco Inc.1st Lien Revolving Loan(1)
Crown CT Parent Inc.1st Lien Revolving Loan904 (181)723 
CST Holding Company1st Lien Revolving Loan79 (8)71 
Cube Industrials Buyer, Inc. & Cube A&D Buyer Inc.1st Lien Revolving Loan339 — 339 
CVP Holdco, Inc.1st Lien Revolving Loan3,005 — 3,005 
CVP Holdco, Inc.1st Lien Delay Draw Term Loan931 — 931 
DecoPac, Inc.1st Lien Revolving Loan2,383 (715)1,668 
Demakes Borrower, LLC1st Lien Delay Draw Term Loan270 — 270 
Denali Holdco LLC1st Lien Revolving Loan592 — 592 
Denali Holdco LLC1st Lien Delay Draw Term Loan456 — 456 
DFC Global Facility Borrower III LLC1st Lien Revolving Loan18,874 (15,994)2,880 
Diligent Corporation1st Lien Revolving Loan513 (226)287 
DOXA Insurance Holdings LLC1st Lien Revolving Loan200 — 200 
DOXA Insurance Holdings LLC1st Lien Delay Draw Term Loan701 — 701 
Draken Bidco Limited1st Lien Delay Draw Term Loan1,440 — 1,440 
DRS Holdings III, Inc.1st Lien Revolving Loan173 — 173 
DS Admiral Bidco, LLC1st Lien Revolving Loan358 — 358 
Dye & Durham Corporation1st Lien Revolving Loan1,226 — 1,226 
Dynamic NC Aerospace Holdings, LLC1st Lien Revolving Loan1,296 (691)605 
ECG Bidco S.A.S.1st Lien Delay Draw Term Loan5,767 — 5,767 
Echo Purchaser, Inc.1st Lien Revolving Loan213 — 213 
Echo Purchaser, Inc.1st Lien Delay Draw Term Loan335 — 335 
Edmunds GovTech, Inc.1st Lien Revolving Loan64 (32)32 
Edmunds GovTech, Inc.1st Lien Delay Draw Term Loan386 — 386 
Elevation Services Parent Holdings, LLC1st Lien Revolving Loan631 (101)530 
Empower Payments Investor, LLC1st Lien Revolving Loan60 — 60 
Empower Payments Investor, LLC1st Lien Delay Draw Term Loan68 — 68 
Enverus Holdings, Inc.1st Lien Revolving Loan744 — 744 
Enverus Holdings, Inc.1st Lien Delay Draw Term Loan438 — 438 
Envisage Dental UK Limited1st Lien Delay Draw Term Loan5,426 — 5,426 
Enviva Inc.1st Lien Delay Draw Term Loan5,460 — 5,460 
Enviva Inc.1st Lien Revolving Loan5,087 (5,074)13 
EPS NASS Parent, Inc.1st Lien Revolving Loan158 (135)23 
Erasmus Acquisition Holding B.V.1st Lien Delay Draw Term Loan1,041 — 1,041 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
ESHA Research, LLC1st Lien Revolving Loan76 (65)11 
Essential Services Holding Corporation1st Lien Revolving Loan1,560 (624)936 
Eternal Aus Bidco Pty Ltd1st Lien Delay Draw Term Loan230 — 230 
Evolent Health LLC1st Lien Revolving Loan(1)
Excel Fitness Holdings, Inc.1st Lien Delay Draw Term Loan380 — 380 
ExtraHop Networks, Inc.1st Lien Revolving Loan252 — 252 
ExtraHop Networks, Inc.1st Lien Delay Draw Term Loan1,002 — 1,002 
Finastra USA, Inc.1st Lien Revolving Loan2,178 — 2,178 
FL Hawk Intermediate Holdings, Inc.1st Lien Revolving Loan1,312 — 1,312 
Flint Opco, LLC1st Lien Revolving Loan— 
Flint Opco, LLC1st Lien Delay Draw Term Loan103 — 103 
Flywheel Acquireco, Inc.1st Lien Revolving Loan1,665 (1,110)555 
Foundation Consumer Brands, LLC1st Lien Revolving Loan389 — 389 
Foundation Risk Partners, Corp.1st Lien Revolving Loan2,627 — 2,627 
Foundation Risk Partners, Corp.1st Lien Delay Draw Term Loan1,709 — 1,709 
Galway Borrower LLC1st Lien Revolving Loan1,143 (185)958 
Galway Borrower LLC1st Lien Delay Draw Term Loan1,346 — 1,346 
GC Waves Holdings, Inc.1st Lien Revolving Loan173 — 173 
GC Waves Holdings, Inc.1st Lien Delay Draw Term Loan2,329 — 2,329 
Gestion ABS Bidco Inc./ABS Bidco Holdings Inc.1st Lien Revolving Loan73 — 73 
Gestion ABS Bidco Inc./ABS Bidco Holdings Inc.1st Lien Delay Draw Term Loan238 — 238 
Gilfoyle Bidco AB1st Lien Delay Draw Term Loan849 — 849 
Global Music Rights, LLC1st Lien Revolving Loan473 — 473 
GNZ Energy Bidco Limited1st Lien Delay Draw Term Loan1,172 — 1,172 
Gotham Greens Holdings, PBC1st Lien Delay Draw Term Loan5,245 — 5,245 
GS SEER Group Borrower LLC1st Lien Revolving Loan37 — 37 
GS SEER Group Borrower LLC1st Lien Delay Draw Term Loan78 — 78 
GTCR F Buyer Corp.1st Lien Revolving Loan45 — 45 
GTCR F Buyer Corp.1st Lien Delay Draw Term Loan145 — 145 
Guidepoint Security Holdings, LLC1st Lien Revolving Loan200 — 200 
Guidepoint Security Holdings, LLC1st Lien Delay Draw Term Loan295 — 295 
Hakken Bidco B.V.1st Lien Delay Draw Term Loan934 — 934 
Hamsard 3713 Limited1st Lien Delay Draw Term Loan4,281 — 4,281 
Heavy Construction Systems Specialists, LLC1st Lien Revolving Loan410 — 410 
Helios Service Partners, LLC & Astra Service Partners, LLC1st Lien Revolving Loan(1)— 
Helios Service Partners, LLC & Astra Service Partners, LLC1st Lien Delay Draw Term Loan726 — 726 
HH-Stella, Inc.1st Lien Revolving Loan444 — 444 
HH-Stella, Inc.1st Lien Delay Draw Term Loan464 — 464 
Higginbotham Insurance Agency, Inc.1st Lien Delay Draw Term Loan630 — 630 
High Street Buyer, Inc.1st Lien Revolving Loan688 — 688 
High Street Buyer, Inc.1st Lien Delay Draw Term Loan6,974 — 6,974 
Highline Aftermarket Acquisition, LLC1st Lien Revolving Loan— 
Hills Distribution, Inc.1st Lien Revolving Loan(1)— 
Hills Distribution, Inc.1st Lien Delay Draw Term Loan314 — 314 
HP RSS Buyer, Inc.1st Lien Delay Draw Term Loan1,262 — 1,262 
Hyland Software, Inc.1st Lien Revolving Loan594 — 594 
Icefall Parent, Inc.1st Lien Revolving Loan154 — 154 
Infinity Home Services HoldCo, Inc.1st Lien Revolving Loan456 (80)376 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
Infinity Home Services HoldCo, Inc.1st Lien Delay Draw Term Loan1,009 — 1,009 
Inszone Mid, LLC1st Lien Revolving Loan122 — 122 
Inszone Mid, LLC1st Lien Delay Draw Term Loan1,711 — 1,711 
IQN Holding Corp.1st Lien Revolving Loan628 — 628 
IQN Holding Corp.1st Lien Delay Draw Term Loan704 — 704 
IRI Group Holdings, Inc.1st Lien Revolving Loan1,305 (731)574 
Ivanti Software, Inc.1st Lien Revolving Loan460 (37)423 
Jewel Bidco Limited1st Lien Delay Draw Term Loan443 — 443 
JMG Group Investments Limited1st Lien Delay Draw Term Loan6,789 — 6,789 
Kaseya Inc.1st Lien Revolving Loan2,372 (598)1,774 
Kaseya Inc.1st Lien Delay Draw Term Loan2,221 — 2,221 
