0001145549-24-019945.txt : 20240328 0001145549-24-019945.hdr.sgml : 20240328 20240328163623 ACCESSION NUMBER: 0001145549-24-019945 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240131 FILED AS OF DATE: 20240328 DATE AS OF CHANGE: 20240328 PERIOD START: 20240430 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Variant Alternative Income Fund CENTRAL INDEX KEY: 0001736510 ORGANIZATION NAME: IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0430 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23336 FILM NUMBER: 24799755 BUSINESS ADDRESS: STREET 1: C/O UMB FUND SERVICES, INC. CITY: MILWAUKEE STATE: WI ZIP: 53212 BUSINESS PHONE: 4142992200 MAIL ADDRESS: STREET 1: C/O UMB FUND SERVICES, INC. CITY: MILWAUKEE STATE: WI ZIP: 53212 NPORT-P 1 primary_doc.xml NPORT-P false 0001736510 XXXXXXXX VARIANT ALTERNATIVE INCOME FUND 811-23336 0001736510 549300VKWK774XXSGI69 235 WEST GALENA STREET MILWAUKEE 532123948 4142992000 Variant Alternative Income Fund 549300VKWK774XXSGI69 2024-04-30 2024-01-31 N 3003443300.340000000000 1631278.220000000000 3001812022.120000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 14005481.010000000000 GBP AUD USD N Argonaut - Filmrise / N/A Argonaut - Filmrise / 999999999 1 PA USD 3027434.91 0.1008535807 Long DBT CORP US N N/A 2025-02-28 None 0 N N N N N N Argonaut - Harvest / N/A Argonaut - Harvest / 999999999 1 PA USD 4539800.74 0.1512353441 Long DBT CORP US N N/A 2024-06-30 None 0 N N N N N N CREDIX EMERGING MARKETS FACILITY / N/A CREDIX EMERGING MARKETS FACILITY / 999999999 1 PA USD 2200000 0.0732890662 Long DBT CORP US N N/A 2026-08-25 None 0 N N N N N N CRESTLINE 1.5% ADDTL INT AGREEMENT / N/A CRESTLINE 1.5% ADDTL INT AGREEMENT / 999999999 1 PA USD 0 0.0000000000 Long DBT CORP US N N/A 2024-10-28 None 0 N N N N N N Crestline Healthcare CREDIT FACILITY / N/A Crestline Healthcare CREDIT FACILITY / 999999999 1 PA USD 7295617.54 0.2430404531 Long DBT CORP US N N/A 2024-10-28 None 0 N N N N N N Crestline Mining Fund Co-Investment / N/A Crestline Mining Fund Co-Investment / 999999999 1 NS USD 14376119.99 0.4789147316 Long EC CORP US N N/A N N N CRESTLINE PORTFOLIO FINANCING FUND II / N/A CRESTLINE PORTFOLIO FINANCING FUND II / 999999999 1 NS USD 2586839.35 0.0861759274 Long EC CORP US N N/A N N N CRESTLINE PORTFOLIO FINANCING FUND / N/A CRESTLINE PORTFOLIO FINANCING FUND / 999999999 1 NS USD 757621.90 0.0252388189 Long EC CORP US N N/A N N N CRESTLINE PRAETER LP - ZOOM / N/A CRESTLINE PRAETER LP - ZOOM / 999999999 1 NS USD 3880098.71 0.1292585505 Long EC CORP US N N/A N N N CreditSpring Credit Facility / N/A CreditSpring Credit Facility / 999999999 1 PA USD 52503395.34 1.7490567348 Long DBT CORP US N N/A 2025-03-28 None 0 N N N N N N CreditSpring FX Margin / N/A CreditSpring FX Margin / 999999999 1 PA USD 2898117.86 0.0965456144 Long DBT CORP US N N/A 2025-03-28 None 0 N N N N N N Carter Congressional Village / N/A Carter Congressional Village / 999999999 1 NS USD 8679254.83 0.2891338554 Long EC CORP US N N/A N N N CARTER LIVELY INDIGO RUN / N/A CARTER LIVELY INDIGO RUN / 999999999 1 NS USD 4843217.56 0.1613431329 Long EC CORP US N N/A N N N CARTER MIDWEST INDUSTRIAL LOG / N/A CARTER MIDWEST INDUSTRIAL LOG / 999999999 1 NS USD 8599547.32 0.2864785422 Long EC CORP US N N/A N N N CARTER MODE at HYATTSVILLE / N/A CARTER MODE at HYATTSVILLE / 999999999 1 NS USD 9802871.41 0.3265651326 Long EC CORP US N N/A N N N Carter Riverstone at Owing Mills / N/A Carter Riverstone at Owing Mills / 999999999 1 NS USD 7765624.22 0.2586978852 Long EC CORP US N N/A N N N CX STATION AT CLIFT FARM DEPOSITOR / N/A CX STATION AT CLIFT FARM DEPOSITOR / 999999999 1 NS USD 6452546.07 0.2149550346 Long EC CORP US N N/A N N N DELGATTO DIAMOND FINANCE FUND FACILIT / N/A DELGATTO DIAMOND FINANCE FUND FACILIT / 999999999 1 PA USD 79940000 2.6630581599 Long DBT CORP US N N/A 2025-03-28 None 0 N N N N N N DELGATTO DIAMOND FINANCE FUND QP, LP / N/A DELGATTO DIAMOND FINANCE FUND QP, LP / 999999999 1 NS USD 27403646.14 0.9129034709 Long EC CORP US N N/A N N N DRAWBRIDGE SPECIAL OPPORTUNITY FUND / N/A DRAWBRIDGE SPECIAL OPPORTUNITY FUND / 999999999 1 NS USD 6447778.57 0.2147962138 Long EC CORP US N N/A N N N EUR/USD FUTURE MAR 2024 / N/A EUR/USD FUTURE MAR 2024 / 999999999 -36 NC USD -30882.67 -0.0010288009 N/A DFE US N N/A Chicago Mercantile Exchange N/A Short EUR/USD FUTURE MAR 2024 / EUR/USD FUTURE MAR 2024 / 2024-03-19 -4856342.33 USD -30882.67 N N N ECHELON MEDICAL REC CREDIT FACILITY / N/A ECHELON MEDICAL REC CREDIT FACILITY / 999999999 1 PA USD 38253841.59 1.2743583312 Long DBT CORP US N N/A 2028-10-07 None 0 N N N N N N LENDABLE ShopUp / N/A LENDABLE ShopUp / 999999999 1 PA USD 20000000 0.6662642382 Long DBT CORP US N N/A 2024-06-02 None 0 N N N N N N LENDABLE TERRAPAY CREDIT FACILITY / N/A LENDABLE TERRAPAY CREDIT FACILITY / 999999999 1 PA USD 2857142.87 0.0951806059 Long DBT CORP US N N/A 2024-12-07 None 0 N N N N N N LENDABLE WATU 2 CREDIT FACILITY / N/A LENDABLE WATU 2 CREDIT FACILITY / 999999999 1 PA USD 10000000 0.3331321191 Long DBT CORP US N N/A 2024-05-31 None 0 N N N N N N LENDSPARK CREDIT FACILITY / N/A LENDSPARK CREDIT FACILITY / 999999999 1 PA USD 13632150 0.4541307017 Long DBT CORP US N N/A 2026-04-25 None 0 N N N N N N MEDTRADE CAPITAL 2 CREDIT FACILITY / N/A MEDTRADE CAPITAL 2 CREDIT FACILITY / 999999999 1 PA USD 25135765.85 0.8373530942 Long DBT CORP US N N/A 2025-04-30 None 0 N N N N N N MEDTRADE CAPITAL LLC / N/A MEDTRADE CAPITAL LLC / 999999999 1 NS USD 88863798.95 2.9603385653 Long EC CORP US N N/A N N N MEP CAPITAL FUND II / N/A MEP CAPITAL FUND II / 999999999 1 NS USD 8037336.26 0.2677494860 Long EC CORP US N N/A N N N MEP CAPITAL FUND III / N/A MEP CAPITAL FUND III / 999999999 1 NS USD 22248933.69 0.7411834427 Long EC CORP US N N/A N N N Oceana Australian Small Bus Facility / N/A Oceana Australian Small Bus Facility / 999999999 1 PA 10356294.58 0.3450014359 Long DBT NUSS AU N N/A 2025-02-09 None 0 N N N N N N OHPC LP OHPC / N/A OHPC LP OHPC / 999999999 1 NS USD 11385833.53 0.3792986851 Long EC CORP US N N/A N N N OLD HILL WSF CO-LEND CREDIT FACILITY / N/A OLD HILL WSF CO-LEND CREDIT FACILITY / 999999999 1 PA USD 20393397.18 0.6793695618 Long DBT CORP US N N/A 2024-03-06 None 0 N N N N N N OLD HILL PARTNER INC OHP II LP / N/A OLD HILL PARTNER INC OHP II LP / 999999999 1 NS USD 456567.83 0.0152097409 Long EC CORP US N N/A N N N MEXICAN PESO FUT MAR 2024 / N/A MEXICAN PESO FUT MAR 2024 / 999999999 -714 NC USD -435253.58 -0.0144996947 N/A DFE US N N/A Chicago Mercantile Exchange N/A Short MEXICAN PESO FUT MAR 2024 / MEXICAN PESO FUT MAR 2024 / 2024-03-19 -20217196.42 USD -435253.58 N N N PERCENT CREDIT FACIL / N/A PERCENT CREDIT FACIL / 999999999 1 PA USD 6945206 0.2313671192 Long DBT CORP US N N/A 2026-09-14 None 0 N N N N N N POST ROAD HEALTHCARE FUNDING PARTNERS / N/A POST ROAD HEALTHCARE FUNDING PARTNERS / 999999999 1 PA USD 60000000 1.9987927145 Long DBT CORP US N N/A 2026-12-31 None 0 N N N N N N PRIME STORAGE FUND II (CAYMAN), LP / N/A PRIME STORAGE FUND II (CAYMAN), LP / 999999999 1 NS USD 1539522.92 0.0512864533 Long EC CORP US N N/A N N N PRODUCTION LENDING CREDIT FACILITY 2 / N/A PRODUCTION LENDING CREDIT FACILITY 2 / 999999999 1 PA USD 7283009.03 0.2426204231 Long DBT CORP US N N/A 2025-07-21 None 0 N N N N N N PRODUCTION LENDING CREDIT FACILITY / N/A PRODUCTION LENDING CREDIT FACILITY / 999999999 1 PA USD 1746115.18 0.0581687050 Long DBT CORP US N N/A 2025-07-21 None 0 N N N N N N PRODUCE PAY CREDIT FACILITY / N/A PRODUCE PAY CREDIT FACILITY / 999999999 1 PA USD 10295000 0.3429595166 Long DBT CORP US N N/A 2024-12-31 None 0 N N N N N N PWP ASSET BASED INCOME ASP FUND / N/A PWP ASSET BASED INCOME ASP FUND / 999999999 1 NS USD 841870.88 0.0280454230 Long EC CORP US N N/A N N N RAISTONE TAX CREDIT FACTORING / N/A RAISTONE TAX CREDIT FACTORING / 999999999 1 PA USD 14883531.89 0.4958182518 Long DBT CORP US N N/A 2024-10-31 None 0 N N N N N N RapidFunds Senior Credit Facility / N/A RapidFunds Senior Credit Facility / 999999999 1 PA USD 16116188.66 0.5368820080 Long DBT CORP US N N/A 2026-08-30 None 0 N N N N N N Recovery Index N/A Recovery Index 999999999 1 NS USD 13988928.33 0.4660161338 Long EC CORP XX N N/A N N N AMERICAN RIVERS FUND, LLC / N/A AMERICAN RIVERS FUND, LLC / 999999999 1 NS USD 28444267.30 0.9475699041 Long EC CORP US N N/A N N N Rivonia Equity Grant Payment / N/A Rivonia Equity Grant Payment / 999999999 1 NS USD 57574.15 0.0019179799 Long EC CORP US N N/A N N N