0001752724-22-012583.txt : 20220125 0001752724-22-012583.hdr.sgml : 20220125 20220125152058 ACCESSION NUMBER: 0001752724-22-012583 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20211130 FILED AS OF DATE: 20220125 PERIOD START: 20220228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Virtus AllianzGI Convertible & Income 2024 Target Term Fund CENTRAL INDEX KEY: 0001701809 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0131 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23241 FILM NUMBER: 22553675 BUSINESS ADDRESS: STREET 1: 101 MUNSON STREET CITY: GREENFIELD STATE: MA ZIP: 01301 BUSINESS PHONE: (866) 270-7598 MAIL ADDRESS: STREET 1: 101 MUNSON STREET CITY: GREENFIELD STATE: MA ZIP: 01301 FORMER COMPANY: FORMER CONFORMED NAME: AllianzGI Convertible & Income 2024 Target Term Fund DATE OF NAME CHANGE: 20170323 NPORT-P 1 primary_doc.xml NPORT-P false 0001701809 XXXXXXXX Virtus AllianzGI Convertible & Income 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LLC CLASS M EQUITY N/A CCF HOLDINGS LLC CLASS M EQUITY 000000000 293320.00000000 NS USD 225856.40000000 0.119712974273 Long EC CORP US N 3 N N N SINCLAIR TELEVISION GROU 549300CQGEN0CH65UD62 Sinclair Television Group Inc 82925BAF2 1246659.09000000 PA USD 1218085.66000000 0.645634382194 Long LON CORP US N 2 2028-04-01 Floating 3.09400000 N N N N N N HILTON GRAND VAC BORROWER 254900HF0EZ734FDVY79 Hilton Grand Vacations Borrower LLC 43283LAH4 1250000.00000000 PA USD 1237887.50000000 0.656130153677 Long LON CORP US N 2 2028-08-02 Floating 3.50000000 N N N N N N GARDNER DENVER INC 549300MJL50HVCB7RP74 Gardner Denver Inc 365556AT6 1601398.55000000 PA USD 1577377.57000000 0.836073542556 Long LON CORP US N 2 2027-02-28 Floating 1.84040000 N N N N N N CALLAWAY GOLF CO 5493005UB0KFRKBPCU72 Callaway Golf Co 13119DAF9 914786.93000000 PA USD 918409.49000000 0.486793961335 Long LON CORP US N 2 2026-01-04 Floating 4.62660000 N N N N N N GRAY TELEVISION INC 529900TM5726KDN7UU35 Gray Television Inc 389376AX2 1431996.20000000 PA USD 1419910.15000000 0.752609477781 Long LON CORP US N 2 2024-02-07 Floating 2.38310000 N N N N N N TENET HEALTHCARE CORP 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corp 88033GCS7 1716000.00000000 PA USD 1730946.36000000 0.917471176657 Long DBT CORP US N 2 2024-07-15 Fixed 4.62500000 N N N N N N HLF FINANCING SARL LLC 549300VKVJUV5OGV2R51 HLF Financing Sarl LLC 40421YAF9 890000.00000000 PA USD 883325.00000000 0.468197770796 Long LON CORP US N 2 2025-08-16 Floating 2.58920000 N N N N N N HERTZ CORP/THE 549300PD0C69OJ0NLB27 Hertz Corp/The 42804VBB6 419660.19000000 PA USD 418480.94000000 0.221811726407 Long LON CORP US N 2 2028-06-30 Floating 4.00000000 N N N N N N OIL STATES INTL INC 5493004TF4KQJGMYL777 Oil States International Inc 678026AH8 1500000.00000000 PA USD 1384733.28000000 0.733964322128 Long DBT CORP US N 2 2023-02-15 Fixed 1.50000000 N N N N Y Oil States International Inc Oil States International Inc USD XXXX N N N AVEANNA HEALTHCARE LLC 5493006D6JRLPIY8YV18 Aveanna Healthcare LLC 05549DAK4 50000.00000000 PA USD 49562.50000000 0.026270118037 Long LON CORP US N 2 2028-07-15 Floating 4.25000000 N N N N N N ONEMAIN FINANCE CORP 5493008I795YYBFWFU90 OneMain Finance Corp 85172FAF6 3000000.00000000 PA USD 3285000.00000000 1.741182098398 Long DBT CORP US N 2 2023-10-01 Fixed 8.25000000 N N N N N N COHU INC 529900FJPORJ3JJ2XS33 Cohu Inc 19257PAB0 497668.46000000 PA USD 493313.86000000 0.261476183233 Long LON CORP US N 2 2025-10-01 Floating 3.13310000 N N N N N N NAVIENT CORP 54930067J0ZNOEBRW338 Navient Corp 63938CAE8 3000000.00000000 PA USD 3225000.00000000 1.709379685641 Long DBT CORP US N 2 2023-09-25 Fixed 7.25000000 N N N N N CAMELOT FINANCE SA 549300U6VBJHQP2SFL81 Camelot Finance SA 000000000 1200283.36000000 PA USD 1188880.67000000 0.630154563085 Long LON CORP LU N 2 2026-10-31 Floating 3.09400000 N N N N N N TRAVELPORT FINANCE LUXEM 2221005SGFWYZHL40F77 Travelport Finance Luxembourg Sarl 000000000 979968.82000000 PA USD 826358.71000000 0.438003346334 Long LON CORP LU N 2 2026-05-30 Floating 5.17330000 N N N N N N 2022-01-25 Virtus AllianzGI Convertible & Income 2024 Target Term Fund Amy Hackett Amy Hackett Vice President and Assistant Treasurer XXXX NPORT-EX 2 VIAC020VIRTUS113021.htm
VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited)
November 30, 2021
($ reported in thousands)
  Par Value   Value
Corporate Bonds and Notes—43.6%
Aerospace & Defense—1.2%    
Triumph Group, Inc.      
144A 8.875%, 6/1/24(1)(2)(3) $     1,722   $  1,886
144A 6.250%, 9/15/24(1)(2)        350       351
        2,237
       