Kellermeyer Bergensons Services, LLC1st Lien Delay Draw Term Loan190 — 190 
Kene Acquisition, Inc.1st Lien Revolving Loan265 — 265 
Kene Acquisition, Inc.1st Lien Delay Draw Term Loan796 — 796 
Keystone Agency Partners LLC1st Lien Revolving Loan20 — 20 
Keystone Agency Partners LLC1st Lien Delay Draw Term Loan1,429 — 1,429 
Kings Buyer, LLC1st Lien Revolving Loan117 (12)105 
Laboratories Bidco LLC1st Lien Revolving Loan1,574 (1,155)419 
Lavatio Midco Sarl1st Lien Delay Draw Term Loan398 — 398 
LeanTaaS Holdings, Inc.1st Lien Delay Draw Term Loan3,625 — 3,625 
Leviathan Intermediate Holdco, LLC1st Lien Revolving Loan13 — 13 
LGDN Bidco Limited1st Lien Delay Draw Term Loan272 — 272 
Lightbeam Bidco, Inc.1st Lien Revolving Loan— 
Lightbeam Bidco, Inc.1st Lien Delay Draw Term Loan365 — 365 
LJ Perimeter Buyer, Inc.1st Lien Delay Draw Term Loan512 — 512 
LJo Finco AB1st Lien Revolving Loan2,196 — 2,196 
LJo Finco AB1st Lien Delay Draw Term Loan4,813 — 4,813 
Lowe P27 Bidco Limited1st Lien Delay Draw Term Loan512 — 512 
Majesco1st Lien Revolving Loan624 — 624 
Marmic Purchaser, LLC1st Lien Revolving Loan287 (29)258 
Marmic Purchaser, LLC1st Lien Delay Draw Term Loan956 — 956 
Mavis Tire Express Services Topco, Corp.1st Lien Revolving Loan(1)— 
Mercury Borrower, Inc.1st Lien Revolving Loan470 — 470 
Meyer Laboratory, LLC1st Lien Revolving Loan190 — 190 
Meyer Laboratory, LLC1st Lien Delay Draw Term Loan224 — 224 
Micromeritics Instrument Corp.1st Lien Revolving Loan331 — 331 
Mimecast Borrowerco, Inc.1st Lien Delay Draw Term Loan3,105 — 3,105 
Monica Holdco (US), Inc.1st Lien Revolving Loan1,009 (1,002)
Mr. Greens Intermediate, LLC1st Lien Revolving Loan114 — 114 
Mr. Greens Intermediate, LLC1st Lien Delay Draw Term Loan967 — 967 
MRI Software LLC1st Lien Revolving Loan541 — 541 
MRI Software LLC1st Lien Delay Draw Term Loan325 — 325 
MWG BidCo ApS1st Lien Delay Draw Term Loan288 — 288 
Nelipak Holding Company1st Lien Revolving Loan535 (97)438 
Nelipak Holding Company1st Lien Delay Draw Term Loan1,170 — 1,170 
Neptune BidCo US Inc.1st Lien Revolving Loan2,988 — 2,988 
Network Bidco B.V.1st Lien Delay Draw Term Loan1,459 — 1,459 
New Churchill Holdco LLC1st Lien Revolving Loan151 — 151 
New Churchill Holdco LLC1st Lien Delay Draw Term Loan1,781 — 1,781 
Next Holdco, LLC1st Lien Revolving Loan37 — 37 
Next Holdco, LLC1st Lien Delay Draw Term Loan255 — 255 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
NMC Skincare Intermediate Holdings II, LLC1st Lien Revolving Loan465 (112)353 
North American Fire Holdings, LLC1st Lien Revolving Loan411 (257)154 
North American Science Associates, LLC1st Lien Revolving Loan2,500 (2,083)417 
North Haven Fairway Buyer, LLC1st Lien Revolving Loan13 (3)10 
North Haven Fairway Buyer, LLC1st Lien Delay Draw Term Loan23 — 23 
North Haven Stack Buyer, LLC1st Lien Revolving Loan260 (52)208 
North Haven Stack Buyer, LLC1st Lien Delay Draw Term Loan278 — 278 
Northwinds Holding, Inc.1st Lien Revolving Loan885 (221)664 
Northwinds Holding, Inc.1st Lien Delay Draw Term Loan1,021 — 1,021 
Oakbridge Insurance Agency LLC1st Lien Revolving Loan113 — 113 
Oakbridge Insurance Agency LLC1st Lien Delay Draw Term Loan626 — 626 
Odevo AB1st Lien Delay Draw Term Loan1,020 — 1,020 
Olympia Acquisition, Inc.1st Lien Delay Draw Term Loan54 — 54 
OMH-HealthEdge Holdings, LLC1st Lien Revolving Loan878 — 878 
Orange Barrel Media, LLC/IKE Smart City, LLC1st Lien Revolving Loan2,080 — 2,080 
Orange Barrel Media, LLC/IKE Smart City, LLC1st Lien Delay Draw Term Loan3,536 — 3,536 
Osmosis Buyer Limited1st Lien Delay Draw Term Loan259 — 259 
Pallas Funding Trust No.21st Lien Delay Draw Term Loan1,637 — 1,637 
Panther NewCo1st Lien Delay Draw Term Loan1,283 — 1,283 
Paragon 28, Inc.1st Lien Revolving Loan(1)
Paragon 28, Inc.1st Lien Delay Draw Term Loan1,217 — 1,217 
Pathstone Family Office LLC1st Lien Revolving Loan190 (66)124 
Pathstone Family Office LLC1st Lien Delay Draw Term Loan258 — 258 
Patriot Growth Insurance Services, LLC1st Lien Revolving Loan250 — 250 
PCIA SPV-3, LLC1st Lien Revolving Loan321 — 321 
PCIA SPV-3, LLC1st Lien Delay Draw Term Loan682 — 682 
PCS Midco, Inc.1st Lien Revolving Loan75 (4)71 
PCS Midco, Inc.1st Lien Delay Draw Term Loan306 — 306 
PDDS Holdco, Inc.1st Lien Revolving Loan58 (17)41 
PDDS Holdco, Inc.1st Lien Delay Draw Term Loan48 — 48 
PDI TA Holdings, Inc.1st Lien Revolving Loan185 — 185 
PDI TA Holdings, Inc.1st Lien Delay Draw Term Loan696 — 696 
People Corporation1st Lien Revolving Loan663 — 663 
People Corporation1st Lien Delay Draw Term Loan934 — 934 
Perigon Wealth Management, LLC1st Lien Revolving Loan250 — 250 
Perigon Wealth Management, LLC1st Lien Delay Draw Term Loan1,750 — 1,750 
PestCo, LLC1st Lien Revolving Loan— 
PestCo, LLC1st Lien Delay Draw Term Loan74 — 74 
PracticeTek Purchaser, LLC1st Lien Revolving Loan(1)
PracticeTek Purchaser, LLC1st Lien Delay Draw Term Loan2,363 — 2,363 
Precision Concepts International LLC1st Lien Revolving Loan312 — 312 
Premier Specialties, Inc.1st Lien Revolving Loan386 (58)328 
Premise Health Holding Corp.1st Lien Revolving Loan387 — 387 
Prime Buyer, L.L.C.1st Lien Revolving Loan3,985 — 3,985 
Prime Dental Alliance B.V.1st Lien Delay Draw Term Loan1,129 — 1,129 
Priority Waste Holdings LLC1st Lien Revolving Loan(1)
Priority Waste Holdings LLC1st Lien Delay Draw Term Loan45 — 45 
ProfitSolv Purchaser, Inc.1st Lien Revolving Loan608 — 608 
ProFund S.a r.l.1st Lien Delay Draw Term Loan389 — 389 
Project Essential Bidco, Inc.1st Lien Revolving Loan121 — 121 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
Project Hammond Bidco Limited1st Lien Delay Draw Term Loan6,498 — 6,498 
Proofpoint, Inc.1st Lien Revolving Loan240 — 240 
PSC Group LLC1st Lien Revolving Loan2,106 (253)1,853 
Pushpay USA Inc.1st Lien Revolving Loan18 — 18 
PX HoldCo3 Limited1st Lien Delay Draw Term Loan418 — 418 