RIVONIA ROAD STENO CREDIT FACILITY / N/A RIVONIA ROAD STENO CREDIT FACILITY / 999999999 1 PA USD 5487955.87 0.1828214368 Long DBT CORP US N N/A 2024-10-31 None 0 N N N N N N RIVONIA - PLANET42 CREDIT FACILITY / N/A RIVONIA - PLANET42 CREDIT FACILITY / 999999999 1 PA USD 17801250 0.5930168135 Long DBT CORP US N N/A 2025-07-31 None 0 N N N N N N RKB ENERGY REBATES CREDIT FACILITY II / N/A RKB ENERGY REBATES CREDIT FACILITY II / 999999999 1 PA USD 16141224 0.5377160156 Long DBT CORP US N N/A 2025-03-31 None 0 N N N N N N RIVONIA ROAD FUND LP / N/A RIVONIA ROAD FUND LP / 999999999 1 NS USD 11422655.82 0.3805253539 Long EC CORP US N N/A N N N SALARY EQUITY / N/A SALARY EQUITY / 999999999 1 NS USD 2000000 0.0666264238 Long EC CORP US N N/A N N N Salaryo CREDIT FACILITY / N/A Salaryo CREDIT FACILITY / 999999999 1 PA USD 10650457 0.3548009310 Long DBT CORP US N N/A 2024-12-31 None 0 N N N N N N STAR STRONG CAPITAL SSC SPV No. 1 LLC / N/A STAR STRONG CAPITAL SSC SPV No. 1 LLC / 999999999 1 PA USD 76312487.43 2.5422140650 Long DBT CORP US N N/A 2025-01-24 None 0 N N N N N N STAR STRONG CAPITAL PROMISSORY NOTE / N/A STAR STRONG CAPITAL PROMISSORY NOTE / 999999999 1 PA USD 503211.44 0.0167635893 Long DBT CORP US N N/A 2024-06-30 None 0 N N N N N N Star Strong Funding Equity / N/A Star Strong Funding Equity / 999999999 1 NS USD 1851219 0.0616700508 Long EC CORP US N N/A N N N STAGE POINT CREDIT FACILITY / N/A STAGE POINT CREDIT FACILITY / 999999999 1 PA USD 13898082.20 0.4629897574 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N Star Strong Internex Equity / N/A Star Strong Internex Equity / 999999999 1 NS USD 1250000 0.0416415149 Long EC CORP US N N/A N N N STAT CAPITAL CREDIT FACILITY / N/A STAT CAPITAL CREDIT FACILITY / 999999999 1 PA USD 13000000 0.4330717548 Long DBT CORP US N N/A 2026-04-28 None 0 N N N N N N STIFEL-MSP RECOVERY LAW FIRM LOAN / N/A STIFEL-MSP RECOVERY LAW FIRM LOAN / 999999999 1 PA USD 5131513.56 0.1709471986 Long DBT CORP US N N/A 2026-06-16 None 0 N N N N N N STRATFORD CRESSON MEDICAL RECEIVABLES / N/A STRATFORD CRESSON MEDICAL RECEIVABLES / 999999999 1 PA USD 106447615.68 3.5461119782 Long DBT CORP US N N/A 2026-12-16 None 0 N N N N N N Stratford Mass Torts CREDIT FACILITY / N/A Stratford Mass Torts CREDIT FACILITY / 999999999 1 PA USD 9675430.10 0.3223196532 Long DBT CORP US N N/A 2026-12-16 None 0 N N N N N N STRIDE ISA MEZZANINE DEBT / N/A STRIDE ISA MEZZANINE DEBT / 999999999 1 PA USD 5908933.33 0.1968455482 Long DBT CORP US N N/A 2029-06-13 None 0 N N N N N N TAIGA SECONDARY / N/A TAIGA SECONDARY / 999999999 1 NS USD 19241336.03 0.6409907046 Long EC CORP US N N/A N N N TAIGA 2023 SECONDARY / N/A TAIGA 2023 SECONDARY / 999999999 1 NS USD 10481604.89 0.3491759248 Long EC CORP US N N/A N N N TAILOR RIDGE CREDIT FACILITY / N/A TAILOR RIDGE CREDIT FACILITY / 999999999 1 PA USD 12550000 0.4180808094 Long DBT CORP US N N/A 2025-07-31 None 0 N N N N N N THOR URBAN PROPERTIES FUND II / N/A THOR URBAN PROPERTIES FUND II / 999999999 1 NS USD 258790 0.0086211261 Long EC CORP US N N/A N N N TRG Credito Facil Credit Facility / N/A TRG Credito Facil Credit Facility / 999999999 1 PA USD 3820137.06 0.1272610354 Long DBT CORP US N N/A 2027-03-31 None 0 N N N N N N AUD USD CURNCY FUT MAR 24 / N/A AUD USD CURNCY FUT MAR 24 / 999999999 -569 NC USD 67339.51 0.0022432954 N/A DFE US N N/A Chicago Mercantile Exchange N/A Short AUD USD CURNCY FUT MAR 24 / AUD USD CURNCY FUT MAR 24 / 2024-03-19 -37649789.51 USD 67339.51 N N N AION CLN CREDIT FACILITY / N/A AION CLN CREDIT FACILITY / 999999999 1 PA USD 117423.18 0.0039117433 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N AION EQUITY / N/A AION EQUITY / 999999999 1 NS USD 34912.50 0.0011630475 Long EC CORP US N N/A N N N Almavest Impact Debt 90 Day Facility / N/A Almavest Impact Debt 90 Day Facility / 999999999 1 PA USD 5610000 0.1868871188 Long DBT CORP US N N/A 2026-08-21 None 0 N N N N N N Almavest Impact Debt Facility / N/A Almavest Impact Debt Facility / 999999999 1 PA USD 15208625 0.5066481474 Long DBT CORP US N N/A 2026-05-11 None 0 N N N N N N ALTRIARCH INVOICE FACTORING FACILITY / N/A ALTRIARCH INVOICE FACTORING FACILITY / 999999999 1 PA USD 32508977.66 1.0829784617 Long DBT CORP US N N/A 2024-09-30 None 0 N N N N N N EXPERITY VENTURES CREDIT FACILITY / N/A EXPERITY VENTURES CREDIT FACILITY / 999999999 1 PA USD 24849684.42 0.8278228029 Long DBT CORP US N N/A 2026-11-04 None 0 N N N N N N APP ACADEMY INCOME SHARE FACILITY / N/A APP ACADEMY INCOME SHARE FACILITY / 999999999 1 PA USD 3973446.60 0.1323682686 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARCADIA CIRRIX FINANCE NOTE / N/A ARCADIA CIRRIX FINANCE NOTE / 999999999 1 PA USD 8066038.79 0.2687056595 Long DBT CORP US N N/A 2025-01-30 None 0 N N N N N N Arcadia Cirrix Capital LP / N/A Arcadia Cirrix Capital LP / 999999999 1 NS USD 4724539.04 0.1573895702 Long EC CORP US N N/A N N N ARC CREDIT FACILITY / N/A ARC CREDIT FACILITY / 999999999 1 PA USD 54471237.60 1.8146118810 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARGONAUT - 57 Seconds / N/A ARGONAUT - 57 Seconds / 999999999 1 PA USD 0 0.0000000000 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARGONAUT CHIEF OF STATION / N/A ARGONAUT CHIEF OF STATION / 999999999 1 PA USD 4034923.37 0.1344162573 Long DBT CORP US N N/A 2024-08-06 None 0 N N N N N N ARGONAUT - The Crow / N/A ARGONAUT - The Crow / 999999999 1 PA USD 15402199.09 0.5130967221 Long DBT CORP US N N/A 2024-06-30 None 0 N N N N N N ARGONAUT - Deep Fear / N/A ARGONAUT - Deep Fear / 999999999 1 PA USD 4405404.71 0.1467581806 Long DBT CORP US N N/A 2026-06-11 None 0 N N N N N N ARGONAUT - Duchess / N/A ARGONAUT - Duchess / 999999999 1 PA USD 1579709.49 0.0526251970 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARGONAUT - Fast Charlie / N/A ARGONAUT - Fast Charlie / 999999999 1 PA USD 8763860.79 0.2919523516 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARGONAUT Sneaks / N/A ARGONAUT Sneaks / 999999999 1 PA USD 2735456.56 0.0911268440 Long DBT CORP US N N/A 2024-09-27 None 0 N N N N N N Argonaut- Tornado / N/A Argonaut- Tornado / 999999999 1 PA USD 3055541.92 0.1017899155 Long DBT CORP US N N/A 2025-04-15 None 0 N N N N N N ARGONAUT VAT LOAN / N/A ARGONAUT VAT LOAN / 999999999 1 PA USD 863475.61 0.0287651460 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARGONAUT WAR PAINT / N/A ARGONAUT WAR PAINT / 999999999 1 PA USD 527778.78 0.0175820063 Long DBT CORP US N N/A 2024-04-15 None 0 N N N N N N ARGONAUT WATER & POWER / N/A ARGONAUT WATER & POWER / 999999999 1 PA USD 158452.47 0.0052785607 Long DBT CORP US N N/A 2024-02-07 None 0 N N N N N N ARGONAUT Young Weather / N/A ARGONAUT Young Weather / 999999999 1 PA USD 915364.58 0.0304937342 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N AMP RSC INDUSTRIAL REAL ESTATE / N/A AMP RSC INDUSTRIAL REAL ESTATE / 999999999 1 PA USD 8436289.31 0.2810398935 Long DBT CORP US N N/A 2024-12-31 None 0 N N N N N N ART FINANCE FUNDING LLC / N/A ART FINANCE FUNDING LLC / 999999999 1 PA USD 1967916.95 0.0655576344 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N SHINNECOCK PROCACINI 2 / N/A SHINNECOCK PROCACINI 2 / 999999999 1 PA USD 4047826.89 0.1348461150 Long DBT CORP US N N/A 2024-04-07 None 0 N N N N N N SHINNECOCK DART MILANO / N/A SHINNECOCK DART MILANO / 999999999 1 PA USD 12857020.35 0.4283086434 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N SHINNECOCK DART MILANO 2 / N/A SHINNECOCK DART MILANO 2 / 999999999 1 PA USD 14546041.39 0.4845753592 Long DBT CORP US N N/A 2024-12-21 None 0 N N N N N N ART MONEY CONVERTIBLE NOTE / N/A ART MONEY CONVERTIBLE NOTE / 999999999 1 PA USD 435000 0.0144912472 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ART MONEY CREDIT FACILITY / N/A ART MONEY CREDIT FACILITY / 999999999 1 PA USD 5915000 0.1970476484 Long DBT CORP US N N/A 2024-05-31 None 0 N N N N N N ARTMONUS WARRANTS / N/A ARTMONUS WARRANTS / 999999999 1 NC USD 59661.32 0.0019875102 N/A DE CORP US N N/A Manual N/A Call Purchased ART MONEY CREDIT FACILITY ART MONEY CREDIT FACILITY 1 1.000000000000 USD 2099-12-30 XXXX 59661.32 N N N ASPIRIA MXN SMALL BUSINESS FACILITY / N/A ASPIRIA MXN SMALL BUSINESS FACILITY / 999999999 1 PA USD 27255000 0.9079515905 Long DBT CORP US N N/A 2026-05-10 None 0 N N N N N N ATALAYA JEEVES CO-INVEST FUND LLC / N/A ATALAYA JEEVES CO-INVEST FUND LLC / 999999999 1 NS USD 24520.28 0.0008168493 Long EC CORP US N N/A N N N ATALAYA EQUIPMENT LEASING EVERGREEN LP / N/A ATALAYA EQUIPMENT