0001145549-23-019581.txt : 20230330 0001145549-23-019581.hdr.sgml : 20230330 20230329173218 ACCESSION NUMBER: 0001145549-23-019581 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230131 FILED AS OF DATE: 20230330 DATE AS OF CHANGE: 20230329 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: KKR Credit Opportunities Portfolio CENTRAL INDEX KEY: 0001787621 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23474 FILM NUMBER: 23776342 BUSINESS ADDRESS: STREET 1: C/O KKR CREDIT ADVISORS (US) LLC STREET 2: 555 CALIFORNIA STREET, 50TH FLOOR CITY: SAN FRANCISCO STATE: CA ZIP: 94104 BUSINESS PHONE: (415) 315-3620 MAIL ADDRESS: STREET 1: C/O KKR CREDIT ADVISORS (US) LLC STREET 2: 555 CALIFORNIA STREET, 50TH FLOOR CITY: SAN FRANCISCO STATE: CA ZIP: 94104 NPORT-P 1 primary_doc.xml NPORT-P false 0001787621 XXXXXXXX KKR Credit Opportunities Portfolio 811-23474 0001787621 984500AN956E6403H636 555 California Street 50th Floor San Francisco 94104 424-315-3620 KKR Credit Opportunities Portfolio 549300F0T6P9SK1RUD31 2023-10-31 2023-01-31 N 798989353.660000000000 263524163.550000000000 535465190.110000000000 0.000000000000 0.000000000000 222445035.550000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 1309000.000000000000 0.000000000000 0.000000000000 9721718.400000000000 N ENCORA DIGITAL INC TL 1L DELAYED DRAW 12/21 N/A ENCORA DIGITAL INC TL 1L DELAYED DRAW 12/21 N/A 398160.000000000000 PA USD 380999.300000000000 0.0711529539 Long LON CORP KY N 3 2028-12-30 Floating 5.720000000000 N N N N N N ENCORA DIGITAL INC TL 1L 11/21 (PIK) N/A ENCORA DIGITAL INC TL 1L 11/21 (PIK) N/A 482469.530000000000 PA USD 458828.520000000000 0.0856878334 Long LON CORP KY N 3 2029-12-30 Floating 10.000000000000 N N N N N N Foundation Risk Partners, Corp. 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602000.000000000000 PA 594279.390000000000 0.1109837579 Long ABS-CBDO CORP IE N 2 2031-07-15 Floating 5.688000000000 N N N N N N Providus CLO 635400JHNUBVSY8RBH70 Providus CLO IV DAC BCC2RF0P8 668000.000000000000 PA 669250.110000000000 0.1249848024 Long ABS-CBDO CORP IE N 2 2034-04-20 Floating 4.542000000000 N N N N N N ARBOUR CLO 635400HO4JODKPRCB789 Arbour CLO II DAC BCC30NPB2 1099000.000000000000 PA 1125279.120000000000 0.2101498175 Long ABS-CBDO CORP IE N 2 2034-04-15 Floating 3.788000000000 N N N N N N St Pauls CLO 635400XNW8X824E1MY52 St Paul's CLO VII DAC BCC30MVR2 856000.000000000000 PA 878463.130000000000 0.1640560668 Long ABS-CBDO CORP IE N 2 2034-07-18 Floating 3.978000000000 N N N N N N CIFC European Funding CLO 6354004PQUAJERUBIO61 CIFC European Funding CLO IV DAC BCC313LD5 1088000.000000000000 PA 1109392.570000000000 0.2071829487 Long ABS-CBDO CORP IE N 2 2035-08-18 Floating 4.428000000000 N N N N N N Adagio CLO 6354005EJNXCFKLYWM39 Adagio IX EUR CLO DAC BCC31S233 716000.000000000000 PA 738155.810000000000 0.1378531833 Long ABS-CBDO CORP IE N 2 2034-09-15 Floating 3.746000000000 N N N N N N Avondale Park CLO 254900R5V0FZNVNLGR74 Avondale Park CLO DAC BCC31YWX1 400000.000000000000 PA 401525.380000000000 0.0749862713 Long ABS-CBDO CORP IE N 2 2034-09-20 Floating 4.247000000000 N N N N N N Sandstone Peak Ltd. 5493000VXRKO2Z5KET86 Sandstone Peak Ltd 800129AA6 643000.000000000000 PA USD 581770.380000000000 0.1086476564 Long ABS-CBDO CORP KY N 2 2034-10-15 Floating 11.592430000000 N N N N N N Sound Point CLO LTD N/A Sound Point CLO XXIX Ltd 83615GAA5 290000.000000000000 PA USD 241425.000000000000 0.0450869645 Long ABS-CBDO CORP KY N 2 2034-04-25 Floating 11.667710000000 N N N N N N SPOTIFY USA INC N/A Spotify USA Inc 84921RAB6 7930000.000000000000 PA USD 6653270.000000000000 1.2425214791 Long DBT CORP US N 2 2026-03-15 Fixed .000000000000 N N N N Y Spotify Technology SA Spotify Technology SA USD XXXX N N N Symphony CLO Ltd N/A Symphony CLO XXII Ltd 87167HAA6 598680.000000000000 PA USD 556132.780000000000 0.1038597448 Long ABS-CBDO CORP KY N 2 2033-04-18 Floating 11.044710000000 N N N N N N TICP CLO Ltd 549300T5OQR4UD880D68 TICP CLO IX Ltd 87249BAA1 738460.000000000000 PA USD 669871.650000000000 0.1251008772 Long ABS-CBDO CORP KY N 2 2031-01-20 Floating 10.407710000000 N N N N N N THOR INDUSTRIES 254900XZO1228PDSG060 Thor Industries Inc 885160AA9 1664000.000000000000 PA USD 1385729.280000000000 0.2587897973 Long DBT CORP US N 2 2029-10-15 Fixed 4.000000000000 N N N N N N CLOUD SOFTWARE GRP HOLDG N/A Cloud Software Group Holdings Inc 88632QAE3 7917000.000000000000 PA USD 6958442.100000000000 1.2995134378 Long DBT CORP US N 2 2029-03-31 Fixed 6.500000000000 N N N N N N UNIFRAX ESCROW ISS CORP 549300RRU6BWJLD0YT71 ASP Unifrax Holdings Inc 90473LAC6 1674000.000000000000 PA USD 1207641.710000000000 0.2255313197 Long DBT CORP US N 2 2029-09-30 Fixed 7.500000000000 N N N N N N VICTORS MERGER CORP N/A Victors Merger Corp 92641PAA4 17269000.000000000000 PA USD 10548534.310000000000 1.9699757342 Long DBT CORP US N 2 2029-05-15 Fixed 6.375000000000 N N N N N N VIKING CRUISES LTD 549300IJP90T4MV2GL84 Viking Cruises Ltd 92676XAD9 3008000.000000000000 PA USD 2566997.120000000000 0.4793957044 Long DBT CORP BM N 2 2027-09-15 Fixed 5.875000000000 N N N N N N VIKING CRUISES LTD 549300IJP90T4MV2GL84 Viking Cruises Ltd 92676XAF4 5473000.000000000000 PA USD 4768652.270000000000 0.8905625161 Long DBT CORP BM N 2 2029-02-15 Fixed 7.000000000000 N N N N N N WHEEL PROS INC N/A Wheel Pros Inc 96289WAA7 10121000.000000000000 PA USD 4096568.370000000000 0.7650484935 Long DBT CORP US N 2 2029-05-15 Fixed 6.500000000000 N N N N N N ZAYO GROUP HOLDINGS INC 529900Z6OTS7RT0V0I47 Zayo Group Holdings Inc 98919VAB1 7145000.000000000000 PA USD 4923512.330000000000 0.9194831748 Long DBT CORP US N 2 2028-03-01 Fixed 6.125000000000 N N N N N N BANKERS HEALTHCARE GROUP LLC TL 1L DELAYED DRAW 11 N/A BANKERS HEALTHCARE GROUP LLC TL 1L DELAYED DRAW 11 N/A 140740.000000000000 PA USD 144694.790000000000 0.0270222589 Long LON CORP US N 3 2027-11-08 Floating 7.740000000000 N N N N N N VERISURE HOLDING AB 549300VQQCWGISM3N408 Verisure Holding AB BK4334524 534000.000000000000 PA 539381.570000000000 0.1007313977 Long DBT CORP SE N 2 2026-07-15 Fixed 3.875000000000 N N N N N N CALDIC BV TL 2L 03/22 N/A CALDIC BV TL 2L 03/22 N/A 6499084.530000000000 PA USD 6304111.990000000000 1.1773149976 Long LON CORP NL N 3 2029-12-30 Floating 11.344210000000 N N N N N N COMMUNITY BRANDS INC REVOLVER 1L 02/22 N/A COMMUNITY BRANDS INC REVOLVER 1L 02/22 N/A 60610.000000000000 PA USD 58900.800000000000 0.0109999307 Long LON CORP US N 3 2028-02-23 Floating 5.750000000000 N N N N N N FORESIGHT ENERGY EQUITY SHARES N/A FORESIGHT ENERGY EQUITY SHARES N/A 17978.877077000000 NS USD 214387.320000000000 0.0400375830 Long EC CORP US N 3 N N N FOLLETT SOFTWARE CO REVOLVER 1L 08/21 N/A FOLLETT SOFTWARE CO REVOLVER 1L 08/21 N/A 136050.000000000000 PA USD 134431.010000000000 0.0251054620 Long LON CORP US N 3 2027-08-31 Floating 5.870000000000 N N N N N N HKA TL 1L DELAYED DRAW (CAR) 08/22 N/A HKA TL 1L DELAYED DRAW (CAR) 08/22 N/A 1318854.000000000000 PA USD 1275199.930000000000 0.2381480540 Long LON CORP GB N 3 2029-08-09 Floating 7.575000000000 N N N N N N HKA TL 1L B 08/22 N/A HKA TL 1L B 08/22 N/A 4176369.000000000000 PA USD 4038131.190000000000 0.7541351454 Long LON CORP GB N 3 2029-08-09 Floating 7.575000000000 N N N N N N LENOVO GROUP LTD 7.750% 09/2024 MEZZ II C (EUR) N/A LENOVO GROUP LTD 7.750% 09/2024 MEZZ II C (EUR) N/A 125603.000000000000 PA 136562.400000000000 0.0255035066 Long DBT CORP IE N 3 2024-09-22 Fixed 6.750000000000 N N N N N N PARTSSOURCE INC REVOLVER 1L 10/21 N/A PARTSSOURCE INC REVOLVER 1L 10/21 N/A 87104.190000000000 PA USD 84778.510000000000 0.0158326837 Long LON CORP US N 3 2026-08-30 Floating 5.873630000000 N N N N N N ENCORA DIGITAL INC TL 1L 12/21 (PIK TOGGLE) N/A ENCORA DIGITAL INC TL 1L 12/21 (PIK TOGGLE) N/A 1652370.000000000000 PA USD 1581152.850000000000 0.2952858336 Long LON CORP KY N 3 2028-12-30 Floating 5.720000000000 N N N N N N ENVIROTAINER LTD TL 1L DELAYED DRAW 07/22 EUR N/A ENVIROTAINER LTD TL 1L DELAYED DRAW 07/22 EUR N/A 865234.000000000000 PA 900940.520000000000 0.1682537981 Long LON CORP SE N 3 2029-07-29 Floating 9.553200000000 N N N N N N ENVIROTAINER LTD TL 1L B1 07/22 EUR N/A ENVIROTAINER LTD TL 1L B1 07/22 EUR N/A 4739642.000000000000 PA 4935237.770000000000 0.9216729418 Long LON CORP SE N 3 2029-07-29 Floating 8.790000000000 N N N N N N ENVIROTAINER LTD TL 1L B2 07/22 (USD) N/A ENVIROTAINER LTD TL 1L B2 07/22 (USD) N/A 2411934.000000000000 PA USD 2341264.330000000000 0.4372393151 Long LON CORP SE N 3 2029-07-29 Floating 8.790000000000 N N N N N N 2023-03-29 KKR Credit Opportunities Portfolio /s/ Thomas Murphy Thomas Murphy Treasurer, Chief Accounting Officer & Chief Financial Officer XXXX NPORT-EX 2 kcop.htm KCOP SOI

