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FS Credit Income Fund

Unaudited Schedule of Investments

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Senior Secured Loans—First Lien—18.8%                     
ACProducts, Inc., L+425, 0.5% Floor, 5/17/28  (d) (e)  Building Materials  $2,901   $2,750   $2,098 
AHP Health Partners, Inc., L+350, 0.5% Floor, 8/24/28  (d)  Healthcare-Services   1,295    1,289    1,226 
American Tire Distributors Holdings, Inc., L+625, 0.8% Floor, 10/20/28  (d)  Distribution/Wholesale   612    605    581 
AP Core Holdings II, LLC, L+550, 0.8% Floor, 9/1/27  (d)  Media Entertainment   2,044    2,036    1,935 
Bausch & Lomb, Inc., S+325, 0.5% Floor, 5/10/27  (d)  Healthcare-Services   2,175    2,117    2,068 
Bausch Health Companies, Inc., S+525, 0.5% Floor, 1/27/27  (d) (e)  Pharmaceuticals   3,054    2,824    2,579 
Chinos Intermediate Holdings A, Inc., L+800, 1.0% Floor, 9/10/27  (d)  Specialty Apparel Stores   2,001    2,117    1,916 
Clydesdale Acquisition Holdings, Inc., S+425, 4/13/29  (d)  Packaging & Containers   1,910    1,864    1,840 
Diamond Sports Group, LLC, S+800, 1.0% Floor, 5/25/26  (d)  Media Entertainment   819    837    780 
Digicel International Finance Limited, L+325, 5/27/24  (d)  Telecommunications   1,755    1,609    1,601 
DirecTV Financing LLC, L+500, 0.8% Floor, 8/2/27  (d)  Media Entertainment   698    700    662 
East Valley Tourist Development Authority, L+750, 1.0% Floor, 11/23/26  (d) (f)  Media Entertainment   6,185    6,095    6,092 
Endure Digital, Inc., L+325, 2/10/26  (d) (e)  Internet   1,060    922    885 
Endure Digital, Inc., L+350, 0.8% Floor, 2/10/28  (d)  Internet   1,094    1,005    1,008 
Gordian Medical, Inc., L+625, 0.8% Floor, 1/31/27  (d)  Healthcare-Services   793    780    685 
Hexion Holdings Corp., S+450, 0.5% Floor, 3/15/29  (d)  Chemicals   3,790    3,650    3,393 
Houghton Mifflin Harcourt Publishing Co., S+525, 0.5% Floor, 4/9/29  (d)  Media Entertainment   6,420    6,234    6,046 
Jack Ohio Finance LLC, L+475, 0.8% Floor, 10/4/28  (d)  Lodging   1,298    1,295    1,247 
LBM Acquisition, LLC, L+375, 0.8% Floor, 12/17/27  (d)  Retail   692    685    597 
Lightstone Holdco, LLC, S+575, 1.0% Floor, 2/1/27  (d) (e)  Electric   2,852    2,386    2,549 
Lightstone Holdco, LLC, S+575, 1.0% Floor, 2/1/27  (d) (e)  Electric   159    132    142 
LogMeIn, Inc., L+475, 8/31/27  (d)  Telecommunications   330    323    254 
LSF11 Skyscraper Holdco S.a r.l., E+700, 3.5% PIK, 9/29/28  (d)  Leisure Time  420    471    427 
Magenta Buyer LLC, L+475, 0.8% Floor, 7/27/28  (d) (e)  Computers  $2,320    2,178    2,212 
Mattress Firm, Inc., L+425, 0.8% Floor, 9/25/28  (d)  Home Furnishings   2,607    2,583    2,234 
Mercury Financial Credit Card Master Trust, L+650, 9/30/23  (d) (g)  Diversified Financial Services   1,563    1,563    1,563 
Mercury Financial Credit Card Master Trust, L+650, 9/30/23  (d)  Diversified Financial Services   3,718    3,718    3,665 
NCL Corp. Ltd., L+175, 1/2/24  (d)  Leisure Time   2,373    2,284    2,228 
NCL Corp. Ltd., L+200, 1/2/24  (d)  Leisure Time   833    805    782 
NCL Corp. Ltd., L+200, 1/2/24  (d)  Leisure Time   1,869    1,779    1,719 
NCL Corp. Ltd., L+250, 1/2/24  (d)  Leisure Time   81    78    76 
OLA Singapore PTE, Ltd., S+625, 0.8% Floor, 12/15/26  (d)  Transportation   960    943    832 
Optiv Security, Inc., L+325, 1.0% Floor, 2/1/24  (d)  Computers   100    95    96 
Pacira BioSciences, Inc., L+700, 0.8% Floor, 12/7/26  (d)  Pharmaceuticals   712    693    697 
PMHC II, Inc., S+425, 0.5% Floor, 4/23/29  (d)  Chemicals   2,365    2,304    2,055 
Pug, LLC, E+350, 2/12/27  (d)  Internet  380    329    346 
Quorum Health Corp., L+825, 1.0% Floor, 4/29/25  (d)  Healthcare-Services  $1,059    1,049    691 
Riverbed Technology, Inc., L+600, 2.0% PIK, 1.0% Floor, 12/7/26  (d)  Software   514    505    245 
Royal Caribbean Cruises Ltd., L+130, 4/5/24  (d) (e) (g)  Leisure Time   156    156    156 
Royal Caribbean Cruises Ltd., L+130, 4/5/24  (d) (e)  Leisure Time   6,429    5,877    5,837 
Speed Midco 3 S.a r.l., E+700, 5/16/29  (d) (f)  Services  3,920    4,138    3,914 
Springs Windows Fashions, LLC, L+400, 0.8% Floor, 10/6/28  (d)  Housewares  $2,379    2,194    1,998 
SVF II Finco Cayman L.P., (fixed, converts to FRN on 12/22/23), 5.0% Floor, 12/22/23  (d) (f)  Diversified Financial Services   3,697    3,700    3,649 
Talen Energy Supply, LLC, S+475, 0.8% Floor, 11/13/23  (d) (l)  Electric   3,320    3,278    3,310 
Talen Energy Supply, LLC, L+375, 7/8/26  (d) (l)  Electric   300    275    287 
Think & Learn Private Ltd., L+550, 0.8% Floor, 11/24/26  (d)  Software   1,908    1,883    1,613 
Thryv, Inc., L+850, 1.0% Floor, 3/1/26  (d)  Advertising   4,441    4,319    4,367 
                      

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
TopGolf International, Inc., L+625, 0.8% Floor, 2/9/26  (d)  Leisure Time  $1,820   $1,819   $1,803 
Torrid LLC, L+550, 0.8% Floor, 6/14/28  (d)  Retail   2,671    2,651    2,537 
US Radiology Specialists, Inc., L+525, 0.5% Floor, 12/15/27  (d)  Healthcare-Services   706    695    665 
Verscend Holding Corp., L+400, 8/27/25  (d)  Commercial Services   677    673    660 
W.R. Grace Holdings LLC, L+375, 0.5% Floor, 9/22/28  (d)  Chemicals   1,464    1,448    1,411 
Washington Prime Group, L.P., L+600, 0.8% Floor, 10/20/25  (d) (e)  Real Estate Investment Trusts   1,289    1,302    1,262 
Total Senior Secured Loans—First Lien              98,040    93,521 
Unfunded Loan Commitments              (1,719)   (1,719)
Total Senior Secured Loans—First Lien              96,321    91,802 
                      
Senior Secured Loans—Second Lien—1.5%                     
Hexion Holdings Corp., S+744, 0.5% Floor, 3/15/30  (d)  Chemicals   2,490    2,424    2,179 
Magenta Buyer LLC, L+825, 0.8% Floor, 7/27/29  (d)  Computers   1,110    1,099    1,055 
Omni Intermediate Holdings, LLC, L+900, 1.0% Floor, 12/30/27  (d) (f)  Transportation Services   1,711    1,660    1,660 
Optiv Security, Inc., L+725, 1.0% Floor, 1/31/25  (d)  Computers   400    392    379 
Verscend Holding Corp., L+700, 0.5% Floor, 4/2/29  (d)  Commercial Services   1,030    1,012    994 
Vision Solutions, Inc., L+725, 0.8% Floor, 4/23/29  (d)  Computers   1,397    1,385    1,241 
Total Senior Secured Loans—Second Lien              7,972    7,508 
                      
Senior Secured Bonds—18.9%                     
1011778 BC ULC / New Red Finance, Inc., 3.9%, 1/15/28  (h) (i)  Retail   1,363    1,278    1,263 
Academy Ltd., 6.0%, 11/15/27  (h) (i)  Retail   5,453    5,042    5,064 
Advantage Sales & Marketing, Inc., 6.5%, 11/15/28  (h) (i) (j)  Advertising   2,733    2,630    2,493 
Altice France SA, 5.1%, 1/15/29  (h) (i)  Telecommunications   573    446    486 
Altice France SA, 5.1%, 7/15/29  (h) (i)  Telecommunications   1,693    1,307    1,451 
Altice France SA, 5.5%, 1/15/28  (h) (i)  Telecommunications   451    366    399 
Altice France SA, 5.5%, 10/15/29  (h) (i)  Telecommunications   994    802    856 
Arconic Corp., 6.1%, 2/15/28  (h) (i)  Mining   3,574    3,687    3,581 
Builders FirstSource, Inc., 5.0%, 3/1/30  (h) (i)  Building Materials   671    608    623 
Carnival Corp., 9.9%, 8/1/27  (h) (i)  Leisure Time   957    975    993 
Cheniere Energy, Inc., 4.6%, 10/15/28  (i)  Pipelines   1,113    1,051    1,085 
CHS/Community Health Systems, Inc., 4.8%, 2/15/31  (h) (i)  Healthcare-Services   466    463    376 
CHS/Community Health Systems, Inc., 5.3%, 5/15/30  (h) (i)  Healthcare-Services   1,466    1,333    1,235 
CHS/Community Health Systems, Inc., 5.6%, 3/15/27  (h) (i)  Healthcare-Services   465    481    415 
Clydesdale Acquisition Holdings, Inc., 6.6%, 4/15/29  (h) (i)  Packaging & Containers   1,001    1,001    1,012 
Coronado Finance Proprietary Ltd., 10.8%, 5/15/26  (h) (i)  Coal   543    484    566 
Coty, Inc./HFC Prestige Products, Inc./HFC Prestige International US LLC, 4.8%, 1/15/29  (h) (i)  Cosmetics/Personal Care   2,514    2,329    2,286 
Digicel International Finance Ltd./Digicel Holdings Bermuda Ltd., 8.8%, 5/25/24  (h) (i)  Telecommunications   3,168    3,169    2,967 
DIRECTV Holdings LLC / DIRECTV Financing Co., Inc., 5.9%, 8/15/27  (h) (i)  Media Entertainment   5,034    4,480    4,699 
DISH DBS Corp., 5.3%, 12/1/26  (h) (i)  Media Entertainment   784    670    680 
DISH DBS Corp., 5.8%, 12/1/28  (h) (i)  Media Entertainment   2,996    2,816    2,436 
Eagle Intermediate Global Holding BV / Ruyi US Finance LLC, 7.5%, 5/1/25  (h) (i)  Textiles   1,559    1,482    1,107 
EC Finance Plc, 3.0%, 10/15/26  (e) (i)  Commercial Services  1,332    1,268    1,258 
Endo Luxembourg Finance Co. I S.a.r.l.  / Endo US, Inc., 6.1%, 4/1/29  (h) (i)  Pharmaceuticals  $3,128    3,081    2,519 
Frontier Communications Corp., 6.8%, 5/1/29  (h) (i)  Telecommunications   2,188    2,184    1,953 
Frontier Communications Holdings LLC, 8.8%, 5/15/30  (h) (i)  Telecommunications   4,171    4,172    4,436 
Frontier Southwest, Inc., 8.5%, 11/15/31  (i)  Telecommunications   308    315    314 
Gamma Bidco SpA, 5.1%, 7/15/25  (i)  Entertainment  1,005    1,155    949 
Gamma Bondco Sarl, PIK, 8.1%, 11/15/26  (i)  Entertainment   2,005    2,319    1,762 
GrafTech Finance, Inc., 4.6%, 12/15/28  (h) (i)  Machinery-Diversified  $575    587    500 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
IMA Industria Macchine Automatiche SpA, 3.8%, 1/15/28  (i)  Hand/Machine Tools  1,135   $1,226   $953 
Jazz Securities DAC, 4.4%, 1/15/29  (h) (i)  Pharmaceuticals  $953    877    920 
Jerrold Finco Plc, 4.9%, 1/15/26  (i)  Diversified Financial Services  £321    395    338 
Jerrold Finco Plc, 5.3%, 1/15/27  (i)  Diversified Financial Services   880    1,233    908 
LCPR Senior Secured Financing DAC, 5.1%, 7/15/29  (h) (i)  Media Entertainment  $2,898    2,864    2,549 
NCL Corp. Ltd., 5.9%, 2/15/27  (h) (i)  Leisure Time   212    185    195 
NESCO Holdings II, Inc., 5.5%, 4/15/29  (h) (i)  Commercial Services   3,070    2,903    2,670 
NMG Holding Co., Inc. / Neiman Marcus Group LLC, 7.1%, 4/1/26  (h) (i) (j)  Retail   6,706    6,680    6,570 
Organon & Co. / Organon Foreign Debt Co-Issuer B.V., 2.9%, 4/30/28  (i)  Pharmaceuticals  413    395    386 
Par Pharmaceutical, Inc., 7.5%, 4/1/27  (h) (i)  Pharmaceuticals  $1,377    1,450    1,113 
Petsmart, Inc. / Petsmart FI Co., 4.8%, 2/15/28  (h) (i)  Retail   1,306    1,147    1,243 
SeaWorld Parks & Entertainment, Inc., 5.3%, 8/15/29  (h) (i)  Entertainment   3,500    3,028    3,143 
Shelf Drilling Holdings Ltd., 8.9%, 11/15/24  (h) (i)  Oil & Gas   3,700    3,653    3,654 
Solocal Group, 8.0%, 3/15/25 (3 mo. EURIBOR+7.0%)  (i) (k)  Internet  109    120    92 
Solocal Group, Series 8Y, 8.0%, 3/15/25 (3 mo. EURIBOR+7.0%)  (i) (k)  Internet   409    382    345 
Talen Energy Supply LLC, 6.6%, 1/15/28  (h) (i) (l) (m)  Electric  $2,969    2,746    2,902 
Tenet Healthcare Corp., 6.3%, 2/1/27  (h) (i)  Healthcare-Services   1,228    1,181    1,244 
Valaris, Ltd., Series 1145, PIK, 8.3%, 4/30/28  (i)  Oil & Gas   5,682    5,740    5,592 
Valaris, Ltd., PIK, 8.3%, 4/30/28  (h) (i)  Oil & Gas   353    353    347 
Vantage Drilling Intl, 9.3%, 11/15/23  (h) (i)  Oil & Gas   2,330    2,312    2,296 
Verisure Holding AB, 3.3%, 2/15/27  (i)  Commercial Services  975    909    877 
Virgin Media Secured Finance Plc, 5.5%, 5/15/29  (h) (i)  Media Entertainment  $1,545    1,504    1,471 
Vmed O2 UK Financing I Plc, 3.3%, 1/31/31  (i)  Telecommunications  2,364    2,647    2,073 
VOC Escrow Ltd., 5.0%, 2/15/28  (h) (i)  Leisure Time  $113    92    100 
VZ Secured Financing B.V., 5.0%, 1/15/32  (h) (i)  Media Entertainment   1,045    923    934 
Total Senior Secured Bonds              96,926    92,679 
                      