 
Airlines—1.6%    
Delta Air Lines, Inc.
2.900%, 10/28/24(2)(3)
     3,000     3,023
Auto Manufacturers—2.7%    
Ford Motor Co.
8.500%, 4/21/23
     3,500     3,854
Ford Motor Credit Co. LLC
3.087%, 1/9/23(2)
     1,250     1,266
        5,120
       
 
Building Materials—1.9%    
Koppers, Inc. 144A
6.000%, 2/15/25(1)(2)
     3,500     3,561
Commercial Services—3.0%    
ADT Security Corp. (The)
4.125%, 6/15/23(2)
     3,000     3,085
RR Donnelley & Sons Co.
7.000%, 2/15/22(2)
     2,500     2,512
        5,597
       
 
Containers & Packaging—1.7%    
Owens-Brockway Glass Container, Inc. 144A
5.875%, 8/15/23(1)(2)(3)
     3,000     3,120
Diversified Financial Services—3.4%    
Navient Corp.
7.250%, 9/25/23(2)(3)
     3,000     3,225
OneMain Finance Corp.
8.250%, 10/1/23(2)
     3,000     3,285
        6,510
       
 
Entertainment—1.6%    
Cedar Fair LP
5.375%, 6/1/24(2)(3)
     3,000     3,032
  Par Value   Value
       
Equity Real Estate Investment Trusts
(REITs)—1.1%
   
Service Properties Trust
4.350%, 10/1/24(2)(3)
$     2,170   $  2,116
Food & Beverage—1.6%    
Albertsons Cos., Inc. 144A
3.500%, 2/15/23(1)(2)
     3,000     3,027
Healthcare-Services—2.6%    
HCA, Inc.
5.375%, 2/1/25(2)
     3,000     3,272
Tenet Healthcare Corp.
4.625%, 7/15/24(2)
     1,716     1,731
        5,003
       