KKR Credit Opportunities Portfolio
 
          
January 31, 2023
 
       
 
 
 
                       
SCHEDULE OF INVESTMENTS (Unaudited)
                                    
(Stated in United States Dollars, unless otherwise noted)
                                    
                                       
Issuer
 
Asset
Reference Rate & Spread
Interest
Rate
Maturity Date
Country
Currency
 
Par
   
Fair Value
 
Footnotes
Leveraged Loans - 67.61%
                                    
Aerospace & Defense - 0.95%
                                    
        Amentum Services Inc
 
TL 2L B 12/21
SOFR (3M) + 7.65%
12.18%
2/15/2030
USA
USD
   
2,767,140
   
$
2,696,578
 
(b) (d)
        Arcfield Acquisition Corp
 
Revolver 1L 03/22
LIBOR (1M) + 5.75%
0.50%
3/10/2027
USA
USD
   
143,583
     
(2,786
)
(a) (b) (e)
        Arcfield Acquisition Corp
 
TL 1L 03/22
LIBOR (1M) + 5.75%
10.18%
3/10/2028
USA
USD
   
981,712
     
962,666
 
(a) (b) (d)
        EaglePicher Technologies LLC
 
TL 2L 02/18
LIBOR (1M) + 7.25%
11.82%
3/8/2026
USA
USD
   
2,506,459
     
1,253,230
 
(d)
        Ultra Electronics Holdings PLC
 
TL 1L B 11/21
LIBOR (6M) + 3.75%
7.06%
8/6/2029
USA
USD
   
132,857
     
131,528
 
(d)
        Ultra Electronics Holdings PLC
 
TL 1L B 11/21
EURIBOR (6M) + 3.75%
4.40%
8/6/2029
LUX
EUR
   
104,000
     
110,753
 
(d)
                                           
Air Freight & Logistics - 1.34%
                                        
        Envirotainer Ltd
 
TL 1L B1 07/22
EURIBOR (3M) + 6.00%
8.20%
7/30/2029
SWE
EUR
   
4,739,642
     
4,933,039
 
(a) (b) (d)
        Envirotainer Ltd
 
TL 1L B2 07/22
SOFR (3M) + 6.15%
10.73%
7/30/2029
SWE
USD
   
2,411,934
     
2,341,264
 
(a) (b) (d)
        Envirotainer Ltd
 
TL 1L DD 07/22
EURIBOR (3M) + 1.20%
1.20%
7/30/2029
SWE
EUR
   
865,234
     
(39,677
)
(a) (b) (e)
                                           
Alternative Carriers - 1.27%
                                        
        Segra
 
TL 1L B 08/21
LIBOR (3M) + 4.50%
9.23%
10/4/2028
USA
USD
   
7,375,483
     
6,837,663
 
(d)
                                           
Apparel, Accessories & Luxury Goods - 3.99%
                                        
        Varsity Brands Inc
 
TL 1L 11/17
LIBOR (1M) + 3.50%
8.07%
12/16/2024
USA
USD
   
21,649,031
     
21,540,786
 
(d)
                                           
Application Software - 7.39%
                                        
        Community Brands Inc
 
Revolver 1L 02/22
SOFR (1M) + 5.85%
0.50%
2/24/2028
USA
USD
   
60,610
     
(1,709
)
(a) (b) (e)
        Community Brands Inc
 
TL 1L 02/22
SOFR (1M) + 5.85%
10.41%
2/24/2028
USA
USD
   
1,022,573
     
993,736
 
(a) (b) (d)
        Community Brands Inc
 
TL 1L DD 02/22
SOFR (1M) + 5.85%
0.50%
2/24/2028
USA
USD
   
121,212
     
(3,418
)
(a) (b) (e)
        Follett Software Co
 
Revolver 1L 08/21
LIBOR (3M) + 5.75%
0.50%
8/31/2027
USA
USD
   
136,050
     
(1,619
)
(a) (b) (e)
        Follett Software Co
 
TL 1L 08/21
LIBOR (3M) + 5.75%
10.13%
8/31/2028
USA
USD
   
1,534,181
     
1,515,924
 
(a) (b) (d)
        Med-Metrix
 
Revolver 1L 09/21
LIBOR (3M) + 6.00%
0.50%
9/15/2027
USA
USD
   
158,828
     
-
 
(a) (b) (e)
        Med-Metrix
 
TL 1L 09/21
LIBOR (3M) + 6.00%
10.73%
9/15/2027
USA
USD
   
1,254,740
     
1,267,288
 
(a) (b) (d)
        Med-Metrix
 
TL 1L DD 09/21
LIBOR (3M) + 6.00%
1.00%
9/15/2027
USA
USD
   
634,359
     
132,453
 
(a) (b) (e)
        Misys Ltd
 
TL 2L 04/17
LIBOR (3M) + 7.25%
12.08%
6/13/2025
USA
USD
   
9,735,446
     
7,745,083
 
(d)
        SAMBA Safety Inc
 
Revolver 1L 09/21
LIBOR (3M) + 5.25%
0.38%
9/1/2027
USA
USD
   
41,810
     
(176
)
(a) (b) (e)
        SAMBA Safety Inc
 
TL 1L 09/21
LIBOR (3M) + 5.25%
10.41%
9/1/2027
USA
USD
   
569,876
     
567,482
 
(a) (b) (d)
        Solera LLC
 
TL 2L 06/21
LIBOR (3M) + 8.00%
12.73%
6/4/2029
USA
USD
   
16,105,314
     
15,783,208
 
(d)
        TIBCO Software Inc
 
TL 1L B 09/22
SOFR (3M) + 4.60%
9.18%
3/30/2029
USA
USD
   
12,720,960
     
11,774,839
 
(d)
                                           