LEASING EVERGREEN LP / 999999999 1 NS USD 35152613.66 1.1710464680 Long EC CORP US N N/A N N N AUSTRALIAN DOLLAR / N/A AUSTRALIAN DOLLAR / 999999999 -858.78 OU Currency -563.39 -0.0000187683 Short STIV AU N 1 N N N BASELINE GROWTH CREDIT FACILITY / N/A BASELINE GROWTH CREDIT FACILITY / 999999999 1 PA USD 1947101 0.0648641882 Long DBT CORP US N N/A 2026-10-28 None 0 N N N N N N BASTION KORNERSTONE CREDIT FACILITY / N/A BASTION KORNERSTONE CREDIT FACILITY / 999999999 1 PA USD 4400000 0.1465781324 Long DBT CORP US N N/A 2024-07-15 None 0 N N N N N N BASTION ECG CREDIT FACILITY / N/A BASTION ECG CREDIT FACILITY / 999999999 1 PA USD 7846153.80 0.2613805842 Long DBT CORP US N N/A 2024-08-31 None 0 N N N N N N BASTION COM FINANCE CREDIT FACILITY / N/A BASTION COM FINANCE CREDIT FACILITY / 999999999 1 PA USD 4735838.21 0.1577659819 Long DBT CORP US N N/A 2024-12-31 None 0 N N N N N N BA TECH CREDIT FACILITY / N/A BA TECH CREDIT FACILITY / 999999999 1 PA USD 2068761.25 0.0689170819 Long DBT CORP US N N/A 2024-04-01 None 0 N N N N N N MEP NGL MEP CAPITAL III LP / N/A MEP NGL MEP CAPITAL III LP / 999999999 1 NS USD 8321654.47 0.2772210388 Long EC CORP US N N/A N N N MEP Co-Investment / N/A MEP Co-Investment / 999999999 1 NS USD 2800790.17 0.0933033164 Long EC CORP US N N/A N N N MONTREUX HEALTHCARE FUND LOAN / N/A MONTREUX HEALTHCARE FUND LOAN / 999999999 1 PA 38017995.18 1.2665015297 Long DBT NUSS GB N N/A 2026-05-22 None 0 N N N N N N EDLY WH CREDIT FACILITY / N/A EDLY WH CREDIT FACILITY / 999999999 1 PA USD 9582541.20 0.3192252256 Long DBT CORP US N N/A 2024-03-01 None 0 N N N N N N BEB Equal Access Justice Fund LP / N/A BEB Equal Access Justice Fund LP / 999999999 1 NS USD 53528268.15 1.7831985399 Long EC CORP US N N/A N N N BE Blank EAJF ESQ Fund LP / N/A BE Blank EAJF ESQ Fund LP / 999999999 1 NS USD 40656411.14 1.3543956397 Long EC CORP US N N/A N N N FAIRWAY LOC 7% / N/A FAIRWAY LOC 7% / 999999999 1 PA USD 7500000 0.2498490893 Long DBT CORP US N N/A 2024-07-01 None 0 N N N N N N Goldman Sachs Financial Square 549300BRJMXN4GUWZ402 Goldman Sachs Financial Square Government Fund 38141W273 72134076.26 PA USD 72134076.26 2.4030177682 Long STIV RF US N N/A N N N FINITIVE IP LITIGATION FACILITY / N/A FINITIVE IP LITIGATION FACILITY / 999999999 1 NS USD 2333795.74 0.0777462320 Long EC CORP US N N/A N N N FLEXPATH CAPITAL SENIOR DEBT FACILITY / N/A FLEXPATH CAPITAL SENIOR DEBT FACILITY / 999999999 1 PA USD 7068984.89 0.2354905916 Long DBT CORP US N N/A 2026-12-15 None 0 N N N N N N GREENHILL DEBT MGMT CREDIT FACILITY / N/A GREENHILL DEBT MGMT CREDIT FACILITY / 999999999 1 PA USD 2976369.56 0.0991524299 Long DBT CORP US N N/A 2027-12-22 None 0 N N N N N N Hawks Point Envest Renewable Energy TL / N/A Hawks Point Envest Renewable Energy TL / 999999999 1 PA USD 20952800 0.6980050665 Long DBT CORP US N N/A 2024-11-30 None 0 N N N N N N HOMELIGHT HOMES CREDIT FACILITY / N/A HOMELIGHT HOMES CREDIT FACILITY / 999999999 1 PA USD 3839100.99 0.1278927848 Long DBT CORP US N N/A 2024-08-31 None 0 N N N N N N H POINT Fix & Flip Facility / N/A H POINT Fix & Flip Facility / 999999999 1 PA USD 13954049.15 0.4648541963 Long DBT CORP US N N/A 2024-09-30 None 0 N N N N N N HUDSON TRANSPORT REAL ASSET FUND LP / N/A HUDSON TRANSPORT REAL ASSET FUND LP / 999999999 1 NS USD 1089137.57 0.0362826707 Long EC CORP US N N/A N N N Initiative Ireland Drummond Ross / N/A Initiative Ireland Drummond Ross / 999999999 1 PA 4956370.16 0.1651126094 Long DBT NUSS IE N N/A 2024-06-30 None 0 N N N N N N ITE Rail Fund LP / N/A ITE Rail Fund LP / 999999999 1 NS USD 25742937.54 0.8575799334 Long EC CORP US N N/A N N N KERBEROS SIPRUT PC EQUITY / N/A KERBEROS SIPRUT PC EQUITY / 999999999 1 NS USD 2845599 0.0947960425 Long EC CORP US N N/A N N N KERBEROS CREDIT FACILITY / N/A KERBEROS CREDIT FACILITY / 999999999 1 PA USD 56086611.10 1.8684251608 Long DBT CORP US N N/A 2024-08-16 None 0 N N N N N N KERBEROS SIPRUT PC / N/A KERBEROS SIPRUT PC / 999999999 1 PA USD 23623257.93 0.7869665974 Long DBT CORP US N N/A 2024-08-16 None 0 N N N N N N KERBEROS CREDIT FACILITY 3 / N/A KERBEROS CREDIT FACILITY 3 / 999999999 1 PA USD 8282200 0.2759066837 Long DBT CORP US N N/A 2024-08-16 None 0 N N N N N N KERBEROS CREDIT FACILITY 4 / N/A KERBEROS CREDIT FACILITY 4 / 999999999 1 PA USD 11974267.26 0.3989013027 Long DBT CORP US N N/A 2024-08-16 None 0 N N N N N N Thiele - KleerCard Credit Facility / N/A Thiele - KleerCard Credit Facility / 999999999 1 PA USD 500000 0.0166566060 Long DBT CORP US N N/A 2024-11-30 None 0 N N N N N N LENDABLE AMARTHA CREDIT FACILITY / N/A LENDABLE AMARTHA CREDIT FACILITY / 999999999 1 PA USD 4000000 0.1332528476 Long DBT CORP US N N/A 2024-05-04 None 0 N N N N N N COMBINED WAREHOUSE CREDIT FACILITY / N/A COMBINED WAREHOUSE CREDIT FACILITY / 999999999 1 PA USD 97616688.08 3.2519254157 Long DBT CORP US N N/A 2026-05-31 None 0 N N N N N N LENDABLE PAYJOY CREDIT FACILITY / N/A LENDABLE PAYJOY CREDIT FACILITY / 999999999 1 PA USD 10000000 0.3331321191 Long DBT CORP US N N/A 2025-12-31 None 0 N N N N N N MONTREUX HEALTHCARE FUND / N/A MONTREUX HEALTHCARE FUND / 999999999 1 NS USD 77544285.93 2.5832492294 Long EC CORP US N N/A N N N MONTFAC / N/A MONTFAC / 999999999 1 NS USD 6764562.07 0.2253492897 Long EC CORP US N N/A N N N Network Homes 2016 Ltd 2138006CCOMYKJXKJT11 Network Homes 2016 Ltd 999999999 1 NS USD 1012059.60 0.0337149559 Long EC CORP GB N N/A N N N COVENTURE NO 1 CREDIT OPPS FUND A-2 / N/A COVENTURE NO 1 CREDIT OPPS FUND A-2 / 999999999 1 NS USD 3033497.23 0.1010555360 Long EC CORP US N N/A N N N COVENTURE NO 1 CREDIT OPPS FUND A-3 / N/A COVENTURE NO 1 CREDIT OPPS FUND A-3 / 999999999 1 NS USD 7573630.84 0.2523019691 Long EC CORP US N N/A N N N NEW HARBOR CREDIT FACILITY / N/A NEW HARBOR CREDIT FACILITY / 999999999 1 PA 20743506.99 0.6910328441 Long DBT NUSS MX N N/A 2024-09-30 None 0 N N N N N N The New Harbor CDMX II / N/A The New Harbor CDMX II / 999999999 1 PA USD 28487956.06 0.9490253170 Long DBT CORP US N N/A 2027-12-27 None 0 N N N N N N NORTHLIGHT CCW SENIOR RE LOAN / N/A NORTHLIGHT CCW SENIOR RE LOAN / 999999999 1 PA USD 25200210.43 0.8394999502 Long DBT CORP US N N/A 2026-08-30 None 0 N N N N N N NORTH HAVEN OFFSHORE INFRA PARTNERS A LP / N/A NORTH HAVEN OFFSHORE INFRA PARTNERS A LP / 999999999 1 NS USD 1611784 0.0536937019 Long EC CORP US N N/A N N N OAK HARBOR CAPITAL NPL VII FUND / N/A OAK HARBOR CAPITAL NPL VII FUND / 999999999 1 NS USD 7231306.15 0.2408980341 Long EC CORP US N N/A N N N Oceana Australian Small Bus Facility 3 / N/A Oceana Australian Small Bus Facility 3 / 999999999 1 PA 6560388.37 0.2185476080 Long DBT NUSS AU N N/A 2024-03-14 None 0 N N N N N N Oceana Australian Small Business / N/A Oceana Australian Small Business / 999999999 1 PA 8822594.09 0.2939089465 Long DBT NUSS AU N N/A 2024-09-08 None 0 N N N N N N Oceana Australian Small Bus Facility / N/A Oceana Australian Small Bus Facility / 999999999 1 PA 10324264.60 0.3439344144 Long DBT NUSS AU N N/A 2024-11-09 None 0 N N N N N N Seaport Specialty Debt Collection / N/A Seaport Specialty Debt Collection / 999999999 1 PA USD 65173119.56 2.1711259426 Long DBT CORP US N N/A 2026-04-07 None 0 N N N N N N VIRAGE CAPITAL LP - Series 6 / N/A VIRAGE CAPITAL LP - Series 6 / 999999999 1 NS USD 24014403.54 0.7999969140 Long EC CORP US N N/A N N N Setpoint Residential Fintech Fund II LP / N/A Setpoint Residential Fintech Fund II LP / 999999999 1 NS USD 5266895.52 0.1754572066 Long EC CORP US N N/A N N N CTI TRU GRIT7 CREDIT FACILITY / N/A CTI TRU GRIT7 CREDIT FACILITY / 999999999 1 PA USD 22729619.74 0.7571966390 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N TURNING ROCK FUND I LP / N/A TURNING ROCK FUND I LP / 999999999 1 NS USD 3817119.58 0.1271605134 Long EC CORP US N N/A N N N TURNING ROCK FUND II LP / N/A TURNING ROCK FUND II LP / 999999999 1 NS USD 16162843.58 0.5384362332 Long EC CORP US N N/A N N N UPPER90 CRUSOE LOAN / N/A UPPER90 CRUSOE LOAN / 999999999 1 PA USD 8284234.89 0.2759744724 Long DBT CORP US N N/A 2027-02-28 None 0 N N N N N N UPPER90 FUND III / N/A UPPER90 FUND III / 999999999 1 NS USD 1540837.46 0.0513302448 Long EC CORP US N N/A N N N VIRAGE CAPITAL PARTNERS LP / N/A VIRAGE CAPITAL PARTNERS LP / 999999999 1 NS USD 1538817.31 0.0512629471 Long EC CORP US N N/A N N N VANTAGE WARRANTS / N/A VANTAGE WARRANTS / 999999999 1 NC USD 509659.30 0.0169783883 N/A DE CORP US N N/A Manual N/A Call Purchased CoVenture Vantage Credit Opps Fund LP CoVenture Vantage