Pye-Barker Fire & Safety, LLC1st Lien Delay Draw Term Loan2,576 — 2,576 
QF Holdings, Inc.1st Lien Revolving Loan318 (159)159 
Radius Aerospace, Inc.1st Lien Revolving Loan428 (71)357 
Raptor Technologies, LLC (Sycamore Bidco Ltd)1st Lien Revolving Loan498 — 498 
Rawlings Sporting Goods Company, Inc.1st Lien Revolving Loan(2)— 
RB Holdings Interco, LLC1st Lien Revolving Loan698 (535)163 
Reddy Ice LLC1st Lien Revolving Loan955 (67)888 
Reddy Ice LLC1st Lien Delay Draw Term Loan151 — 151 
Redwood Services, LLC1st Lien Revolving Loan194 — 194 
Redwood Services, LLC1st Lien Delay Draw Term Loan381 — 381 
Registrar Intermediate, LLC1st Lien Revolving Loan764 (89)675 
Relativity ODA LLC1st Lien Revolving Loan— 
Repairify, Inc.1st Lien Revolving Loan766 (689)77 
Revalize, Inc.1st Lien Revolving Loan227 (57)170 
RMS Holdco II, LLC1st Lien Revolving Loan883 — 883 
Rodeo AcquisitionCo LLC1st Lien Revolving Loan311 (225)86 
RSK Group Limited1st Lien Delay Draw Term Loan655 — 655 
Rubicone Bidco Limited1st Lien Delay Draw Term Loan701 — 701 
SageSure Holdings, LLC1st Lien Delay Draw Term Loan2,596 — 2,596 
Saldon Holdings, Inc.1st Lien Revolving Loan470 — 470 
Saldon Holdings, Inc.1st Lien Delay Draw Term Loan235 — 235 
Schill Landscaping and Lawn Care Services, LLC1st Lien Revolving Loan720 — 720 
Schill Landscaping and Lawn Care Services, LLC1st Lien Delay Draw Term Loan742 — 742 
SCM Insurance Services Inc.1st Lien Revolving Loan— 
Sera 2021 LLC1st Lien Delay Draw Term Loan390 — 390 
Service Logic Acquisition, Inc.1st Lien Revolving Loan1,007 — 1,007 
Seventeen Group Limited1st Lien Delay Draw Term Loan505 — 505 
Shermco Intermediate Holdings, Inc.1st Lien Revolving Loan1,000 (550)450 
Shermco Intermediate Holdings, Inc.1st Lien Delay Draw Term Loan245 — 245 
Sigma Electric Manufacturing Corporation1st Lien Revolving Loan— 
Smarsh Inc.1st Lien Revolving Loan227 (91)136 
Smarsh Inc.1st Lien Delay Draw Term Loan445 — 445 
Solar Bidco Limited1st Lien Delay Draw Term Loan3,102 — 3,102 
Spitfire Bidco Limited1st Lien Delay Draw Term Loan3,124 — 3,124 
SSE Buyer, Inc.1st Lien Revolving Loan(1)— 
Steward Partners Global Advisory, LLC1st Lien Delay Draw Term Loan559 — 559 
Sun Acquirer Corp.1st Lien Revolving Loan1,059 — 1,059 
Sun Acquirer Corp.1st Lien Delay Draw Term Loan1,237 — 1,237 
Sunbit Receivables Trust IV1st Lien Revolving Loan5,000 (2,048)2,952 
Sundance Group Holdings, Inc.1st Lien Revolving Loan(1)
Symbol Bidco I Limited1st Lien Delay Draw Term Loan690 — 690 
Symplr Software Inc.1st Lien Revolving Loan(1)— 
Systems Planning and Analysis, Inc.1st Lien Revolving Loan1,004 — 1,004 
Tandarts Today Holding B.V.1st Lien Delay Draw Term Loan2,385 — 2,385 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
TCP Hawker Intermediate LLC1st Lien Revolving Loan595 — 595 
TCP Hawker Intermediate LLC1st Lien Delay Draw Term Loan836 — 836 
The Mather Group, LLC1st Lien Revolving Loan750 (300)450 
The Mather Group, LLC1st Lien Delay Draw Term Loan571 — 571 
The Ultimus Group Midco, LLC1st Lien Revolving Loan537 — 537 
The Ultimus Group Midco, LLC1st Lien Delay Draw Term Loan448 — 448 
Thermostat Purchaser III, Inc.1st Lien Revolving Loan100 — 100 
Trader Corporation1st Lien Revolving Loan13 — 13 
Tricolor Funding SPV 3 LLC1st Lien Revolving Loan796 (733)63 
Truck-Lite Co., LLC and Ecco Holdings Corp.1st Lien Revolving Loan1,332 (44)1,288 
Truck-Lite Co., LLC and Ecco Holdings Corp.1st Lien Delay Draw Term Loan1,229 — 1,229 
TSS Buyer, LLC1st Lien Delay Draw Term Loan155 — 155 
Two Six Labs, LLC1st Lien Revolving Loan2,561 — 2,561 
United Digestive MSO Parent, LLC1st Lien Revolving Loan130 (36)94 
United Digestive MSO Parent, LLC1st Lien Delay Draw Term Loan834 — 834 
UP Intermediate II LLC1st Lien Revolving Loan326 — 326 
US Salt Investors, LLC1st Lien Revolving Loan679 — 679 
Verista, Inc.1st Lien Revolving Loan2,000 (167)1,833 
Vertex Service Partners, LLC1st Lien Revolving Loan210 — 210 
Vertex Service Partners, LLC1st Lien Delay Draw Term Loan1,087 — 1,087 
Visual Edge Technology, Inc.1st Lien Delay Draw Term Loan50 — 50 
Vobev, LLC1st Lien Revolving Loan(1)— 
VPP Intermediate Holdings, LLC1st Lien Revolving Loan315 — 315 
VPP Intermediate Holdings, LLC1st Lien Delay Draw Term Loan2,020 — 2,020 
VRC Companies, LLC1st Lien Revolving Loan1,342 — 1,342 
Waste Services Finco Pty Ltd1st Lien Delay Draw Term Loan349 — 349 
Watermill Express, LLC1st Lien Revolving Loan379 (91)288 
Watermill Express, LLC1st Lien Delay Draw Term Loan181 — 181 
Waverly Advisors, LLC1st Lien Revolving Loan375 — 375 
Waverly Advisors, LLC1st Lien Delay Draw Term Loan3,213 — 3,213 
WCI-BXC Purchaser, LLC1st Lien Revolving Loan34 — 34 
Wealth Enhancement Group, LLC1st Lien Revolving Loan972 — 972 
Wealth Enhancement Group, LLC1st Lien Delay Draw Term Loan689 — 689 
WebPT, Inc.1st Lien Revolving Loan216 (113)103 
Wellness AcquisitionCo, Inc.1st Lien Revolving Loan504 — 504 
Wellness AcquisitionCo, Inc.1st Lien Delay Draw Term Loan517 — 517 
Wildcat BuyerCo, Inc.1st Lien Revolving Loan255 — 255 
Wildcat BuyerCo, Inc.1st Lien Delay Draw Term Loan330 — 330 
Witherslack Bidco Limited1st Lien Delay Draw Term Loan520 — 520 
WorkWave Intermediate II, LLC1st Lien Revolving Loan460 — 460 
WorkWave Intermediate II, LLC1st Lien Delay Draw Term Loan461 — 461 
World Insurance Associates, LLC1st Lien Revolving Loan60 — 60 
World Insurance Associates, LLC1st Lien Delay Draw Term Loan2,572 — 2,572 
Worldwide Produce Acquisition, LLC1st Lien Revolving Loan21 — 21 
Worldwide Produce Acquisition, LLC1st Lien Delay Draw Term Loan33 — 33 
WSBidCo Limited1st Lien Delay Draw Term Loan364 — 364 
WSHP FC Acquisition LLC1st Lien Revolving Loan2,945 (2,757)188 
YE Brands Holdings, LLC1st Lien Revolving Loan297 (172)125 
YE Brands Holdings, LLC1st Lien Delay Draw Term Loan354 — 354 
ZB Holdco LLC1st Lien Revolving Loan637 (229)408 