Auto Parts & Equipment - 0.86%
                                        
        Innovative XCessories & Services LLC
 
TL 1L 02/20
LIBOR (3M) + 4.25%
7.82%
3/5/2027
USA
USD
   
3,549,826
     
2,891,440
 
(d)
        Rough Country LLC
 
TL 2L 07/21
LIBOR (3M) + 6.50%
11.23%
7/30/2029
USA
USD
   
861,230
     
777,975
 
(d)
        Wheel Pros Inc
 
TL 1L B 05/21
LIBOR (3M) + 4.50%
9.32%
5/11/2028
USA
USD
   
1,345,759
     
942,684
 
(d)
                                           
Broadcasting - 3.71%
                                        
        NEP Broadcasting LLC
 
TL 1L 05/20
LIBOR (1M) + 8.25%
12.82%
6/1/2025
USA
USD
   
150,390
     
148,104
 
(b) (d)
        NEP Broadcasting LLC
 
TL 1L B 09/18
LIBOR (1M) + 3.25%
7.82%
10/20/2025
USA
USD
   
9,630,151
     
8,700,842
 
(d)
        NEP Broadcasting LLC
 
TL 2L 09/18
LIBOR (1M) + 7.00%
11.57%
10/19/2026
USA
USD
   
14,697,782
     
11,067,430
 
(d)
                                           
Building Products - 0.95%
                                        
        DiversiTech Holdings Inc
 
TL 2L B 12/21
LIBOR (3M) + 6.75%
11.48%
12/15/2029
USA
USD
   
1,945,020
     
1,740,793
 
(d)
        VC GB Holdings Inc (Visual Comfort)
 
TL 2L 06/21
LIBOR (1M) + 6.75%
11.32%
7/23/2029
USA
USD
   
4,110,401
     
3,384,237
 
(d)
                                           
Communications Equipment - 0.08%
                                        
        Ciena Corp
 
TL 1L B 01/23
SOFR (1M) + 2.50%
6.98%
1/18/2030
USA
USD
   
406,260
     
406,768
 
(d)
                                           
Construction & Engineering - 2.67%
                                        
        Total Safety US Inc
 
TL 1L B 07/19
LIBOR (3M) + 6.00%
10.71%
8/18/2025
USA
USD
   
6,416,342
     
6,140,214
 
(d)
        USIC Holdings Inc
 
TL 2L 05/21
LIBOR (1M) + 6.50%
11.07%
5/14/2029
USA
USD
   
2,682,939
     
2,541,253
 
(d)
        Yak Access LLC
 
Bridge Loan 1L 01/23
SOFR (1M) + 8.35%
12.88%
3/10/2023
USA
USD
   
1,013,810
     
1,003,672
 
(a) (b) (d)
        Yak Access LLC
 
Bridge Loan 1L 11/22
SOFR (3M) + 8.35%
13.06%
3/10/2023
USA
USD
   
1,126,352
     
1,115,088
 
(a) (b) (d)
        Yak Access LLC
 
Bridge Loan 1L 12/22
SOFR (3M) + 8.35%
13.06%
3/10/2023
USA
USD
   
844,764
     
836,316
 
(a) (b) (d)
        Yak Access LLC
 
TL 1L B 05/18
   
  7/11/2025
USA
USD
   
6,608,816
     
2,686,484
 
(a) (c) (d)
                                           
Construction Machinery & Heavy Trucks - 1.33%
                                        
        Accuride Corp
 
TL 1L B 10/17
LIBOR (3M) + 5.25%
9.98%
11/17/2023
USA
USD
   
8,616,549
     
7,151,735
 
(d)
                                           
Construction Materials - 0.18%
                                        
        Summit Materials Holdings LP
 
TL 1L B 12/22
SOFR (3M) + 3.10%
7.61%
12/14/2027
USA
USD
   
965,541
     
969,365
 
(d)
                                           
Data Processing & Outsourced Services - 0.73%
                                        
        Encora Digital Inc
 
TL 1L 12/21
LIBOR (6M) + 8.28%
8.28%
12/20/2028
CYM
USD
   
1,652,370
     
1,581,153
 
(a) (b) (d)
        Encora Digital Inc
 
TL 1L 12/21
9.75% PIK
9.75%
12/13/2029
CYM
USD
   
482,470
     
458,829
 
(a) (b) (f)
        Encora Digital Inc
 
TL 1L DD 12/21
LIBOR (6M) + 5.50%
10.48%
12/20/2028
CYM
USD
   
398,160
     
380,999
 
(a) (b)
        Go Daddy Operating Co LLC
 
TL 1L 10/22
SOFR (1M) + 3.25%
7.81%
11/9/2029
USA
USD
   
1,019,100
     
1,024,201
 
(d)
        West Corp
 
TL 1L B3 01/23
LIBOR (3M) + 4.00%
8.81%
4/10/2027
USA
USD
   
529,193
     
498,212
 
(d)
                                           
Department Stores - 0.04%
                                        
        Belk Inc
 
TL 1L 02/21
LIBOR (3M) + 7.50%
12.20%
7/31/2025
USA
USD
   
53,180
     
45,619
 
(a) (d)
        Belk Inc
 
TL 1L EXIT 02/21
   
  7/31/2025
USA
USD
   
997,211
     
185,107
 
(a) (c) (d) (f)
                                           
Distributors - 1.75%
                                        
        Caldic BV
 
TL 1L B 01/22
SOFR (3M) + 3.75%
8.43%
2/26/2029
NLD
USD
   
107,845
     
107,171
 
(d)
        Caldic BV
 
TL 1L B 02/22
EURIBOR (3M) + 3.50%
5.11%
2/4/2029
NLD
EUR
   
61,831
     
65,678
 
(d)
        Caldic BV
 
TL 2L 03/22
SOFR (3M) + 7.25%
11.93%
2/25/2030
NLD
USD
   
6,499,085
     
6,304,112
 
(b) (d)
        Parts Town LLC
 
TL 1L 11/21
LIBOR (3M) + 5.50%
9.17%
11/1/2028
USA
USD
   
838,073
     
817,205
 
(a) (b) (d)
        Parts Town LLC
 
TL 1L B 11/21
LIBOR (3M) + 5.50%
10.23%
11/1/2028
USA
USD
   
920,208
     
897,295
 
(a) (b) (d)
        Parts Town LLC
 
TL 1L DD 11/21
LIBOR (3M) + 5.50%
9.17%
11/1/2028
USA
USD
   
1,284,596
     
1,252,610
 
(a) (b) (d)
                                           
Diversified Metals & Mining - 0.02%
                                        
        Foresight Energy LLC
 
TL 1L A 06/20
LIBOR (3M) + 8.00%
12.73%
6/30/2027
USA
USD
   
121,885
     
121,885
 
(a) (b) (d)
                                           
Diversified Support Services - 0.06%
                                        
        Access CIG LLC
 
TL 2L 02/18
LIBOR (1M) + 7.75%
12.32%
2/27/2026
USA
USD
   
143,000
     
130,130
 
(d)
        Magna Legal Services LLC
 
Revolver 1L 11/22
LIBOR (3M) + 5.25%
0.50%
11/22/2028
USA
USD
   
26,940
     
(67
)
(a) (b) (e)
        Magna Legal Services LLC
 
TL 1L 11/22
LIBOR (3M) + 5.25%
10.90%
11/22/2029
USA
USD
   
231,690
     
231,111
 
(a) (b) (d)
        Magna Legal Services LLC
 
TL 1L DD 11/22
LIBOR (3M) + 5.25%
1.00%
11/22/2029
USA
USD
   
64,660
     
(162
)
(a) (b) (e)
                                           
Electronic Equipment & Instruments  - 0.81%
                                        
        Excelitas Technologies Corp
 
Revolver 1L 08/22
SOFR (3M) + 5.75%
0.50%
8/12/2028
USA
USD
   
351,770
     
138,539
 
(a) (b) (e)
        Excelitas Technologies Corp
 
TL 1L 08/22
SOFR (3M) + 5.75%
10.12%
8/12/2029
USA
USD
   
3,646,681
     
3,575,571
 
(a) (b) (d)
        Excelitas Technologies Corp
 
TL 1L 08/22
EURIBOR (3M) + 5.75%
7.55%
8/12/2029
USA
EUR
   
602,699
     
642,159
 
(a) (b) (d)
        Excelitas Technologies Corp
 
TL 1L DD 08/22
SOFR (3M) + 5.75%
0.50%
8/12/2029
USA
USD
   
703,540
     
(13,719
)
(a) (b) (e)
                                           