Credit Opps Fund LP 1 1.000000000000 USD 2099-12-30 XXXX 509659.30 N N N WALLACE FINANCE CONSUMER FACILITY / N/A WALLACE FINANCE CONSUMER FACILITY / 999999999 1 PA USD 11768380.33 0.3920425477 Long DBT CORP US N N/A 2025-10-01 None 0 N N N N N N Wallace Finance Consumer Lending / N/A Wallace Finance Consumer Lending / 999999999 1 PA USD 33884959.16 1.1288168250 Long DBT CORP US N N/A 2025-10-01 None 0 N N N N N N YS VESSEL DECONSTRUCTION 1 / N/A YS VESSEL DECONSTRUCTION 1 / 999999999 1 NS USD 200000 0.0066626424 Long EC CORP US N N/A N N N YS LAW FIRM FINANCING VII / N/A YS LAW FIRM FINANCING VII / 999999999 1 NS USD 372196.74 0.0123990689 Long EC CORP US N N/A N N N ZANIFU CREDIT FACILITY / N/A ZANIFU CREDIT FACILITY / 999999999 1 PA USD 883923.50 0.0294463309 Long DBT CORP US N N/A 2025-04-18 None 0 N N N N N N ACCIAL CAPTIAL FAC AWAN TUNAI / N/A ACCIAL CAPTIAL FAC AWAN TUNAI / 999999999 1 PA USD 22500200 0.7495539306 Long DBT CORP US N N/A 2024-04-01 None 0 N N N N N N Accial - Awan Tunai Bridge Loan / N/A Accial - Awan Tunai Bridge Loan / 999999999 1 PA USD 4000000 0.1332528476 Long DBT CORP US N N/A 2024-10-31 None 0 N N N N N N ACCIAL AVISTA CREDIT FACILITY / N/A ACCIAL AVISTA CREDIT FACILITY / 999999999 1 PA USD 10295400 0.3429728419 Long DBT CORP US N N/A 2025-03-31 None 0 N N N N N N ACCIAL EQUITY LINK CREDIT FACILITY / N/A ACCIAL EQUITY LINK CREDIT FACILITY / 999999999 1 PA USD 10530000 0.3507881214 Long DBT CORP US N N/A 2024-04-25 None 0 N N N N N N ACCIAL CAPEM CREDIT FACILITY / N/A ACCIAL CAPEM CREDIT FACILITY / 999999999 1 PA USD 9500000 0.3164755131 Long DBT CORP US N N/A 2024-08-12 None 0 N N N N N N ACCIAL RAINFOREST CREDIT FACILITY / N/A ACCIAL RAINFOREST CREDIT FACILITY / 999999999 1 PA USD 15735368 0.5241956486 Long DBT CORP US N N/A 2024-08-20 None 0 N N N N N N ACCIAL RAINFOREST WARRANTS / N/A ACCIAL RAINFOREST WARRANTS / 999999999 1 NC USD 791196.07 0.0263572823 N/A DE CORP US N N/A Manual N/A Call Purchased ACCIAL RAINFOREST CREDIT FACILITY ACCIAL RAINFOREST CREDIT FACILITY 1 1.000000000000 USD 2099-12-30 XXXX 791196.07 N N N AERO CAPITAL SOLUTIONS FUND LP / N/A AERO CAPITAL SOLUTIONS FUND LP / 999999999 1 NS USD 951448.42 0.0316958028 Long EC CORP US N N/A N N N AERO CAPITAL SOLUTIONS FUND LP 2 / N/A AERO CAPITAL SOLUTIONS FUND LP 2 / 999999999 1 NS USD 37836255.34 1.2604471919 Long EC CORP US N N/A N N N AERO CAPITAL SOLUTIONS FUND LP 3 / N/A AERO CAPITAL SOLUTIONS FUND LP 3 / 999999999 1 NS USD 48744432.41 1.6238336062 Long EC CORP US N N/A N N N AERO CAPITAL SOLUTIONS FUND LP IV / N/A AERO CAPITAL SOLUTIONS FUND LP IV / 999999999 1 NS USD 11676962.96 0.3889971415 Long EC CORP US N N/A N N N ARGONAUT INTO THE DEEP / N/A ARGONAUT INTO THE DEEP / 999999999 1 PA USD 1269417.90 0.0422883875 Long DBT CORP US N N/A 2024-05-26 None 0 N N N N N N ARGONAUT Olive House / N/A ARGONAUT Olive House / 999999999 1 PA USD 1458539.80 0.0485886454 Long DBT CORP US N N/A 2025-02-01 None 0 N N N N N N ARGONAUT RI TAX CREDIT / N/A ARGONAUT RI TAX CREDIT / 999999999 1 PA USD 1159090.91 0.0386130411 Long DBT CORP US N N/A 2024-06-30 None 0 N N N N N N ARGONAUT - Castle Rock Bridge / N/A ARGONAUT - Castle Rock Bridge / 999999999 1 PA USD 13048788.88 0.4346970691 Long DBT CORP US N N/A 2024-03-31 None 0 N N N N N N ARGONAUT - Return to Silent Hill / N/A ARGONAUT - Return to Silent Hill / 999999999 1 PA USD 15834913.26 0.5275118210 Long DBT CORP US N N/A 2024-09-30 None 0 N N N N N N BEATBREAD II CREDIT FACILITY / N/A BEATBREAD II CREDIT FACILITY / 999999999 1 PA USD 24828647.40 0.8271219922 Long DBT CORP US N N/A 2024-11-11 None 0 N N N N N N BEST CASE CREDIT FACILITY / N/A BEST CASE CREDIT FACILITY / 999999999 1 PA USD 5350000 0.1782256837 Long DBT CORP US N N/A 2028-07-13 None 0 N N N N N N BLACK FOREST STRUCTURED LENDING / N/A BLACK FOREST STRUCTURED LENDING / 999999999 1 NS USD 3212426.86 0.1070162567 Long EC CORP US N N/A N N N BP CURRENCY FUTURE MAR 24 / N/A BP CURRENCY FUTURE MAR 24 / 999999999 -619 NC USD -659616.43 -0.0219739419 N/A DFE US N N/A Chicago Mercantile Exchange N/A Short BP CURRENCY FUTURE MAR 24 / BP CURRENCY FUTURE MAR 24 / 2024-03-19 -48531539.82 USD -659616.43 N N N BANDON RIVER CREDIT FACILITY / N/A BANDON RIVER CREDIT FACILITY / 999999999 1 PA USD 1760213.11 0.0586383523 Long DBT CORP US N N/A 2024-04-01 None 0 N N N N N N BANDON RIVER ELECTRIC BROKERAGE / N/A BANDON RIVER ELECTRIC BROKERAGE / 999999999 1 PA USD 82000 0.0027316834 Long DBT CORP US N N/A 2024-04-01 None 0 N N N N N N Broadway Capital Corp N/A Broadway Capital Corp 999999999 1 NS USD 19700637.64 0.6562915164 Long EC CORP US N N/A N N N MONTICELLO SERIES BTH-48 / N/A MONTICELLO SERIES BTH-48 / 999999999 1 NS USD 2278675.18 0.0759099891 Long EC CORP US N N/A N N N MONTICELLO SERIES BTH-49 / N/A MONTICELLO SERIES BTH-49 / 999999999 1 NS USD 838580.41 0.0279358069 Long EC CORP US N N/A N N N MONTICELLO SERIES BTH-54 / N/A MONTICELLO SERIES BTH-54 / 999999999 1 NS USD 2021477.46 0.0673419070 Long EC CORP US N N/A N N N MONTICELLO SERIES BTH-55 / N/A MONTICELLO SERIES BTH-55 / 999999999 1 NS USD 2538973.41 0.0845813592 Long EC CORP US N N/A N N N MONTICELLO SERIES BTH-56 / N/A MONTICELLO SERIES BTH-56 / 999999999 1 NS USD 5898273.21 0.1964904253 Long EC CORP US N N/A N N N Bullpen GP Bridge Financing / N/A Bullpen GP Bridge Financing / 999999999 1 NS USD 4032000 0.1343188704 Long EC CORP US N N/A N N N CAGE Health LLC Allia Medical Facil / N/A CAGE Health LLC Allia Medical Facil / 999999999 1 PA USD 2485049.35 0.0827849756 Long DBT CORP US N N/A 2027-05-31 None 0 N N N N N N ROUND HILL MUSIC CARLIN COINVEST LP / N/A ROUND HILL MUSIC CARLIN COINVEST LP / 999999999 1 NS USD 1407655.41 0.0468935230 Long EC CORP US N N/A N N N C CUBED CREDIT FACILITY / N/A C CUBED CREDIT FACILITY / 999999999 1 PA USD 76238825.56 2.5397601515 Long DBT CORP US N N/A 2025-04-15 None 0 N N N N N N CAMPBELL OPPORTUNITY TIMBER FUND / N/A CAMPBELL OPPORTUNITY TIMBER FUND / 999999999 1 NS USD 542500.91 0.0180724478 Long EC CORP US N N/A N N N COROMANDEL CREDIT FACILITY / N/A COROMANDEL CREDIT FACILITY / 999999999 1 PA USD 122297081.27 4.0741085840 Long DBT CORP US N N/A 2024-07-01 None 0 N N N N N N COROMANDEL WARRANTS / N/A COROMANDEL WARRANTS / 999999999 1 NC USD 268297 0.0089378348 N/A DE CORP US N N/A Manual N/A Call Purchased COROMANDEL CREDIT FACILITY COROMANDEL CREDIT FACILITY 1 1.000000000000 USD 2099-12-30 XXXX 268297 N N N CoVenture AMZN Credit Opps LP / N/A CoVenture AMZN Credit Opps LP / 999999999 1 NS USD 29322060.86 0.9768120270 Long EC CORP US N N/A N N N CoVenture Credit Opp Partners Fund LP / N/A CoVenture Credit Opp Partners Fund LP / 999999999 1 NS USD 20131991.98 0.6706613150 Long EC CORP US N N/A N N N CoVenture Vantage Credit Opps Fund LP / N/A CoVenture Vantage Credit Opps Fund LP / 999999999 1 NS USD 3739221.23 0.1245654692 Long EC CORP US N N/A N N N MEP Capital Fund IV FUND IV / N/A MEP Capital Fund IV FUND IV / 999999999 1 NS USD 3875221.43 0.1290960727 Long EC CORP US N N/A N N N Setpoint Residential Fintech Fund LP / N/A Setpoint Residential Fintech Fund LP / 999999999 1 NS USD 16466529.48 0.5485529860 Long EC CORP US N N/A N N N MONTICELLO SERIES SH-62 / N/A MONTICELLO SERIES SH-62 / 999999999 1 NS USD 811082.96 0.0270197785 Long EC CORP US N N/A N N N Monticello SH-71 / N/A Monticello SH-71 / 999999999 1 NS USD 1010377.45 0.0336589181 Long EC CORP US N N/A N N N SILVERPEAK SPECIAL SITUATION LENDING LP / N/A SILVERPEAK SPECIAL SITUATION LENDING LP / 999999999 1 NS USD 10764523.63 0.3586008568 Long EC CORP US N N/A N N N SIXPOINT CAP CREDIT / N/A SIXPOINT CAP CREDIT / 999999999 1 PA USD 9600500 0.3198234909 Long DBT CORP US N N/A 2028-10-17 None 0 N N N N N N SOUND POINT DISCOVERY FUND / N/A SOUND POINT DISCOVERY FUND / 999999999 1 NS USD 10794550.07 0.3596011339 Long EC CORP US N N/A N N N SPECIALTY CAPITAL CREDIT FACILITY / N/A SPECIALTY CAPITAL CREDIT FACILITY / 999999999 1 PA USD 20576849.32 0.6854809418 Long DBT CORP US N N/A 2027-01-12 None 0 N N N N N N SOUND POINT SQUARE LOAN CO-INVEST / N/A SOUND POINT SQUARE LOAN CO-INVEST / 999999999 1 NS USD 5308886.08 0.1768560470 Long EC CORP US N N/A N N N Square Kilometer ERTC CREDIT FACILITY / N/A Square Kilometer ERTC CREDIT FACILITY / 999999999 1 PA USD 9000000 0.2998189072 Long DBT CORP US N N/A 2024-09-30 None 0 N N N N N N 2024-02-26 VARIANT ALTERNATIVE INCOME FUND /s/ Robert W Elsasser Robert W Elsasser President XXXX NPORT-EX 2 fp0087401-1_nportex.htm PART F ATTACHMENT