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
CompanyInvestment TypeTotal revolving and delayed draw loan commitmentsLess: funded commitmentsTotal unfunded commitments
ZB Holdco LLC1st Lien Delay Draw Term Loan490 — 490 
$349,932 $(48,675)$301,258 
____________________________________________________

(i)This loan or a portion of this loan represents an unsettled loan purchase. The interest rate will be determined at the time of settlement and will be based upon a spread plus the applicable reference rate determined at the time of purchase.

(j)Loan or bond was on non-accrual status as of March 31, 2024.

(k)Non-income producing security as of March 31, 2024.

(l)When-Issued or delayed delivery security based on typical market settlement convention for such security.

(m)The Fund sold a participating interest of CAD $7,579 in aggregate principal amount outstanding of the portfolio company’s first lien senior secured revolver. As the transaction did not qualify as a “true sale” in accordance with U.S. generally accepted accounting principles (“GAAP”), the Fund recorded a corresponding secured borrowing of $5,598 at fair value, included in “accrued expenses and other payables” in the consolidated statement of assets and liabilities. As of March 31, 2024, the interest rate in effect for the secured borrowing was 12.93%.

(n)The Fund sold a participating interest of $795 in aggregate principal amount outstanding of the portfolio company’s first lien senior secured revolver. As the transaction did not qualify as a “true sale” in accordance with GAAP, the Fund recorded a corresponding secured borrowing of $795 at fair value, included in “accrued expenses and other payables” in the consolidated statement of assets and liabilities. As of March 31, 2024, the interest rate in effect for the secured borrowing was 12.94%.

    As of March 31, 2024, the aggregate cost of securities for federal income tax purposes was $4,928,243. Unrealized appreciation and depreciation on investments for federal income tax purposes are as follows:

Gross unrealized appreciation$87,774 
Gross unrealized depreciation(128,965)
Net unrealized depreciation$(41,191)







CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
Forward currency contracts as of March 31, 2024 were as follows:
DescriptionNotional Amount to be PurchasedNotional Amount to be SoldCounterpartySettlement DateUnrealized AppreciationUnrealized Depreciation
 Foreign currency forward contract  $ 164,859 £152,664 Goldman SachsApril 26, 2024$1,772 $— 
 Foreign currency forward contract  $ 130,029 SEK103,008 Goldman SachsApril 26, 20241,188 — 
 Foreign currency forward contract  $ 31,227 CAD333,933 Goldman SachsApril 18, 2024917 — 
 Foreign currency forward contract  $ 18,634 25,235 Goldman SachsApril 26, 2024— (1)
 Foreign currency forward contract  $ 11,543 NZD19,321 Goldman SachsApril 26, 2024285 — 
 Foreign currency forward contract  $ 10,975 AUD16,831 Goldman SachsApril 26, 2024145 — 
 Foreign currency forward contract  $ 10,372 CAD14,045 Goldman SachsApril 26, 202446 — 
 Foreign currency forward contract  $ 10,052 PLN15,405 Goldman SachsApril 26, 202482 — 
 Foreign currency forward contract  $ 8,396 £57,973 Goldman SachsAugust 21, 2026113 — 
 Foreign currency forward contract  $ 4,266 NOK3,371 Goldman SachsApril 26, 2024— (95)
 Foreign currency forward contract  $ 3,760 AUD15,023 Goldman SachsMay 17, 2024— (32)
Foreign currency forward contract$728 DKK7,895 Goldman SachsApril 29, 202428 — 
Total$4,576 $(128)











CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
Purchased options outstanding as of March 31, 2024 were as follows:

Options on Equity Indices — Buy Protection

DescriptionExercise PriceExpiration DateCounterpartyNotional AmountPremiumFair Value
Call-United States Oil Fund LP-USO US $102 04/19/2024Citigroup Global Markets Inc.$7,873 $40 $
Call-Chicago Board Options Exchange-VIX US $30 05/22/2024Citigroup Global Markets Inc.$748 22 20 
Put-SPDR S&P 500 ETF Trust-SPY US$330 06/21/2024Citigroup Global Markets Inc.$52,307 166 20 
Total Purchased Options on Equity Indices$228 $48 

Written options outstanding as of March 31, 2024 were as follows:

Options on Equity Indices — Sell Protection

DescriptionExercise PriceExpiration DateCounterpartyNotional AmountPremiumFair Value
Call-Chicago Board Options Exchange-VIX US$40 05/22/2024Citigroup Global Markets Inc.$748 $(12)$(13)
Put-SPDR S&P 500 ETF Trust-SPY US$300 06/21/2024Citigroup Global Markets Inc.$52,307 (107)(14)
Total Written Options$(119)$(27)

Swap Agreements outstanding as of March 31, 2024 were as follows:

Swap Agreements: Centrally Cleared or Exchange Traded

Credit Default Swaps on Credit Indices - Buy Protection (1)
DescriptionPayment FrequencyFixed Deal Pay RateExpiration DateExchangeNotional Amount (2)Value (3)Upfront Premiums Paid (Received)Unrealized Appreciation (Depreciation)
CDX HY S41 5YQ5.00%12/20/2028ICE$10,395 $(785)$(618)$(167)
Total Swap Agreements - Buy Protection: Centrally Cleared or Exchange Traded$(785)$(618)$(167)

Swap Agreements: Over the Counter

Credit Default Swaps on Credit Indices - Buy Protection (1)

DescriptionPayment FrequencyFixed Deal Pay RateExpiration DateCounterpartyNotional Amount (2)Value (3)Upfront Premiums Paid (Received)Unrealized Appreciation (Depreciation)
CDX HY S39 Tranche 15-25Q5.00%12/20/2027Goldman Sachs$3,568 $(266)$(171)$(95)
CMBX.NA.BBB- S9M3.00%09/17/2058Goldman Sachs$1,030 152 246 (94)
Total Swap Agreements - Buy Protection: Over the Counter
$(114)$75 $(189)



CION Ares Diversified Credit Fund
Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except shares, percentages and as otherwise noted)
Credit Default Swaps on Credit Indices - Sell Protection (4)
DescriptionPayment FrequencyFixed Deal Pay RateExpiration DateExchangeNotional Amount (2)Value (3)Upfront Premiums Paid (Received)Unrealized Appreciation (Depreciation)
SRT CDS Tranche 95.12-99.23M5.25%09/30/2031Goldman Sachs$(15,419)72 — 72 
Total Swap Agreements - Sell Protection: Over the Counter$72 $— $72 

____________________________________________________

(1)If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

(2)The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

(3)The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the expected amount paid or received for the credit derivative had the notional amount of the swap agreement been closed/sold as of year-end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.

(4)If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

Abbreviations:
144A Certain conditions for public sale may exist. Unless otherwise noted, these securities are deemed to be liquid.
CLO Collateralized Loan Obligation

Currencies:
€ Euro Currency
£ British Pounds
$ U.S. Dollars
AUD Australian Dollars
CAD Canadian Dollars
DKK Danish Krone
GBP British Pounds
NOK Norwegian Krone
NZD New Zealand Dollars
PLN Polish Zloty
SEK Swedish Krone
USD U.S. Dollars


CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)
1.     ORGANIZATION

CION Ares Diversified Credit Fund (the “Fund”) is a closed-end, diversified management investment company that is registered under the Investment Company Act of 1940, as amended (together with the rules and regulations promulgated thereunder, the “Investment Company Act”). The Fund operates as an interval fund and continuously offers its shares. The Fund was organized as a Delaware statutory trust on June 21, 2016.

The Funds investment objective is to provide superior risk-adjusted returns across various market cycles by investing in a diversified portfolio of liquid and illiquid asset classes. The Fund seeks to capitalize on market inefficiencies and relative value opportunities throughout the entire global credit spectrum.

The Fund is externally managed by CION Ares Management, LLC (the “Adviser”) pursuant to an investment advisory and management agreement. The Adviser was registered as an investment adviser with the U.S. Securities and Exchange Commission under the Investment Advisers Act of 1940, as amended, on January 4, 2017. The Adviser is a joint venture between affiliates of Ares Management Corporation (“Ares Management”), a publicly traded, leading global alternative investment manager, and CION Investment Group, LLC and is controlled by Ares Management. The Adviser oversees the management of the Fund’s activities and is responsible for making investment decisions for the Fund’s portfolio. Ares Operations LLC, a subsidiary of Ares Management, provides certain administrative and other services necessary for the Fund to operate.

2.     SIGNIFICANT ACCOUNTING POLICIES

Basis of Presentation

The accompanying consolidated schedule of investments has been prepared on the accrual basis of accounting in conformity with U.S. generally accepted accounting principles (“GAAP”), and includes the accounts of the Fund and its consolidated subsidiaries. The Fund is an investment company following accounting and reporting guidance in Accounting Standards Codification (“ASC”) Topic 946, Financial Services—Investment Companies.

Cash and Cash Equivalents

Cash and cash equivalents include funds from time to time deposited with financial institutions and short-term, liquid investments in a money market account. Cash and cash equivalents are carried at cost, which approximates fair value.

Concentration of Credit Risk

The Fund places its cash and cash equivalents with financial institutions and, at times, cash held in depository or money market accounts may exceed the Federal Deposit Insurance Corporation insured limit.

Investment Transactions

Investment transactions are recorded on the trade date. Realized gains or losses are measured by the difference between the net proceeds from the repayment or sale and the amortized cost basis of the investment using the specific identification method without regard to unrealized gains or losses previously recognized, and include investments charged off during the period, net of recoveries. Unrealized gains or losses primarily reflect the change in investment values, including the reversal of previously recorded unrealized gains or losses when gains or losses are realized.