Environmental & Facilities Services - 1.45%
                                        
        48Forty Solutions LLC
 
Revolver 1L 03/22
SOFR (3M) + 5.65%
0.50%
11/30/2026
USA
USD
   
610,068
     
(7,748
)
(a) (b) (e)
        48Forty Solutions LLC
 
TL 1L 02/22
SOFR (3M) + 5.75%
9.75%
11/30/2026
USA
USD
   
4,723,786
     
4,663,794
 
(a) (b) (d)
        48Forty Solutions LLC
 
TL 1L 03/22
SOFR (3M) + 5.65%
9.76%
11/30/2026
USA
USD
   
3,157,204
     
3,117,108
 
(a) (b) (d)
                                           
Financial Exchanges & Data - 0.13%
                                        
        IntraFi Network LLC
 
TL 2L 11/21
LIBOR (1M) + 6.25%
10.82%
11/5/2029
USA
USD
   
751,420
     
698,197
 
(d)
                                           
Food Distributors - 0.14%
                                        
        Lipari Foods LLC
 
TL 1L 10/22
SOFR (3M) + 6.65%
10.74%
10/31/2028
USA
USD
   
772,735
     
770,571
 
(b) (d)
        Lipari Foods LLC
 
TL 1L DD 10/22
SOFR (3M) + 6.65%
1.00%
10/31/2028
USA
USD
   
219,884
     
(616
)
(b) (e)
                                           
Health Care Equipment - 5.74%
                                        
        Drive DeVilbiss Healthcare LLC
 
TL 1L 03/21
4.00% PIK, SOFR (3M) + 9.50%
14.08%
6/1/2025
USA
USD
   
20,030,700
     
18,127,784
 
(d) (f)
        Drive DeVilbiss Healthcare LLC
 
TL 1L 09/22
9.00% PIK, SOFR (3M) + 10.00%
14.68%
6/1/2025
USA
USD
   
2,670,167
     
2,670,167
 
(b) (d) (f)
        Orchid Orthopedic Solutions LLC
 
TL 1L 02/19
LIBOR (3M) + 4.50%
9.23%
3/5/2026
USA
USD
   
6,919,868
     
6,141,417
 
(d)
        PartsSource Inc
 
Revolver 1L 10/21
LIBOR (3M) + 5.75%
0.50%
8/21/2026
USA
USD
   
87,104
     
(2,326
)
(a) (b) (e)
        PartsSource Inc
 
TL 1L 10/21
LIBOR (3M) + 5.75%
8.71%
8/23/2028
USA
USD
   
1,322,260
     
1,286,956
 
(a) (b) (d)
        PartsSource Inc
 
TL 1L DD 08/21
LIBOR (3M) + 5.75%
2.00%
8/23/2028
USA
USD
   
464,562
     
(12,404
)
(a) (b) (e)
        Tecomet Inc
 
TL 1L 10/17
LIBOR (3M) + 3.50%
8.29%
5/1/2024
USA
USD
   
3,036,514
     
2,673,226
 
(d)
                                           
Health Care Facilities - 2.11%
                                        
        Lakefield Veterinary Group
 
TL 1L 11/21
SOFR (1M) + 5.50%
10.06%
11/23/2028
USA
USD
   
2,199,515
     
2,087,559
 
(b) (d)
        Lakefield Veterinary Group
 
TL 1L DD 11/21
SOFR (1M) + 5.50%
0.50%
11/23/2028
USA
USD
   
1,265,136
     
485,978
 
(b) (e)
        ScionHealth
 
TL 1L B 12/21
LIBOR (1M) + 5.25%
9.82%
12/23/2028
USA
USD
   
2,433,697
     
1,439,933
 
(d)
        VetCor Professional Practices LLC
 
Revolver 1L 08/22
SOFR (3M) + 5.75%
0.50%
8/31/2029
USA
USD
   
573,499
     
-
 
(b) (e)
        VetCor Professional Practices LLC
 
TL 1L B 08/22
SOFR (3M) + 5.75%
9.19%
8/31/2029
USA
USD
   
7,300,251
     
7,302,441
 
(b)
        VetCor Professional Practices LLC
 
TL 1L DD 08/22
SOFR (3M) + 5.75%
0.50%
8/31/2029
USA
USD
   
664,390
     
199
 
(b) (e)
                                           
Health Care Services - 1.70%
                                        
        Affordable Care Inc
 
Revolver 1L 08/21
LIBOR (1M) + 5.75%
1.19%
8/2/2027
USA
USD
   
177,081
     
11,953
 
(a) (b) (e)
        Affordable Care Inc
 
TL 1L 08/21
1.25% PIK, LIBOR (1M) + 5.75%
10.32%
8/2/2028
USA
USD
   
1,585,658
     
1,565,837
 
(a) (b) (d)
        Affordable Care Inc
 
TL 1L DD 08/21
1.25% PIK, LIBOR (1M) + 5.75%
3.44%
8/2/2028
USA
USD
   
598,760
     
203,680
 
(a) (b) (e)
        American Vision Partners
 
Revolver 1L 09/21
LIBOR (3M) + 5.75%
0.50%
9/30/2026
USA
USD
   
158,140
     
59,097
 
(a) (b) (e)
        American Vision Partners
 
TL 1L 09/21
LIBOR (3M) + 5.75%
10.58%
9/30/2027
USA
USD
   
1,905,174
     
1,855,068
 
(a) (b) (d)
        American Vision Partners
 
TL 1L DD 09/21
LIBOR (3M) + 5.75%
10.56%
9/30/2027
USA
USD
   
786,737
     
766,045
 
(a) (b) (d)
        Amerivet Partners Management Inc
 
Revolver 1L 02/22
SOFR (3M) + 5.65%
0.50%
2/25/2028
USA
USD
   
197,240
     
(5,838
)
(a) (b) (e)
        Amerivet Partners Management Inc
 
TL 1L 02/22
SOFR (3M) + 5.65%
10.23%
2/25/2028
USA
USD
   
2,235,596
     
2,169,423
 
(a) (b) (d)
        Amerivet Partners Management Inc
 
TL 1L DD 02/22
SOFR (3M) + 5.65%
1.00%
2/25/2028
USA
USD
   
1,576,564
     
356,320
 
(a) (b) (e)
        Novotech Pty Ltd
 
TL 1L B1 01/22
BBSY (6M) + 5.25%
8.83%
1/13/2028
AUS
AUD
   
1,579,895
     
1,086,031
 
(a) (b) (d)
        Novotech Pty Ltd
 
TL 1L B2 01/22
SOFR (6M) + 6.01%
10.60%
1/13/2028
AUS
USD
   
1,144,851
     
1,120,809
 
(a) (b) (d)
        Novotech Pty Ltd
 
TL 1L DD 01/22
SOFR (6M) + 6.01%
1.00%
1/13/2028
AUS
USD
   
266,244
     
(5,591
)
(a) (b) (e)
        Paradigm Acquisition Corp
 
TL 2L 10/18
LIBOR (3M) + 7.50%
12.23%
10/26/2026
USA
USD
   
11,538
     
11,077
 
(d)
                                           
Health Care Technology - 0.06%
                                        
        athenahealth Inc
 
TL 1L 01/22
SOFR (1M) + 3.50%
8.01%
2/15/2029
USA
USD
   
333,212
     
316,690
   
        athenahealth Inc
 
TL 1L DD 01/22
SOFR (3M) + 3.50%
0.50%
2/15/2029
USA
USD
   
40,832
     
(2,025
)
(e)
                                           
Hotels, Resorts & Cruise Lines - 1.24%
                                        
        B&B Hotels SAS
 
TL 1L B3A 01/20
EURIBOR (3M) + 3.38%
5.18%
7/31/2026
FRA
EUR
   
1,886,660
     
1,980,547
 
(d)
        B&B Hotels SAS
 
TL 1L B4 03/21
EURIBOR (6M) + 5.50%
7.24%
7/31/2026
FRA
EUR
   
337,480
     
362,601
 
(d)
        B&B Hotels SAS
 
TL 2L 04/20
LIBOR (6M) + 8.50%
8.50%
7/30/2027
FRA
EUR
   
812,680
     
850,433
 
(d)
        NCL Corp Ltd
 
TL 1L A 06/16
SOFR (3M) + 2.00%
6.43%
1/2/2024
USA
USD
   
2,697,347
     
2,575,966
 
(d)
        Travel + Leisure Co
 
TL 1L 12/22
SOFR (3M) + 4.10%
8.61%
12/14/2029
USA
USD
   
886,120
     
888,061
 
(d)
                                           