 
Internet—2.4%    
Netflix, Inc.
5.875%, 2/15/25(2)(3)
     4,000     4,499
Leisure Time—1.7%    
Royal Caribbean Cruises Ltd. 144A
10.875%, 6/1/23(1)(2)
     3,000     3,262
Lodging—1.9%    
Wynn Las Vegas LLC 144A
5.500%, 3/1/25(1)(2)
     3,500     3,505
Media—5.6%    
CCO Holdings LLC 144A
4.000%, 3/1/23(1)(2)(3)
     3,000     3,002
CSC Holdings LLC
5.250%, 6/1/24(2)(3)
     4,000     4,156
DISH DBS Corp.
5.875%, 11/15/24(2)(3)
     3,285     3,323
       10,481
       
 
Oil, Gas & Consumable Fuels—3.9%    
Antero Resources Corp.
5.000%, 3/1/25(2)(3)
     3,000     3,015
Occidental Petroleum Corp.
6.950%, 7/1/24(2)
     4,000     4,400
        7,415
       
 
See Notes to Schedule of Investments
1

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
  Par Value   Value
       
Telecommunications—5.7%    
Cincinnati Bell, Inc. 144A
7.000%, 7/15/24(1)(3)
$     4,000   $  4,070
Lumen Technologies, Inc.
7.500%, 4/1/24(2)(3)
     3,000     3,255
Sprint Corp.
7.125%, 6/15/24(2)
     3,000     3,362
       10,687
       
 
Total Corporate Bonds and Notes
(Identified Cost $83,203)
   82,195
       
 
Leveraged Loans—30.2%
Advertising—0.5%    
Advantage Sales & Marketing, Inc. Tranche B-1 (3 Month LIBOR + 4.50%)
5.250%, 10/28/27 (4)
       992       993
Aerospace & Defense—0.8%    
TransDigm, Inc. Tranche F (1 month LIBOR + 2.250%)
2.340%, 12/9/25 (4)
     1,455     1,424
Airlines—0.3%    
Delta Air Lines, Inc. (3 month LIBOR + 3.750%)
4.750%, 10/20/27 (4)
       500       525
Auto Components—1.0%    
Adient US LLC Tranche B-1 (1 month LIBOR + 3.500%)
3.590%, 4/10/28 (4)
       998       994
Tenneco, Inc. Tranche B (1 month LIBOR + 3.000%)
3.090%, 10/1/25 (4)
       992       973
        1,967
       
 
Chemicals—0.5%    
Ecovyst Catalyst Technologies LLC (2 Months LIBOR + 2.750%)
3.250%, 6/9/28 (4)
       997       994
  Par Value   Value
       
Commercial Services—1.7%    
Allied Universal Holdco LLC (3 month LIBOR + 3.750%)
4.250%, 5/12/28 (4)
$     1,000   $    991
Hertz Corp. (The)      
Tranche B (1 month LIBOR + 3.250%)
3.750%, 6/30/28 (4)
       420       418
Tranche C (1 Month LIBOR + 3.250%)
3.750%, 6/30/28 (4)
        79        79
Travelport Finance (Luxembourg) S.a.r.l. First Lien (3 month LIBOR + 5.000%)
5.150%, 5/29/26 (4)
       980       826
WEX, Inc. Tranche B (1 month LIBOR + 2.250%)
2.340%, 3/31/28 (4)
       995       986
        3,300
       
 
Computers—1.8%    
Conduent Business Services LLC Tranche B (1 month LIBOR + 4.25%)
4.750%, 10/16/28 (4)
     1,000       997
KBR, Inc. Tranche B (1 month LIBOR + 2.750%)
2.840%, 2/5/27 (4)
     1,011     1,009
NCR Corp. (3 month LIBOR + 2.500%)
2.630%, 8/28/26 (4)
     1,470     1,439
        3,445
       
 
Containers & Packaging—0.3%    
Pactiv Evergreen Group Holdings, Inc. Tranche B-3 (1 month LIBOR + 3.50%)
4.000%, 9/24/28 (4)
       500       497
 