Unsecured Bonds—48.4%                     
Accor SA, 2.4%, 11/29/28  (i)  Lodging  1,200    1,027    1,044 
AdaptHealth LLC, 5.1%, 3/1/30  (h) (i)  Pharmaceuticals  $1,742    1,763    1,600 
AG Merger Sub II, Inc., 10.8%, 8/1/27  (h) (i)  Diversified Financial Services   3,177    3,429    3,225 
Ahead DB Holdings LLC, 6.6%, 5/1/28  (h) (i)  Computers   1,033    1,011    956 
AHP Health Partners, Inc., 5.8%, 7/15/29  (h) (i)  Healthcare-Services   2,908    2,706    2,165 
Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 4.6%, 1/15/27  (h) (i)  Food   1,903    1,827    1,801 
Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 5.9%, 2/15/28  (h) (i)  Food   596    551    579 
Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 7.5%, 3/15/26  (h) (i)  Food   1,277    1,363    1,320 
Alpha Services and Holdings SA, 5.5%, 6/11/31 (fixed, converts to FRN on 3/11/26)  (i) (k)  Banks  905    1,077    740 
American Greetings Corp., 8.8%, 4/15/25  (h) (i)  Housewares  $2,502    2,448    2,415 
Antero Resources Corp., 5.4%, 3/1/30  (h) (i)  Oil & Gas   2,165    2,182    2,130 
Antero Resources Corp., 7.6%, 2/1/29  (h) (i)  Oil & Gas   185    203    195 
Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance Plc, 3.0%, 9/1/29  (i)  Packaging & Containers  2,161    1,766    1,821 
Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance Plc, 4.0%, 9/1/29  (h) (i)  Packaging & Containers  $802    672    691 
Aretec Escrow Issuer, Inc., 7.5%, 4/1/29  (h) (i)  Diversified Financial Services   997    1,025    884 
Aryzta AG, 5.9% 10/25/22 (SARON+6.0%)  (i) (k) (n)  Food  CHF730    931    687 
Avient Corp., 7.1%, 8/1/30  (e) (h)  Chemicals  $1,237    1,237    1,277 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Banco Bilbao Vizcaya Argentaria SA, 6.0% 1/15/26 (fixed, converts to FRN on 1/15/26)  (i) (k) (n)  Banks  800   $959   $786 
Bausch Health Companies, Inc., 5.0%, 2/15/29  (h) (i)  Pharmaceuticals  $400    400    204 
Bausch Health Companies, Inc., 6.3%, 2/15/29  (h) (i)  Pharmaceuticals   298    283    160 
Bausch Health Companies, Inc., 7.0%, 1/15/28  (h) (i)  Pharmaceuticals   1,163    1,199    647 
Bausch Health Companies, Inc., 7.3%, 5/30/29  (h) (i)  Pharmaceuticals   298    326    163 
BellRing Brands, Inc., 7.0%, 3/15/30  (h) (i) (j)  Pharmaceuticals   4,329    4,329    4,193 
Bombardier, Inc., 6.0%, 2/15/28  (h) (i)  Aerospace/Defense   1,515    1,515    1,311 
Bombardier, Inc., 7.9%, 4/15/27  (h) (i)  Aerospace/Defense   2,310    2,233    2,145 
Boyd Gaming Corp., 4.8%, 6/15/31  (h) (i)  Lodging   1,823    1,762    1,682 
Bracken MidCo1 Plc, PIK, 6.8%, 11/1/27  (h) (i)  Diversified Financial Services  £1,116    1,543    1,162 
Builders FirstSource, Inc., 6.4%, 6/15/32  (h) (i)  Building Materials  $1,326    1,326    1,323 
Burford Capital Finance LLC, 6.1%, 8/12/25  (i)  Diversified Financial Services   504    490    474 
California Resources Corp., 7.1%, 2/1/26  (h) (i)  Oil & Gas   3,954    4,017    3,948 
Callon Petroleum Co., 7.5%, 6/15/30  (h) (i)  Oil & Gas   627    627    602 
Cano Health LLC, 6.3%, 10/1/28  (h) (i)  Healthcare-Services   2,028    1,951    1,821 
Carnival Corp., 6.0%, 5/1/29  (h) (i)  Leisure Time   1,090    993    842 
Carnival Corp., 10.5%, 6/1/30  (h) (i)  Leisure Time   2,738    2,738    2,443 
CCO Holdings LLC / CCO Holdings Capital Corp., 5.4%, 6/1/29  (h) (i)  Media Entertainment   2,771    2,536    2,646 
CDI Escrow Issuer, Inc., 5.8%, 4/1/30  (h) (i)  Entertainment   655    648    641 
Centene Corp., 3.4%, 2/15/30  (i)  Healthcare-Services   1,091    937    993 
Centene Corp., 4.6%, 12/15/29  (i)  Healthcare-Services   782    748    773 
Chemours Co., 5.8%, 11/15/28  (h) (i)  Chemicals   1,386    1,299    1,324 
Chesapeake Energy Corp., 5.9%, 2/1/29  (h) (i)  Oil & Gas   1,532    1,631    1,541 
Churchill Downs, Inc., 4.8%, 1/15/28  (h) (i)  Entertainment   713    719    677 
Colt Merger Sub, Inc., 8.1%, 7/1/27  (h) (i)  Entertainment   771    795    772 
Coty, Inc., 6.5%, 4/15/26  (h) (i) (j)  Cosmetics/Personal Care   3,822    3,837    3,748 
CSC Holdings LLC, 6.5%, 2/1/29  (h) (i) (j)  Media Entertainment   3,522    3,574    3,410 
DaVita, Inc., 4.6%, 6/1/30  (h) (i)  Healthcare-Services   3,175    2,724    2,610 
Deutsche Bank AG, 3.7%, 1/14/32 (fixed, converts to FRN on 10/14/30)  (i) (k)  Banks   845    641    659 
Dick's Sporting Goods, Inc., 4.1%, 1/15/52  (i)  Retail   1,670    1,083    1,167 
DT Midstream, Inc., 4.1%, 6/15/29  (h) (i)  Pipelines   599    602    556 
DT Midstream, Inc., 4.4%, 6/15/31  (h) (i)  Pipelines   963    977    866 
Dufry One B.V., 2.0%, 2/15/27  (i)  Retail  185    212    160 
Dufry One B.V., 3.4%, 4/15/28  (i)  Retail   4,555    4,853    4,009 
Earthstone Energy Holdings LLC, 8.0%, 4/15/27  (h) (i)  Oil & Gas  $4,485    4,476    4,298 
Endurance Acquisition Merger Sub, 6.0%, 2/15/29  (h) (i)  Internet   1,702    1,445    1,248 
EnLink Midstream LLC, 5.4%, 6/1/29  (i)  Pipelines   785    732    747 
EnLink Midstream LLC, 5.6%, 1/15/28  (h) (i)  Pipelines   172    172    167 
EnLink Midstream Partners LP, 5.1%, 4/1/45  (i)  Pipelines   274    191    202 
EnLink Midstream Partners LP, 5.6%, 4/1/44  (i)  Pipelines   208    155    162 
Entegris Escrow Corp., 6.0%, 6/15/30  (h) (i)  Semiconductors   1,616    1,469    1,606 
Eurobank SA, 2.3%, 3/14/28 (fixed, converts to FRN on 3/14/27)  (i) (k)  Banks  1,065    1,163    884 
FMG Resources August 2006 Pty Ltd., 4.4%, 4/1/31  (h) (i)  Mining  $1,568    1,346    1,364 
FMG Resources August 2006 Pty Ltd., 5.9%, 4/15/30  (h) (i)  Mining   1,709    1,601    1,633 
FMG Resources August 2006 Pty Ltd., 6.1%, 4/15/32  (h) (i)  Mining   836    803    797 
Ford Motor Credit Co. LLC, 3.4%, 11/17/23  (i)  Auto Manufacturers   1,300    1,276    1,275 
Ford Motor Credit Co. LLC, 4.3%, 1/9/27  (i)  Auto Manufacturers   222    233    213 
Ford Motor Credit Co. LLC, 4.5%, 8/1/26  (i)  Auto Manufacturers   200    192    195 
Ford Motor Credit Co. LLC, 5.1%, 5/3/29  (i)  Auto Manufacturers   1,328    1,364    1,293 
Frontier Florida LLC, Series E, 6.9%, 2/1/28  (i)  Telecommunications   1,632    1,543    1,555 
Frontier North, Inc., Series G, 6.7%, 2/15/28  (i)  Telecommunications   5,029    4,820    4,807 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Gates Global LLC / Gates Corp., 6.3%, 1/15/26  (h) (i)  Miscellaneous Manufacturing  $969   $1,001   $948 
Global Aircraft Leasing Co. Ltd., PIK, 6.5%, 9/15/24  (h) (i)  Diversified Financial Services   1,346    1,259    1,040 
Granite US Holdings Corp., 11.0%, 10/1/27  (h) (i)  Machinery-Diversified   1,417    1,541    1,321 
Grifols Escrow Issuer SA, 3.9%, 10/15/28  (i)  Biotechnology  1,409    1,226    1,258 
Hess Midstream Operations LP, 4.3%, 2/15/30  (h) (i)  Pipelines  $946    887    844 
Hess Midstream Operations LP, 5.1%, 6/15/28  (h) (i)  Pipelines   892    862    871 
Hilton Domestic Operating Co., Inc., 5.8%, 5/1/28  (h) (i)  Lodging   1,246    1,278    1,255 
Hilton Grand Vacations Borrower Escrow LLC, 5.0%, 6/1/29  (h) (i)  Lodging   1,062    880    942 
Intesa Sanpaolo SpA, 4.2%, 6/1/32 (fixed, converts to FRN on 6/1/31)  (h) (i) (k)  Banks   1,260    960    964 
L Brands, Inc., 6.9%, 11/1/35  (i)  Retail   2,641    2,322    2,427 
Laredo Petroleum, Inc., 7.8%, 7/31/29  (h) (i)  Oil & Gas   3,476    3,330    3,307 
Laredo Petroleum, Inc., 9.5%, 1/15/25  (i)  Oil & Gas   856    885    878 
Laredo Petroleum, Inc., 10.1%, 1/15/28  (i)  Oil & Gas   153    160    156 
LifePoint Health, Inc., 5.4%, 1/15/29  (h) (i)  Healthcare-Services   3,588    3,303    2,777 
Lloyds Banking Group Plc, 6.8% 6/27/26 (fixed, converts to FRN on 6/27/26)  (i) (k) (n)  Banks   631    655    621 
Macy's Retail Holdings LLC, 5.9%, 3/15/30  (h) (i)  Retail   2,232    2,208    1,917 
Macy's Retail Holdings LLC, 6.1%, 3/15/32  (h) (i)  Retail   2,540    2,468    2,139 
Macy's Retail Holdings, Inc., 4.3%, 2/15/43  (i)  Retail   264    224    164 
Macy's Retail Holdings, Inc., 5.1%, 1/15/42  (i)  Retail   295    279    202 
Marriott Ownership Resorts, Inc., 4.8%, 1/15/28  (i)  Lodging   880    882    799 
Mednax, Inc., 5.4%, 2/15/30  (h) (i)  Healthcare-Services   1,720    1,563    1,589 
Methanex Corp., 5.3%, 12/15/29  (i)  Chemicals   2,032    1,901    1,796 
Methanex Corp., 5.7%, 12/1/44  (i)  Chemicals   1,429    1,032    1,050 
MGM Resorts International, 4.8%, 10/15/28  (i)  Lodging   1,725    1,620    1,565 
MGM Resorts International, 5.5%, 4/15/27  (i)  Lodging   387    399    376 
MGM Resorts International, 6.0%, 3/15/23  (i)  Lodging   324    329    327 
Mineral Resources Ltd., 8.0%, 11/1/27  (h) (i)  Iron/Steel   957    956    973 
Mineral Resources Ltd., 8.5%, 5/1/30  (h) (i)  Iron/Steel   1,098    1,098    1,114 
Moss Creek Resources Holdings, Inc., 7.5%, 1/15/26  (h) (i)  Oil & Gas   640    594    584 
Moss Creek Resources Holdings, Inc., 10.5%, 5/15/27  (h) (i)  Oil & Gas   628    614    606 
Nabors Industries, Inc., 7.4%, 5/15/27  (h) (i)  Oil & Gas   775    769    769 
Natural Resource Partners LP/NRP Finance Corp., 9.1%, 6/30/25  (h) (i)  Coal   450    437    460 
NCL Corp. Ltd., 5.9%, 3/15/26  (h) (i)  Leisure Time   4,832    4,574    3,955 
NCR Corp., 5.0%, 10/1/28  (h) (i)  Computers   172    162    164 
NCR Corp., 5.1%, 4/15/29  (h) (i)  Computers   848    785    816 
Netflix, Inc., 3.6%, 6/15/30  (i)  Internet  1,757    1,609    1,706 
Netflix, Inc., 3.9%, 11/15/29  (i)  Internet   486    460    484 
Netflix, Inc., 4.6%, 5/15/29  (i)  Internet   859    852    902 
News Corp., 3.9%, 5/15/29  (h) (i)  Media Entertainment  $1,343    1,352    1,242 
Nexstar Media, Inc., 4.8%, 11/1/28  (h) (i)  Media Entertainment   1,337    1,195    1,249 
NOVA Chemicals Corp., 4.3%, 5/15/29  (h) (i)  Chemicals   1,044    879    908 
NOVA Chemicals Corp., 5.3%, 6/1/27  (h) (i)  Chemicals   776    783    746 
NRG Energy, Inc., 5.3%, 6/15/29  (h) (i)  Electric   1,033    1,020    970 
NRG Energy, Inc., 5.8%, 1/15/28  (i)  Electric   570    588    551 
Occidental Petroleum Corp., 6.1%, 1/1/31  (i)  Oil & Gas   1,448    1,612    1,554 
Occidental Petroleum Corp., 6.2%, 3/15/40  (i)  Oil & Gas   1,262    1,293    1,294 
Occidental Petroleum Corp., 6.5%, 9/15/36  (i)  Oil & Gas   1,087    1,270    1,210 
Occidental Petroleum Corp., 6.6%, 3/15/46  (i)  Oil & Gas   3,634    4,084    4,020 
Occidental Petroleum Corp., 7.5%, 5/1/31  (i)  Oil & Gas   1,764    2,001    2,049 
Occidental Petroleum Corp., 7.9%, 9/15/31  (i)  Oil & Gas   185    242    215 
Occidental Petroleum Corp., 8.0%, 6/15/39  (i)  Oil & Gas   1,361    1,641    1,563 
Occidental Petroleum Corp., 8.5%, 7/15/27  (i)  Oil & Gas   164    201    188 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Occidental Petroleum Corp., 8.9%, 7/15/30  (i)  Oil & Gas  $152   $204   $182 
Olin Corp., 5.0%, 2/1/30  (i)  Chemicals   956    865    889 
Olin Corp., 5.6%, 8/1/29  (i)  Chemicals   76    74    73 
OneMain Finance Corp., 4.0%, 9/15/30  (i)  Diversified Financial Services   99    99    78 
OneMain Finance Corp., 6.6%, 1/15/28  (i)  Diversified Financial Services   747    717    703 
OneMain Finance Corp., 7.1%, 3/15/26  (i)  Diversified Financial Services   854    897    828 
Open Text Corp., 3.9%, 12/1/29  (h) (i)  Software   709    614    640 
Organon & Co. / Organon Foreign Debt Co-Issuer B.V., 5.1%, 4/30/31  (h) (i)  Pharmaceuticals   1,494    1,466    1,401 
Outfront Media Capital LLC / Outfront Media Capital Corp., 4.3%, 1/15/29  (h) (i)  Advertising   255    256    218 
Outfront Media Capital LLC / Outfront Media Capital Corp., 5.0%, 8/15/27  (h) (i)  Advertising   1,635    1,642    1,547 
Owens & Minor, Inc., 6.6%, 4/1/30  (h) (i)  Pharmaceuticals   1,705    1,688    1,708 
Petsmart, Inc. / Petsmart FI Co., 7.8%, 2/15/29  (h) (i)  Retail   3,100    3,144    2,992 
Pitney Bowes, Inc., 6.9%, 3/15/27  (h) (i)  Office/Business Equipment   517    517    418 
Pitney Bowes, Inc., 7.3%, 3/15/29  (h) (i)  Office/Business Equipment   597    558    470 
Playtika Holding Corp., 4.3%, 3/15/29  (h) (i)  Software   1,786    1,767    1,604 
PMHC II, Inc., 9.0%, 2/15/30  (h) (i)  Chemicals   1,840    1,840    1,343 
Post Holdings, Inc., 5.5%, 12/15/29  (h) (i)  Food   2,019    2,042    1,912 
Prosus N.V., 1.3%, 7/13/29  (i)  Internet  2,659    2,273    2,105 
Prosus N.V., 2.0%, 8/3/32  (i)  Internet   450    321    333 
Prosus N.V., 2.1%, 1/19/30  (i)  Internet   2,125    1,715    1,732 
Prosus N.V., 2.8%, 1/19/34  (i)  Internet   1,630    1,409    1,225 
Prosus N.V., 4.2%, 1/19/32  (i)  Internet  $1,525    1,288    1,297 
Range Resources Corp., 4.8%, 2/15/30  (h) (i)  Oil & Gas   1,149    1,155    1,099 
Rockcliff Energy II LLC, 5.5%, 10/15/29  (h) (i)  Oil & Gas   1,407    1,304    1,361 
Sands China Ltd., 3.1%, 3/8/29  (h) (i)  Lodging   546    469    435 
Sands China Ltd., 5.4%, 8/8/28  (i)  Lodging   1,216    1,141    1,099 
Science Applications International Corp., 4.9%, 4/1/28  (h) (i)  Computers   1,295    1,325    1,234 
Scientific Games International, Inc., 7.0%, 5/15/28  (h) (i)  Entertainment   928    899    945 
Sensata Technologies B.V., 4.0%, 4/15/29  (h) (i)  Electronics   1,431    1,344    1,304 
Service Properties Trust, 5.5%, 12/15/27  (i)  Real Estate Investment Trusts   583    587    507 
Service Properties Trust, 7.5%, 9/15/25  (i)  Real Estate Investment Trusts   1,760    1,886    1,709 
Shelf Drill Holdings Ltd., 8.3%, 2/15/25  (h) (i)  Oil & Gas   523    466    409 
Signal Parent, Inc., 6.1%, 4/1/29  (h) (i)  Commercial Services   1,523    1,512    910 
Silgan Holdings, Inc., 2.3%, 6/1/28  (i)  Packaging & Containers  486    404    427 
Sirius XM Radio, Inc., 3.9%, 9/1/31  (h) (i)  Media Entertainment  $637    591    555 
Sirius XM Radio, Inc., 5.0%, 8/1/27  (h) (i)  Media Entertainment   245    255    243 
Sirius XM Radio, Inc., 5.5%, 7/1/29  (h) (i)  Media Entertainment   2,119    2,242    2,085 
SM Energy Co., 6.5%, 7/15/28  (i)  Oil & Gas   309    294    305 
Spectrum Brands, Inc., 5.5%, 7/15/30  (h) (i)  Household Products/Wares   2,143    2,220    1,934 
Standard Industries, Inc., 2.3%, 11/21/26  (i)  Building Materials  535    563    459 
Standard Industries, Inc., 4.4%, 7/15/30  (h) (i)  Building Materials  $669    682    585 
Standard Industries, Inc., 4.8%, 1/15/28  (h) (i)  Building Materials   1,993    1,999    1,898 
Station Casinos LLC, 4.6%, 12/1/31  (h) (i)  Lodging   1,146    928    1,002 
Sterling Entertainment Enterprises, LLC, 10.3%, 1/15/25  (f)  Media Entertainment   813    801    825 
Summit Materials LLC / Summit Materials Finance Corp., 5.3%, 1/15/29  (h) (i)  Building Materials   493    518    465 
SWF Escrow Issuer Corp., 6.5%, 10/1/29  (h) (i)  Housewares   1,054    982    751 
TEGNA, Inc., 5.0%, 9/15/29  (i)  Media Entertainment   150    142    147 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Tenet Healthcare Corp., 6.1%, 6/15/30  (h) (i)  Healthcare-Services  $923   $923   $934 
Terex Corp., 5.0%, 5/15/29  (h) (i)  Machinery-Construction & Mining   1,963    1,904    1,754 
TI Automotive Finance Plc, 3.8%, 4/15/29  (i)  Auto Parts & Equipment  1,355    1,025    1,092 
TransDigm, Inc., 5.5%, 11/15/27  (i)  Aerospace/Defense  $946    903    895 
TUI Cruises GmbH, 6.5%, 5/15/26  (i)  Leisure Time  2,056    2,462    1,646 
Uber Technologies, Inc., 4.5%, 8/15/29  (h) (i)  Internet  $814    735    729 
Uber Technologies, Inc., 6.3%, 1/15/28  (h) (i)  Internet   2,243    2,382    2,209 
Valvoline, Inc., 3.6%, 6/15/31  (h) (i)  Chemicals   2,303    1,881    1,913 
Valvoline, Inc., 4.3%, 2/15/30  (h) (i)  Chemicals   1,189    1,029    1,080 
VICI Properties LP / VICI Note Co., Inc., 3.8%, 2/15/27  (h) (i)  Real Estate Investment Trusts   340    341    312 
VICI Properties LP / VICI Note Co., Inc., 4.1%, 8/15/30  (h) (i)  Real Estate Investment Trusts   1,567    1,551    1,434 
Victoria's Secret & Co., 4.6%, 7/15/29  (h) (i)  Retail   4,259    3,511    3,532 
Vistra Corp., 7.0% 12/15/26 (fixed, converts to FRN on 12/15/26)  (h) (i) (k) (n)  Electric   1,275    1,155    1,187 
Vistra Corp., 8.0% 10/15/26 (fixed, converts to FRN on 10/15/26)  (h) (i) (k) (n)  Electric   2,901    2,901    2,817 
Vistra Operations Co. LLC, 5.0%, 7/31/27  (h) (i)  Electric   904    920    892 
Vistra Operations Co. LLC, 5.5%, 9/1/26  (h) (i)  Electric   21    22    21 
Wells Fargo & Co., Series BB, 3.9% 3/15/26 (fixed, converts to FRN on 3/15/26)  (i) (k) (n)  Banks   1,439    1,338    1,334 
Western Midstream Operating LP, 4.3%, 2/1/30  (i)  Pipelines   1,197    1,196    1,122 
Western Midstream Operating LP, 4.5%, 3/1/28  (i)  Pipelines   264    214    255 
Western Midstream Operating LP, 4.8%, 8/15/28  (i)  Pipelines   195    191    191 
Western Midstream Operating LP, 5.5%, 8/15/48  (i)  Pipelines   185    164    162 
Western Midstream Operating LP, 5.5%, 2/1/50  (i)  Pipelines   123    106    110 
WeWork Companies LLC / WW Co-Obligor, Inc., 5.0%, 7/10/25  (h) (i)  Real Estate   1,671    1,473    1,151 
Wynn Macau Ltd., 5.6%, 8/26/28  (h) (i)  Lodging   1,466    1,357    1,147 
XPO CNW, Inc., 6.7%, 5/1/34  (i)  Transportation   2,019    2,034    1,917 
ZF Europe Finance B.V., 3.0%, 10/23/29  (i)  Auto Parts & Equipment  1,400    1,415    1,188 
ZF Finance GmbH, 2.8%, 5/25/27  (i)  Auto Parts & Equipment   300    274    266 
ZF Finance GmbH, 3.8%, 9/21/28  (i)  Auto Parts & Equipment   1,100    1,013    1,001 
Total Unsecured Bonds              251,756    236,941 
                      