Human Resource & Employment Services - 2.99%
                                        
        Insight Global LLC
 
Revolver 1L 09/21
PRIME (3M) + 5.00%
0.50%
9/22/2027
USA
USD
   
427,591
     
58,665
 
(a) (b) (e)
        Insight Global LLC
 
TL 1L 02/22
LIBOR (3M) + 6.00%
10.83%
9/22/2028
USA
USD
   
1,042,940
     
1,029,591
 
(a) (b) (d)
        Insight Global LLC
 
TL 1L 09/21
LIBOR (1M) + 6.00%
10.72%
9/22/2028
USA
USD
   
5,387,783
     
5,318,820
 
(a) (b) (d)
        Oxford Global Resources LLC
 
Revolver 1L 08/21
SOFR (3M) + 6.25%
0.38%
8/17/2027
USA
USD
   
128,823
     
33,159
 
(a) (b) (e)
        Oxford Global Resources LLC
 
TL 1L 06/22
SOFR (3M) + 6.25%
10.88%
8/17/2027
USA
USD
   
6,610,887
     
6,593,699
 
(a) (b) (d)
        Oxford Global Resources LLC
 
TL 1L 08/21
SOFR (6M) + 6.25%
9.78%
8/17/2027
USA
USD
   
1,475,662
     
1,471,825
 
(a) (b) (d)
        Oxford Global Resources LLC
 
TL 1L DD 08/21
SOFR (6M) + 6.43%
4.14%
8/17/2027
USA
USD
   
257,645
     
116,301
 
(a) (b) (e)
        SIRVA Worldwide Inc
 
TL 1L 07/18
LIBOR (3M) + 5.50%
10.13%
8/4/2025
USA
USD
   
1,615,628
     
1,448,815
 
(d)
        SIRVA Worldwide Inc
 
TL 2L 07/18
LIBOR (3M) + 9.50%
14.26%
8/3/2026
USA
USD
   
59,000
     
51,050
 
(d)
                                           
Industrial Machinery - 0.48%
                                        
        CPM Holdings Inc
 
TL 2L 10/18
LIBOR (1M) + 8.25%
12.62%
11/16/2026
USA
USD
   
371,172
     
366,533
 
(d)
        Engineered Machinery Holdings Inc
 
TL 2L 08/21
LIBOR (3M) + 6.00%
10.73%
5/21/2029
USA
USD
   
297,640
     
272,573
 
(d)
        Time Manufacturing Co
 
Revolver 1L 12/21
LIBOR (3M) + 6.50%
0.50%
12/1/2027
USA
USD
   
153,560
     
92,082
 
(a) (b) (e)
        Time Manufacturing Co
 
TL 1L 06/22
EURIBOR (3M) + 6.50%
8.42%
12/1/2027
DEU
EUR
   
372,332
     
382,387
 
(a) (b) (d)
        Time Manufacturing Co
 
TL 1L 12/21
LIBOR (3M) + 6.50%
11.23%
12/1/2027
USA
USD
   
921,425
     
870,839
 
(a) (b) (d)
        Time Manufacturing Co
 
TL 1L 12/21
EURIBOR (3M) + 6.50%
8.42%
12/1/2027
DEU
EUR
   
594,000
     
610,040
 
(a) (b) (d)
                                           
Insurance Brokers - 3.92%
                                        
        Alera Group Intermediate Holdings Inc
 
TL 1L 09/21
SOFR (1M) + 6.10%
10.66%
10/2/2028
USA
USD
   
655,236
     
635,579
 
(a) (b) (d)
        Alera Group Intermediate Holdings Inc
 
TL 1L DD 09/21
SOFR (1M) + 6.10%
10.66%
10/2/2028
USA
USD
   
186,208
     
180,622
 
(a) (b) (d)
        Alera Group Intermediate Holdings Inc
 
TL 1L DD 12/21
SOFR (1M) + 6.10%
10.66%
10/2/2028
USA
USD
   
538,485
     
522,330
 
(a) (b) (d)
        CFC Underwriting Ltd
 
TL 1L B 05/22
SOFR (3M) + 5.00%
9.30%
5/16/2029
GBR
USD
   
5,343,384
     
5,349,796
 
(a) (b) (d)
        CFC Underwriting Ltd
 
TL 1L DD 05/22
SOFR (3M) + 5.00%
1.00%
5/16/2029
GBR
GBP
   
630,571
     
932
 
(a) (b) (e)
        Foundation Risk Partners Corp
 
Revolver 1L 10/21
SOFR (3M) + 6.10%
0.38%
10/29/2027
USA
USD
   
141,750
     
55,051
 
(a) (b) (e)
        Foundation Risk Partners Corp
 
TL 1L 03/22
SOFR (3M) + 6.10%
10.68%
10/29/2028
USA
USD
   
833,827
     
814,315
 
(a) (b) (d)
        Foundation Risk Partners Corp
 
TL 1L 10/21
SOFR (3M) + 6.10%
10.68%
10/29/2028
USA
USD
   
1,332,352
     
1,301,175
 
(a) (b) (d)
        Foundation Risk Partners Corp
 
TL 1L DD 03/22
SOFR (3M) + 6.10%
4.62%
10/29/2028
USA
USD
   
3,355,421
     
1,922,618
 
(a) (b) (e)
        Foundation Risk Partners Corp
 
TL 1L DD 10/21
SOFR (3M) + 6.10%
10.68%
10/29/2028
USA
USD
   
289,772
     
282,992
 
(a) (b) (d)
        Galway Partners Holdings LLC
 
Revolver 1L 09/21
LIBOR (3M) + 5.25%
0.50%
9/30/2027
USA
USD
   
205,492
     
(41
)
(a) (b) (e)
        Galway Partners Holdings LLC
 
TL 1L 09/21
LIBOR (3M) + 5.25%
9.98%
9/29/2028
USA
USD
   
2,637,960
     
2,637,434
 
(a) (b)
        Galway Partners Holdings LLC
 
TL 1L DD 09/21
LIBOR (3M) + 5.25%
1.00%
9/29/2028
USA
USD
   
26,576
     
(5
)
(a) (b) (e)
        Integrity Marketing Group LLC
 
TL 1L DD 06/22
SOFR (6M) + 5.75%
5.24%
8/27/2025
USA
USD
   
5,573,239
     
4,518,163
 
(a) (b) (e)
        Integrity Marketing Group LLC
 
TL 1L DD 12/21
LIBOR (3M) + 6.02%
8.55%
8/27/2025
USA
USD
   
2,930,839
     
2,911,496
 
(a) (b) (d)
                                           
Internet & Direct Marketing Retail - 0.26%
                                        
        AutoScout24 GmbH
 
TL 1L B 02/20
EURIBOR (6M) + 3.25%
5.11%
3/31/2027
DEU
EUR
   
771,730
     
789,974
 
(d)
        AutoScout24 GmbH
 
TL 2L 01/20
EURIBOR (6M) + 6.25%
8.11%
3/31/2028
DEU
EUR
   
630,070
     
582,615
 
(d)
                                           
IT Consulting & Other Services - 3.47%
                                        
        3Pillar Global Inc
 
Revolver 1L 11/21
LIBOR (3M) + 6.00%
0.50%
11/23/2026
USA
USD
   
186,240
     
(6,481
)
(a) (b) (e)
        3Pillar Global Inc
 
TL 1L 11/21
LIBOR (3M) + 6.00%
10.70%
11/23/2027
USA
USD
   
1,935,958
     
1,868,587
 
(a) (b) (d)
        3Pillar Global Inc
 
TL 1L DD 11/21
LIBOR (3M) + 6.00%
2.52%
11/23/2027
USA
USD
   
620,511
     
93,586
 
(a) (b) (e)
        PSAV Inc
 
TL 1L B1 12/20
0.25% PIK, LIBOR (3M) + 3.25%
7.88%
3/3/2025
USA
USD
   
10,284,092
     
9,667,046
 
(d) (f)
        PSAV Inc
 
TL 1L B3 12/20
10.00% PIK, 5.00%
15.00%
10/15/2026
USA
USD
   
627,741
     
663,446
 
(d) (f)
        PSAV Inc
 
TL 2L 02/18
LIBOR (1M) + 7.25%
11.65%
9/1/2025
USA
USD
   
7,628,543
     
6,369,834
 
(d)
                                           
Leisure Facilities - 0.87%
                                        
        Aimbridge Acquisition Co Inc
 
TL 1L B 10/19
LIBOR (1M) + 3.75%
8.32%
2/2/2026
USA
USD
   
732,452
     
678,126
 
(d)
        United PF Holdings LLC
 
TL 1L 01/20
LIBOR (3M) + 4.00%
8.73%
12/30/2026
USA
USD
   
5,018,383
     
3,956,995
 
(d)
        United PF Holdings LLC
 
TL 1L B 06/20
LIBOR (3M) + 8.50%
13.23%
12/30/2026
USA
USD
   
55,703
     
44,562
 
(d)
                                           
Leisure Products - 2.22%
                                        
        Areas Worldwide SASU
 
TL 1L B1 06/19
EURIBOR (6M) + 4.75%
7.19%
7/1/2026
ESP
EUR
   
12,328,214
     
11,935,158
 
(d)
                                           
Life & Health Insurance - 0.57%
                                        
        Luxembourg Life Fund - Absolute Return Fund II
 
TL 1L 02/22
SOFR (3M) + 7.50%
11.05%
2/10/2027
LUX
USD
   
3,108,161
     
3,082,363
 
(b)
                                           