Pursuant to Rule 2a-5 under the Investment Company Act, the Fund’s board of trustees (the “Board”) designated the Adviser as the Fund’s “valuation designee” (the “Valuation Designee”) to perform fair value determinations for investments held by the Fund without readily available market quotations subject to the oversight of the Board. All investments are recorded at their fair value.

Investments for which market quotations are readily available are typically valued at such market quotations. In order to validate market quotations, the Valuation Designee looks at a number of factors to determine if the quotations are representative of fair value, including the source and nature of the quotations. Debt and equity securities that are not publicly traded or whose market prices are not readily available are valued at fair value as determined in good faith by the Valuation


CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments (continued)
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)
Designee, subject to the oversight of the Board, in accordance with the Valuation Designee’s valuation policy. The Valuation Designee may utilize independent third-party pricing and valuation services to assist in the valuation of each portfolio investment without a readily available market quotation in accordance with the valuation policy and a consistently applied valuation process.

Investments in the Fund’s portfolio that do not have a readily available market are valued at fair value as determined in good faith by the Valuation Designee as described herein. As part of the valuation process for investments that do not have readily available market prices, the Valuation Designee may take into account the following types of factors, if relevant, in determining the fair value of the Fund's investments: the enterprise value of a portfolio company (the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time), the nature and realizable value of any collateral, the portfolio company's ability to make payments and its earnings and discounted cash flow, the markets in which the portfolio company does business, a comparison of the portfolio company's securities to any similar publicly traded securities, changes in the interest rate environment and the credit markets, which may affect the price at which similar investments would trade in their principal markets and other relevant factors. When an external event such as a purchase transaction, public offering or subsequent sale occurs, the Valuation Designee considers the pricing indicated by the external event to corroborate its valuation.

Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Fund's investments may fluctuate from period to period. Additionally, the fair value of the Fund's investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Fund may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Fund was required to liquidate a portfolio investment in a forced or liquidation sale, the Fund could realize significantly less than the value at which the Fund has recorded it. In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned. See Note 3 for further information on the Fund's valuation process.

Interest Income Recognition

Interest income is recorded on an accrual basis and includes the accretion of discounts, amortization of premiums and payment-in-kind (“PIK”) interest. Discounts from and premiums to par value on investments purchased are accreted/amortized into interest income over the life of the respective security using the effective yield method. To the extent loans contain PIK provisions, PIK interest, computed at the contractual rate specified in each applicable agreement, is accrued and recorded as interest income and added to the principal balance of the loan. PIK interest income added to the principal balance is generally collected upon repayment of the outstanding principal. To maintain the Fund’s tax treatment as a regulated investment company under the Internal Revenue Code of 1986, as amended, this non-cash source of income must be paid out to shareholders in the form of dividends for the year the income was earned, even though the Fund has not yet collected the cash. The amortized cost of investments represents the original cost adjusted for any accretion of discounts, amortization of premiums and PIK interest.

Loans are generally placed on non-accrual status when principal or interest payments are past due 30 days or more or when there is reasonable doubt that principal or interest will be collected in full. Accrued and unpaid interest is generally reversed when a loan is placed on non-accrual status. Interest payments received on non-accrual loans may be recognized as income or applied to principal depending upon the Fund’s judgment regarding collectability. Non-accrual loans are restored to accrual status when past due principal and interest are paid or there is no longer any reasonable doubt that such principal or interest will be collected in full and, in the Fund's judgment, are likely to remain current. The Fund may make exceptions to this policy if the loan has sufficient collateral value (i.e., typically measured as enterprise value of the portfolio company) or is in the process of collection.

Collateralized loan obligation (“CLO”) equity investments recognize investment income by utilizing an effective interest methodology based upon an effective yield to maturity utilizing projected cash flows, as required by ASC 325-40, Beneficial Interest in Securitized Financial Assets.

Dividend Income Recognition 



CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments (continued)
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)
Dividend income on preferred equity is recorded on an accrual basis to the extent that such amounts are payable by the portfolio company and are expected to be collected. Dividend income on common equity securities is recorded on the record date for private portfolio companies or on the ex-dividend date for publicly traded portfolio companies. To the extent preferred equity contains PIK provisions, PIK dividends, computed at the contractual rate specified in each applicable agreement, are accrued and recorded as dividend income and added to the principal balance of the preferred equity. PIK dividends added to the principal balance are generally collected upon redemption of the equity.

Foreign Currency Transactions and Foreign Currency Forward Contracts

The Fund’s books and records are maintained in U.S. dollars. Any foreign currency amounts are translated into U.S. dollars on the following basis: (i) fair value of investment securities, other assets and liabilities at the exchange rates prevailing at the end of the period; and (ii) purchases and sales of investment securities, income and expense at the exchange rates prevailing on the respective dates of such transactions, income or expenses.

Reported net realized foreign exchange gains or losses arise from sales of foreign currencies, currency gains or losses realized between the trade and settlement dates of securities transactions, and the difference between the amounts of income and expense items recorded on the Fund's books and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign currency gains and losses arise from the changes in fair values of assets and liabilities, other than investments in securities at period end, resulting from changes in exchange rates.

Investments in foreign companies and securities of foreign governments may involve special risks and considerations not typically associated with investing in U.S. companies and securities of the U.S. government. These risks include, among other things, revaluation of currencies, less reliable information about issuers, different transaction clearance and settlement practices, and potential future adverse political and economic developments. Moreover, investments in foreign companies and securities of foreign governments and their markets may be less liquid and their prices more volatile than those of comparable U.S. companies and the U.S. government.

The Fund may enter into foreign currency forward contracts for operational purposes and to protect against adverse exchange rate fluctuations. A foreign currency forward contract is an agreement between the Fund and a counterparty to buy or sell a foreign currency at a specific exchange rate on a future date. The Fund may also enter into these contracts for purposes of increasing exposure to a foreign currency or to shift exposure to foreign currency fluctuations from one currency to another. The net U.S. dollar value of foreign currency underlying all contractual commitments held by the Fund and the resulting unrealized appreciation or depreciation are determined using foreign currency exchange rates from an independent pricing service. The Fund is subject to the credit risk that the other party will not complete the obligations of the contract. The fair values of the foreign currency forward contracts are obtained from an independent pricing source.

Derivative Instruments

The Fund values its derivatives at fair value with the unrealized gains or losses recorded in “net realized and unrealized gains or losses on derivative contracts” in the Funds consolidated statement of operations.

Commitments and Contingencies

In the normal course of business, the Fund's investment activities involve executions, settlement and financing of various transactions resulting in receivables from, and payables to, brokers, dealers and the Fund's custodian. These activities may expose the Fund to risk in the event that such parties are unable to fulfill contractual obligations. Management does not anticipate any material losses from counterparties with whom it conducts business. Consistent with standard business practice, the Fund enters into contracts that contain a variety of indemnifications, and is engaged from time to time in various legal actions. The maximum exposure of the Fund under these arrangements and activities is unknown. However, the Fund expects
the risk of material loss to be remote.