Collateralized Loan Obligation (CLO) / Structured Credit—19.4%                     
37 Capital CLO I, Series 2021-1A, Class D, ABS, 6.0%, 10/15/34 (3 mo. S+3.5%)  (h) (k)  USD CLO  $655    617    585 
610 Funding CLO 1 Ltd., Series 2015-1A, Class CR, ABS, 5.4%, 9/21/29 (3 mo. L+3.9%)  (h) (k)  USD CLO   425    422    396 
Accunia European CLO III DAC, Series 3X, Class D, ABS, 3.1%, 1/20/31 (3 mo. EURIBOR+3.1%)  (k)  EUR CLO  240    274    219 
AIG CLO 2021-2 LLC, Series 2021-2A, Class C, ABS, 4.7%, 7/20/34 (3 mo. L+2.0%)  (h) (k)  USD CLO  $625    610    582 
Ambac Assurance Corp., 8.5%, 2/1/55  (h) (i)  Insurance   782    759    598 
Ambac Assurance Corp., 8.5%, 2/12/55  (i)  Insurance   1,596    1,549    1,221 
Ammc CLO 19 Ltd., Series 2016-19A, Class D, ABS, 6.3%, 10/15/28 (3 mo. L+3.8%)  (h) (i) (k)  USD CLO   205    203    203 
Ammc CLO 20 Ltd., Series 2017-20A, Class E, ABS, 8.6%, 4/17/29 (3 mo. L+5.8%)  (h) (k)  USD CLO   250    248    240 
Anchorage Capital CLO 4-R Ltd., Series 2014-4RA, Class D, ABS, 5.4%, 1/28/31 (3 mo. L+2.6%)  (h) (i) (k)  USD CLO   250    240    230 
Anchorage Capital CLO 5-R Ltd., Series 2014-5RA, Class E, ABS, 7.9%, 1/15/30 (3 mo. L+5.4%)  (h) (k)  USD CLO   545    533    492 
Anchorage Capital Europe CLO 3 DAC, Series 3X, Class D, ABS, 3.8%, 7/15/32 (3 mo. EURIBOR+3.8%)  (k)  EUR CLO  435    519    395 
Anchorage Credit Funding 10 Ltd., Series 2020-10A, Class EV, ABS, 7.1%, 4/25/38  (h)  USD CLO  $250    235    208 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Anchorage Credit Funding 12 Ltd., Series 2020-12A, Class D, ABS, 5.9%, 10/25/38  (h)  USD CLO  $295   $295   $268 
Anchorage Credit Funding 2 Ltd., Series 2015-2A, Class ERV, ABS, 7.0%, 4/25/38  (h)  USD CLO   250    232    206 
Anchorage Credit Funding 3 Ltd., Series 2016-3A, Class DR, ABS, 5.8%, 1/28/39  (h)  USD CLO   250    250    227 
Anchorage Credit Funding 3 Ltd., Series 2016-3A, Class ER, ABS, 7.2%, 1/28/39  (h)  USD CLO   410    386    359 
Anchorage Credit Funding 6 Ltd., Series 2018-6A, Class E, ABS, 6.9%, 7/25/36  (h)  USD CLO   570    546    477 
Apex Credit CLO 2015-II Ltd., Series 2015-2A, Class ER, ABS, 8.8%, 10/17/26 (3 mo. L+6.1%)  (h) (k)  USD CLO   330    329    325 
Ares European CLO IX B.V., Series 9X, Class D, ABS, 2.4%, 10/14/30 (3 mo. EURIBOR+2.4%)  (k)  EUR CLO  520    551    478 
Ares European CLO IX DAC, Series 9X, Class E, ABS, 4.4%, 10/14/30 (3 mo. EURIBOR+4.4%)  (k)  EUR CLO   290    320    252 
Ares European CLO VI B.V., Series 2013-6X, Class ER, ABS, 5.3%, 4/15/30 (3 mo. EURIBOR+5.3%)  (k)  EUR CLO   340    382    298 
Ares XLIX CLO Ltd., Series 2018-49A, Class D, ABS, 5.8%, 7/22/30 (3 mo. L+3.0%)  (h) (i) (k)  USD CLO  $250    245    228 
Ares XXXVII CLO Ltd., Series 2015-4A, Class CR, ABS, 5.2%, 10/15/30 (3 mo. L+2.7%)  (h) (k)  USD CLO   250    247    217 
Ares XXXVII CLO Ltd., Series 2015-4A, Class BR, ABS, 4.3%, 10/15/30 (3 mo. L+1.8%)  (h) (k)  USD CLO   250    246    236 
Ares XXXVR CLO Ltd., Series 2015-35RA, Class D, ABS, 5.5%, 7/15/30 (3 mo. L+3.0%)  (h) (k)  USD CLO   250    250    230 
ArrowMark Colorado Holdings, Series 2018-3A, Class CR, ABS, 5.3%, 1/25/35 (3 mo. L+2.5%)  (h) (k)  USD CLO   500    489    463 
Atlas Senior Loan Fund III Ltd., Series 2013-1A, Class DR, ABS, 4.0%, 11/17/27 (3 mo. L+2.6%)  (h) (i) (k)  USD CLO   500    482    476 
Atlas Senior Loan Fund IX Ltd., Series 2018-9A, Class D, ABS, 5.3%, 4/20/28 (3 mo. L+2.6%)  (h) (i) (k)  USD CLO   250    237    237 
Atrium CDO Corp., Series 14A, Class D, ABS, 5.7%, 8/23/30 (3 mo. L+3.0%)  (h) (i) (k)  USD CDO   250    237    233 
Atrium XII, Series 12A, Class ER, ABS, 8.0%, 4/22/27 (3 mo. L+5.3%)  (h) (k)  USD CLO   1,240    1,222    1,078 
Avery Point IV CLO Ltd., Series 2014-1A, Class CR, ABS, 5.1%, 4/25/26 (3 mo. L+2.4%)  (h) (k)  USD CLO   47    47    47 
Avoca CLO XI Ltd., Series 11X, Class ER, ABS, 5.0%, 7/15/30 (3 mo. EURIBOR+5.0%)  (k)  EUR CLO  210    225    184 
Avoca CLO XIII DAC, Series 13X, Class ERR, ABS, 6.2%, 4/15/34 (3 mo. EURIBOR+6.2%)  (k)  EUR CLO   240    229    202 
Avoca CLO XV DAC, Series 15X, Class ER, ABS, 4.1%, 4/15/31 (3 mo. EURIBOR+4.1%)  (k)  EUR CLO   360    387    301 
Avoca CLO XVIII DAC, Series 18X, Class E, ABS, 4.6%, 4/15/31 (3 mo. EURIBOR+4.6%)  (k)  EUR CLO   195    215    163 
Bain Capital Credit CLO 2021-1 Ltd., Series 2021-1A, Class B, ABS, 4.1%, 4/18/34 (3 mo. L+1.4%)  (h) (i) (k)  USD CLO  $220    209    206 
Bain Capital Euro CLO 2021-2 DAC, Series 2021-2X, Class D, ABS, 3.4%, 7/17/34 (3 mo. EURIBOR+3.4%)  (k)  EUR CLO  355    373    313 
Barings CLO 2013-I Ltd., Series 2013-IA, Class ER, ABS, 7.9%, 1/20/28 (3 mo. L+5.2%)  (h) (k)  USD CLO  $1,255    1,231    1,135 
Barings Euro CLO 2018-1 DAC, Series 2018-1X, Class D, ABS, 2.3%, 4/15/31 (3 mo. EURIBOR+2.3%)  (k)  EUR CLO  190    196    172 
Barings Euro CLO 2018-2 BV, 3.2%, 10/15/31 (3 mo. EURIBOR+3.2%)  (k)  EUR CLO   920    1,080    823 
Barings Euro CLO 2018-3 DAC, Series 2018-3A, Class DE, ABS, 3.9%, 7/27/31 (3 mo. EURIBOR+3.7%)  (h) (k)  EUR CLO   480    525    450 
Barings Euro CLO 2019-1 DAC, Series 2019-1X, Class CR, ABS, 3.0%, 10/15/34 (3 mo. EURIBOR+3.0%)  (k)  EUR CLO   245    250    229 
Benefit Street Partners CLO II Ltd., Series 2013-IIA, Class CR, ABS, 6.2%, 7/15/29 (3 mo. L+3.7%)  (h) (i) (k)  USD CLO  $250    243    233 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Birch Grove CLO 2 Ltd., Series 2021-2A, Class D2, ABS, 7.7%, 10/19/34 (3 mo. L+5.0%)  (h) (k)  USD CLO  $605   $599   $556 
Birch Grove CLO 3 Ltd., Series 2021-3A, Class D2, ABS, 7.8%, 1/19/35 (3 mo. L+5.1%)  (h) (k)  USD CLO   885    876    730 
Black Diamond CLO 2017-1 Ltd., Series 2017-1A, Class C, ABS, 6.7%, 4/24/29 (3 mo. L+4.0%)  (h) (k)  USD CLO   590    581    567 
Black Diamond CLO 2017-2 DAC, Series 2017-2X, Class CNE, ABS, 2.0%, 1/20/32 (3 mo. EURIBOR+2.0%)  (k)  EUR CLO  590    607    566 
BlackRock European CLO X DAC, Series 10X, Class B1R, ABS, 1.8%, 10/15/34 (3 mo. EURIBOR+1.8%)  (k)  EUR CLO   260    266    242 
BlueMountain Fuji US CLO III Ltd., Series 2017-3A, Class D, ABS, 4.9%, 1/15/30 (3 mo. L+2.4%)  (h) (i) (k)  USD CLO  $250    238    222 
BNPP AM Euro CLO 2019 DAC, Series 2019-1X, Class E, ABS, 5.8%, 7/22/32 (3 mo. EURIBOR+5.6%)  (k)  EUR CLO  360    330    296 
BNPP IP CLO 2014-II Ltd., Series 2014-2A, Class DR, ABS, 6.3%, 10/30/25 (3 mo. L+3.5%)  (h) (k)  USD CLO  $280    277    275 
Bosphorus CLO V DAC, Series 5A, Class DE, ABS, 4.8%, 12/12/32 (3 mo. EURIBOR+4.8%)  (h) (k)  EUR CLO  320    354    307 
Brookside Mill CLO 2013-1 Ltd., Series 2013-1A, Class ER, ABS, 8.2%, 1/17/28 (3 mo. L+5.5%)  (h) (k)  USD CLO  $720    714    697 
Cairn CLO III B.V., Series 2013-3X, Class F, ABS, 6.6%, 10/20/28 (6 mo. EURIBOR+6.6%)  (k)  EUR CLO  250    300    216 
Cairn CLO VI B.V., Series 2016-6X, Class FR, ABS, 8.4%, 7/25/29 (3 mo. EURIBOR+8.3%)  (k)  EUR CLO   190    227    159 
Cairn CLO VII DAC, Series 2016-7X, Class E, ABS, 6.6%, 1/31/30 (3 mo. EURIBOR+6.4%)  (k)  EUR CLO   440    485    400 
Cairn CLO X B.V., Series 2018-10X, Class E, ABS, 5.2%, 10/15/31 (3 mo. EURIBOR+5.2%)  (k)  EUR CLO   205    180    171 
Cairn CLO XI DAC, Series 2019-11X, Class D, ABS, 4.2%, 7/15/35 (3 mo. EURIBOR+4.2%)  (k)  EUR CLO   625    678    581 
Canyon Capital CLO 2016-2 Ltd., Series 2016-2A, Class CR, ABS, 4.7%, 10/15/31 (3 mo. L+2.2%)  (h) (k)  USD CLO  $285    281    269 
Carlyle Euro CLO 2017-3 DAC, Series 2017-3X, Class C, ABS, 2.5%, 1/15/31 (3 mo. EURIBOR+2.5%)  (k)  EUR CLO  160    157    142 
Carlyle Global Market Strategies Euro CLO 2015-3 DAC, Series 2015-3X, Class C1RE, ABS, 2.6%, 7/15/30 (3 mo. EURIBOR+2.6%)  (k)  EUR CLO   275    323    248 
Carlyle Global Market Strategies Euro CLO 2016-2 DAC, Series 2016-2X, Class BRR, ABS, 2.4%, 4/15/34 (3 mo. EURIBOR+2.4%)  (k)  EUR CLO   525    565    494 
Carlyle Global Market Strategies Euro CLO 2020-1 DAC, Series 2020-1X, Class D, ABS, 5.4%, 4/15/33 (3 mo. EURIBOR+5.4%)  (k)  EUR CLO   250    290    202 
Carlyle US CLO 2016-4 Ltd., Series 2016-4A, Class CR, ABS, 5.5%, 10/20/27 (3 mo. L+2.8%)  (h) (k)  USD CLO  $280    268    250 
Catalyst Healthcare Manchester Financing Plc, Series AMBC, 2.4%, 9/30/40  (i)  Healthcare-Services  £243    637    608 
Catamaran CLO 2014-1 Ltd., Series 2014-1A, Class CR, ABS, 6.2%, 4/22/30 (3 mo. L+3.4%)  (h) (k)  USD CLO  $250    243    222 
CBAM 2017-1 Ltd., Series 2017-1A, Class C, ABS, 5.1%, 7/20/30 (3 mo. L+2.4%)  (h) (k)  USD CLO   535    522    518 
Cedar Funding VII Clo Ltd., Series 2018-7A, Class C, ABS, 4.5%, 1/20/31 (3 mo. L+1.8%)  (h) (i) (k)  USD CLO   395    387    371 
Cent CLO 21 Ltd., Series 2014-21A, Class CR2, ABS, 6.0%, 7/27/30 (3 mo. L+3.2%)  (h) (i) (k)  USD CLO   620    601    543 
CFIP CLO 2014-1 Ltd., Series 2014-1A, Class DR, ABS, 6.6%, 7/13/29 (3 mo. L+4.1%)  (h) (i) (k)  USD CLO   495    488    481 
CIFC Funding 2015-IV Ltd., Series 2015-4A, Class BR2, ABS, 4.6%, 4/20/34 (3 mo. L+1.9%)  (h) (i) (k)  USD CLO   270    263    251 
Contego CLO II B.V., Series 2X, Class ER, ABS, 4.8%, 11/15/26 (3 mo. EURIBOR+5.2%)  (k)  EUR CLO  170    186    157 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Contego CLO II B.V., Series 2X, Class FR, ABS, 6.5%, 11/15/26 (3 mo. EURIBOR+6.9%)  (k)  EUR CLO  615   $638   $559 
Covenant Credit Partners CLO III Ltd., Series 2017-1A, Class D, ABS, 6.3%, 10/15/29 (3 mo. L+3.8%)  (h) (k)  USD CLO  $1,710    1,691    1,575 
CVC Cordatus Loan Fund X DAC, Series 10X, Class C, ABS, 1.8%, 1/27/31 (3 mo. EURIBOR+1.6%)  (k)  EUR CLO  200    205    188 
CVC Cordatus Loan Fund X DAC, Series 10X, Class D, ABS, 2.7%, 1/27/31 (3 mo. EURIBOR+2.5%)  (k)  EUR CLO   190    206    173 