Life Sciences Tools & Services - 1.06%
                                        
        PAREXEL International Corp
 
TL 2L 07/21
LIBOR (1M) + 6.50%
11.07%
11/15/2029
USA
USD
   
5,766,010
     
5,682,979
 
(b) (d)
                                           
Movies & Entertainment - 0.23%
                                        
        Cast & Crew Entertainment Services LLC
 
TL 1L 01/19
LIBOR (1M) + 3.50%
8.07%
2/9/2026
USA
USD
   
1,035,758
     
1,035,323
 
(d)
        Formula One
 
TL 1L B 11/22
SOFR (1M) + 3.25%
7.81%
1/15/2030
LUX
USD
   
191,120
     
192,096
 
(d)
                                           
Oil & Gas Storage & Transportation - 0.42%
                                        
        Oryx Midstream Services LLC
 
TL 1L B 09/21
LIBOR (3M) + 3.25%
7.92%
10/5/2028
USA
USD
   
2,261,970
     
2,258,668
 
(d)
                                           
Packaged Foods & Meats - 0.27%
                                        
        Nomad Foods US LLC
 
TL 1L B 10/22
SOFR (3M) + 4.00%
8.23%
11/12/2029
USA
USD
   
944,740
     
948,613
 
(d)
        Solina France SASU
 
TL 1L 10/22
SOFR (6M) + 6.25%
10.70%
7/31/2028
FRA
USD
   
500,000
     
493,000
 
(a) (b) (d)
                                           
Personal Products - 0.14%
                                        
        Pretium Packaging LLC
 
TL 1L 09/21
LIBOR (3M) + 4.00%
8.78%
10/2/2028
USA
USD
   
65,211
     
57,599
 
(d)
        Pretium Packaging LLC
 
TL 2L 09/21
LIBOR (3M) + 6.75%
11.51%
10/1/2029
USA
USD
   
810,470
     
696,194
 
(b) (d)
                                           
Pharmaceuticals - 0.17%
                                        
        iNova Pharmaceuticals (Australia) Pty Limited
 
TL 1L B 10/22
BBSY (6M) + 6.50%
10.16%
10/30/2028
AUS
AUD
   
1,317,795
     
909,209
 
(b) (d)
        iNova Pharmaceuticals (Australia) Pty Limited
 
TL 1L DD - C 10/22
BBSY (6M) + 2.60%
2.60%
10/30/2028
AUS
AUD
   
133,689
     
(2,075
)
(b) (e)
                                           
Property & Casualty Insurance - 1.00%
                                        
        Alacrity Solutions Group LLC
 
Revolver 1L 12/21
PRIME (3M) + 4.25%
0.50%
12/22/2027
USA
USD
   
505,280
     
61,644
 
(b) (e)
        Alacrity Solutions Group LLC
 
TL 1L 12/21
LIBOR (1M) + 5.25%
9.82%
12/22/2028
USA
USD
   
5,554,361
     
5,398,838
 
(b) (d)
        Alacrity Solutions Group LLC
 
TL 1L DD 06/22
SOFR (3M) + 1.00%
1.00%
12/22/2028
USA
USD
   
2,469,245
     
(69,139
)
(b) (e)
                                           
Publishing - 0.00%
                                        
        Emerald Expositions Holding Inc
 
TL 1L B 11/17
LIBOR (1M) + 2.50%
7.07%
5/22/2024
USA
USD
   
6,076
     
5,976
 
(d)
                                           
Real Estate Operating Companies - 0.85%
                                        
        Opendoor Labs Inc
 
TL 2L DD 10/21
10.00%
10.00%
4/1/2026
USA
USD
   
4,886,391
     
4,588,322
 
(a) (b)
                                           
Real Estate Services  - 0.40%
                                        
        SitusAMC Holdings Corp
 
TL 1L 12/21
LIBOR (3M) + 5.75%
9.17%
12/22/2027
USA
USD
   
2,219,259
     
2,160,227
 
(a) (b) (d)
                                           
Research & Consulting Services - 2.51%
                                        
        Element Materials Technology Group US Holdings Inc
 
TL 1L B 03/22
EURIBOR (3M) + 4.25%
6.45%
7/6/2029
GBR
EUR
   
51,387
     
55,468
 
(d)
        Element Materials Technology Group US Holdings Inc
 
TL 1L B 04/22
SOFR (3M) + 4.35%
8.93%
6/22/2029
USA
USD
   
143,710
     
142,812
 
(d)
        Element Materials Technology Group US Holdings Inc
 
TL 1L DD - B 04/22
SOFR (3M) + 4.35%
9.06%
6/22/2029
USA
USD
   
66,328
     
65,913
 
(d)
        Element Materials Technology Group US Holdings Inc
 
TL 2L 07/22
SONIA (3M) + 7.25%
10.68%
6/24/2030
GBR
GBP
   
1,336,815
     
1,625,822
 
(b) (d)
        Element Materials Technology Group US Holdings Inc
 
TL 2L DD 06/22
SONIA (3M) + 7.25%
10.68%
6/24/2030
USA
GBP
   
413,113
     
502,425
 
(b) (d)
        Element Materials Technology Group US Holdings Inc
 
TL Unsec DD 07/22
13.08% PIK
13.08%
7/9/2031
USA
USD
   
5,658,219
     
5,388,322
 
(b) (f)
        HKA
 
TL 1L B 08/22
SOFR (3M) + 5.75%
8.74%
8/9/2029
GBR
USD
   
4,176,369
     
4,038,131
 
(b) (d)
        HKA
 
TL 1L DD (CAR) 08/22
SOFR (3M) + 5.75%
4.47%
8/9/2029
GBR
USD
   
1,318,854
     
1,044,828
 
(b) (e)
        TMF Group Holding BV
 
TL 2L 12/17
EURIBOR (3M) + 6.63%
8.80%
5/4/2026
NLD
EUR
   
693,210
     
727,051
 
(d)
                                           
Security & Alarm Services - 0.03%
                                        
        Monitronics International Inc
 
TL 1L EXIT 08/19
LIBOR (3M) + 7.50%
12.33%
3/29/2024
USA
USD
   
243,930
     
159,774
 
(d)
                                           
Specialized Consumer Services - 0.35%
                                        
        NPD Group Inc/The
 
Revolver 1L 08/22
SOFR (3M) + 5.75%
0.50%
12/1/2027
USA
USD
   
51,095
     
7,153
 
(a) (b) (e)
        NPD Group Inc/The
 
TL 1L 08/22
2.75% PIK, SOFR (3M) + 6.25%
10.61%
12/1/2028
USA
USD
   
960,340
     
979,547
 
(a) (b) (d) (f) (h)
        SavATree LLC
 
Revolver 1L 10/21
LIBOR (3M) + 5.25%
0.38%
10/12/2028
USA
USD
   
128,932
     
(1,264
)
(a) (b) (e)
        SavATree LLC
 
TL 1L 10/21
LIBOR (3M) + 5.25%
9.98%
10/12/2028
USA
USD
   
915,871
     
906,897
 
(a) (b)
        SavATree LLC
 
TL 1L DD 10/21
LIBOR (3M) + 5.25%
1.23%
10/12/2028
USA
USD
   
81,228
     
5,393
 
(a) (b) (e)
                                           
Specialized Finance - 0.03%
                                        
        Bankers Healthcare Group LLC
 
TL 1L DD 11/22
SOFR (1M) + 3.93%
7.90%
11/8/2027
USA
USD
   
140,740
     
144,695
 
(a) (b)
                                           
Specialized REITs  - 0.60%
                                        
        Pretium Partners LLC P2
 
TL 1L 12/21
11.00%
11.00%
12/16/2029
USA
USD
   
3,270,612
     
3,205,200
 
(a) (b) (d)
                                           