Commitments to extend credit include loan proceeds the Fund is obligated to advance, such as delayed draws or revolving credit arrangements. Commitments generally have fixed expiration dates or other termination clauses. Unrealized gains or losses associated with unfunded commitments are recorded in the consolidated financial statements and reflected as an adjustment to the fair value of the related security in the consolidated schedule of investments. The par amount of the unfunded commitments is not recognized by the Fund until it becomes funded.



CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments (continued)
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)
Use of Estimates in the Preparation of the Consolidated Financial Statements

The preparation of the consolidated financial statements in conformity with GAAP requires the Adviser to make estimates and assumptions that affect the reported amounts of actual and contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of income or loss and expenses during the reporting period. Actual results could differ from those estimates and such differences may be actual and contingent. Significant estimates include the valuation of investments.

3.     FAIR VALUE OF FINANCIAL INSTRUMENTS

    The Fund follows ASC 825-10, Recognition and Measurement of Financial Assets and Financial Liabilities (“ASC 825-10”), which provides companies the option to report selected financial assets and liabilities at fair value. ASC 825-10 also establishes presentation and disclosure requirements designed to facilitate comparisons between companies that choose different measurement attributes for similar types of assets and liabilities and to more easily understand the effect of the company’s choice to use fair value on its earnings. ASC 825-10 also requires entities to display the fair value of the selected assets and liabilities on the face of the balance sheet. The Fund has not elected the ASC 825-10 option to report selected financial assets and liabilities at fair value. With the exception of the line items entitled “other assets”, “mandatory redeemable preferred shares” and “debt,” which are reported at amortized cost, the carrying value of all other assets and liabilities approximate fair value.

The Fund also follows ASC 820-10, Fair Value Measurements and Disclosures (“ASC 820-10”), which among other matters, requires enhanced disclosures about investments that are measured and reported at fair value. ASC 820-10 defines fair value, establishes a framework for measuring fair value in accordance with GAAP and expands disclosure of fair value measurements. ASC 820-10 determines fair value to be the price that would be received for an investment in a current sale, which assumes an orderly transaction between market participants on the measurement date. ASC 820-10 requires the Fund to assume that the portfolio investment is sold in its principal market to market participants or, in the absence of a principal market, the most advantageous market, which may be a hypothetical market. Market participants are defined as buyers and sellers in the principal or most advantageous market that are independent, knowledgeable, and willing and able to transact. In accordance with ASC 820-10, the Fund has considered its principal market as the market in which the Fund exits its portfolio investments with the greatest volume and level of activity. ASC 820-10 specifies a hierarchy of valuation techniques based on whether the inputs to those valuation techniques are observable or unobservable. In accordance with ASC 820-10, these inputs are summarized in the three broad levels listed below:

Level 1—Valuations based on quoted prices in active markets for identical assets or liabilities that the Fund has the ability to access.

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

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

    In addition to using the above inputs in investment valuations, the Valuation Designee continues to employ the net asset valuation policy and procedures that have been reviewed by the Fund's Board in connection with their designation of the Adviser as the Fund’s valuation designee and are consistent with the provisions of Rule 2a-5 under the Investment Company Act and ASC 820-10 (see Note 2 for further information). Consistent with its valuation policies and procedures, the Valuation Designee evaluates the source of inputs, including any markets in which the Fund’s investments are trading (or any markets in which securities with similar attributes are trading), in determining fair value. Because there is not a readily available market value for most of the investments in the Fund's portfolio, the fair value of the investments must typically be determined using unobservable inputs.

The assets and liabilities classified as Level 1 or Level 2 are typically valued based on quoted market prices, forward foreign exchange rates, dealer quotations or alternative pricing sources supported by observable inputs. The Valuation Designee obtains prices from independent pricing services which generally utilize broker quotes and may use various other pricing techniques which take into account appropriate factors such as yield, quality, coupon rate, maturity, type of issue, trading characteristics and other data. The Valuation Designee is responsible for all inputs and assumptions related to the pricing of securities. The Valuation Designee has internal controls in place that support its reliance on information received from third-party pricing sources. As part of its internal controls, the Valuation Designee obtains, reviews, and tests information


CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments (continued)
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)
to corroborate prices received from third-party pricing sources. For any security, if market or dealer quotations are not readily available, or if the Valuation Designee determines that a quotation of a security does not represent a fair value, then the security is valued at a fair value as determined in good faith by the Valuation Designee, subject to the oversight of the Board and will be classified as Level 3. In such instances, the Valuation Designee will use valuation techniques consistent with the market or income approach to measure fair value and will give consideration to all factors which might reasonably affect the fair value.

The Fund's portfolio investments classified as Level 3 (other than as described below in the following paragraph) are typically valued using two different valuation techniques. The first valuation technique is an analysis of the enterprise value (“EV”) of the portfolio company. EV means the entire value of the portfolio company to a market participant, including the sum of the values of debt and equity securities used to capitalize the enterprise at a point in time. The primary method for determining EV uses a multiple analysis whereby appropriate multiples are applied to the portfolio company's EBITDA (generally defined as net income before net interest expense, income tax expense, depreciation and amortization). EBITDA multiples are typically determined based upon review of market comparable transactions and publicly traded comparable companies, if any. The Valuation Designee may also employ other valuation multiples to determine EV, such as revenues. The Valuation Designee may also use industry specific valuation analyses to determine enterprise value, such as capitalization rate analysis used in the real estate industry. The second method for determining EV uses a discounted cash flow analysis whereby future expected cash flows of the portfolio company are discounted to determine a present value using estimated discount rates (typically a weighted average cost of capital based on costs of debt and equity consistent with current market conditions). The EV analysis is performed to determine the value of equity investments, the value of debt investments in portfolio companies where the Fund has control or could gain control through an option or warrant security, and to determine if there is credit impairment for debt investments. If debt investments are credit impaired, an EV analysis may be used to value such debt investments; however, in addition to the methods outlined above, other methods such as a liquidation or wind down analysis may be utilized to estimate EV. The second valuation technique is a yield analysis, which is typically performed for non-credit impaired debt investments in portfolio companies where the Fund does not own a controlling equity position. To determine fair value using a yield analysis, a current price is imputed for the investment based upon an assessment of the expected market yield for a similarly structured investment with a similar level of risk. In the yield analysis, the Valuation Designee considers the current contractual interest rate, the maturity and other terms of the investment relative to risk of the company and the specific investment. A key determinant of risk, among other things, is the leverage through the investment relative to the EV of the portfolio company. As debt investments held by the Fund are substantially illiquid with no active transaction market, the Valuation Designee depends on primary market data, including newly funded transactions, as well as secondary market data with respect to high yield debt instruments and syndicated loans, as inputs in determining the appropriate market yield, as applicable.