See Notes to Schedule of Investments
2

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
  Par Value   Value
       
Diversified Financial Services—0.4%    
Blucora, Inc. (3 month LIBOR + 4.000%)
5.000%, 5/22/24 (4)
$       742   $    740
Entertainment—3.3%    
AMC Entertainment Holdings, Inc. Tranche B-1 (1 month LIBOR + 3.000%)
3.090%, 4/22/26 (4)
       975       874
Lions Gate Capital Holdings LLC Tranche B (1 month LIBOR + 2.250%)
2.340%, 3/24/25 (4)
     1,219     1,200
Penn National Gaming, Inc . Tranche B-1 (1 Month LIBOR + 2.250%)
3.000%, 10/15/25 (4)
     1,496     1,489
Scientific Games International, Inc. Tranche B-5 (1 month LIBOR + 2.750%)
2.840%, 8/14/24 (4)
       963       954
Stars Group Holdings B.V. 2021 (3 month LIBOR + 2.250%)
0.000%, 7/21/26 (4)(5)
     1,630     1,617
        6,134
       
 
Environmental Services—0.5%    
GFL Environmental, Inc. 2020 (3 month LIBOR + 3.000%)
0.000%, 5/30/25 (4)(5)
     1,000       999
Healthcare-Products—0.8%    
Ortho-Clinical Diagnostics, Inc. (1 month LIBOR + 3.000%)
3.080%, 6/30/25 (4)
     1,556     1,546
Healthcare-Services—0.1%    
Aveanna Healthcare LLC      
(1 month LIBOR + 3.750%)
0.000%, 7/17/28 (4)(5)
        50        50
  Par Value   Value
       
Healthcare-Services—continued    
2021, First Lien (1 month LIBOR + 3.750%)
4.250%, 7/17/28 (4)
$       219   $    217
          267
       
 
Internet—1.2%    
Go Daddy Operating Co. LLC Tranche B-2 (1 month LIBOR + 1.750%)
1.840%, 2/15/24 (4)
     1,209     1,195
Match Group, Inc. Tranche B-1 (3 month LIBOR + 1.750%)
1.910%, 2/13/27 (4)
     1,000       981
        2,176
       
 
Leisure Time—0.5%    
Callaway Golf Co. (1 month LIBOR + 4.500%)
4.590%, 1/2/26 (4)
       915       919
Lodging—1.9%    
Caesars Resort Collection LLC Tranche B (1 month LIBOR + 2.750%)
2.840%, 12/23/24 (4)
     1,458     1,442
Hilton Grand Vacations Borrower LLC (1 month LIBOR + 3.000%)
3.500%, 8/2/28 (4)
     1,250     1,238
Playa Resorts Holding B.V. (1 month LIBOR + 2.750%)
3.750%, 4/29/24 (4)
       934       902
        3,582
       
 
Machinery-Diversified—0.8%    
Gardner Denver, Inc. Tranche B-1 (1 month LIBOR + 1.750%)
1.840%, 3/1/27 (4)
     1,601     1,577
 
See Notes to Schedule of Investments
3

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
  Par Value   Value
       
Media—5.5%    
Charter Communications Operating LLC Tranche B-2 (1 month LIBOR + 1.750%)
1.850%, 2/1/27 (4)
$       997   $    985
CSC Holdings LLC 2018 (1 month LIBOR + 2.250%)
2.340%, 1/15/26 (4)
     1,228     1,202
DIRECTV Financing LLC (3 month LIBOR + 5.000%)
5.750%, 8/2/27 (4)
     1,000       997
Gray Television, Inc. Tranche B-2 (1 month LIBOR + 2.250%)
2.340%, 2/7/24 (4)
     1,432     1,420
Meredith Corp. Tranche B-2 (1 Month LIBOR + 4.750%)
4.750%, 1/31/25 (4)
     1,247     1,245
Nexstar Broadcasting, Inc. Tranche B-4 (1 month LIBOR + 2.500%)
2.590%, 9/18/26 (4)
     1,312     1,302
Sinclair Television Group, Inc. Tranche B-3 (1 month LIBOR + 3.000%)
3.100%, 4/1/28 (4)
     1,247     1,218
Virgin Media Bristol LLC Tranche N (1 month LIBOR + 2.500%)
2.590%, 1/31/28 (4)
     1,500     1,479
WideOpenWest Finance LLC Tranche B (1 month LIBOR + 3.250%)
4.250%, 8/18/23 (4)
       485       483
       10,331
       