Denali Capital CLO XI Ltd., Series 2015-1A, Class DR, ABS, 8.3%, 10/20/28 (3 mo. L+5.6%)  (h) (k)  USD CLO  $750    725    686 
Diamond CLO 2019-1 Ltd., Series 2019-1A, Class E, ABS, 10.8%, 4/25/29 (3 mo. L+8.1%)  (h) (k)  USD CLO   805    805    788 
Dryden 51 Euro CLO 2017 B.V., Series 2017-51X, Class E, ABS, 4.9%, 7/15/31 (3 mo. EURIBOR+4.9%)  (k)  EUR CLO  620    682    529 
Dryden 59 Euro CLO 2017 B.V., Series 2017-59X, Class D1, ABS, 2.4%, 5/15/32 (3 mo. EURIBOR+2.4%)  (k)  EUR CLO   365    391    317 
Dryden 61 Clo Ltd., Series 2018-61A, Class CR, ABS, 4.5%, 1/17/32 (3 mo. L+1.8%)  (h) (k)  USD CLO  $410    400    385 
Eaton Vance CLO 2014-1R Ltd., Series 2014-1RA, Class C, ABS, 4.6%, 7/15/30 (3 mo. L+2.1%)  (h) (k)  USD CLO   325    317    307 
Elevation CLO 2021-14 Ltd., Series 2021-14A, Class D2, ABS, 7.7%, 10/20/34 (3 mo. L+5.0%)  (h) (k)  USD CLO   630    622    571 
Ellington CLO I Ltd., Series 2017-1A, Class DR, ABS, 5.9%, 10/15/29 (3 mo. L+3.4%)  (h) (k)  USD CLO   410    398    386 
Ellington CLO II Ltd., Series 2017-2A, Class D, ABS, 5.1%, 2/15/29 (3 mo. L+3.7%)  (h) (k)  USD CLO   500    486    469 
Ellington CLO IV Ltd., Series 2019-4A, Class D1, ABS, 8.0%, 4/15/29 (3 mo. L+5.5%)  (h) (k)  USD CLO   585    580    571 
Erna Srl, Series 1, Class A, 2.4%, 7/25/31 (3 mo. EURIBOR+2.3%)  (k)  Commercial MBS  279    323    280 
Erna Srl, Series 1, Class B, 3.6%, 7/25/31 (3 mo. EURIBOR+3.6%)  (k)  Commercial MBS   420    479    417 
Fair Oaks Loan Funding I DAC, Series 1A, Class ER, ABS, 6.1%, 4/15/34 (3 mo. EURIBOR+6.1%)  (h) (k)  EUR CLO   250    296    215 
First Eagle Clarendon Fund CLO LLC, Series 2014-1A, Class E, ABS, 8.8%, 1/25/27 (3 mo. L+6.1%)  (h) (k)  USD CLO  $827    827    815 
Galaxy XVIII CLO Ltd., Series 2018-28A, Class B, ABS, 4.1%, 7/15/31 (3 mo. L+1.6%)  (h) (i) (k)  USD CLO   255    244    244 
Galaxy XVIII CLO Ltd., Series 2018-28A, Class C, ABS, 4.5%, 7/15/31 (3 mo. L+2.0%)  (h) (i) (k)  USD CLO   250    241    233 
Galaxy XXIV CLO Ltd., 5.0%, 1/15/31 (3 mo. L+2.5%)  (k)  USD CLO   550    508    501 
Galaxy XXVII CLO Ltd., Series 2018-27A, Class D, ABS, 4.2%, 5/16/31 (3 mo. L+2.8%)  (h) (k)  USD CLO   250    231    230 
Gallatin CLO IX 2018-1 Ltd., Series 2018-1A, Class D1, ABS, 5.8%, 1/21/28 (3 mo. L+3.1%)  (h) (k)  USD CLO   250    248    242 
Gallatin CLO IX 2018-1 Ltd., Series 2018-1A, Class E, ABS, 8.2%, 1/21/28 (3 mo. L+5.5%)  (h) (k)  USD CLO   1,160    1,138    1,122 
GAM FRR2 H Co.  (f) (o) (p)  Diversified Financial Services   1    569    548 
GAM Re-REMIC Trust 2021-FRR1, Series 2021-FRR1, Class 1C, REMIC, 0.0%, 11/29/50  (h) (o) (q)  Commercial MBS   41    29    29 
GAM Re-REMIC Trust 2021-FRR1, Series 2021-FRR1, Class 1D, REMIC, 0.0%, 11/29/50  (h) (o) (q)  Commercial MBS   60    41    39 
GAM Re-REMIC Trust 2021-FRR1, Series 2021-FRR1, Class 2C, REMIC, 0.0%, 11/29/50  (h) (o) (q)  Commercial MBS   44    29    29 
GAM RE-REMIC Trust 2021-FRR2, Series 2021-FRR2, Class CK44, PO, REMIC, 0.0%, 9/27/51  (h) (o) (q)  Commercial MBS   43    36    35 
GAM RE-REMIC Trust 2021-FRR2, Series 2021-FRR2, Class DK49, PO, REMIC, 0.0%, 9/27/51  (h) (o) (q)  Commercial MBS   34    27    25 
GAM RE-REMIC Trust 2021-FRR2, Series 2021-FRR2, Class D730, PO, REMIC, 0.0%, 9/27/51  (h) (o) (q)  Commercial MBS   35    29    28 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
GAM RE-REMIC Trust 2021-FRR2, Series 2021-FRR2, Class CK78, PO, REMIC, 0.0%, 9/27/51  (h) (o) (q)  Commercial MBS  $29   $18   $18 
GAM RE-REMIC Trust 2021-FRR2, Series 2021-FRR2, Class BK78, REMIC, 2.4%, 9/27/51  (h) (o)  Commercial MBS   46    37    36 
Golub Capital Partners 48 LP, Series 2020-48A, Class D, ABS, 6.5%, 4/17/33 (3 mo. L+3.8%)  (h) (k)  USD CLO   250    233    235 
Greywolf CLO V Ltd., Series 2015-1A, Class BR, ABS, 4.8%, 1/27/31 (3 mo. L+2.0%)  (h) (i) (k)  USD CLO   740    726    700 
Grosvenor Place CLO 2015-1 B.V., Series 2015-1X, Class DRR, ABS, 5.6%, 10/30/29 (3 mo. EURIBOR+5.4%)  (k)  EUR CLO  575    576    538 
Halcyon Loan Advisors Funding 2015-2 Ltd., Series 2015-2A, Class D1R, ABS, 5.9%, 7/25/27 (3 mo. L+3.1%)  (h) (k)  USD CLO  $615    600    580 
Halcyon Loan Advisors Funding 2015-2 Ltd., Series 2015-2A, Class D2R, ABS, 5.9%, 7/25/27 (3 mo. L+3.1%)  (h) (k)  USD CLO   405    395    382 
Halcyon Loan Advisors Funding 2017-2 Ltd., Series 2017-2A, Class B, ABS, 4.8%, 1/17/30 (3 mo. L+2.1%)  (h) (k)  USD CLO   440    424    416 
Halseypoint CLO 2 Ltd., Series 2020-2A, Class D, ABS, 5.7%, 7/20/31 (3 mo. L+3.0%)  (h) (i) (k)  USD CLO   680    636    635 
Harvest CLO XIV DAC, Series 14X, Class F, ABS, 6.3%, 11/18/29 (3 mo. EURIBOR+6.3%)  (k)  EUR CLO  215    255    185 
Harvest CLO XIX DAC, Series 19X, Class D, ABS, 2.6%, 4/14/31 (3 mo. EURIBOR+2.6%)  (k)  EUR CLO   450    475    410 
Harvest CLO XXIII DAC, Series 23A, Class CE, ABS, 2.1%, 10/20/32 (3 mo. EURIBOR+2.1%)  (h) (k)  EUR CLO   250    248    227 
Henley CLO VI DAC, Series 6X, Class D, ABS, 3.3%, 6/10/34 (3 mo. EURIBOR+3.2%)  (k)  EUR CLO   180    186    155 
Henley CLO VI DAC, Series 6A, Class E, ABS, 6.3%, 6/10/34 (3 mo. EURIBOR+6.1%)  (h) (k)  EUR CLO   250    287    200 
Highbridge Loan Management 12-2018 Ltd., Series 12A-18, Class B, ABS, 4.6%, 7/18/31 (3 mo. L+1.9%)  (h) (i) (k)  USD CLO  $435    426    407 
Hull Street CLO Ltd., Series 2014-1A, Class CR, ABS, 5.4%, 10/18/26 (3 mo. L+2.7%)  (h) (k)  USD CLO   10    10    10 
Hull Street CLO Ltd., Series 2014-1A, Class D, ABS, 6.3%, 10/18/26 (3 mo. L+3.6%)  (h) (k)  USD CDO   300    298    295 
JFIN CLO 2012 Ltd., Series 2012-1A, Class DR, ABS, 9.2%, 7/20/28 (3 mo. L+6.5%)  (h) (k)  USD CLO   700    693    684 
JMP Credit Advisors CLO IV Ltd., Series 2017-1A, Class C, ABS, 5.4%, 7/17/29 (3 mo. L+2.7%)  (h) (k)  USD CLO   355    351    344 
JMP Credit Advisors ClO IV Ltd., Series 2017-1A, Class D, ABS, 6.9%, 7/17/29 (3 mo. L+4.2%)  (h) (k)  USD CLO   610    598    580 
Jubilee CLO 2014-XII B.V., Series 2014-12X, Class DR, ABS, 2.9%, 4/15/30 (3 mo. EURIBOR+2.9%)  (k)  EUR CLO  155    175    141 
Jubilee CLO 2015-XV B.V., Series 2015-15X, Class F, ABS, 5.9%, 7/12/28 (3 mo. EURIBOR+6.0%)  (k)  EUR CLO   275    325    236 
Jubilee CLO 2017-XVIII B.V., Series 2017-18X, Class D, ABS, 3.1%, 1/15/30 (3 mo. EURIBOR+3.1%)  (k)  EUR CLO   200    224    191 
KKR CLO 13 Ltd., Series 13, Class ER, ABS, 7.7%, 1/16/28 (3 mo. L+5.0%)  (h) (k)  USD CLO  $880    871    852 
KKR CLO 32 Ltd., Series 32A, Class C, ABS, 4.9%, 1/15/32 (3 mo. L+2.4%)  (h) (i) (k)  USD CLO   250    247    239 
KVK CLO 2013-1 Ltd., Series 2013-1A, Class ER, ABS, 8.4%, 1/14/28 (3 mo. L+5.9%)  (h) (k)  USD CLO   500    497    492 
LCM XXI LP, Series 21A, Class ER, ABS, 8.5%, 4/20/28 (3 mo. L+5.8%)  (h) (k)  USD CLO   570    548    518 
Lehman XS Trust 2007-14H, Series 2007-14H, Class A22, CMO, 3.1%, 7/25/47 (1 mo. L+0.8%)  (k)  USD CLO   268    270    254 
Lehman XS Trust 2007-6, Series 2007-6, Class 3A32, ABS, 2.8%, 5/25/37 (1 mo. L+0.5%)  (k)  USD CLO   148    133    131 
Lehman XS Trust 2007-6, Series 2007-6, Class 3A2, ABS, 4.4%, 5/25/37     USD CLO   80    83    78 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Lehman XS Trust 2007-6, Series 2007-6, Class 3A4, ABS, 4.4%, 5/25/37     USD CLO  $177   $182   $143 
Lehman XS Trust 2007-6, Series 2007-6, Class 3A31, ABS, 4.4%, 5/25/37     USD CLO   130    133    118 
Lockwood Grove CLO Ltd., Series 2014-1A, Class CRR, ABS, 4.8%, 1/25/30 (3 mo. L+2.0%)  (h) (k)  USD CLO   550    538    523 
Longfellow Place CLO Ltd., Series 2013-1A, Class DRR, ABS, 7.0%, 4/15/29 (3 mo. L+4.5%)  (h) (i) (k)  USD CLO   520    513    505 
Madison Park Funding XI Ltd., Series 2013-11A, Class DR, ABS, 6.0%, 7/23/29 (3 mo. L+3.3%)  (h) (k)  USD CLO   430    422    396 
Madison Park Funding XIX Ltd., Series 2015-19A, Class DR, ABS, 7.1%, 1/22/28 (3 mo. L+4.4%)  (h) (k)  USD CLO   340    337    318 
Man GLG Euro CLO I DAC, 2.5%, 10/15/30 (3 mo. EURIBOR+2.5%)  (k)  EUR CLO  315    351    285 
Man GLG Euro CLO III DAC, Series 3X, Class D, ABS, 3.3%, 10/15/30 (3 mo. EURIBOR+3.3%)  (k)  EUR CLO   635    703    587 
Marathon CLO V Ltd., Series 2013-5A, Class CR, ABS, 4.3%, 11/21/27 (3 mo. L+2.8%)  (h) (k)  USD CLO  $1,210    1,176    1,141 
Marathon CLO X Ltd., Series 2017-10A, Class C, ABS, 5.1%, 11/15/29 (3 mo. L+3.7%)  (h) (k)  USD CLO   1,030    1,001    894 
Marble Point CLO XXI Ltd., Series 2021-3A, Class D2, ABS, 7.7%, 10/17/34 (3 mo. L+5.0%)  (h) (k)  USD CLO   470    464    432 
Marlay Park CLO DAC, Series 1X, Class D, ABS, 4.5%, 10/15/30 (3 mo. EURIBOR+4.5%)  (k)  EUR CLO  590    653    493 
Midocean Credit CLO VII, Series 2017-7A, Class D, ABS, 6.4%, 7/15/29 (3 mo. L+3.9%)  (h) (k)  USD CLO  $340    336    299 
Midocean Credit CLO VIII, Series 2018-8A, Class D, ABS, 4.4%, 2/20/31 (3 mo. L+2.9%)  (h) (i) (k)  USD CLO   250    236    218 
Mitchells & Butlers Finance Plc, Series C2, 3.5%, 9/15/34 (3 mo. L GBP+2.1%)  (i) (k)  Retail  £972    1,137    947 
Mitchells & Butlers Finance Plc, Series D1, 3.7%, 6/15/36 (3 mo. L GBP+2.4%)  (i) (k)  Retail   481    540    474 
Mitchells & Butlers Finance Plc, Series B2, 6.0%, 12/15/28  (i)  Retail   191    293    237 
Mitchells & Butlers Finance Plc, Series C1, 6.5%, 9/15/30  (i)  Retail   884    1,375    1,111 
MKS CLO 2017-2 Ltd., Series 2017-2A, Class D, ABS, 5.4%, 1/20/31 (3 mo. L+2.7%)  (h) (i) (k)  USD CLO  $535    516    461 
Monroe Capital CLO 2014-1 Ltd., Series 2014-1X, Class E, ABS, 8.2%, 10/22/26 (3 mo. L+5.4%)  (k)  USD CLO   250    245    238 
Monroe Capital MML CLO 2016-1 Ltd., Series 2016-1A, Class ER, ABS, 10.0%, 7/22/28 (3 mo. L+7.3%)  (h) (k)  USD CLO   485    485    467 