Specialty Chemicals - 3.46%
                                        
        Aruba Investments Inc
 
TL 2L 10/20
LIBOR (1M) + 7.75%
12.30%
11/24/2028
USA
USD
   
465,220
     
422,962
 
(d)
        Flint Group GmbH
 
TL 1L 01/17
0.75% PIK, LIBOR (3M) + 4.25%
0.75%
9/21/2023
USA
USD
   
1,169,530
     
792,772
 
(a) (f)
        Flint Group GmbH
 
TL 1L B 04/14
0.75% PIK, EURIBOR (3M) + 4.25%
0.75%
9/21/2023
DEU
EUR
   
3,505,793
     
2,554,343
 
(a) (f)
        Flint Group GmbH
 
TL 1L B3 05/15
0.75% PIK, EURIBOR (3M) + 4.25%
0.75%
9/21/2023
DEU
EUR
   
71,892
     
52,381
 
(a) (f)
        Flint Group GmbH
 
TL 1L B4 11/15
0.75% PIK, EURIBOR (3M) + 4.25%
0.75%
9/21/2023
DEU
EUR
   
622,598
     
453,628
 
(a) (f)
        Flint Group GmbH
 
TL 1L B5 02/17
0.75% PIK, EURIBOR (3M) + 4.25%
0.75%
9/21/2023
DEU
EUR
   
456,770
     
332,805
 
(a) (f)
        Flint Group GmbH
 
TL 1L B6 03/17
0.75% PIK, EURIBOR (3M) + 4.25%
0.75%
9/21/2023
DEU
EUR
   
35,894
     
26,152
 
(a) (f)
        Flint Group GmbH
 
TL 1L B7 04/14
0.75% PIK, EURIBOR (3M) + 4.25%
0.75%
9/21/2023
DEU
EUR
   
79,627
     
58,017
 
(a) (f)
        Flint Group GmbH
 
TL 1L C 04/14
0.75% PIK, LIBOR (3M) + 4.50%
0.75%
9/21/2023
USA
USD
   
194,162
     
131,613
 
(a) (f)
        Vantage Specialty Chemicals Inc
 
TL 1L B 10/17
LIBOR (3M) + 3.50%
8.28%
10/28/2024
USA
USD
   
13,042,338
     
12,921,435
 
(d)
        Vantage Specialty Chemicals Inc
 
TL 2L 10/17
LIBOR (3M) + 8.25%
12.98%
10/27/2025
USA
USD
   
1,045,139
     
983,899
 
(d)
                                           
Trading Companies & Distributors - 0.17%
                                        
        Radwell International LLC/PA
 
Revolver 1L 04/22
SOFR (3M) + 6.63%
0.38%
4/1/2028
USA
USD
   
68,154
     
-
 
(a) (b) (e)
        Radwell International LLC/PA
 
TL 1L 04/22
SOFR (3M) + 6.63%
10.18%
4/1/2029
USA
USD
   
24,298
     
24,198
 
(a) (b) (d)
        Radwell International LLC/PA
 
TL 1L 12/22
SOFR (3M) + 6.75%
11.33%
4/1/2029
USA
USD
   
908,726
     
916,178
 
(a) (b) (d)
                                           
Trucking - 0.43%
                                        
        Kenan Advantage Group Inc/The
 
TL 2L 08/21
LIBOR (1M) + 7.25%
11.82%
9/1/2027
USA
USD
   
2,498,320
     
2,335,929
 
(d)
TOTAL LEVERAGED LOANS (Amortized cost $388,248,923)
                       
$
364,091,193
   
                                           
High Yield Securities - 50.56%
                                        
                                           
Aerospace & Defense - 0.73%
                                        
        Ultra Electronics Holdings PLC
 
7.25%01/2030
   
  1/31/2030
USA
USD
   
2,162,000
   
$
2,021,470
 
(a) (b)
        Ultra Electronics Holdings PLC
 
9.0% PIK 01/2031
   
  1/31/2031
USA
USD
   
2,000,179
     
1,868,967
 
(a) (b) (f)
                                           
Airlines - 1.56%
                                        
        American Airlines Group Inc
 
3.750% 03/2025
   
  3/1/2025
USA
USD
   
8,971,000
     
8,413,793
 
(d) (h)
                                           
Alternative Carriers - 0.91%
                                        
        Zayo Group LLC
 
6.125% 03/2028
   
  3/1/2028
USA
USD
   
7,145,000
     
4,923,512
 
(d) (h)
                                           
Apparel, Accessories & Luxury Goods - 0.44%
                                        
        Varsity Brands Inc
 
L+8.000% 12/2024
   
  12/22/2024
USA
USD
   
2,387,000
     
2,387,000
 
(b) (d) (h)
                                           
Application Software - 2.11%
                                        
        Cision Ltd
 
9.500% 02/2028
   
  2/15/2028
USA
USD
   
10,042,000
     
3,870,006
 
(d) (h)
        TeamSystem SpA
 
6.250% 02/2028
   
  2/15/2028
ITA
EUR
   
496,000
     
547,608
 
(b) (d) (h)
        TIBCO Software Inc
 
6.500% 03/2029
   
  3/31/2029
USA
USD
   
7,917,000
     
6,958,441
 
(d) (h)
                                           
Auto Parts & Equipment - 0.76%
                                        
        Wheel Pros Inc
 
6.500% 05/2029
   
  5/15/2029
USA
USD
   
10,121,000
     
4,096,566
 
(d) (h)
                                           
Automobile Manufacturers - 0.26%
                                        
        Thor Industries Inc
 
4.000% 10/2029
   
  10/15/2029
USA
USD
   
1,664,000
     
1,385,729
 
(d) (h)
                                           
Automotive Retail - 1.58%
                                        
        Mavis Discount Tire Inc
 
6.500% 05/2029
   
  5/15/2029
USA
USD
   
9,975,000
     
8,515,009
 
(d) (h)
                                           
Broadcasting - 1.24%
                                        
        Spotify USA Inc
 
0.000% 03/2026
   
  3/15/2026
USA
USD
   
7,930,000
     
6,653,270
 
(d) (g)
                                           
Building Products - 8.70%
                                        
        Acproducts Inc (aka Cabinetworks)
 
6.375% 05/2029
   
  5/15/2029
USA
USD
   
17,269,000
     
10,548,527
 
(d) (h)
        Cornerstone (Ply Gem Holdings Inc)
 
8.750% 08/2028
   
  8/1/2028
USA
USD
   
1,826,000
     
1,719,179
 
(d) (h)
        LBM Borrower LLC
 
6.250% 01/2029
   
  1/15/2029
USA
USD
   
8,694,000
     
6,619,612
 
(d) (h)
        LBM Borrower LLC
 
7.750% 04/2027
   
  4/1/2027
USA
USD
   
5,183,000
     
3,894,195
 
(d) (h)
        Oldcastle Buildingenvelope Inc
 
9.500% 04/2030
   
  4/15/2030
USA
USD
   
152,000
     
136,231
 
(d) (h)
        Patrick Industries Inc
 
1.750% 12/2028
   
  12/1/2028
USA
USD
   
603,000
     
545,715
 
(d)
        Patrick Industries Inc
 
4.750% 05/2029
   
  5/1/2029
USA
USD
   
1,222,000
     
1,046,325
 
(d) (h)
        PrimeSource Building Products Inc
 
5.625% 02/2029
   
  2/1/2029
USA
USD
   
7,169,000
     
5,011,346
 
(d) (h)
        PrimeSource Building Products Inc
 
6.750% 08/2029
   
  8/1/2029
USA
USD
   
4,981,000
     
3,542,886
 
(d) (h)
        SRS Distribution Inc
 
6.000% 12/2029
   
  12/1/2029
USA
USD
   
8,573,000
     
7,335,530
 
(d) (h)
        SRS Distribution Inc
 
6.125% 07/2029
   
  7/1/2029
USA
USD
   
7,529,000
     
6,484,464
 
(d) (h)
                                           
Cable & Satellite - 1.64%
                                        
        Cablevision Lightpath LLC
 
5.625% 09/2028
   
  9/15/2028
USA
USD
   
811,000
     
623,432
 
(d) (h)
        CSC Holdings LLC (Altice USA)
 
5.000% 11/2031
   
  11/15/2031
USA
USD
   
2,754,000
     
1,655,719
 
(d) (h)
        CSC Holdings LLC (Altice USA)
 
5.750% 01/2030
   
  1/15/2030
USA
USD
   
5,101,000
     
3,220,134
 
(d) (h)
        RCN Grande (Radiate)
 
6.500% 09/2028
   
  9/15/2028
USA
USD
   
6,272,000
     
3,275,960
 
(d) (h)
                                           
Commercial Printing - 0.87%
                                        
        Multi-Color Corp
 
10.5007% 0/2027
   
  7/15/2027
USA
USD
   
4,551,000
     
4,335,419
 
(d) (h)
        Multi-Color Corp
 
8.250% 11/2029
   
  11/1/2029
USA
USD
   
396,000
     
332,888
 
(d) (h)
                                           
Commodity Chemicals - 0.42%
                                        
        SI Group Inc
 
6.750% 05/2026
   
  5/15/2026
USA
USD
   
4,943,000
     
2,235,571
 
(d) (h)
                                           
Construction & Engineering - 0.45%
                                        
        Maxim Crane Works LP / Maxim Finance Corp
 
10.125% 08/2024
   
  8/1/2024
USA
USD
   
2,483,000
     
2,401,103
 
(d) (h)
                                           
Data Processing & Outsourced Services - 0.11%
                                        
        Xerox Business Services /Conduent
 
6.000% 11/2029
   
  11/1/2029
USA
USD
   
673,000
     
596,625
 
(d) (h)
                                           
Department Stores - 0.00%
                                        
        JC Penney Corp Inc
 
8.625% 03/2025
   
  3/15/2025
USA
USD
   
97,819
     
-
 
(b) (c) (h)
                                           
Electronic Components - 1.75%
                                        
        CommScope Inc
 
6.000% 06/2025
   
  6/15/2025
USA
USD
   
7,686,000
     
7,287,635
 
(d) (h)
        CommScope Inc
 
7.125% 07/2028
   
  7/1/2028
USA
USD
   
2,770,000
     
2,173,469
 
(d) (h)
                                           
Health Care Equipment - 1.10%
                                        
        Haemonetics Corp
 
0.000% 03/2026
   
  3/1/2026
USA
USD
   
6,892,000
     
5,914,025
 
(g)
                                           
Health Care Facilities - 1.54%
                                        
        AHP Health Partners Inc
 
5.750% 07/2029
   
  7/15/2029
USA
USD
   
109,000
     
89,806
 
(d) (h)
        CHS/Community Health Systems, Inc.
 