Variant Alternative Income Fund

Consolidated Schedule of Investments

January 31, 2024 (Unaudited)

 

 

   Interest Rate  Reference Rate   Spread  Shares/
Units
  First
Acquisition
Date
  Maturity
Date
  Cost / Principal    Fair Value    Percent of Net Assets
Investments in private investment companies - 24.2%                               
Litigation Finance                               
EAJF ESQ FUND L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  5/26/2022  -  $35,000,000   $40,354,426   1.3
Equal Access Justice Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  3/30/2021  -   45,000,000    52,960,333   1.8
Series 4 -Virage Capital Partners L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  9/1/2018  -   804,190    1,549,088   0.1
Series 6 - Virage Capital Partners L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  10/31/2019  -   16,000,000    24,078,524   0.8
Virage Recovery Fund (Cayman) L.P. ⁽ᶠ⁾  -  -  -  152,590  8/6/2019  -   15,286,170    13,403.548   0.4
                      112,090,360    132,345,919   4.4
Portfolio Finance                               
C L Levi Co-Invest, L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  6/27/2022  -   11,972,880    14,352,100   0.5
Crestline Portfolio Financing Fund II (US), L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  8/26/2021  -   2,111,621    2,586,349   0.1
Crestline Portfolio Financing Fund Offshore B, L.P. and Subsidiary ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  4/25/2018  -   437,427    768,252   0.0
Crestline Praeter, L.P. - Zoom ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  12/26/2019  -   2,826,366    4,284,311   0.1
RIVER HORSE HOLDINGS II L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  1/6/2023  -   3,600,000    4,032,000   0.1
                      20,948,294    26,023,012   0.8
Real Estate Debt                               
Oak Harbor Capital NPL VII, LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  3/1/2019  -   6,272,269    7,265,157   0.2
Setpoint Residential Fintech Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  2/4/2022  -   16,830,000    16,422,711   0.6
Setpoint Residential Fintech Fund II L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  8/17/2023  -   5,300,088    5,259,736   0.2
                      28,402,357    28,947,604   1.0
Real Estate Equity                               
Montreux Healthcare Fund PLC ⁽ᶠ⁾⁽ᵗ⁾  -  -  -  48,220  2/1/2018  -   63,438,714    84,308,848   2.8
Prime Storage Fund II (Cayman), L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  11/20/2017  -   996,147    1,537,772   0.1
                      64,434,861    85,846,620   2.9
Royalties                               
MEP Capital II, L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  11/27/2020  -   6,880,702    8,098,852   0.3
MEP Capital II, L.P. - Co-investment Sound Royalties ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  8/3/2021  -   2,000,000    2,693,800   0.1
MEP Capital III, L.P.  ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  11/1/2021  -   20,667,048    21,788,257   0.7
MEP Capital III, L.P.  - Co-investment CultureWorks ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  11/3/2021  -   -    20,669   0.0
MEP Capital III, L.P.  - NGL ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  3/24/2022  -   7,750,000    8,223,384   0.3
MEP Capital Fund IV L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  11/30/2023  -   3,803,314    3,770,308   0.1
                      41,101,064    44,595,270   1.5
Secondaries                               
Black Forest Structured Lending Fund ⁽ᶠ⁾⁽ᵛ⁾  -  -  -  3,728  12/30/2022  -   3,685,091    3,213,286   0.1
CAMPBELL OPPORTUNITY TIMBER FUND-A, L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  11/1/2021  -   -    542,951   0.0
Drawbridge Special Opportunities Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  10/19/2023  -   5,073,658    6,056,113   0.2
North Haven Offshore Infrastructure Partners A L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  7/18/2019  -   1,566,729    1,611,784   0.1
PWP Asset Based Income ASP Fund ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  3/29/2019  -   916,560    729,460   0.0
Taiga Special Opportunities L.P. ⁽ᶠ⁾  -  -  -  19,826,721  4/22/2022  -   14,044,909    19,175,957   0.6
Taiga Special Opportunities L.P. ⁽ᶠ⁾  -  -  -  9,715,501  12/29/2023  -   8,551,782    10,513,228   0.3
Thor Urban Property Fund II, Inc. ⁽ᶠ⁾⁽ᵛ⁾  -  -  -  35,695  12/30/2019  -   4,161,214    235,639   0.0
                      37,999,943    42,078,418   1.3
Specialty Finance                               
ATALAYA EQUIPMENT LEASING FEEDER EVERGREEN L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  5/23/2022  -   34,765,449    35,163,617   1.2
BSRF Tax-Exempt LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  5/17/2022  -   20,000,000    19,700,759   0.6
CoVenture - Amzn Credit Opportunities Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  3/11/2021  -   30,573,720    29,321,995   1.0
CoVenture - No1 Credit Opportunities Fund LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  12/12/2019  -   1,000,000    1,007,933   0.0
CoVenture - No1 Credit Opportunities Fund LLC (A-2 Series) ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  2/5/2021  -   3,000,000    3,025,616   0.1
CoVenture - No1 Credit Opportunities Fund LLC (A-3 Series) ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  7/12/2021  -   7,500,000    7,574,613   0.3
CoVenture Credit Opportunities Partners Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  2/28/2020  -   20,000,000    20,161,896   0.7
DelGatto Diamond Fund QP, L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  10/3/2019  -   18,750,000    27,421,244   0.9
OHP II L.P. Class B ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  3/7/2019  -   -    456,563   0.0
OHPC L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  5/27/2021  -   11,206,083    11,406,240   0.4
RIVONIA ROAD FUND L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  7/29/2022  -   10,000,000    11,465,234   0.4
Silverview Special Situations Lending Onshore Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  10/19/2021  -   9,150,287    10,763,230   0.4
Sound Point Discovery Fund LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  3/31/2022  -   5,000,000    5,896,090   0.2
SP TECHNOLOGY PAYMENTS II, LLC ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  11/10/2022  -   4,740,000    5,277,010   0.2
Turning Rock Fund I L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  11/29/2019  -   2,814,504    4,130,216   0.1
Turning Rock Fund II L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  11/29/2021  -   15,587,016    16,310,956   0.5
Upper90 Fund III, L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  7/28/2022  -   1,579,235    1,539,261   0.1
                      195,666,294    210,622,473   7.1
Transportation Finance                               
Aero Capital Solutions Fund, L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  1/17/2019  -   954,672    917,929   0.0
Aero Capital Solutions Fund II, L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  9/16/2019  -   20,821,681    38,280,907   1.3
Aero Capital Solutions Feeder Fund III, L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  9/13/2021  -   35,000,000    49,340,476   1.6
Aero Capital Solutions Feeder Fund IV, L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  8/28/2023  -   11,496,398    11,928,246   0.4
Hudson Transport Real Asset Fund L.P. ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  8/31/2018  -   836,720    1,085,755   0.0
ITE Rail Fund, L.P. ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  5/25/2022  -   25,000,000    25,640,215   0.9
American Rivers Fund, LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  5/2/2019  -   22,972,826    28,627,170   1.0
                      117,082,297    155,820,698   5.2
Total investments in private investment companies                     617,725,470    726,280,014   24.2
                                
Investments in credit facilities - 63.1%                               
Litigation Finance                               
888 FUND I LLC ⁽ᵇ⁾⁽ᵒ⁾  14.00%  -  -  -  4/18/2022  4/18/2025   76,238,826    76,238,826   2.5
CAGE HEALTH LLC ⁽ᵇ⁾⁽ᵒ⁾⁽ᵛ⁾  16.50%  -  -  -  8/28/2023  8/25/2025   2,485,049    2,485,049   0.1
Experity Ventures, LLC ⁽ᵇ⁾⁽ᵛ⁾  16.00%  -  -  -  11/10/2021  11/10/2026   24,849,685    24,849,685   0.8
Kerberos Capital Management SPV I LLC ⁽ᵇ⁾⁽ᵒ⁾  17.00%  -  -  -  10/7/2019  8/16/2024   56,086,611    56,086,611   1.9
Kerberos Capital Management SPV I LLC (Luckett) ⁽ᵇ⁾⁽ᵒ⁾  19.00%  -  -  -  1/29/2020  8/16/2024   8,282,200    8,282,200   0.3
Kerberos Capital Management SPV I LLC (Pulvers) ⁽ᵇ⁾⁽ᵒ⁾  12.00%  -  -  -  10/7/2019  8/16/2024   11,974,267    11,974,267   0.4
KERBEROS CAPITAL MANAGEMENT SPV V, LLC ⁽ᵇ⁾⁽ᵒ⁾  15.00%  -  -  -  5/17/2022  5/17/2026   23,623,258    23,623,258   0.8
Legal Capital Products, LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  14.34%  30 Day Avg. SOFR  9.00%  -  10/7/2021  10/7/2026   38,253,841    38,253,841   1.3
Nighthawk Borrower SPV, LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  14.59%  30 Day Avg. SOFR  9.25%  -  8/30/2023  8/30/2026   16,116,189    16,116,189   0.5
RL SPV, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  15.84%  30 Day Avg. SOFR  10.50%  -  7/13/2023  7/13/2028   5,350,000    5,350,000   0.2
SCPFL I, LLC ⁽ᵇ⁾⁽ᵒ⁾⁽ᵛ⁾  10.00%  -  -  -  4/21/2023  12/16/2026   106,447,616    106,447,616   3.5
STENO AGENCY FUNDING I, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ⁿ⁾⁽ᵛ⁾  16.35%  1 Month CME Term SOFR  11.00%  -  11/12/2021  10/28/2024   5,487,956    5,487,956   0.2
Stifel Syndicated Credit LLC ⁽ᵇ⁾⁽ᵒ⁾  20.00%  -  -  -  8/15/2022  6/15/2026   5,131,513    5,131,513   0.2
STRATFORD CRESSON MT2, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵒ⁾⁽ᵛ⁾  17.34%  30 Day Avg. SOFR  12.00%  -  5/12/2023  1/5/2028   9,675,430    9,675,430   0.3
                      390,002,441    390,002,441   13.0
Portfolio Finance                               
BA Tech Master, L.P. ⁽ᵇ⁾⁽ᵒ⁾  19.50%  -  -  -  10/2/2018  4/1/2024   2,068,760    2,068,760   0.1
Cirrix Finance, LLC ⁽ᵇ⁾⁽ʲ⁾⁽ᵒ⁾  15.00%  -  -  -  11/4/2021  -   8,066,039    8,066,039   0.3
Delgatto Diamond Finance Fund, L.P. ⁽ᵇ⁾  10.50%  -  -  -  5/28/2021  3/28/2025   79,940,000    79,940,000   2.7
Fairway America Fund (VII and VIIQP) L.P. ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾  10.00%  30 Day Avg. SOFR  6.00%  -  8/7/2020  7/1/2024   7,500,000    7,500,000   0.2
Stage Point Capital, LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  12.00%  30 Day Avg. SOFR  8.00%  -  9/5/2019  7/31/2024   13,898,082    13,898,082   0.5
Viscogliosi Brothers, LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾⁽ᵒ⁾  18.36%  1 Month CME Term SOFR  14.00%  -  10/27/2021  10/28/2024   7,295,618    7,295,618   0.2
                      118,768,499    118,768,499   4.0
Real Estate Debt                               
CDMX II Fund, LLC ⁽ᵇ⁾⁽ᵛ⁾  13.00%  -  -  -  12/1/2022  11/30/2027   28,487,956    28,487,956   0.9
CITY CENTRE WEST, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵒ⁾  14.81%  1 Month CME Term SOFR  10.00%  -  10/11/2023  8/30/2026   25,200,210    25,200,210   0.8
Drummond Ross Limited ⁽ᵇ⁾⁽ᵒ⁾  10.00%  -  -  -  1/7/2022  3/15/2024   5,129,323    4,956,370   0.2
Montreux Holdings Limited  ⁽ᵇ⁾⁽ᵒ⁾  14.00%  -  -  -  5/22/2023  5/22/2026   36,901,081    38,017,995   1.3
Tailor Ridge REIT, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  10.00%  30 Day Avg. SOFR  6.00%  -  8/18/2021  7/31/2025   12,550,000    12,550,000   0.4
TruNorth Star RTL Co-Invest, LLC ⁽ᵇ⁾⁽ᵒ⁾  13.00%  -  -  -  2/27/2023  2/27/2026   13,954,049    13,954,049   0.5
                      122,222,619    123,166,580   4.1
Royalties                               
ARC LPW I, LLC ⁽ᵇ⁾  13.00%  -  -  -  9/26/2019  10/31/2025   61,589,163    54,471,237   1.8
BEATFUND II, LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  15.34%  30 Day Avg. SOFR  10.00%  -  11/25/2022  11/25/2025   24,828,647    24,828,647   0.8
CASCADE ENERGY GROUP, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵘ⁾⁽ᵛ⁾  Blended  -  -  -  8/21/2023  7/20/2025   9,006,818    9,029,124   0.3
MARINE STREET, L.P. ⁽ᵇ⁾⁽ᵍ⁾⁽ʰ⁾⁽ᵏ⁾⁽ᵒ⁾⁽ᵛ⁾  Blended  -  -  -  3/22/2022  -   82,780,155    82,780,155   2.8
                      178,204,783    171,109,163   5.7
Specialty Finance                               
5 Core Capital LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  14.57%  30 Day Avg. SOFR  9.75%  -  10/28/2020  4/25/2026   13,632,150    13,632,150   0.5
ACMV Factor Finance SPV LLC ⁽ᵇ⁾⁽ᵍ⁾  12.00%  -  -  -  11/24/2021  9/30/2024   32,508,978    32,508,978   1.1
ADVANTECH SERVICIOS FINANCIEROS, SOCIEDAD ANÓNIMA PROMOTORA DE INVERSIÓN DE CAPITAL VARIABLE ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾⁽ʸ⁾  13.49%  30 Day Avg. SOFR  8.00%  -  11/5/2020  8/13/2026   27,255,000    27,255,000   0.9
Aion Acquisition, LLC ⁽ᵇ⁾⁽ʲ⁾  -  -  -  -  3/31/2021  -   528,216    182,922   0.0
App Academy Financial, LLC ⁽ᵇ⁾⁽ᵛ⁾  12.00%  -  -  -  3/23/2021  2/23/2024   3,973,447    3,973,447   0.1
Art Lending, Inc. (Dart Milano S.R.L 1) ⁽ᵇ⁾⁽ʲ⁾⁽ⁿ⁾  9.50%  -  -  -  4/14/2021  -   13,099,865    12,857,020   0.4
Art Lending, Inc. (Dart Milano S.R.L 2) ⁽ᵇ⁾⁽ʲ⁾⁽ⁿ⁾  8.68%  -  -  -  12/17/2021  -   14,845,445    14,546,042   0.5
Art Lending, Inc. (Procacini S.L. - 1) ⁽ᵇ⁾⁽ʲ⁾⁽ⁿ⁾  10.00%  -  -  -  8/26/2020  -   1,967,917    1,967,917   0.1
Art Lending, Inc. (Procacini S.L. - 2) ⁽ᵇ⁾⁽ʲ⁾⁽ⁿ⁾  9.50%  -  -  -  4/14/2021  -   4,047,827    4,047,827   0.1
Art Money International, Co. ⁽ᵇ⁾⁽ᵒ⁾  8.00%  -  -  -  12/9/2019  5/1/2024   435,000    435,000   0.0
Art Money International, Co. ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  15.34%  30 Day Avg. SOFR  10.00%  -  6/12/2018  5/1/2024   5,915,000    5,915,000   0.2
AVISTA COLOMBIA S.A.S ⁽ᵇ⁾⁽ᵍ⁾⁽ᵛ⁾  14.00%  -  -  -  3/29/2021  9/28/2025   10,295,400    10,295,400   0.4
Bandon VAIF, LLC ⁽ᵇ⁾⁽ʲ⁾  12.00%  -  -  -  2/10/2020  -   3,940,865    1,538,420   0.1

 

 

 

Variant Alternative Income Fund

Consolidated Schedule of Investments

January 31, 2024 (Unaudited)

 