Monroe Capital Mml CLO 2017-1 Ltd., Series 2017-1A, Class E, ABS, 10.1%, 4/22/29 (3 mo. L+7.4%)  (h) (k)  USD CLO   525    524    497 
Monroe Capital MML CLO VI Ltd., Series 2018-1A, Class E, ABS, 9.4%, 4/15/30 (3 mo. L+6.9%)  (h) (k)  USD CLO   290    280    267 
Mountain View CLO 2017-1 LLC, Series 2017-1A, Class D, ABS, 6.3%, 10/16/29 (3 mo. L+3.6%)  (h) (k)  USD CLO   250    247    235 
MP CLO VII Ltd., Series 2015-1A, Class DRR, ABS, 5.7%, 10/18/28 (3 mo. L+3.0%)  (h) (k)  USD CLO   250    250    216 
Nassau 2017-I Ltd., Series 2017-IA, Class C, ABS, 6.4%, 10/15/29 (3 mo. L+3.9%)  (h) (i) (k)  USD CLO   265    261    234 
Newark BSL CLO 2 Ltd., Series 2017-1A, Class BR, ABS, 4.5%, 7/25/30 (3 mo. L+1.8%)  (h) (k)  USD CLO   340    329    321 
Newstar Exeter Fund CLO LLC, Series 2015-1RA, Class E, ABS, 9.9%, 1/20/27 (3 mo. L+7.2%)  (h) (k)  USD CLO   725    725    710 
Oak Hill European Credit Partners IV DAC, Series 2015-4X, Class DR, ABS, 2.5%, 1/20/32 (3 mo. EURIBOR+3.4%)  (k)  EUR CLO  325    343    298 
Oaktree CLO 2020-1 Ltd., Series 2020-1A, Class BR, ABS, 4.2%, 7/15/34 (3 mo. L+1.7%)  (h) (i) (k)  USD CLO  $295    284    280 
OCP Euro CLO 2022-5 DAC, Series 2022-5A, Class E, ABS, 6.5%, 4/20/35 (3 mo. EURIBOR+6.5%)  (h) (k)  EUR CLO  250    277    208 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Octagon Investment Partners XXI Ltd., Series 2014-1A, Class BR3, ABS, 3.2%, 2/14/31 (3 mo. L+1.8%)  (h) (k)  USD CLO  $250   $243   $232 
OFSI BSL VIII Ltd., Series 2017-1A, Class BR, ABS, 4.2%, 8/16/29 (3 mo. L+1.5%)  (h) (i) (k)  USD CLO   855    818    821 
OHA Credit Funding 4 Ltd., Series 2019-4A, Class CR, ABS, 4.8%, 10/22/36 (3 mo. L+2.1%)  (h) (i) (k)  USD CLO   250    246    235 
OZLM Funding IV Ltd., Series 2013-4A, Class CR, ABS, 6.1%, 10/22/30 (3 mo. L+3.4%)  (h) (i) (k)  USD CLO   250    245    226 
OZLM VII Ltd., Series 2014-7RA, Class CR, ABS, 5.7%, 7/17/29 (3 mo. L+3.0%)  (h) (k)  USD CLO   250    241    236 
OZLM XIV Ltd., Series 2015-14A, Class CRR, ABS, 5.9%, 7/15/34 (3 mo. L+3.4%)  (h) (k)  USD CLO   465    419    435 
OZLM XVI Ltd., Series 2017-16A, Class C, ABS, 5.0%, 5/16/30 (3 mo. L+3.6%)  (h) (k)  USD CLO   250    244    214 
OZLM XXIV Ltd., Series 2019-24X, Class C1R, ABS, 6.1%, 7/20/32 (3 mo. L+3.4%)  (i) (k)  USD CLO   430    392    388 
Palmer Square Loan Funding 2020-4 Ltd., Series 2020-4A, Class E, ABS, 10.1%, 11/25/28 (3 mo. L+8.6%)  (h) (k)  USD CLO   250    252    238 
Palmerston Park CLO DAC, Series 1X, Class E, ABS, 8.1%, 4/18/30 (3 mo. EURIBOR+8.1%)  (k)  EUR CLO  130    120    105 
Parallel 2015-1 Ltd., Series 2015-1A, Class E, ABS, 7.9%, 7/20/27 (3 mo. L+5.2%)  (h) (k)  USD CLO  $755    742    709 
Parallel 2017-1 Ltd., Series 2017-1A, Class DR, ABS, 5.8%, 7/20/29 (3 mo. L+3.1%)  (h) (k)  USD CLO   530    514    474 
Park Avenue Institutional Advisers CLO Ltd., Series 2019-2A, Class A2R, ABS, 4.2%, 10/15/34 (3 mo. L+1.7%)  (h) (i) (k)  USD CLO   565    536    535 
Penta CLO 5 DAC, Series 2018-5X, Class CR, ABS, 2.4%, 4/20/35 (3 mo. EURIBOR+2.4%)  (k)  EUR CLO  100    107    92 
Penta CLO 8 DAC, Series 2020-8X, Class CR, ABS, 2.2%, 1/15/34 (3 mo. EURIBOR+2.2%)  (k)  EUR CLO   240    244    224 
Peterborough Progress Health Plc, 5.6%, 10/2/42  (i)  Healthcare-Services  £588    1,020    785 
Preferred Term Securities XXIV Ltd./Preferred Term Securities XXIV, Inc., 2.2%, 3/22/37 (3 mo. L+0.4%)  (h) (k)  Diversified Financial Services  $430    341    331 
Preferred Term Securities XXVI Ltd./Preferred Term Securities XXVI, Inc., 2.2%, 9/22/37 (3 mo. L+0.4%)  (h) (k)  Diversified Financial Services   269    221    210 
Providus CLO IV DAC, Series 4X, Class B1R, ABS, 1.7%, 4/20/34 (3 mo. EURIBOR+1.6%)  (k)  EUR CLO  355    365    332 
Providus CLO V DAC, Series 5X, Class D, ABS, 3.0%, 2/15/35 (3 mo. EURIBOR+3.0%)  (k)  EUR CLO   370    379    327 
RR 4 Ltd., Series 2018-4A, Class A2, ABS, 4.1%, 4/15/30 (3 mo. L+1.6%)  (h) (i) (k)  USD CLO  $730    702    704 
RRE 1 Loan Management DAC, Series 1X, Class A2R, ABS, 1.4%, 4/15/35 (3 mo. EURIBOR+1.4%)  (k)  EUR CLO  180    183    167 
Saranac CLO I Ltd., Series 2013-1A, Class CR, ABS, 5.6%, 7/26/29 (3 mo. L+2.9%)  (h) (k)  USD CLO  $575    554    559 
Sculptor CLO XXIX Ltd., Series 29A, Class D2, ABS, 7.6%, 10/22/34 (3 mo. L+4.9%)  (h) (k)  USD CLO   350    307    298 
Sculptor European CLO I DAC, Series 1A, Class DRR, ABS, 3.5%, 4/18/34 (3 mo. EURIBOR+3.5%)  (h) (k)  EUR CLO  475    453    428 
Sculptor European CLO VI DAC, Series 6X, Class CR, ABS, 2.3%, 10/15/34 (3 mo. EURIBOR+2.3%)  (k)  EUR CLO   300    321    281 
Shackleton 2015-VIII CLO Ltd., Series 2015-8A, Class ER, ABS, 8.1%, 10/20/27 (3 mo. L+5.3%)  (h) (k)  USD CLO  $440    435    404 
Shackleton 2021-XVI CLO Ltd., Series 2021-16A, Class D2, ABS, 7.7%, 10/20/34 (3 mo. L+5.0%)  (h) (k)  USD CLO   1,220    1,202    1,121 
Signal Peak CLO 7 Ltd., Series 2019-1A, Class B, ABS, 4.8%, 4/30/32 (3 mo. L+2.0%)  (h) (i) (k)  USD CLO   565    548    548 
Silvermore CLO Ltd., Series 2014-1A, Class C, ABS, 4.9%, 5/15/26 (3 mo. L+3.5%)  (h) (k)  USD CLO   855    847    846 
Smeralda SPV Srl, 1.0%, 12/22/33  (f)  Commercial MBS  742    888    766 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Smeralda SPV Srl, 5.3%, 12/22/34  (f)  Commercial MBS  1,943   $2,206   $1,986 
Sound Point CLO VIII-R Ltd., Series 2015-1RA, Class R2D2, ABS, 7.7%, 4/15/30 (3 mo. L+5.2%)  (h) (k)  USD CLO  $435    435    375 
Sound Point Clo XV Ltd., Series 2017-1A, Class CR, ABS, 4.8%, 1/23/29 (3 mo. L+2.1%)  (h) (k)  USD CLO   755    736    723 
Sound Point Euro CLO I Funding DAC, Series 1X, Class DR, ABS, 3.2%, 5/25/34 (3 mo. EURIBOR+3.1%)  (k)  EUR CLO  215    206    189 
St Paul's CLO III-R DAC, Series 3RX, Class CR, ABS, 1.6%, 1/15/32 (3 mo. EURIBOR+1.6%)  (k)  EUR CLO   100    96    97 
St Paul's CLO III-R DAC, Series 3RX, Class DR, ABS, 2.4%, 1/15/32 (3 mo. EURIBOR+2.4%)  (k)  EUR CLO   445    487    401 
St Paul's CLO V DAC, Series 5X, Class DR, ABS, 3.0%, 2/20/30 (3 mo. EURIBOR+3.0%)  (k)  EUR CLO   140    162    129 
St Paul's CLO VI DAC, Series 6A, Class DRRE, ABS, 3.3%, 5/20/34 (3 mo. EURIBOR+3.3%)  (h) (k)  EUR CLO   520    490    453 
Steele Creek CLO 2014-1 Ltd., Series 2014-1RA, Class D, ABS, 5.5%, 4/21/31 (3 mo. L+2.8%)  (h) (k)  USD CLO  $1,330    1,280    1,162 
Steele Creek Clo 2017-1 Ltd., Series 2017-1A, Class C, ABS, 4.4%, 10/15/30 (3 mo. L+1.9%)  (h) (k)  USD CLO   250    238    235 
Symphony CLO XIV Ltd., Series 2014-14A, Class E, ABS, 7.1%, 7/14/26 (3 mo. L+4.6%)  (h) (k)  USD CLO   250    245    244 
Symphony CLO XIX Ltd., Series 2018-19A, Class D, ABS, 5.3%, 4/16/31 (3 mo. L+2.6%)  (h) (k)  USD CLO   250    248    220 
Symphony CLO XVII Ltd., Series 2016-17A, Class ER, ABS, 8.1%, 4/15/28 (3 mo. L+5.6%)  (h) (k)  USD CLO   910    898    862 
TBW Mortgage-Backed Trust 2006-6, Series 2006-6, Class A4, CMO, 6.4%, 1/25/37     USD CLO   52    40    42 
Terwin Mortgage Trust 2006-6, Series 2006-6, Class 1A2, ABS, 0.2%, 7/25/37  (h) (k)  USD CLO   45    15    18 
TICP CLO XII Ltd., Series 2018-12A, Class BR, ABS, 4.2%, 7/15/34 (3 mo. L+1.7%)  (h) (i) (k)  USD CLO   470    450    448 
Tikehau CLO III DAC, Series 3X, Class D, ABS, 2.7%, 12/1/30 (3 mo. EURIBOR+2.7%)  (k)  EUR CLO  220    235    203 
Toro European CLO 4 DAC, Series 1X, Class ER, ABS, 5.3%, 7/15/30 (3 mo. EURIBOR+5.3%)  (k)  EUR CLO   315    322    274 
Toro European CLO 6 DAC, Series 6X, Class CR, ABS, 2.5%, 1/12/32 (3 mo. EURIBOR+2.5%)  (k)  EUR CLO   400    428    379 
Trinitas Euro CLO II DAC, Series 2A, Class DR, ABS, 4.6%, 4/15/35 (3 mo. EURIBOR+4.6%)  (h) (k)  EUR CLO   250    272    236 
Unique Pub Finance Co. Plc, Series A4, 5.7%, 6/30/27  (i)  Real Estate  £1,230    1,849    1,580 
Unique Pub Finance Co. Plc, Series N, 6.5%, 3/30/32  (i)  Real Estate   1,036    1,413    1,455 
Unique Pub Finance Co. Plc, Series M, 7.4%, 3/28/24  (i)  Real Estate   372    521    463 
Venture 44 CLO Ltd., Series 2021-44A, Class D2, ABS, 7.7%, 10/20/34 (3 mo. L+5.0%)  (h) (k)  USD CDO  $630    624    579 
Venture CDO Ltd., Series 2016-25A, Class D2, ABS, 6.9%, 4/20/29 (3 mo. L+4.2%)  (h) (k)  USD CDO   135    135    129 
Venture XVII CLO Ltd., Series 2014-17A, Class CRR, ABS, 4.4%, 4/15/27 (3 mo. L+1.9%)  (h) (k)  USD CLO   160    155    152 
Venture XVII CLO Ltd., Series 2014-17A, Class DRR, ABS, 5.3%, 4/15/27 (3 mo. L+2.8%)  (h) (k)  USD CDO   1,330    1,308    1,230 
Venture XXIV CDO Ltd., Series 2016-24A, Class D2, ABS, 6.8%, 10/20/28 (3 mo. L+4.1%)  (h) (k)  USD CDO   530    523    503 
Vesey Park CLO DAC, Series 1X, Class B, ABS, 2.3%, 11/16/32 (3 mo. EURIBOR+2.3%)  (k)  EUR CLO  140    150    130 
Vibrant CLO VI Ltd., Series 2017-6A, Class D, ABS, 6.0%, 6/20/29 (3 mo. L+3.9%)  (h) (k)  USD CLO  $250    248    242 
Voya Euro CLO IV DAC, Series 4X, Class DR, ABS, 3.1%, 10/15/34 (3 mo. EURIBOR+3.1%)  (k)  EUR CLO  115    118    99 
WhiteHorse X Ltd., Series 2015-10A, Class E, ABS, 8.0%, 4/17/27 (3 mo. L+5.3%)  (h) (k)  USD CLO  $1,375    1,375    1,232 
Wind River 2016-1K CLO Ltd., Series 2016-1KRA, Class D2R2, ABS, 7.6%, 10/15/34 (3 mo. L+5.1%)  (h) (k)  USD CLO   915    904    847 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Z Capital Credit Partners CLO 2019-1 Ltd., Series 2019-1A, Class CR, ABS, 5.6%, 7/16/31 (3 mo. L+2.9%)  (h) (k)  USD CLO  $455   $438   $442 
Zais CLO 14 Ltd., Series 2020-14A, Class DR, ABS, 7.0%, 4/15/32 (3 mo. L+4.5%)  (h) (k)  USD CDO   475    475    437 
Zais CLO 5 Ltd., Series 2016-2A, Class C, ABS, 7.0%, 10/15/28 (3 mo. L+4.5%)  (h) (k)  USD CLO   510    500    469 
Total Collateralized Loan Obligation / Structured Credit              104,084    95,050 
                      