 
  Par Value   Value
       
Metal Fabricate/Hardware—0.3%    
Advanced Drainage Systems, Inc. (1 month LIBOR + 2.250%)
2.380%, 7/31/26 (4)
$       623   $    621
Oil, Gas & Consumable Fuels—0.0%    
Lealand Finance Co. B.V. (1 month LIBOR + 4.000%)
4.000%, 6/30/25 (4)
       168        72
Pharmaceuticals—1.4%    
Bausch Health Cos., Inc. (1 month LIBOR + 3.000%)
3.090%, 6/2/25 (4)
       729       722
HLF Financing SaRL LLC Tranche B (1 month LIBOR + 2.500%)
2.590%, 8/18/25 (4)
       890       883
Horizon Therapeutics USA, Inc. Tranche B-2 (1 Month LIBOR + 1.750%)
2.250%, 3/15/28 (4)
       995       989
        2,594
       
 
Retail—2.4%    
Burlington Coat Factory Warehouse Corp. Tranche B-6 (1 month LIBOR + 2.000%)
2.100%, 6/24/28 (4)
       859       854
CWGS Group LLC Tranche B (1 month LIBOR + 2.500%)
3.250%, 6/3/28 (4)
       992       983
Petco Health & Wellness Co., Inc. First Lien (3 month LIBOR + 3.250%)
4.000%, 3/3/28 (4)
     1,174     1,166
 
See Notes to Schedule of Investments
4

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
  Par Value   Value
       
Retail—continued    
RH (1 month LIBOR + 3.00%)
0.000%, 10/20/28 (4)(5)
$     1,500   $  1,490
        4,493
       
 
Semiconductors—0.3%    
Cohu, Inc. Tranche B (1 Month LIBOR + 3.000%)
3.090%, 10/1/25 (4)
       498       493
Software—1.6%    
Boxer Parent Co., Inc. 2021 (3 month LIBOR + 3.750%)
3.880%, 10/2/25 (4)
       878       868
Camelot US Acquisition I Co. (1 month LIBOR + 3.000%)
3.090%, 10/30/26 (4)
     1,200     1,189
Rackspace Technology Global, Inc. Tranche B (3 month LIBOR + 2.750%)
3.500%, 2/15/28 (4)
       894       880
        2,937
       
 
Telecommunications—2.3%    
CenturyLink, Inc. Tranche B (1 month LIBOR + 2.250%)
2.340%, 3/15/27 (4)
       983       962
Ciena Corp. 2020 (1 Month LIBOR + 1.750%)
1.840%, 9/26/25 (4)
       990       989
Commscope, Inc. (1 month LIBOR + 3.250%)
3.340%, 4/6/26 (4)
     1,474     1,434
Frontier Communications Co. Tranche B (3 month LIBOR + 3.750%)
4.500%, 5/1/28 (4)
       997       996
        4,381
       
 
Total Leveraged Loans
(Identified Cost $57,672)
   57,007
    
  Shares   Value
Common Stocks—0.7%
Banks—0.7%    
CCF Holdings LLC(6)(7)  1,369,231   $  1,054
CCF Holdings LLC Class M(6)(7)    293,320       226
        1,280
       
 
Construction & Engineering—0.0%    
McDermott International Ltd.(7)     71,796        29
Total Common Stocks
(Identified Cost $3,272)
    1,309
       
 
Warrant—0.1%
Banks—0.1%    
CCF Holdings LLC(6)(7)    485,227       252
Total Warrant
(Identified Cost $—)
      252
    