Bandon VAIF, LLC ⁽ᵇ⁾  15.00%  -  -  -  2/15/2022  2/7/2025   82,000    82,000   0.0
BPIIHR HOLDCO, LLC ⁽ᵇ⁾⁽ᵒ⁾  15.00%  -  -  -  11/1/2021  10/28/2026   3,369,627    1,947,101   0.1
BUNDLED UP LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  15.84%  30 Day Avg. SOFR  10.50%  -  11/18/2022  10/1/2025   33,884,959    33,884,959   1.1
CDXFI SPECIALTY FINANCE LLC ⁽ᵇ⁾⁽ᵛ⁾  13.25%  -  -  -  9/18/2023  8/25/2026   2,200,000    2,200,000   0.1
CF Holdings II, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ⁿ⁾⁽ᵛ⁾  15.57%  3 Month CME Term SOFR  11.00%  -  12/28/2021  3/31/2025   4,735,838    4,735,838   0.2
CIBANCO, S.A. INSTITUCIÓN DE BANCA MÚLTIPLE ⁽ᵇ⁾⁽ᵒ⁾⁽ᵛ⁾  14.55%  -  -  -  4/5/2023  3/27/2027   3,820,137    3,820,137   0.1
Coromandel SPV LLC ⁽ᵇ⁾⁽ᵍ⁾⁽ᵛ⁾  10.00%  -  -  -  1/13/2020  7/1/2024   122,297,082    122,297,082   4.1
CRUSOE ENERGY SYSTEMS LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᵛ⁾  17.00%  -  -  -  9/28/2023  2/28/2027   8,284,235    8,284,235   0.3
ECG BOREAL FUNDING, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵐ⁾⁽ⁿ⁾⁽ᵛ⁾  Blended  -  -  -  12/28/2021  8/30/2024   7,846,154    7,846,154   0.3
Envest (Canada) Holdings Corp. ⁽ᵇ⁾  12.00%  -  -  -  11/30/2022  11/30/2024   20,952,800    20,952,800   0.7
EQUITY LINK, S.A.P.I. DE C.V., SOFOM E.N.R. ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  13.34%  30 Day Avg. SOFR  9.50%  -  4/29/2021  7/28/2024   10,530,000    10,530,000   0.4
First Class Securities Pty Ltd as trustee for the Oceana Australian Fixed Income Trust ⁽ᵇ⁾  11.25%  -  -  -  4/14/2021  3/15/2024   7,652,000    6,560,389   0.2
First Class Securities Pty Ltd as trustee for the Oceana Australian Fixed Income Trust ⁽ᵇ⁾  12.00%  -  -  -  9/8/2023  9/8/2024   8,540,492    8,822,594   0.3
First Class Securities Pty Ltd as trustee for the Oceana Australian Fixed Income Trust ⁽ᵇ⁾  12.25%  -  -  -  11/9/2023  11/9/2024   9,944,076    10,324,265   0.3
First Class Securities Pty Ltd as trustee for the Oceana Australian Fixed Income Trust  ⁽ᵇ⁾  12.50%  -  -  -  11/9/2023  2/9/2025   9,944,076    10,356,295   0.3
Grupo Olinx, S.A.P.I. de C.V., SOFOM, E.N.R. ⁽ᵇ⁾⁽ᵛ⁾  11.00%  -  -  -  8/12/2021  8/12/2025   9,500,000    9,500,000   0.3
HFP SPV I, LLC  ⁽ᵃ⁾⁽ᶜ⁾⁽ⁿ⁾  17.50%  PRIME  9.00%  -  5/17/2023  3/12/2025   60,000,000    60,000,000   2.0
KSPV 2, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ⁿ⁾⁽ᵛ⁾  13.84%  3 Month CME Term SOFR  12.50%  -  12/28/2021  10/30/2024   4,400,000    4,400,000   0.1
Lima Impact Fund Pte. Ltd ⁽ᵇ⁾⁽ⁿ⁾  11.00%  -  -  -  11/15/2022  3/15/2024   4,000,000    4,000,000   0.1
OSPREY AV I LLC ⁽ᵇ⁾⁽ᵛ⁾  13.25%  -  -  -  6/14/2023  6/12/2026   15,208,625    15,208,625   0.5
OSPREY AV II LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  11.34%  30 Day Avg. SOFR  6.00%  -  10/5/2023  8/21/2026   5,610,000    5,610,000   0.2
Payjoy Inc. ⁽ᵇ⁾⁽ⁿ⁾  14.50%  -  -  -  1/13/2021  12/30/2025   10,000,000    10,000,000   0.3
Pier Asset Management LLC (Series 6) ⁽ᵇ⁾⁽ᶜ⁾⁽ⁿ⁾⁽ᵛ⁾  16.57%  SONIA  13.50%  -  2/9/2022  2/10/2024   55,401,513    55,401,513   1.8
SPECIALTY CAPITAL SPV I LLC ⁽ᵇ⁾⁽ᵛ⁾  13.00%  -  -  -  1/12/2024  1/12/2027   20,576,849    20,576,849   0.7
PERCENT US ABS I, LLC ⁽ᵇ⁾⁽ᵛ⁾  13.00%  -  -  -  9/14/2023  9/14/2026   6,945,206    6,945,206   0.2
PT AWAN TUNAI INDONESIA ⁽ᵇ⁾⁽ˣ⁾⁽ʸ⁾⁽ᶻ⁾  Blended  -  -  -  9/9/2020  -   26,500,200    26,500,200   0.9
RAINFOREST LIFE PTE. LTD. ⁽ᵇ⁾⁽ˡ⁾  Blended  -  -  -  8/20/2021  5/15/2024   15,735,368    15,735,368   0.5
RKB BRIDGE SOLUTIONS, LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  9.75%  30 Day Avg. SOFR  6.75%  -  4/21/2022  3/31/2025   16,141,224    16,141,224   0.6
Salaryo Capital II LLC ⁽ᵇ⁾⁽ʲ⁾  12.00%  -  -  -  1/30/2020  -   11,750,000    10,650,457   0.4
SEIA Purchasing LLC ⁽ᵇ⁾⁽ᵍ⁾⁽ᵛ⁾  13.00%  -  -  -  10/12/2022  10/12/2024   14,883,532    14,883,532   0.5
ShopUp Pte. Ltd. ⁽ᵇ⁾⁽ⁿ⁾⁽ᵃᶜ⁾  13.00%  -  -  -  6/2/2023  -   20,000,000    20,000,000   0.7
SixPoint Capital Management ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  16.35%  1 Month CME Term SOFR  12.00%  -  10/17/2023  10/17/2028   9,600,500    9,600,500   0.3
SPV. Collections LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  15.25%  PRIME  7.75%  -  10/31/2022  3/6/2024   20,393,397    20,393,397   0.7
SQUARE KILOMETER CAPITAL SPV LLC, ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  16.34%  30 Day Avg. SOFR  11.00%  -  11/9/2022  11/8/2024   9,000,000    9,000,000   0.3
SSC SPV No.1 LLC ⁽ᵇ⁾⁽ᵍ⁾  9.00%  -  -  -  8/9/2019  1/24/2025   76,312,487    76,312,487   2.5
SSL DB WEST LLC ⁽ᵃ⁾⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  15.34%  30 Day Avg. SOFR  10.00%  -  4/14/2023  4/7/2026   65,173,119    65,173,119   2.2
Star Strong Funding LLC ⁽ᵇ⁾⁽ᵒ⁾  8.00%  -  -  -  2/4/2022  1/6/2025   503,211    503,211   0.0
STAT CAPITAL SPV LLC ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  14.57%  30 Day Avg. SOFR  9.75%  -  4/29/2022  4/25/2026   13,000,000    13,000,000   0.4
STEEL RIVER SYSTEMS LLC ⁽ᵇ⁾⁽ⁱ⁾  -  -  -  -  12/22/2022  12/22/2024   2,976,370    2,976,370   0.1
STRIDE ALTERNATIVE EDUCATION FUND 1 ⁽ᵇ⁾  14.00%  -  -  -  6/13/2022  6/10/2029   6,818,000    5,908,933   0.2
TCM Card LLC ⁽ᵇ⁾⁽ⁿ⁾  13.50%  -  -  -  5/1/2023  11/30/2024   500,000    500,000   0.0
TCM Produce LLC ⁽ᵇ⁾⁽ⁿ⁾  14.00%  -  -  -  5/19/2021  12/31/2024   10,295,000    10,295,000   0.3
Terra Payment Services (Mauritius) ⁽ᵇ⁾⁽ⁿ⁾  10.75%  -  -  -  1/10/2022  12/16/2024   2,857,143    2,857,143   0.1
Vantage Borrower SPV I LLC ⁽ᵇ⁾⁽ᵒ⁾  12.00%  -  -  -  9/11/2020  4/30/2024   3,000,000    3,000,000   0.1
Wallace Management Co. LLC ⁽ᵇ⁾⁽ᶜ⁾  18.34%  30 Day Avg. SOFR  13.00%  -  9/8/2022  6/30/2024   11,768,380    11,768,380   0.4
Watu Holdings Ltd ⁽ᵇ⁾⁽ⁿ⁾  14.00%  -  -  -  4/11/2022  5/7/2026   10,000,000    10,000,000   0.3
Zanifu Limited ⁽ᵇ⁾⁽ᶜ⁾⁽ᵛ⁾  18.34%  30 Day Avg. SOFR  13.00%  -  4/18/2023  4/17/2026   883,924    883,924   0.0
                      926,262,634    919,524,410   30.6
Trade Finance                               
MEDTRADE CAPITAL LLC ⁽ᵇ⁾⁽ⁱ⁾⁽ᵒ⁾  -  -  -  -  4/30/2022  7/31/2025   119,678,494    113,999,566   3.8
Octagon Asset Management, LLC - (Deal: Tru Grit 7) ⁽ᵇ⁾⁽ᵒ⁾⁽ⁱ⁾  -  -  -  -  3/9/2021  3/7/2024   22,729,620    22,729,620   0.7
                      142,408,114    136,729,186   4.5
Transportation Finance                               
Inclusion South Africa Proprietary Limited ⁽ᵇ⁾⁽ᶜ⁾⁽ⁿ⁾  17.85%  1 Month CME Term SOFR  12.50%  -  9/27/2022  9/23/2025   17,801,250    17,801,250   0.6
RANGER HILL RUN LLC ⁽ᵇ⁾⁽ᵛ⁾  14.00%  -  -  -  12/15/2023  12/15/2026   7,068,985    7,068,985   0.2
                      24,870,235    24,870,235   0.8
Warehouse Facilities                               
edly WH Investors 2019-1, LLC ⁽ᵇ⁾⁽ᵛ⁾  12.00%  -  -  -  10/9/2019  3/7/2024   9,582,541    9,582,541   0.3
Homelight Homes Real Estate, LLC ⁽ᵇ⁾  13.50%  -  -  -  10/8/2020  5/28/2025   3,839,099    3,839,099   0.1
                      13,421,640    13,421,640   0.4
Total investments in credit facilities                     1,916,160,965    1,897,592,154   63.1

 

Investments in special purpose vehicles - 6.6%                             
Litigation Finance                             
YS Law Firm Financing VII ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  4/5/2018  -   233,133    347,773   0.0
BR AB, LLC ⁽ᵇ⁾⁽ᵉ⁾⁽ᵒ⁾  -  -  -  -  8/24/2023  -   2,220,000    2,220,000   0.1
                      2,453,133    2,567,773   0.1
Real Estate Debt                               
CDMX DEBT FUND, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  4/25/2022  -   18,268,045    20,743,507   0.6
Monticello Funding, LLC Series BTH 48 ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  7/23/2021  -   2,246,959    2,278,294   0.1
Monticello Funding, LLC Series BTH 49 ⁽ᵉ⁾⁽ᶠ⁾⁽ᵛ⁾  -  -  -  -  8/16/2021  -   828,165    838,454   0.0
Monticello Funding, LLC Series BTH 54 ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  12/17/2021  -   1,990,161    2,015,391   0.1
Monticello Funding, LLC Series BTH 55 ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  12/17/2021  -   2,500,000    2,531,443   0.1
Monticello Funding, LLC Series BTH 56 ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  12/17/2021  -   5,841,510    5,909,002   0.2
Monticello Structured Products, LLC Series SH-62 ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  5/6/2022  -   800,000    811,019   0.0
Monticello Structured Products, LLC Series SH-71 ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  9/5/2023  -   1,000,000    1,010,304   0.0
                      33,474,840    36,137,414   1.1
Real Estate Equity                               
PHX Industrial Portfolio AMP SPV, LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  12/20/2021  -   6,100,860    8,417,573   0.4
CX LIVELY INDIGO RUN DEPOSITOR, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  5/9/2022  -   6,819,690    4,800,990   0.1
CX Midwest Industrial Logistics Depositor, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  6/24/2022  -   9,235,000    8,695,011   0.3
CX Mode at Hyattsville Depositor, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  10/18/2022  -   9,748,995    9,748,995   0.3
CX Owings Mills Multifamily Depositor, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  7/12/2022  -   9,860,000    7,639,470   0.3
CX Residences at Congressional Village Depositor, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  6/27/2022  -   8,865,000    8,697,139   0.3
CX Station at Clift Farm Depositor, LLC ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  12/27/2021  -   7,947,300    6,316,961   0.2
                      58,576,845    54,316,139   1.9
Royalties                               
Round Hill Music Carlin Coinvest, L.P. ⁽ᵈ⁾⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  10/1/2017  -   929,104    1,407,623   0.1
                                