Convertible Bonds—2.7%                     
Coupa Software, Inc., 0.4%, 6/15/26  (i)  Software   919    702    738 
Groupon, Inc., 1.1%, 3/15/26  (i)  Internet   7,000    4,897    4,576 
Liberty Interactive LLC, 3.8%, 2/15/30  (i)  Media Entertainment   1,162    888    529 
Liberty Interactive LLC, 4.0%, 11/15/29  (i)  Media Entertainment   3,707    2,941    1,613 
Liberty Latin America Ltd., 2.0%, 7/15/24  (i)  Media Entertainment   6,614    6,577    5,721 
Total Convertible Bonds              16,005    13,177 

 

Portfolio Company(a)  Footnotes      Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
                    
Municipal Bonds—1.4%
City of Detroit MI, COPs, 4.8%, 6/15/20  (i) (l) (m)      $236   $178   $217 
City of Detroit MI, COPs, 4.9%, 6/15/25  (i) (l) (m)       824    620    759 
Puerto Rico Electric Power Authority, 5.0%, 7/1/42  (i) (l) (m)       10    7    8 
Puerto Rico Electric Power Authority, 5.1%, 7/1/42  (i) (l) (m)       15    11    12 
Puerto Rico Electric Power Authority, 5.3%, 7/1/27  (i) (l) (m)       355    233    291 
Puerto Rico Electric Power Authority, 5.4%, 1/1/18  (i) (l) (m)       30    23    24 
Puerto Rico Electric Power Authority, 5.4%, 7/1/18  (i) (l) (m)       20    16    16 
Puerto Rico Electric Power Authority, 5.4%, 1/1/20  (i) (l) (m)       5    4    4 
Puerto Rico Electric Power Authority, 5.5%, 7/1/21  (i) (l) (m)       80    67    66 
Puerto Rico Electric Power Authority, 5.5%, 7/1/38  (i) (l) (m)       215    137    177 
Puerto Rico Electric Power Authority, 10.0%, 7/1/19  (i) (l) (m)       10    8    9 
Puerto Rico Electric Power Authority, 10.0%, 7/1/19  (i) (l) (m)       10    8    9 
Puerto Rico Electric Power Authority, Series A, 5.0%, 7/1/29  (l) (m)       440    300    361 
Puerto Rico Electric Power Authority, Series A, 6.8%, 7/1/36  (l) (m)       445    330    379 
Puerto Rico Electric Power Authority, Series A, 7.0%, 7/1/43  (l) (m)       80    53    68 
Puerto Rico Electric Power Authority, Series AAA, 5.3%, 7/1/22  (l) (m)       55    35    45 
Puerto Rico Electric Power Authority, Series AAA, 5.3%, 7/1/31  (l) (m)       120    78    98 
Puerto Rico Electric Power Authority, Series BBB, 5.4%, 7/1/28  (l) (m)       1,690    1,269    1,284 
Puerto Rico Electric Power Authority, Series CCC, 5.0%, 7/1/25  (l) (m)       5    4    4 
Puerto Rico Electric Power Authority, Series CCC, 5.0%, 7/1/28  (l) (m)       25    20    21 
Puerto Rico Electric Power Authority, Series CCC, 5.3%, 7/1/26  (l) (m)       160    104    131 
Puerto Rico Electric Power Authority, Series CCC, 5.3%, 7/1/27  (l) (m)       145    111    119 
Puerto Rico Electric Power Authority, Series CCC, 5.3%, 7/1/28  (l) (m)       30    20    25 
Puerto Rico Electric Power Authority, Series DDD, 3.8%, 7/1/22  (l) (m)       5    3    4 
Puerto Rico Electric Power Authority, Series DDD, 5.0%, 7/1/19  (l) (m)       10    8    8 
Puerto Rico Electric Power Authority, Series DDD, 5.0%, 7/1/20  (l) (m)       110    71    90 
Puerto Rico Electric Power Authority, Series DDD, 5.0%, 7/1/21  (l) (m)       60    39    49 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

 

Portfolio Company(a)  Footnotes      Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Puerto Rico Electric Power Authority, Series E-1, 10.0%, 1/1/21  (m)      $69   $61   $61 
Puerto Rico Electric Power Authority, Series E-2, 10.0%, 7/1/21  (l) (m)       69    61    61 
Puerto Rico Electric Power Authority, Series E-3, 10.0%, 1/1/22  (l) (m)       18    16    16 
Puerto Rico Electric Power Authority, Series E-4, 10.0%, 7/1/22  (l) (m)       18    16    16 
Puerto Rico Electric Power Authority, Series EEE, 6.0%, 7/1/30  (l) (m)       25    16    19 
Puerto Rico Electric Power Authority, Series EEE, 6.3%, 7/1/40  (l) (m)       5    3    4 
Puerto Rico Electric Power Authority, Series NN, 5.5%, 7/1/20  (i) (l) (m)       30    21    25 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/20  (l) (m)       5    4    4 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/21  (l) (m)       5    3    4 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/23  (i) (l) (m)       25    21    21 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/24  (i) (l) (m)       20    16    16 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/25  (l) (m)       80    68    66 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/27  (l) (m)       35    27    29 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/32  (i) (l) (m)       180    140    148 
Puerto Rico Electric Power Authority, Series TT, 5.0%, 7/1/37  (i) (l) (m)       150    121    123 
Puerto Rico Electric Power Authority, Series UU, 0.0%, 7/1/17  (k) (l) (m)       15    10    11 
Puerto Rico Electric Power Authority, Series UU, 0.0%, 7/1/18  (k) (l) (m)       15    10    11 
Puerto Rico Electric Power Authority, Series UU, 0.0%, 7/1/20  (k) (m)       110    84    87 
Puerto Rico Electric Power Authority, Series UU, 2.2%, 7/1/25 (3 mo. L+0.7%)  (k) (l) (m)       25    18    19 
Puerto Rico Electric Power Authority, Series UU, 2.2%, 7/1/31 (3 mo. L+0.7%)  (k) (l) (m)       110    80    82 
Puerto Rico Electric Power Authority, Series VV, 5.5%, 7/1/20  (l) (m)       15    12    12 
Puerto Rico Electric Power Authority, Series WW, 5.3%, 7/1/33  (l) (m)       465    373    381 
Puerto Rico Electric Power Authority, Series XX, 5.3%, 7/1/35  (l) (m)       15    10    12 
Puerto Rico Electric Power Authority, Series XX, 5.3%, 7/1/40  (l) (m)       210    152    172 
Puerto Rico Electric Power Authority, Series YY, 6.1%, 7/1/40  (l) (m)       195    122    151 
Puerto Rico Electric Power Authority, Series ZZ, 5.0%, 7/1/17  (l) (m)       15    11    12 
Puerto Rico Electric Power Authority, Series ZZ, 5.3%, 7/1/19  (l) (m)       10    6    8 
Puerto Rico Electric Power Authority, Series ZZ, 5.3%, 7/1/24  (l) (m)       5    4    4 
Puerto Rico Electric Power Authority, Series ZZ, 5.3%, 7/1/25  (i) (l) (m)       5    4    4 
Puerto Rico Electric Power Authority, Series ZZ, 5.3%, 7/1/26  (i) (l) (m)       375    291    308 
                       

See notes to unaudited schedule of investments.