  Par Value  
Convertible Bonds and Notes—55.1%
Auto Manufacturers—5.5%  
NIO, Inc. 144A
0.000%, 2/1/26(1)
$    11,800  10,444
Biotechnology—9.4%  
Insmed, Inc.
1.750%, 1/15/25(2)
     5,500   5,670
Ionis Pharmaceuticals, Inc.
0.125%, 12/15/24(2)(3)
     8,000   7,061
Ligand Pharmaceuticals, Inc.
0.750%, 5/15/23(2)
     5,000   5,100
     17,831
     
 
Entertainment—0.7%  
Live Nation Entertainment, Inc.
2.000%, 2/15/25(2)
     1,000   1,230
 
See Notes to Schedule of Investments
5

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
  Par Value   Value
       
Equity Real Estate Investment Trusts
(REITs)—8.9%
   
Blackstone Mortgage Trust, Inc.      
4.375%, 5/5/22(2) $     2,000   $  2,003
4.750%, 3/15/23(2)(3)      5,000     5,068
Redwood Trust, Inc.
5.625%, 7/15/24
     5,000     5,130
Two Harbors Investment Corp.
6.250%, 1/15/22
     4,495     4,506
       16,707
       
 
Healthcare-Products—2.1%    
NuVasive, Inc.
1.000%, 6/1/23
     4,000     3,953
Internet—3.3%    
Pinduoduo, Inc.
0.000%, 12/1/25
     7,000     6,233
Media—5.1%    
DISH Network Corp.
2.375%, 3/15/24(2)
     7,500     7,003
Liberty Broadband Corp. 144A
2.750%, 9/30/50(1)(2)
     2,500     2,554
        9,557
       
 
Oil, Gas & Consumable Fuels—2.5%    
Helix Energy Solutions Group, Inc.
4.250%, 5/1/22
     3,500     3,374
Oil States International, Inc.
1.500%, 2/15/23
     1,500     1,385
        4,759
       
 
Pharmaceuticals—2.0%    
Jazz Investments I Ltd.
1.500%, 8/15/24(2)
     3,855     3,809
Software—15.6%    
Alteryx, Inc.
0.500%, 8/1/24(2)
     7,000     6,630
  Par Value   Value
       
Software—continued    
Benefitfocus, Inc.
1.250%, 12/15/23
$     3,000   $  2,877
DocuSign, Inc. 144A
0.000%, 1/15/24(1)(2)(3)
     4,000     4,056
i3 Verticals LLC
1.000%, 2/15/25
     9,000     7,936
New Relic, Inc.
0.500%, 5/1/23(2)
     2,500     2,967
PROS Holdings, Inc.
1.000%, 5/15/24(3)
     4,000     3,768
RingCentral, Inc.
0.000%, 3/1/25(2)
     1,160     1,158
       29,392
       
 
Total Convertible Bonds and Notes
(Identified Cost $106,024)
  103,915
       
 
Total Long-Term Investments—129.7%
(Identified Cost $250,171)
  244,678
    
  Shares  
Short-Term Investment—8.1%
Money Market Mutual Fund—8.1%
Dreyfus Government Cash Management Fund - Institutional Shares (seven-day effective yield 0.030%)(8) 15,321,290  15,321
Total Short-Term Investment
(Identified Cost $15,321)
 15,321
     
 
 
See Notes to Schedule of Investments
6

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
  Shares   Value
       
Securities Lending Collateral—0.7%
Dreyfus Government Cash Management Fund - Institutional Shares (seven-day effective yield 0.030%)(8)(9)  1,315,198   $  1,315
Total Securities Lending Collateral
(Identified Cost $1,315)
    1,315
       
 
TOTAL INVESTMENTS—138.5%
(Identified Cost $266,807)
  $261,314
Other assets and liabilities, net—(38.5)%   (72,649)
NET ASSETS—100.0%   $188,665
    
Abbreviations:
LIBOR London Interbank Offered Rate
LLC Limited Liability Company
LP Limited Partnership
REIT Real Estate Investment Trust
    