Specialty Finance                               
Cirrix Investments, LLC ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  1/27/2022  -   5,000,000    5,995,297   0.2
Lendable SPC (behalf of Segregated Investment Vehicle 1) ⁽ᵉ⁾⁽ᶠ⁾  -  -  -  -  7/31/2020  -   102,900,000    97,506,792   3.2
                      107,900,000    103,502,089   3.4
Transportation Finance                               
Vessel Deconstruction I ⁽ᵇ⁾⁽ᵉ⁾  -  -  -  -  6/26/2018  -   500,000    200,000   0.0
                                
Total investments in special purpose vehicles                     203,833,922    198,131,038   6.6
                                
Investments in direct equities - 0.2%                               
Specialty Finance                               
Aion Financial - Equity ⁽ᵇ⁾  -  -  -  219,200  3/31/2021  -   22    34,913   0.0
INTERNEX CAPITAL LLC ⁽ᵇ⁾  -  -  -  359,701  4/1/2022  -   1,250,000    1,250,000   0.0
Preteur Inc. ⁽ᵇ⁾⁽ʷ⁾  -  -  -  400,000  3/28/2023  -   -    2,000,000   0.1
STAR STRONG FUNDING LLC ⁽ᵇ⁾  -  -  -  -  4/27/2022  -   348,000    1,851,219   0.1
                      1,598,022    5,136,132   0.2
Transportation Finance                               
Inclusion South Africa Proprietary Limited ⁽ᵇ⁾⁽ᵖ⁾⁽ʷ⁾  -  -  -  -  9/27/2022  -   -    57,574   0.0
                                
Total investments in direct equities                     1,598,022    5,193,706   0.2
                                
Investments in warrants - 0.1%                               
Litigation Finance                               
KERBEROS CAPITAL MANAGEMENT SPV V, LLC (b)(q)(w)  -  -  -  -  5/17/2022  -   -    2,845,599   0.1
                                
Specialty Finance                               
Art Money International, Co. - Convertible Shares ⁽ᵇ⁾⁽ʷ⁾⁽ᵃᵃ⁾  -  -  -  -  11/5/2021  -   -    59,661   0.0
Coromandel Capital LLC ⁽ᵇ⁾⁽ʷ⁾⁽ᵃᵇ⁾  -  -  -  -  9/8/2021  -   -    268,297   0.0
RAINFOREST LIFE PTE. LTD. ⁽ᵇ⁾⁽ʳ⁾⁽ʷ⁾  -  -  -  -  8/20/2021  -   -    791,196   0.0
Vantage Borrower SPV I LLC ⁽ᵇ⁾⁽ˢ⁾⁽ʷ⁾  -  -  -  29,206  1/27/2021  -   -    509,659   0.0
                      -    1,628,813   0.0
Total investments in warrants                     -    4,474,412   0.1
                                
Investments in money market instruments - 2.6%                               
GS Financial Square Government Fund, Institutional Shares (a)(ad)  5.22%  -  -  78,977,531  -  -   78,977,531    78,977,531   2.6
Total investments in money market instruments                     78,977,531    78,977,531   2.6
                                
Total Investments (cost $2,818,295,910)                         $2,910,648,855   96.8
Other assets less liabilities                          95,728,475   3.2
Net Assets                         $3,006,377,330   100.0

 

 

 

Variant Alternative Income Fund          

Consolidated Schedule of Investments          

January 31, 2024 (Unaudited)

 

       

FUTURES CONTRACTS          

           

  

Expiration

Date

  Number of

Contracts

 Long (Short)

  

Notional

 Value

  

Value at

 January 31, 2024

   Unrealized

Appreciation

 (Depreciation)

 
Foreign Exchange Futures                       
CME Australian Dollar  Mar 2024   (569)   (37,551,785)   (37,582,450)   (30,665)
CME British Pound  Mar 2024   (619)   (48,531,540)   (49,191,156)   (659,616)
CME Euro Dollar  Mar 2024   (36)   (4,856,342)   (4,887,225)   (30,883)
CME Mexican Peso  Mar 2024   (714)   (20,217,196)   (20,652,450)   (435,254)
TOTAL FUTURES CONTRACTS          $(111,156,863)  $(112,313,281)  $(1,156,418)

 

See accompanying Notes to Consolidated Financial Statements.

 

 

Investment Abbreviations:

SOFR - Secured Overnight Financing Role

CME - Chicago Mercantile Exchange

PRIME - Prime Lending Rate

SONIA - Sterling Overnight Index Average 

(a) Security serves as collateral for the Fund’s revolving credit facility, when in use during the year.
(b) Value was determined using significant unobservable inputs.
(c) Variable rate security. Rate shown is the rate in effect as of 1/31/2024.
(d) 100% of this special purpose vehicle is invested in one music catalog.
(e) Private investment company or special purpose vehicle does not issue shares or units.
(f) Investment valued using net asset value per share (or its equivalent) as a practical expedient.
(g) This investment is structured with a profit sharing component.
(h) Security has a blended interest rate of 8.50% and 9.00% based on underlying collateral.
(i) The security is structured as profit sharing agreement subject to a preferred return.
(j) Security is in winddown with no specific maturity date.
(k) Variable maturity dates maturing through 9/30/2025.
(l) Security has a blended interest rate of 14.00% for draws up to $13,000,500 and 12.70% for draws above $13,000,500.
(m) Security has a blended interest rate of 3 Month CME Term SOFR plus 10.00% for 85% advance rates and 3 Month CME Term SOFR plus 13.00% for 90% advance rates.
(n) This investment was made through a participation.
(o) The security is PIK interest. This indicates that interest accrued within a period may be capitalized into the principal balance of the security or interest is collected periodically with no specific terms.
(p) This investment is a grant. The grant can be exercised at 200 EUR when an equity investment is made by the participation through Rivonia Road Capital, LLC.
(q) This warrant's expiration date is on the tenth anniversary of its date of issue (5/17/2022). The exercise price is $0.01.
(r) This warrant's expiration date is on the tenth anniversary of its effective date (7/13/2021). The exercise price is $0.01.
(s) This warrant's expiration date is on the tenth anniversary of its initial vest date (5/1/2020). The exercise price is $0.01.
(t) This security has a component that resembles a synthetic put, which has a 14% return floor.
(u) This security has a blended interest rate of 10.75% plus 30 Day Avg. SOFR (with a 1% Floor and 5% Ceiling) for draws before 8/14/2023 and 9.75% plus 30 Day Avg. SOFR (with a 1% Floor and 5% Ceiling) for draws on or after 8/14/2023.
(v) This investment has been commited to but has not been fully funded by the Fund as of 1/31/2024.
(w) This investment was acquired at zero cost through the structuring of another security.
(x) This security has a blended interest rate of 5.00% for draws up to $22,500,200 and 6.00%for draws up to $4,000,000.
(y) The Fund receives a management or agent fee from this security.
(z) Variable maturity dates maturing through 10/31/2024.
(aa) This warrant's expiration date is associated with the maturity date of security Art Money International, Co. dated 12/9/2019. The exercise price is calculated by dividing the sum of the pre-money valuation cap plus the gross amount of equity financing received by the number of issued and outstanding shares of Art Money International, Co.
(ab) This warrant's expiration date is on the tenth anniversary of its effective date (1/7/2020). The exercise price is $1.00.
(ac) Variable maturity dates maturing through 8/8/2024.
(ad) Rate listed is the 7-day effective yield at 1/31/2024.

 

 

Variant Alternative Income Fund

Portfolio Allocation (Unaudited)

January 31, 2024 (Unaudited)

 

     

Investment Type as a percentage of Total Net Assets As Follows    

     

Security Type/Sector  Percent of Total Net Assets 
Credit Facilities   63.1%
Private Investment Companies   24.2%
Special Purpose Vehicles   6.6%
Short-Term Investments   2.6%
Direct Equities   0.2%
Warrants   0.1%
Total Investments   96.8%
Other assets less liabilities   3.2%
Total Net Assets   100.0%

 

The accompanying notes are an integral part of these Consolidated Financial Statements.

  

 

 

Variant Alternative Income Fund

Notes to Consolidated Financial Statements

January 31, 2024

 

1. Valuation of Investments

 

The Fund calculates its NAV as of the close of business on each business day and at such other times as the Board may determine, including in connection with repurchases of Shares, in accordance with the procedures described below or as may be determined from time to time in accordance with policies established by the Board.

 

In December 2020, the SEC adopted a new rule providing a framework for fund valuation practices (“Rule 2a-5”). Rule 2a-5 establishes requirements for determining fair value in good faith for purposes of the Investment Company Act. Rule 2a-5 permits fund boards to designate certain parties to perform fair value determinations, subject to board oversight and certain other conditions. Rule 2a-5 also defines when market quotations are “readily available” for purposes of the Investment Company Act and the threshold for determining whether a fund must fair value a security. In connection with Rule 2a-5, the SEC also adopted related recordkeeping requirements and is rescinding previously issued guidance, including with respect to the role of a board in determining fair value and the accounting and auditing of fund investments.

 

The Board has approved valuation procedures for the Fund (the “Valuation Procedures”). The Valuation Procedures provide that the Fund will value its investments at fair value. The Board has delegated the day-to-day responsibility for fair value determinations in accordance with the Valuation Procedures to the Investment Manager (the “Valuation Designee”), subject to oversight by the Board.

 

Short-term securities, including bonds, notes, debentures and other debt securities, such as certificates of deposit, commercial paper, bankers’ acceptances and obligations of domestic and foreign banks, with maturities of 60 days or less, for which reliable market quotations are readily available shall each be valued at current market quotations as provided by an independent pricing service or principal market maker. Money market funds will be valued at NAV.

 

For equity, equity related securities, and options that are freely tradable and listed on a securities exchange or over-the-counter market, the Fund fair values those securities at their last sale price on that exchange or over-the-counter market on the valuation date. If the security is listed on more than one exchange, the Fund will use the price from the exchange that it considers to be the principal exchange on which the security is traded. Securities listed on the NASDAQ will be valued at the NASDAQ Official Closing Price, which may not necessarily represent the last sale price. If there has been no sale on such exchange or over-the-counter market on such day, the security will be valued at the mean between the last bid price and last ask price on such day.

 

Fixed income securities (i.e. credit facilities, other than the short-term securities as described above) shall be valued by (a) using readily available market quotations based upon the last updated sale price or a market value from an approved pricing service generated by a pricing matrix based upon yield data for securities with similar characteristics or (b) by obtaining a direct written broker- dealer quotation from a dealer who has made a market in the security. If no price is obtained for a security in accordance with the foregoing, because either an external price is not readily available or such external price is believed by the Investment Manager not to reflect the market value, the Valuation Designee will make a determination in good faith of the fair value of the security in accordance with the Valuation Procedures. In general, fair value represents a good faith approximation of the current value of an asset and will be used when there is no public market or possibly no market at all for the asset. The fair values of one or more assets may not be the prices at which those assets are ultimately sold and the differences may be significant.

 

The Fund may acquire interests in loans either directly (by way of original issuance, sale or assignment) or indirectly (by way of participation). The purchaser of an assignment typically succeeds to all the rights and obligations of the assigning institution and becomes a lender under the credit agreement with respect to the debt obligation; however, its rights can be more restricted than those of the assigning institution. Participation interests in a portion of a debt obligation typically result in a contractual relationship only with the institution participating in the interest, not with the borrower. In purchasing participations, the Fund generally will have no right to enforce compliance by the borrower with the terms of the loan agreement, nor any rights of set-off against the borrower, and the Fund may not directly benefit from the collateral supporting the debt obligation in which it has purchased the participation. As a result, the Fund will assume the credit risk of both the borrower and the institution selling the participation.

 

 

Variant Alternative Income Fund

Notes to Consolidated Financial Statements

January 31, 2024 (continued)

 

Prior to investing in any private investment companies or special purpose vehicles (collectively, “Underlying Funds”), the Investment Manager will conduct an initial due diligence review of the valuation methodologies utilized by the Underlying Fund, which generally shall be based upon readily observable market values when available, and otherwise utilize principles of fair value that are reasonably consistent with those used by the Fund for valuing its own investments. Subsequent to investment in an Underlying Fund, the Investment Manager will monitor the valuation methodologies used by each Underlying Fund. The Fund values its interests in Underlying Funds using the NAV provided by the managers of the Underlying Funds and/ or their agents. These valuations involve significant judgment by the managers of the Underlying Funds and may differ from their actual realizable value. Under certain circumstances, the Valuation Designee may modify the managers’ valuations based on updated information received since the last valuation date. The Valuation Designee may also modify valuations if the valuations are deemed to not fully reflect the fair value of the investment. Valuations will be provided to the Fund based on interim unaudited financial records of the Underlying Funds, and, therefore, will be estimates and may fluctuate as a result. The Board, the Investment Manager and the Valuation Designee may have limited ability to assess the accuracy of these valuations.