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

 

Portfolio Company(a)  Footnotes      Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Puerto Rico Highway & Transportation Auth., Series N, 5.3%, 7/1/39  (l) (m)      $595   $524   $565 
Total Municipal Bonds               6,062    6,730 
                       

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Emerging Markets Debt—1.4%                        
Argentine Republic Government International Bond, 0.9%, 7/9/46  (i)  Sovereign  158   64     33  
Argentine Republic Government International Bond, 0.1%, 7/9/30  (i)  Sovereign   1,902    958     408  
Argentine Republic Government International Bond, 0.5%, 7/9/30  (i)  Sovereign  $901    453     214  
Argentine Republic Government International Bond, 1.5%, 7/9/35  (i)  Sovereign   1,263    515     281  
Argentine Republic Government International Bond, 1.5%, 7/9/46     Sovereign   704    329     160  
Argentine Republic Government International Bond, 2.8%, 7/9/41  (i)  Sovereign  27    12     6  
Argentine Republic Government International Bond, 3.0%, 1/9/38  (i)  Sovereign   23    11     5  
Argentine Republic Government International Bond, 3.9%, 1/9/38  (i)  Sovereign  $183    83     52  
Ecuador Social Bond Sarl, 0.0%, 1/30/35  (i) (q)  Sovereign   862    703     669  
Petroleos Mexicanos, 6.5%, 1/23/27  (i)  Oil & Gas   1,205    1,206     1,096  
Petroleos Mexicanos, 6.5%, 3/13/27  (i)  Oil & Gas   2,629    2,634     2,381  
Petroleos Mexicanos, 6.8%, 1/23/30  (i)  Oil & Gas   861    903     734  
Provincia de Buenos Aires/Government Bond, 2.0%, 9/1/37  (i)  Provincial  31    12     8  
Provincia de Buenos Aires/Government Bond, 2.5%, 9/1/37  (i)  Provincial   10    4     3  
Provincia de Buenos Aires/Government Bond, 2.9%, 9/1/37  (i)  Provincial   252    134     72  
Provincia de Buenos Aires/Government Bond, 3.5%, 9/1/37  (i)  Provincial  $1,757    689     501  
Provincia de Buenos Aires/Government Bond, 3.5%, 9/1/37  (h) (i)  Provincial   84    32     24  
Provincia de Buenos Aires/Government Bond, 3.9%, 9/1/37  (i)  Provincial   911    439     286  
Total Emerging Markets Debt              9,181     6,933  
                         
Government Bonds—0.6%                        
U.S. Treasury Bond, 2.4%, 2/15/42  (i)  Sovereign   2,418    2,124     2,125  
U.S. Treasury Bond, 3.3%, 5/15/42     Sovereign   701    697     708  
Total Government Bonds              2,821     2,833  

 

Portfolio Company(a)   Footnotes  Industry  Number of
Shares
   Cost   Fair
Value(c)
 
                    
Preferred Equity—0.4%
Midwest Veterinary Co. LLC 12.0%  (f)  Healthcare-Services   17,650    1,729    1,659 
Riverbed Technology, Inc.     Software   4,494    86    25 
Verscend Technologies, Inc., 12.3%  (f)  Software   200    194    201 
Total Preferred Equity              2,009    1,885 
                      
Common Equity—0.8%                     
Aquadrill, LLC  (m)  Oil & Gas   6,967    199    271 
ATD New Holdings, Inc.  (m)  Distribution/Wholesale   1,964    36    142 
California Resources Corp.  (i)  Oil & Gas   2,148    29    96 
                      

See notes to unaudited schedule of investments.

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

 

Portfolio Company(a)  Footnotes  Industry  Number of
Shares
   Cost   Fair
Value(c)
 
California Resources Corp., Warrants, 10/27/24, Strike $36.00  (m)  Oil & Gas   1,064   $4   $16 
Noble Corp.  (m)  Oil & Gas   11,726    159    352 
Quorum Health Corp.  (f) (m)  Healthcare-Services   48,950    492    317 
Quorum Litigation Trust, Initial Funding  (f) (m)  Healthcare-Services   157,000         
Quorum Litigation Trust, Units  (f) (m)  Healthcare-Services   2,399    2    2 
Solocal Group  (m)  Internet   492,144    1,566    498 
Superior Energy Equity New 144A  (h) (m)  Oil & Gas   1,228    2    77 
Superior Energy Equity New Sec 1145  (m)  Oil & Gas   26,438    676    1,652 
UTEX Industries Inc.  (m)  Miscellaneous Manufacturing   8,041    240    551 
UTEX Industries Inc., Warrants  (f) (m)  Miscellaneous Manufacturing   2,245    2    29 
Valaris, Ltd.  (m)  Oil & Gas   135    2    7 
Total Common Equity              3,409    4,010 

 

Portfolio Company(a)  Footnotes  Yield  Number of
Shares
   Cost   Fair
Value(c)
 
                   
Short-Term Investments—0.5%
Morgan Stanley Institutional Liquidity Funds - Government Portfolio, Institutional Class  (r)  1.60%   2,660,709   $2,661   $2,661 
Total Short-Term Investments              2,661    2,661 
TOTAL INVESTMENTS—114.8%             $599,207    562,209 
LIABILITIES IN EXCESS OF OTHER ASSETS—(14.8%)(s)                   (72,568)
NET ASSETS—100.0%                  $489,641

 

 

See notes to unaudited schedule of investments.

 

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

 

Shares outstanding at period end (Class A)   827,353 
      
Net asset value per common share at period end (Class A)  $11.87 
      
Shares outstanding at period end (Class I)   25,175,601 
      
Net asset value per common share at period end (Class I)  $11.91 
      
Shares outstanding at period end (Class T)   247,164 
      
Net asset value per common share at period end (Class T)  $11.90 
      
Shares outstanding at period end (Class U)   12,256,036 
      
Net asset value per common share at period end (Class U)  $11.85 
      
Shares outstanding at period end (Class U-2)   2,666,798 
      
Net asset value per common share at period end (Class U-2)  $11.94 

 

See notes to unaudited schedule of investments.

 

 

FS Credit Income Fund

Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands, except share amounts)

 

 

Reverse Repurchase Agreements—(1.4)%

 

Security Description  Principal
Value(c)
   Principal
Value Including Accrued Interest
 
Agreement dated 6/27/22 with Royal Bank of Canada, 2.6473%, to be repurchased 9/27/22 for $(2,370), collateralized by NMG Holding Co., Inc. / Neiman Marcus Group LLC, 7.125% due 4/1/26 and $(2,431), collateralized by Coty, Inc., 6.5% due 4/15/26 and $(2,394), collateralized by BellRing Brands, Inc., 7.0% due 3/15/30; (value—$(7,158))  $(5,432)  $(5,444)
Agreement dated 7/29/22 with BNP Paribas, 1.74%, to be repurchased 11/2/22 for $(1,301), collateralized by Advantage Sales & Marketing, Inc., 6.5% due 11/15/28 and $(796), collateralized by CSC Holdings LLC,  6.5% due 2/1/29; (value—$(1,958))   (1,674)   (1,674)
Total Reverse Repurchase Agreements   (7,106)   (7,118)

 

Investments Sold Short—(0.8)%

 

Portfolio Company(a)  Industry  
Principal
Amount(b)
   Proceeds   Fair
Value(c)
 
Government Bonds Sold Short—(0.8)%                    
Bundesrepublik Deutschland Bundesanleihe, 0.3%, 2/15/2027   Sovereign   (925)  $(1,081)  $(939)
U.S. Treasury Bond, 2.3%, 2/15/2052   Sovereign   $(3,320)   (2,767)   (2,837)
Total Government Bonds Sold Short             (3,848)   (3,776)
Total Investments Sold Short            $(3,848)  $(3,776)

 

Forward Foreign Currency Exchange Contracts

 

Counterparty  Contract Settlement
Date
  Currency and Amount
to be Received
  Currency and Amount to be Delivered  Unrealized
Appreciation
   Unrealized
Depreciation
 
BNP Paribas  12/21/22  EUR  1,141   USD  1,170  $9   $ 
BNP Paribas  12/21/22  EUR  1,435   USD  1,525       43 
BNP Paribas  12/21/22  USD  1,792   EUR  1,679   58     
BNP Paribas  12/21/22  USD  1,376   EUR  1,286   47     
BNP Paribas  12/21/22  USD  1,231   EUR  1,137   56     
BNP Paribas  12/21/22  USD  339   EUR  313   15     
BNP Paribas  12/21/22  USD  1,663   EUR  1,537   76     
JPMorgan Chase Bank, N.A.  12/21/22  EUR  1,395   USD  1,513       72 
JPMorgan Chase Bank, N.A.  12/21/22  USD  46   CAD  58   1     
JPMorgan Chase Bank, N.A.  12/21/22  USD  892   EUR  866       3 
JPMorgan Chase Bank, N.A.  12/21/22  USD  3,002   EUR  2,773   137     
JPMorgan Chase Bank, N.A.  12/21/22  USD  2,576   EUR  2,380   118     
JPMorgan Chase Bank, N.A.  12/21/22  USD  3,149   EUR  2,909   144     
JPMorgan Chase Bank, N.A.  12/21/22  USD  110   GBP  87   3     
JPMorgan Chase Bank, N.A.  12/21/22  USD  520   GBP  412   16     
JPMorgan Chase Bank, N.A.  12/21/22  USD  780   GBP  618   24     
State Street Bank and Trust Company  12/21/22  EUR  814   USD  860       19 
State Street Bank and Trust Company  12/21/22  GBP  146   USD  178        
State Street Bank and Trust Company  12/21/22  GBP  353   USD  431   1     
State Street Bank and Trust Company  12/21/22  GBP  329   USD  402   1     
State Street Bank and Trust Company  12/21/22  GBP  91   USD  111   1     
State Street Bank and Trust Company  12/21/22  USD  758   CHF  723       11 
State Street Bank and Trust Company  12/21/22  USD  798   EUR  784       11 
State Street Bank and Trust Company  12/21/22  USD  4,170   EUR  3,928   113     
State Street Bank and Trust Company  12/21/22  USD  4,957   EUR  4,583   223     
State Street Bank and Trust Company  12/21/22  USD  1,499   EUR  1,386   67     
State Street Bank and Trust Company  12/21/22  USD  3,549   EUR  3,281   159     
State Street Bank and Trust Company  12/21/22  USD  4,650   GBP  3,705   121     
State Street Bank and Trust Company  12/21/22  USD  1,379   GBP  1,099   36     
Total Forward Foreign Currency Exchange Contracts  $1,426   $159 

 

 

See notes to unaudited schedule of investments.

 

 

 

FS Credit Income Fund
Unaudited Schedule of Investments (continued)
As of July 31, 2022
(in thousands, except share amounts)

 

 

Futures Contracts

 

Description  Number of
Contracts
   Position   Expiration
  Date
  Notional
Amount
   Unrealized
Appreciation
   Unrealized
Depreciation
 
U.S. Treasury 10-Year Ultra Bond   36    Short   9/21/22   4,598   $   $127 
Total Short Futures                    $   $127 

 

Interest Rate Swaps

 

Counterparty  Fund Pays  Fund Receives   Notional
Amount
  Expiration
Date
  Periodic Payment Frequency  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
Goldman Sachs International  1.32%  12 Month ESTRON   EUR 160  10/28/29  Annually  $(1)  $   $1 
Goldman Sachs International(f)  1.36%  12 Month ESTRON   EUR 992  11/3/29  Annually   (9)       9 
Goldman Sachs International  1.50%  12 Month ESTRON   EUR 556  10/11/32  Annually   (5)       5 
Goldman Sachs International  1.90%  SOFR   USD 289  4/28/52  Annually   3    3     
Goldman Sachs International  2.02%  SONIA   GBP 1,694  4/8/27  Annually   41    41     
Goldman Sachs International  2.03%  SOFR   USD 121  4/21/52  Annually            
Goldman Sachs International  2.10%  12 Month ESTRON   EUR 62  11/3/29  Annually   (4)       4 
Goldman Sachs International  2.10%  SONIA   GBP 4,072  4/8/24  Annually   36    36     
Goldman Sachs International  2.13%  SOFR   USD 651  6/9/52  Annually   (1)       1 
Goldman Sachs International  2.35%  12 Month SOFR   USD 47  10/18/52  Annually   1    1     
Goldman Sachs International  2.35%  1 Month SOFR   USD 41  10/18/52  Annually   1    1     
Goldman Sachs International  2.41%  12 Month SOFR   USD 494  5/18/24  Annually   3    3     
Goldman Sachs International  2.41%  1 Month SOFR   USD 441  5/18/24  Annually   3    3     
Goldman Sachs International  2.53%  12 Month SOFR   USD 151  10/18/29  Annually   (1)       1 
Goldman Sachs International  2.53%  1 Month SOFR   USD 135  10/18/29  Annually   (1)       1 
Goldman Sachs International  2.55%  12 Month SOFR   USD 188  10/18/27  Annually   (1)       1 
Goldman Sachs International  2.55%  1 Month SOFR   USD 210  10/18/27  Annually   (1)       1 
Goldman Sachs International  2.66%  12 Month SOFR   USD 754  10/28/29  Annually   (13)       13 
JPMorgan Chase Bank, N.A.  0.57%  12 Month ESTRON   EUR 3,812  4/13/24  Annually   3    3     
JPMorgan Chase Bank, N.A.  1.01%  12 Month ESTRON   EUR 1,582  4/13/27  Annually   (8)       8 
JPMorgan Chase Bank, N.A.  1.69%  12 Month ESTRON   EUR 645  11/3/29  Annually   (20)       20 
Merrill Lynch  2.05%  SOFR   USD 320  7/15/52  Annually   1    1     
Merrill Lynch  2.12%  SOFR   USD 919  7/1/52  Annually   (1)       1 
Morgan Stanley & Co.
LLC
  1.64%  3 Month SOFR   USD 4,853  8/8/27  Annually   182    182     
Morgan Stanley & Co.
LLC
  2.04%  SOFR   USD 624  6/16/52  Annually   2    2     
Morgan Stanley & Co.
LLC
  2.07%  12 Month SOFR   USD 624  6/3/52  Annually   1    1     
Morgan Stanley & Co.
LLC
  2.23%  12 Month SOFR   USD 4,469  8/8/27  Annually   44    44     
Morgan Stanley & Co.
LLC
  2.74%  SOFR   USD 35,263  9/6/27  Annually   (507)       507 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund
Unaudited Schedule of Investments (continued)
As of July 31, 2022
(in thousands, except share amounts)

 

 

Counterparty  Fund Pays  Fund Receives   Notional
Amount
  Expiration
Date
  Periodic Payment Frequency  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
Morgan Stanley & Co.
LLC
  2.76%  SOFR   USD 5,181  9/7/27  Annually  $(79)  $   $79 
Total Interest Rate Swaps                  $(331)  $321   $652 

 

Cross-Currency Swaps

 

Counterparty  Fund Pays  Fund Receives   Notional
Amount of
Currency
Delivered
  Notional
Amount of
Currency
Received
  Expiration Date  Periodic
Payment
Frequency
  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.1435%)  3 Month LIBOR   EUR 1,977  USD 2,249  12/3/23  Quarterly  $231   $231   $ 
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.0775%)  3 Month LIBOR   EUR 1,472  USD 1,740  10/26/22  Quarterly   236    236     
JPMorgan Chase Bank, N.A.  3 Month GBP SONIA plus a spread of 0.1293%  3 Month LIBOR   GBP 1,658  USD 2,167  10/29/22  Quarterly   148    148     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.092625%)  3 Month LIBOR   EUR 8,280  USD 10,075  1/13/23  Quarterly   1,619    1,619     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.07%)  3 Month LIBOR   EUR 1,561  USD 1,842  11/16/22  Quarterly   253    253     
JPMorgan Chase Bank, N.A.  3 Month SONIA plus a spread of 0.1018%  3 Month LIBOR   GBP 2,228  USD 2,823  3/12/23  Quarterly   374    374     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.085%)  3 Month LIBOR   EUR 1,744  USD 2,077  3/23/23  Quarterly   297    297     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.0677%)  3 Month LIBOR   EUR 4,618  USD 5,472  7/23/23  Quarterly   755    755     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.075%)  3 Month LIBOR   EUR 1,199  USD 1,407  8/13/23  Quarterly   184    184     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.072%)  3 Month LIBOR   EUR 5,365  USD 6,062  12/15/23  Quarterly   572    572     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.0925%)  3 Month LIBOR   EUR 4,475  USD 5,183  11/5/23  Quarterly   639    639     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.195%)  3 Month LIBOR   EUR 794  USD 914  10/5/23  Quarterly   104    104     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.2335%)  3 Month LIBOR   EUR 464  USD 541  6/1/23  Quarterly   68    68     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.16375%)  3 Month LIBOR   EUR 4,212  USD 4,909  7/20/23  Quarterly   608    608     