The fair value of CLOs is estimated based on various valuation models from third-party pricing services. The provided prices are checked using internally developed models. The valuation models generally utilize discounted cash flows and take into consideration prepayment and loss assumptions, based on historical experience and projected performance, economic factors, the characteristics and condition of the underlying collateral, comparable yields for similar securities and recent trading activity. These securities are classified as Level 3.

Private asset-backed securities classified as Level 3 are typically valued using two different valuation techniques. The first valuation technique is an analysis of the forecasted cash flows of the security. The forecasted cash flows take into consideration prepayment and loss assumptions, based on historical experience and projected performance, economic factors, and the characteristics and condition of the underlying collateral. For equity securities, the projected cash flows are present valued using a market discount rate to determine the fair value. For debt securities, the analysis is used to determine if the borrower has the ability to repay its obligations. If it is determined that the borrower does have the ability to repay its obligations, the second valuation technique that is utilized is a yield analysis. To determine fair value using a yield analysis, a current price is imputed for the investment based upon an assessment of the expected market yield for a similarly structured investment with a similar level of risk. In the yield analysis, the Valuation Designee considers the current contractual interest rate, the maturity and other terms of the investment relative to risk of the borrower and the specific investment. As the debt investments are substantially illiquid with no active transaction market, the Valuation Designee depends on primary market data, including newly funded transactions, as inputs in determining the appropriate market yield, as applicable.



CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments (continued)
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)
    The following table is a summary of the inputs used as of March 31, 2024, in valuing the Funds investments carried at fair value:    
Level 1 - Quoted PricesLevel 2 - Other Significant
Observable Inputs
Level 3 - Significant Unobservable InputsTotal
Senior Loans$— $1,346,163 $2,464,190 $3,810,353 
Subordinated Loans— — 54,886 54,886 
Corporate Bonds— 289,726 50,351 340,077 
Collateralized Loan Obligations— — 303,703 303,703 
Private Asset-Backed Investments— — 74,547 74,547 
Preferred Stock— — 230,214 230,214 
Common Stock975 364 70,680 72,019 
Warrants— — 1,253 1,253 
Total Investments$975 $1,636,253 $3,249,824 $4,887,052 
Derivative Assets:
Forward Currency Contracts$— $4,576 $— $4,576 
Purchased Equity Options$48 $— $— $48 
Credit Default Swaps$— $224 $— $224 
Derivative Liabilities:
Foreign Currency Forward Contracts$— $(128)$— $(128)
Written Equity Options$(27)$— $— $(27)
Credit Default Swaps$— $(1,050)$— $(1,050)

    The following table summarizes the significant unobservable inputs the Valuation Designee used to value the majority of the Fund’s investments categorized within Level 3 as of March 31, 2024. The table is not intended to be all-inclusive, but instead to capture the significant unobservable inputs relevant to the determination of fair values.

Asset CategoryFair ValuePrimary Valuation TechniquesInputsEstimated Range
Weighted Average(a)
Senior Loans$2,401,890 Yield AnalysisMarket Yield6.1% - 31.2%10.5%
Senior Loans62,300 Broker QuotesN/AN/AN/A
Subordinated Loans54,886 Yield AnalysisMarket Yield13.1% - 19.2%11.6%
Corporate Bonds32,493 Yield AnalysisMarket Yield10.6% - 17.7%15.3%
Corporate Bonds17,858 Broker QuotesN/AN/AN/A
Collateralized Loan Obligations303,703 Broker QuotesN/AN/AN/A
Private Asset-Backed Investments58,741 Income (Other)Constant Default Rate,
Constant Prepayment Rate,
Recovery Rate,
Collection Rate
2.5% - 49.0%
0.0% - 44.0%
0.0% - 65.0%
60.0% - 93.0%
36.7%
40.3%
25.6%
90.8%
Private Asset-Backed Investments15,806 Recent TransactionN/AN/AN/A
Preferred Stock230,214 EV Market Multiple AnalysisEBITDA Multiple1.0x - 35.3x 16.9x
Common Stock70,680 EV Market Multiple AnalysisEBITDA Multiple2.2x - 34.6x 12.1x
Warrants1,253 EV Market Multiple AnalysisEBITDA Multiple3.2x - 24.4x 6.7x
Total Level 3 Investments$3,249,824 

 ________________________________________

(a)Unobservable inputs were weighted by the relative fair value of investments.


CION Ares Diversified Credit Fund
Notes to Consolidated Schedule of Investments (continued)
March 31, 2024 (Unaudited)
(in thousands, except percentages and as otherwise noted)

Changes in market yields, discount rates or EBITDA multiples, each in isolation, may change the fair value of certain of the Fund’s investments. Generally, an increase in market yields or discount rates or decrease in EBITDA multiples may result in a decrease in the fair value of certain of the Fund’s investments.

    Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Fund’s investments may fluctuate from period to period. Additionally, the fair value of the Fund’s investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values that the Fund may ultimately realize. Further, such investments are generally subject to legal and other restrictions on resale or otherwise are less liquid than publicly traded securities. If the Fund was required to liquidate a portfolio investment in a forced or liquidation sale, it could realize significantly less than the value at which the Fund has recorded it.

    In addition, changes in the market environment and other events that may occur over the life of the investments may cause the gains or losses ultimately realized on these investments to be different than the unrealized gains or losses reflected in the valuations currently assigned.

The following table is a reconciliation of the Funds investments in which significant unobservable inputs (Level 3) were used in determining fair value for the three months ended March 31, 2024:

Senior Loans
Subordinated
Loans
Corporate BondsCollateralized Loan ObligationsPrivate Asset- Backed Investments
Preferred Stock
Common Stock
WarrantsTotal
Balance as of December 31, 2023$2,363,517 $53,395 $49,486 $345,882 $63,650 $189,554 $51,213 $2,005 $3,118,702 
Purchases380,669 1,720 1,346 12,932 17,777 40,329 18,242 511 473,526 
Sales and principal redemptions(284,526)— (991)(56,846)(6,287)(1)(58)(236)(348,945)
Net realized and unrealized gains (losses)(3,155)(293)499 1,868 (673)332 1,378 (752)(796)
Accrued discounts (premiums)1,460 64 11 (133)35 — (50)(275)1,112 
Transfers in to Level 3(a)
6,225 — — — 45 — — — 6,270 
Transfers out of Level 3(a)
— — — — — — (45)— (45)
Balance as of March 31, 2024
$2,464,190 $54,886 $50,351 $303,703 $74,547 $230,214 $70,680 $1,253 $3,249,824 
Net change in unrealized gains (losses) from investments held at March 31, 2024
$(6,149)$(293)$502 $1,934 $(711)$332 $944 $(400)$(3,841)
 ________________________________________

(a)Investments were transferred into and out of Level 3 during the three months ended March 31, 2024. Transfers between Levels 2 and 3 were as a result of changes in the observability of significant inputs or available market data for certain portfolio companies.