 

In circumstances in which market quotations are not readily available or are deemed unreliable, or in the case of the valuation of private, direct investments, such investments may be valued as determined in good faith using Valuation Procedures approved by the Board. In these circumstances, the Fund determines fair value in a manner that seeks to reflect the market value of the security on the valuation date based on consideration by the Valuation Designee of any information or factors deemed appropriate. The Valuation Designee may engage third party valuation consultants on an as-needed basis to assist in determining fair value.

 

Fair valuation involves subjective judgments, and there is no single standard for determining the fair value of an investment. The fair value determined for an investment may differ materially from the value that could be realized upon the sale of the investment. Fair values used to determine the Fund’s NAV may differ from quoted or published prices, or from prices that are used by others, for the same investment. Thus, fair valuation may have an unintended dilutive or accretive effect on the value of shareholders’ investments in the Fund. Information that becomes known to the Fund or its agents after the NAV has been calculated on a particular day will not be used to retroactively adjust the price of a security or the NAV determined earlier. Prospective investors should be aware that situations involving uncertainties as to the value of investments could have an adverse effect on the Fund’s NAV if the judgments of the Valuation Designee regarding appropriate valuations should prove incorrect.

 

Written Options

 

The Fund may write call and put options. Writing put options tends to increase the Fund’s exposure to the underlying instrument. Writing call options tends to decrease the Fund’s exposure to the underlying instrument. When the Fund writes a call or put option, an amount equal to the premium received is recorded as a liability and subsequently marked-to-market to reflect the current value of the option written. These liabilities are reflected as written options outstanding in the Schedule of Investments. Payments received or made, if any, from writing options with premiums to be determined on a future date are reflected as such in the Schedule of Investments. Premiums received from writing options that expire are treated as realized gains. Premiums received from writing options that are exercised or closed are added to the proceeds or offset against amounts paid on the underlying future, security or currency transaction to determine the realized gain or loss. The Fund, as a writer of an option, has no control over whether the underlying future, security or currency may be sold (call) or purchased (put) and, as a result, bears the market risk of an unfavorable change in the price of the security underlying the written option. The risk exists that the Fund may not be able to enter into a closing transaction because of an illiquid market.

 

Foreign Currency Exchange Future Contracts

 

The Fund may utilize foreign currency future contracts (“contracts”) under which they are obligated to exchange currencies on specified future dates at specified rates, and are subject to the translations of foreign exchange rates fluctuations. All contracts are “marked-to-market” daily and any resulting unrealized gains or losses are recorded as unrealized appreciation or depreciation on foreign currency translations. The Fund records realized gains or losses at the time the forward contract is settled. Counter-parties to these contracts are major U.S. financial institutions. As of January 31, 2024, the Fund had one-thousand nine hundred thirty-eight outstanding forward currency contracts sold short. Futures contracts are carried at fair value using the primary exchange’s closing (settlement) price and are generally categorized in Level 1.

 

 

Variant Alternative Income Fund

Notes to Consolidated Financial Statements

January 31, 2024 (continued)

 

The Fund may enter into futures contracts in U.S. domestic markets or on exchanges located outside the United States. Foreign markets may offer advantages such as trading opportunities or arbitrage possibilities not available in the United States. Foreign markets, however, may have greater risk potential than domestic markets. For example, some foreign exchanges are principal markets so that no common clearing facility exists and an investor may look only to the broker for performance of the contract. In addition, any profits that might be realized in trading could be eliminated by adverse changes in the exchange rate, or a loss could be incurred as a result of those changes. Transactions on foreign exchanges may include both commodities which are traded on domestic exchanges and those which are not. Unlike trading on domestic commodity exchanges, trading on foreign commodity exchanges is not regulated by the Commodity Futures Trading Commission.

 

Engaging in these transactions involves risk of loss, which could adversely affect the value of the Fund’s net assets. No assurance can be given that a liquid market will exist for any particular futures contract at any particular time. Many futures exchanges and boards of trade limit the amount of fluctuation permitted in futures contract prices during a single trading day. Once the daily limit has been reached in a particular contract, no trades may be made that day at a price beyond that limit or trading may be suspended for specified periods during the trading day. Futures contract prices could move to the limit for several consecutive trading days with little or no trading, thereby preventing prompt liquidation of futures positions and potentially subjecting the Fund to substantial losses.

 

2. Fair Value of Investments

 

(a) Fair value - Definition

 

The Fund uses a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The objective of a fair value measurement is to determine the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). Accordingly, the fair value hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The three levels of the fair value hierarchy are as follows:

 

  Level 1 – Valuations based on unadjusted quoted prices in active markets that are accessible at the measurement date for identical, unrestricted assets or liabilities.

 

  Level 2 – Valuations based on inputs, other than quoted prices included in Level 1, that are observable either directly or indirectly.

 

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

 

Investments in private investment companies measured based upon NAV as a practical expedient to determine fair value are not required to be categorized in the fair value hierarchy.

 

The availability of valuation techniques and observable inputs can vary from investment to investment and are affected by a wide variety of factors, including type of investment, whether the investment is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the transaction. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, determining fair value requires more judgment. Because of the inherent uncertainly of valuation, estimated values may be materially higher or lower than the values that would have been used had a ready market for the investments existed. Accordingly, the degree of judgment exercised by the Investment Manager in determining fair value is greatest for investments categorized in Level 3.

 

 

Variant Alternative Income Fund

Notes to Consolidated Financial Statements

January 31, 2024 (continued)

 

In some circumstances, the inputs used to measure fair value might be categorized within different levels of the fair value hierarchy. In those instances, the fair value measurement is categorized in its entirety in the fair value hierarchy based on the lowest level input that is significant to the fair value measurement.

 

(b) Fair Value – Valuation Techniques and Inputs

 

When determining fair value, the Fund uses valuation techniques that maximize the use of observable inputs and minimize the use of unobservable inputs.

 

Investments in Private Investment Companies

 

The Fund values private investment companies using the NAV’s provided by the underlying private investment companies as a practical expedient. The Fund applies the practical expedient to private investment companies on an investment-by-investment basis, and consistently with the Fund’s entire position in a particular investment, unless it is probable that the Fund will sell a portion of an investment at an amount different from the NAV of the investment. Each of these investments has certain restrictions with respect to rights of withdrawal by the Fund as specified in the respective agreements. Generally, the Fund is required to provide notice of its intent to withdraw after the investment has been maintained for a certain period of time. The management agreements of the private investment companies provide for compensation to the managers in the form of fees ranging from 0% to 2.75% annually of net assets and performance incentive allocations or fees ranging from 0% to 35% on net profits earned.

 

Investments in Special Purpose Vehicles

 

Special purpose vehicles (“SPV”) consist of an investment by the Fund in an entity that invests directly or indirectly in a note secured by expected value of contingency fees received from future case settlements, real estate, specialty finance investments, and royalties. The debt offerings are short-term in nature and carry a fixed interest rate. During the nine months ended January 31, 2024, the Investment Manager determined there were minimal credit impairments. Investments in SPV are generally measured based on NAV as a practical expedient, while others are categorized in Level 3 of the fair value hierarchy.

 

Investments in Credit Facilities

 

The Fund has invested in credit facilities that are either secured by the borrower’s assets or are unsecured in nature. The credit facilities have been made directly or through participation with private investment or operating companies. The investments in credit facilities will generally be held at cost subject to certain revisions, such as (i) a material change in interest rates for similar notes or (ii) if the Investment Manager becomes aware of a fundamental change that has not been reflected in the cost. The Fund has determined to value its investments in credit facilities generally at cost although some are above or below cost as of January 31, 2024. Investments in credit facilities are categorized in Level 3 of the fair value hierarchy.

 

Investments in Direct Equities

 

As a part of some of the credit facilities, the Fund receives direct equity in the private investments or operating companies of the borrower via common stock shares, warrants, or profit sharing instruments. The Fund has determined to value its investments in direct equities through a discounted cash flow or market approach method as of January 31, 2024. Investments in direct equities are categorized in Level 3 of the fair value hierarchy.

 

(c) Fair Value – Hierarchy

 

The Fund’s assets recorded at fair value have been categorized based on a fair value hierarchy as described in the Fund’s significant accounting policies. The following table presents information about the Fund’s assets and liabilities measured at fair value as of January 31, 2024. Assets valued using NAV as a practical expedient, an indicator of fair value, are listed in a separate column to permit reconciliation to totals in the Statement of Assets and Liabilities:

 

 

Variant Alternative Income Fund

Notes to Consolidated Financial Statements

January 31, 2024 (continued)

 

Investments  Level 1   Level 2  

Level 3 

   Investments Valued at Net Asset Value   Total 
Private Investment Companies  $-   $-   $-   $726,280,014   $726,280,014 
Credit Facilities   -    -    1,897,592,154    -    1,897,592,154 
Special Purpose Vehicles   -    -    69,062,073    129,068,965    198,131,038 
Direct Equities   -    -    5,193,706    -    5,193,706 
Warrants             4,474,412         4,474,412 
Short-Term Investments   78,977,531    -    -    -    78,977,531 
Total Investments  $78,977,531   $-   $1,976,322,345   $855,348,979   $2,910,648,855 

Other Financial Instruments1 

                         
Futures Contracts  $(1,156,418)  $-   $-   $-   $(1,156,418)
Total Assets  $77,821,113   $-   $1,976,322,345   $855,348,979   $2,909,492,437 

 

1Other financial instruments are derivative instruments such as futures contracts, forward contracts and swap contracts. Futures contracts, forward contracts and swap contracts are valued at the unrealized appreciation (depreciation) on the instrument.

 

(d) Fair Value – Changes in Level 3 Measurements

 

The following table presents the changes in assets and transfers in and out which are classified in Level 3 of the fair value hierarchy for the nine months ended January 31, 2024:

 

   Credit Facilities  

Special Purpose

Vehicles

  

Direct Equities 

   Warrants 
April 30, 2023  $1,411,380,108   $79,096,321   $5,614,288   $3,477,714 
Realized gains (losses)   -    -    -    - 
Unrealized gains (losses)   522,548   (5,885,356)   (92,624)   668,740 
Transfers Into Level 3   -    -    -    - 
Transfers Out of Level 3   -    -    -    - 
Recategorized   -    -    (327,958)   327,958 
Purchases   828,388,110    6,418,563    -    - 
Sales   (342,698,612)   (10,567,455)   -    - 
January 31, 2024  $1,897,592,154   $69,062,073   $5,193,706   $4,474,412 
Net change in unrealized appreciation/ (depreciation) attributable to Level 3 investments held at January 31, 2024   10,295,137    (14,240,620)   -    - 

 

 

Variant Alternative Income Fund

Notes to Consolidated Financial Statements

January 31, 2024 (continued)

 

The following table summarizes the valuation techniques and significant unobservable inputs used for the Fund’s investments that are categorized in Level 3 of the fair value hierarchy as of January 31, 2024.

 

Investments Fair Value Valuation Technique Unobservable Inputs Range of Inputs Weighted Average (1) Impact on Valuation from an increase in input
Credit Facilities  1,897,592,154

Market Approach


 

 

Income Approach

 

Recent transaction price 

Ownership % 

Multiple 

Recovery %

 

Interest rate
Discount rate 

N/A 

44.94% 

8.00x 

25.00%-100.00%

 

8.68% - 12.50% 

9.75% - 13.00% 

N/A 

N/A 

N/A 

60.62%

 

10.69% 

12.14% 

Increase

Increase

Increase

Increase

 

Decrease

Decrease

Special Purpose Vehicles      69,062,073 Market Approach Capitalization Rate 4.85%-5.25% 5.11% Decrease
Direct Equities       5,193,706 Income Approach




Market Approach
Discount Rate
Growth Rate
Market Multiple
Ownership %

Discount Rate
Loan Loss Reserve
Market Multiple
Market Valuation
Ownership %
Price Per Share
Strike Price
20.00%
3.00%
8.15x
1.95%

15.00% - 30.00%
6.00%
10.00x - 20.00x
$50,000,000
1.33%
$3.48
EUR 200
N/A
N/A
N/A
N/A

20.03%
N/A
N/A
N/A
N/A
N/A
N/A
Decrease
Increase
Increase
Increase

Decrease
Increase
Decrease
Increase
Increase
Increase
Increase
Warrants       4,474,412 Income Approach



Market Approach
Discount Rate
Growth Rate
Ownership %

Agent Fee %
Discount Rate
Market Mutiple
Market Valuation

Ownership %
Price Per Share
Agent Fee
65.00%
5.00%
8.00%

15.00%
15.00% - 25.00%
10.00x
$17,500,000 - $18,885,500
0.60% - 15.00%
$20.53
15.00%
N/A
N/A
N/A

NA
20.00%
N/A
$18,787,886

11.72%
N/A
N/A
Decrease
Increase
Increase

Decrease
Decrease
Increase
Increase

Increase
Increase
Decrease

 

(1) Unobservable inputs were weighted by the fair value of the instruments as of the nine months ended January 31, 2024