Footnote Legend:
(1) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At November 30, 2021, these securities amounted to a value of $42,838 or 22.7% of net assets.
(2) All or a portion of securities is segregated as collateral for borrowings.
(3) All or a portion of security is on loan pursuant to the Liquidity Facility.
(4) Variable rate security. Rate disclosed is as of November 30, 2021. Information in parenthesis represents benchmark and reference rate for each security. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions, or, for mortgage-backed securities, are impacted by the individual mortgages which are paying off over time. These securities do not indicate a reference rate and spread in their descriptions.
(5) This loan will settle after November 30, 2021, at which time the interest rate, based on the LIBOR and the agreed upon spread on trade date, will be reflected.
(6) The value of this security was determined using significant unobservable inputs and is reported as a Level 3 security in the Fair Value Hierarchy table located after the Schedule of Investments.
(7) Non-income producing.
(8) Shares of this fund are publicly offered, and its prospectus and annual report are publicly available.
(9) Represents security purchased with cash collateral received for securities on loan.
    
Country Weightings
United States 88%
Cayman Islands 6
Bermuda 2
Luxembourg 1
Liberia 1
Netherlands 1
Canada 1
Total 100%
% of total investments as of November 30, 2021.
 
See Notes to Schedule of Investments
7

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
The following table summarizes the market value of the Fund’s investments as of November 30, 2021, based on the inputs used to value them (See Security Valuation Note 1 in the Notes to Schedule of Investments):
  Total
Value at
November 30, 2021
  Level 1
Quoted Prices
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Assets:              
Debt Securities:              
Corporate Bonds and Notes $82,195   $  $82,195   $
Leveraged Loans 57,007     57,007  
Convertible Bonds and Notes 103,915     103,915  
Equity Securities:              
Common Stocks 1,309   29     1,280
Warrant 252       252
Securities Lending Collateral 1,315   1,315    
Money Market Mutual Fund 15,321   15,321    
Total Investments $261,314   $16,665   $243,117   $1,532
There were no transfers into or out of Level 3 related to securities held at November 30, 2021.
Some of the Fund’s investments that were categorized as Level 3 were valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information could result in a significantly lower or higher value of Level 3 investments.
The following is a reconciliation of assets of the Fund for Level 3 investments for which significant unobservable inputs were used to determine fair value.
  Total   Corporate
Bonds
And Notes
  Leveraged
Loans
  Common
Stocks
  Warrants
Investments in Securities                  
Balance as of February 28, 2021: $ 2,880   $ 2,554   $ 326   $ —(a)   $ —
Accrued discount/(premium) 3   3      
Change in unrealized appreciation (depreciation)(b) 892   1,974     (1,334)   252
Purchases 2,627     13   2,614(c)  
Sales(d) (4,870)   (4,531)(c)   (339)    
Balance as of November 30, 2021 $ 1,532   $ —   $ —   $ 1,280   $ 252
(a) Amount is less than $500.
(b) The change in unrealized appreciation (depreciation) on investments still held at November 30, 2021, was $(1,081).
(c) Includes securities issued or removed due to corporate actions.
(d) Includes paydowns on securities.
See Notes to Schedule of Investments
8

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
($ reported in thousands)
The following table presents additional information about valuation techniques and inputs used for investments that are measured at fair value and categorized within Level 3 at November 30, 2021:
Investments in
Securities – Assets
  Ending
Balance at
November 30, 2021
  Valuation
Technique Used
  Unobservable
Inputs
  Input
Values
Common Stocks:                
CCF Holdings LLC   $1,054   Market and Company
Comparables
  EV Multiples   1.11x (0.33x - 1.98x)
0.57x (0.20x - 0.86x)
            Illiquidity Discount   20%
                 
CCF Holdings LLC
Class M
  $226   Market and Company
Comparables
  EV Multiples   1.11x (0.33x - 1.98x)
0.57x (0.20x - 0.86x)
            Illiquidity Discount   20%
                 