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund
Unaudited Schedule of Investments (continued)
As of July 31, 2022
(in thousands, except share amounts)

 

 

Counterparty  Fund Pays  Fund Receives   Notional
Amount of
Currency
Delivered
  Notional
Amount of
Currency
Received
  Expiration Date  Periodic
Payment
Frequency
  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.19%)  3 Month LIBOR   EUR 720  USD 818  8/20/23  Quarterly  $85   $85   $ 
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.33375%)  3 Month LIBOR   EUR 347  USD 418  1/16/23  Quarterly   64    64     
JPMorgan Chase Bank, N.A.  3 Month EURIBOR plus a spread of (0.33375%)  3 Month LIBOR   EUR 1,209  USD 1,455  1/16/23  Quarterly   222    222     
Total Cross-Currency Swaps               $6,459   $6,459   $ 

  

Total Return Debt Swaps(f)

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration Date  Periodic Payment Frequency  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  Texas Department of Housing and Community Affairs Multifamily Housing Revenue Bonds (Santora Villas Apartments, 5.80%, 5/1/2047), Series 2007  USD 619  6/1/23  Monthly  $5   $5   $ 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.30%  San Antonio Housing Finance Corporation Multifamily Housing Revenue Bonds (Artisan at Salado Heights, 5.80%, 5/1/2050), Series 2006  USD 700  6/1/23  Monthly   (2)       2 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.30%  City of Los Angeles Multifamily Housing Revenue Bonds (Windward Preservation Apartments, 5.85%, 10/1/2044), Series 2006C  USD 403  6/1/23  Monthly   (3)       3 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund
Unaudited Schedule of Investments (continued)
As of July 31, 2022
(in thousands, except share amounts)

 

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration Date  Periodic Payment Frequency  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  California Statewide Communities Development Authority Multifamily Housing Revenue Bonds (Parkview Senior Apartments Project, 5.75%, 2/1/2049), Series 2005UFinance Corporation  USD 178  9/1/22  Monthly  $(5)  $   $5 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.30%  Sacramento Housing Authority Multifamily Revenue Bonds (Willow Glen Apartments, 5.75%, 4/1/2056), Series 2007F  USD 247  6/1/23  Monthly   (6)       6 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.30%  California Statewide Communities Development Authority Multifamily Housing Revenue Bonds (La Mission Village Apartments Project, 5.75%, 5/1/2049), Series 2006Q  USD 223  6/1/23  Monthly   (9)       9 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  Louisiana Housing Finance Agency Multifamily Housing Revenue Bonds (The Crossings Apartments, 6.15%, 5/1/2048) Series 2006  USD 374  6/1/23  Monthly   (9)       9 

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund
Unaudited Schedule of Investments (continued)
As of July 31, 2022
(in thousands, except share amounts)

 

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration Date  Periodic Payment Frequency  Fair
Value(c)
   Unrealized Appreciation   Unrealized Depreciation 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  District of Columbia Housing Finance Agency Multifamily Housing Revenue Bonds (Carver Apartments Project, 5.88%, 10/1/2049), Series 2006  USD 369  6/1/23  Monthly  $(10)  $   $10 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  California Statewide Communities Development Authority Multifamily Housing Revenue Bonds (Rose of Sharon Senior Homes, 5.85%, 3/1/2045) Series 2006PP  USD 273  6/1/23  Monthly   (13)       13 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  Massachusetts Development Finance Agency Housing Revenue Bonds (East Canton Apartments Project, 5.90%, 5/1/2055) Series 2006A  USD 587  6/1/23  Monthly   (24)       24 
Bank of America, N.A.  SIFMA Municipal Swap Index plus a spread of 1.45%  San Antonio Housing Finance Corporation Multifamily Housing Revenue Bonds (Costa Miranda Apartments Project, 6.10%, 10/1/2050), Series 2006  USD 601  6/1/23  Monthly   (24)       24 
Total Total Return Debt Swaps          $(100)  $5   $105 

 

 

(a) Security may be an obligation of one or more entities affiliated with the named company.
   
(b) Denominated in U.S. dollars unless otherwise noted.
   
(c) Fair value is determined by the board of trustees of FS Credit Income Fund (the “Fund”). For information on the Fund’s policy regarding valuation of investments, fair value hierarchy levels and other significant accounting policies, please refer to the Fund's most recent audited financial statements.
   
(d) Certain variable rate securities in the Fund's portfolio bear interest at a rate determined by a publicly disclosed base rate plus a basis point spread. As of July 31, 2022, the one-month, three-month and six-month London Interbank Offered Rate ("LIBOR" or "L") was 2.36%, 2.79% and 3.33%, the one-month, three-month and six-month Euro Interbank Offered Rate ("EURIBOR" or "E") was (0.07)%, 0.23% and 0.65%, the three-month GBP London Interbank Offered Rate ("GBP LIBOR") was 1.94%, the Swiss Average Rate Overnight ("SARON") was (0.19)%, the SIFMA Municipal Swap Index was 1.33%, the Sterling Overnight Index Average ("SONIA") was 1.19%, the one-month, three-month and six-month Secured Overnight Financing Rate ("SOFR" or "S") was 2.27%, 2.54% and 2.87% and the Euro Short-Term Rate Volume Weighted Trimmed Mean Rate (“ESTRON”) was (0.09)%.

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund
Unaudited Schedule of Investments (continued)
As of July 31, 2022
(in thousands, except share amounts)

 

 

(e) Position or portion thereof unsettled as of July 31, 2022.
   
(f) Security is classified as Level 3 in the Fund’s fair value hierarchy (See Notes to Unaudited Schedule of Investments).
   
(g) Security is an unfunded commitment. The stated rate reflects the spread disclosed at the time of commitment and may not indicate the actual rate received upon funding.
   
(h) Exempt from registration under Rule 144A of the Securities Act of 1933, as amended. Such securities may be deemed liquid by the investment adviser and may be resold, normally to qualified institutional buyers in transactions exempt from registration. Total market value of Rule 144A securities amounts to $298,348, which represents approximately 60.9% of net assets as of July 31, 2022.
   
(i) Security or portion thereof is pledged as collateral supporting the amounts outstanding under the prime brokerage facility with BNP Paribas Prime Brokerage International, Ltd. ("BNP"). Securities may be rehypothecated from time to time as permitted under Rule 15c-1(a)(1) promulgated under the Securities Exchange Act of 1934, as amended, subject to terms and conditions governing the prime brokerage facility with BNP. As of July 31, 2022, there were no securities rehypothecated by BNP.
   
(j) Security or portion thereof is pledged as collateral supporting the amounts outstanding under the reverse repurchase agreement.
   
(k) Variable or floating rate security for which the interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
   
(l) Security is in default.
   
(m) Security is non-income producing.
   
(n) The security has a perpetual maturity; the date displayed is the next call date.
   
(o) Issuer of the security is an affiliate of the Fund’s investment sub-adviser, GoldenTree Sub-Advisor.
   
(p) Security is reflected in shares.
   
(q) Issued with a zero coupon. Income is recognized through the accretion of discount.
   
(r) Rate represents the seven-day yield as of July 31, 2022. The Morgan Stanley Institutional Liquid Reserves Fund’s financial statements are available on the SEC’s website at http://www.sec.gov.
   
(s) Includes the effect of investments sold short, forward foreign currency exchange contracts, futures contracts, swap contracts and reverse repurchase agreements payable.

 

CAD   - Canadian Dollar
   
CDO   - Collateralized Debt Obligation
   
CHF   - Swiss Franc
   
COPs   - Certificates of Participation
   
EUR   - Euro
   
FRN   - Floating Rate Note
   
GBP   - British Pound
   
PIK   - Payment In Kind
   
USD   - U.S. Dollar
   
£   - British Pound
   
€   - Euro
   
$   - U.S. Dollar

 

See notes to unaudited schedule of investments.

 

 

 

 

FS Credit Income Fund

Notes to Unaudited Schedule of Investments

As of July 31, 2022

(in thousands)

 

Investment Portfolio

 

The information contained in this section should be read in conjunction with the Fund’s audited financial statements contained in its annual report for the fiscal year ended October 31, 2021.

 

The following table summarizes the composition of the Fund’s investment portfolio at cost and fair value as of July 31, 2022:

 

  

Amortized 

Cost(1) 

   Fair Value   Percentage
of Portfolio
 
Senior Secured Loans—First Lien
  $96,321   $91,802    16%
Senior Secured Loans—Second Lien   7,972    7,508    1%
Senior Secured Bonds   96,926    92,679    17%
Unsecured Bonds   251,756    236,941    42%
Collateralized Loan Obligation (CLO) / Structured Credit   104,084    95,050    17%
Convertible Bonds   16,005    13,177    2%
Municipal Bonds   6,062    6,730    1%
Emerging Markets Debt   9,181    6,933    1%
Government Bonds   2,821    2,833    1%
Preferred Equity   2,009    1,885    0%
Common Equity   3,409    4,010    1%
Short-Term Investments   2,661    2,661    1%
Total  $599,207   $562,209    100%

 

 

(1) Amortized cost represents the original cost adjusted for the amortization of premiums and/or accretion of discounts, as applicable, on investments.

 

In general, under the 1940 Act, the Fund would be presumed to “control” a portfolio company if it owned more than 25% of its voting securities or had the power to exercise control over the management or policies of such portfolio company, and would be an “affiliated person” of a portfolio company if it owned 5% or more of its voting securities.

 

As of July 31, 2022, the Fund did not “control” any of its portfolio companies and was not an “affiliated person” of any of its portfolio companies, each as defined in the 1940 Act.

 

The Fund’s investment portfolio may contain loans and other unfunded arrangements that are in the form of lines of credit or revolving credit facilities, or other investments, which require the Fund to provide funding when requested by portfolio companies in accordance with the terms of the underlying agreements. As of July 31, 2022, the Fund had unfunded commitments of $1,719. The Fund maintains sufficient cash on hand, available borrowings and liquid securities to fund any unfunded commitments should the need arise.

 

The table below describes investments by industry classification and enumerates the percentage, by fair value, of the total portfolio assets in such industries as of July 31, 2022:

 

Industry Classification  Fair Value   Percentage
of Portfolio
 
USD CLO  $58,047    10%
Oil & Gas   53,034    9%
Media Entertainment   48,549    9%
Retail   38,752    7%
Healthcare-Services   24,953    4%
Telecommunications   23,152    4%
Leisure Time   23,046    4%
Internet   21,720    4%
Chemicals   21,437    4%
EUR CLO   19,341    3%
Pharmaceuticals   18,290    3%
Diversified Financial Services   18,043    3%
Electric   15,628    3%
Lodging   12,920    2%
Entertainment   8,889    2%
Advertising   8,625    2%
Other   147,783    27%
Total  $562,209    100%

 

 

FS Credit Income Fund

Notes to Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands)

 

Under existing accounting guidance, fair value is defined as the price that the Fund would receive upon selling an investment or pay to transfer a liability in an orderly transaction to a market participant in the principal or most advantageous market for the investment. This accounting guidance emphasizes that valuation techniques maximize the use of observable market inputs and minimize the use of unobservable inputs. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on market data obtained from sources independent of the Fund. Unobservable inputs are inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on the best information available in the circumstances.

 

The Fund classifies the inputs used to measure these fair values into the following hierarchy as defined by current accounting guidance:

 

Level 1: Inputs that are quoted prices (unadjusted) in active markets for identical assets or liabilities.

 

Level 2: Inputs that are quoted prices for similar assets or liabilities in active markets.

 

Level 3: Inputs that are unobservable for an asset or liability.

 

A financial instrument’s categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement.

 

As of July 31, 2022, the Fund’s investments and derivatives were categorized as follows in the fair value hierarchy:

 

Asset Description  Level 1   Level 2   Level 3   Total 
Senior Secured Loans—First Lien  $   $78,147   $13,655   $91,802 
Senior Secured Loans—Second Lien       5,848    1,660    7,508 
Senior Secured Bonds       92,679        92,679 
Unsecured Bonds       236,116    825    236,941 
Collateralized Loan Obligation (CLO) / Structured Credit       91,750    3,300    95,050 
Convertible Bonds       13,177        13,177 
Municipal Bonds       6,730        6,730 
Emerging Markets Debt       6,933        6,933 
Government Bonds       2,833        2,833 
Preferred Equity       25    1,860    1,885 
Common Equity   1,917    1,745    348    4,010 
Short-Term Investments       2,661        2,661 
Total Investments   1,917    538,644    21,648    562,209 
Forward Foreign Currency Exchange Contracts       1,426        1,426 
Interest Rate Swaps       321        321 
Cross-Currency Swaps       6,459        6,459 
Total Return Debt Swaps           5    5 
Total Assets  $1,917   $546,850   $21,653   $570,420 
                     
Liability Description                    
Reverse Repurchase Agreements  $   $(7,106)  $   $(7,106)
Government Bonds Sold Short       (3,776)       (3,776)
Forward Foreign Currency Exchange Contracts       (159)       (159)
Short Futures   (127)           (127)
Interest Rate Swaps       (643)   (9)   (652)
Total Return Debt Swaps           (105)   (105)
Total Liabilities  $(127)  $(11,684)  $(114)  $(11,925)

 

 

FS Credit Income Fund

Notes to Unaudited Schedule of Investments (continued)

As of July 31, 2022

(in thousands)

 

The following is a reconciliation for the nine months ended July 31, 2022 of investments for which significant unobservable inputs (Level 3) were used in determining fair value:

 

  

Senior Secured Loans— 

First Lien

  

Senior Secured Loans— 

Second Lien

  

Unsecured  

Bonds 

   Collateralized Loan Obligation (CLO)/ Structured Credit   Preferred Equity   Common Equity   Total 
Fair value at beginning of period  $   $   $835   $6,047   $209   $512   $7,603 
Accretion of discount (amortization of premium)   10    1        (1)           10 
Realized gain (loss)               (54)           (54)
Net change in unrealized appreciation (depreciation)   (265)   (1)   (10)   (360)   (79)   (164)   (879)
Purchases   12,797    1,660        286    1,730        16,473 
Sales   (293)           (3,677)           (3,970)
Net transfers into Level 3(1)   1,406            1,059            2,465 
Net transfers out of Level 3(1)                            
Fair value at end of period  $13,655   $1,660   $825   $3,300   $1,860   $348   $21,648 
The amount of total gains or losses for the period included in changes in net assets attributable to the change in unrealized gains or losses relating to investments still held at the reporting date  $(265)  $(1)  $(10)  $(410)  $(78)  $(164)  $(928)

 

 

(1)Transfers into or out of Level 3 were deemed to have occurred as a result of, among other factors, changes in liquidity, the depth and consistency of prices from third-party pricing services and the existence of observable trades in the market.

 

The following is a reconciliation for the nine months ended July 31, 2022 of the interest rate swaps and total return debt swaps for which significant unobservable inputs (Level 3) were used in determining fair value:

 

   Interest Rate Swaps    Total Return Debt Swaps  
Fair value at beginning of period  $   $(39)
Accretion of discount (amortization of premium)        
Realized gain (loss)       122 
Net change in unrealized appreciation (depreciation)   (9)   (61)
Sales and repayments       (122)
Net transfers in or out of Level 3        
Fair value at end of period  $(9)  $(100)
           
The amount of total gains or losses for the period included in changes in net assets attributable to the change in unrealized gains or losses relating to investments still held at the reporting date  $(9)  $(61)