Warrant:                
CCF Holdings LLC   $252   Market and Company
Comparables
  EV Multiples   1.11x (0.33x - 1.98x)
0.57x (0.20x - 0.86x)
            Illiquidity Discount   20%
        Black-Scholes Model   Volatility   55.34%
See Notes to Schedule of Investments
9

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)
November 30, 2021
Note 1. Security Valuation
The Fund utilizes a fair value hierarchy which prioritizes the inputs to valuation techniques used to measure fair value into three broad levels. The Fund’s policy is to recognize transfers into or out of Level 3 at the end of the reporting period.
•        Level 1 – quoted prices in active markets for identical securities (security types generally include listed equities).
•        Level 2 – prices determined using other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
•        Level 3 – prices determined using significant unobservable inputs (including the Valuation Committee’s own assumptions in determining the fair value of investments).
A description of the valuation techniques applied to the Fund’s major categories of assets and liabilities measured at fair value on a recurring basis is as follows:
Equity securities are valued at the official closing price (typically last sale) on the exchange on which the securities are primarily traded or, if no closing price is available, at the last bid price and are categorized as Level 1 in the hierarchy. Restricted equity securities and private placements that are illiquid, or are internally fair valued by the Valuation Committee, are generally categorized as Level 3 in the hierarchy.
Certain non-U.S. securities may be fair valued in cases where closing prices are not readily available or are deemed not reflective of readily available market prices. For example, significant events (such as movement in the U.S. securities market, or other regional and local developments) may occur between the time that non-U.S. markets close (where the security is principally traded) and the time that the Fund calculates its net asset value (“NAV”) at the close of regular trading on the New York Stock Exchange (“NYSE”) (generally 4 p.m. Eastern time) that may impact the value of securities traded in these non-U.S. markets. In such cases, the Fund fair values non-U.S. securities using an independent pricing service which considers the correlation of the trading patterns of the non-U.S. security to the intraday trading in the U.S. markets for investments such as American Depositary Receipts, financial futures, exchange-traded funds (“ETFs”), and certain indexes, as well as prices for similar securities. Such fair valuations are categorized as Level 2 in the hierarchy. Because the frequency of significant events is not predictable, fair valuation of certain non-U.S. common stocks may occur on a frequent basis.
Debt securities, including convertible bonds and restricted securities, are valued based on evaluated quotations received from independent pricing services or from dealers who make markets in such securities. For most bond types, the pricing service utilizes matrix pricing that considers one or more of the following factors: yield or price of bonds of comparable quality, coupon, maturity, current cash flows, type, activity of the underlying equities, and current day trade information, as well as dealer supplied prices. These valuations are generally categorized as Level 2 in the hierarchy. Structured debt instruments, such as mortgage-backed and asset-backed securities, may also incorporate collateral analysis and utilize cash flow models for valuation and are generally categorized as Level 2 in the hierarchy. Pricing services do not provide pricing for all securities, and therefore indicative bids from dealers are utilized which are based on pricing models used by market makers in
See Notes to Schedule of Investments
10

VIRTUS AllianzGI Convertible & Income 2024 Target Term Fund
SCHEDULE OF INVESTMENTS (Unaudited) (Continued)
November 30, 2021
the security and are generally categorized as Level 2 in the hierarchy. Debt securities that are internally fair valued by the Valuation Committee are generally categorized as Level 3 in the hierarchy.
Listed derivatives, such as options, that are actively traded are valued based on quoted prices from the exchange and are categorized as Level 1 in the hierarchy. Over-the-counter derivative contracts, which include forward currency contracts and equity-linked instruments, do not require material subjectivity as pricing inputs are observed from actively quoted markets and are categorized as Level 2 in the hierarchy.
Investments in open-end mutual funds are valued at NAV. Investments in closed-end funds and ETFs are valued as of the close of regular trading on the NYSE each business day. Each is categorized as Level 1 in the hierarchy.
A summary of the inputs used to value the Fund’s net assets by each major security type is disclosed at the end of the Schedule of Investments for the Fund. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
For additional information about significant accounting policies, refer to the Fund’s most recent semi or annual report.
11