6.125% 04/2030
   
  4/1/2030
USA
USD
   
2,234,000
     
1,346,048
 
(d) (h)
        CHS/Community Health Systems, Inc.
 
6.875% 04/2028
   
  4/1/2028
USA
USD
   
3,254,000
     
1,996,638
 
(d) (h)
        CHS/Community Health Systems, Inc.
 
6.875% 04/2029
   
  4/15/2029
USA
USD
   
599,000
     
379,796
 
(d) (h)
        LifePoint Hospitals Inc
 
5.375% 01/2029
   
  1/15/2029
USA
USD
   
6,718,000
     
4,495,793
 
(d) (h)
                                           
Health Care Technology - 0.44%
                                        
        athenahealth Inc
 
6.500% 02/2030
   
  2/15/2030
USA
USD
   
2,859,000
     
2,372,332
 
(d) (h)
                                           
Hotels, Resorts & Cruise Lines - 7.76%
                                        
        Carnival Corp
 
5.750% 03/2027
   
  3/1/2027
USA
USD
   
12,193,000
     
10,137,382
 
(d) (h)
        Carnival Corp
 
6.000% 05/2029
   
  5/1/2029
USA
USD
   
6,033,000
     
4,773,641
 
(d) (h)
        NCL Corp Ltd
 
1.125% 02/2027
   
  2/15/2027
USA
USD
   
3,608,000
     
2,769,140
 
(d)
        NCL Corp Ltd
 
3.625% 12/2024
   
  12/15/2024
USA
USD
   
9,263,000
     
8,707,868
 
(d) (h)
        NCL Corp Ltd
 
6.125% 03/2028
   
  3/15/2028
USA
USD
   
833,000
     
678,066
 
(d) (h)
        Royal Caribbean Cruises Ltd
 
11.625% 08/2027
   
  8/15/2027
USA
USD
   
362,000
     
384,625
 
(d) (h)
        Royal Caribbean Cruises Ltd
 
5.500% 04/2028
   
  4/1/2028
USA
USD
   
8,085,000
     
6,963,772
 
(d) (h)
        Viking Cruises Ltd
 
5.875% 09/2027
   
  9/15/2027
USA
USD
   
3,008,000
     
2,566,997
 
(d) (h)
        Viking Cruises Ltd
 
7.000% 02/2029
   
  2/15/2029
USA
USD
   
5,473,000
     
4,768,652
 
(d) (h)
                                           
Industrial Conglomerates - 0.79%
                                        
        Unifrax I LLC / Unifrax Holding Co
 
5.250% 09/2028
   
  9/30/2028
USA
USD
   
3,573,000
     
3,065,559
 
(d) (h)
        Unifrax I LLC / Unifrax Holding Co
 
7.500% 09/2029
   
  9/30/2029
USA
USD
   
1,674,000
     
1,207,642
 
(d) (h)
                                           
Industrial Machinery - 1.99%
                                        
        SPX FLOW Inc
 
8.750% 04/2030
   
  4/1/2030
USA
USD
   
13,032,000
     
10,743,424
 
(d) (h)
                                           
Insurance Brokers - 2.85%
                                        
        Hub International Ltd
 
5.625% 12/2029
   
  12/1/2029
USA
USD
   
1,888,000
     
1,691,774
 
(d) (h)
        National Financial Partners Corp
 
6.875% 08/2028
   
  8/15/2028
USA
USD
   
15,791,000
     
13,673,506
 
(d) (h)
                                           
Integrated Oil & Gas - 0.71%
                                        
        Occidental Petroleum Corp
 
4.100% 02/2047
   
  2/15/2047
USA
USD
   
2,828,000
     
2,262,400
 
(d)
        Occidental Petroleum Corp
 
4.200% 03/2048
   
  3/15/2048
USA
USD
   
2,001,000
     
1,583,784
 
(d)
                                           
Leisure Facilities - 2.14%
                                        
        Life Time Fitness Inc
 
5.750% 01/2026
   
  1/15/2026
USA
USD
   
157,000
     
151,087
 
(d) (h)
        Merlin Entertainments PLC
 
4.500% 11/2027
   
  11/15/2027
IRL
EUR
   
4,898,000
     
4,693,096
 
(d) (h)
        Merlin Entertainments PLC
 
6.625% 11/2027
   
  11/15/2027
IRL
USD
   
7,389,000
     
6,698,099
 
(d) (h)
                                           
Oil & Gas Storage & Transportation - 3.25%
                                        
        Genesis Energy
 
6.500% 10/2025
   
  10/1/2025
USA
USD
   
8,199,000
     
8,065,766
 
(d)
        Genesis Energy
 
8.875% 04/2030
   
  4/15/2030
USA
USD
   
2,175,000
     
2,213,041
 
(d)
        NGL Energy Partners LP / NGL Energy Finance Corp
 
7.500% 02/2026
   
  2/1/2026
USA
USD
   
7,609,000
     
7,236,760
 
(d) (h)
                                           
Real Estate Services  - 0.83%
                                        
        Redfin Corp
 
0.000% 10/2025
   
  10/15/2025
USA
USD
   
6,764,000
     
4,489,605
 
(d) (g)
                                           
Restaurants - 0.20%
                                        
        Golden Nugget Inc.
 
6.750
   
  1/15/2030
USA
USD
   
1,317,000
     
1,094,717
 
(d) (h)
                                           
Security & Alarm Services - 0.10%
                                        
        Verisure Holding AB
 
3.875% 07/2026
   
  7/15/2026
SWE
EUR
   
534,000
     
539,141
 
(d) (h)
                                           
Specialty Stores - 2.54%
                                        
        Douglas Holding AG
 
6.000% 04/2026
   
  4/8/2026
DEU
EUR
   
8,654,000
     
8,166,169
 
(d) (h)
        Douglas Holding AG
 
8.250% 10/2026
   
  10/1/2026
DEU
EUR
   
7,204,814
     
5,519,580
 
(d) (h)
                                           
Technology Hardware, Storage & Peripherals - 0.11%
                                        
        Lenovo Group Ltd
 
10.50% 09/2024 Class D
   
  9/30/2024
HKG
EUR
   
90,524
     
98,379
 
(a) (b)
        Lenovo Group Ltd
 
10.50% 09/2024 Class D
   
  9/30/2024
HKG
GBP
   
20,573
     
25,353
 
(a) (b)
        Lenovo Group Ltd
 
10.50% 09/2024 Class D
   
  9/30/2024
HKG
USD
   
117,599
     
117,611
 
(a) (b)
        Lenovo Group Ltd
 
6.50% 09/2024 Class C
   
  9/30/2024
HKG
EUR
   
125,603
     
136,502
 
(a) (b)
        Lenovo Group Ltd
 
6.50% 09/2024 Class C
   
  9/30/2024
HKG
GBP
   
28,545
     
35,177
 
(a) (b)
        Lenovo Group Ltd
 
6.50% 09/2024 Class C
   
  9/30/2024
HKG
USD
   
163,170
     
163,186
 
(a) (b)
                                           
Trading Companies & Distributors - 0.68%
                                        
        TruckPro LLC
 
11.000% 10/2024
   
  10/15/2024
USA
USD
   
3,746,000
     
3,658,688
 
(d) (h)
TOTAL HIGH YIELD SECURITIES (Amortized cost $334,089,407)
                   
$
272,337,963
   
                                           
Asset Backed Securities - 9.50%
                                        
                                           
Diversified Real Estate Activities  - 0.01%
                                        
        Connecticut Avenue Securities Trust 2022-R07
 
CAS 2022-R07 1B1
SOFR (3M) + 6.80%
11.11%
6/25/2042
USA
USD
   
43,510
   
$
46,373
 
(h)
                                           
Specialized Finance - 9.49%
                                        
        Accunia European CLO III DAC
 
ACCUN 3A C
EURIBOR (3M) + 1.90%
4.24%
1/20/2031
IRL
EUR
   
302,000
     
306,020
 
(b) (h)
        Adagio IX EUR CLO DAC
 
ADAGI IX-A B1
EURIBOR (3M) + 1.70%
3.75%
9/15/2034
IRL
EUR
   
716,000
     
737,827
 
(b) (h)
        AGL CLO 7 Ltd
 
AGL 2020-7A ER
LIBOR (3M) + 6.35%
11.18%
7/15/2034
USA
USD
   
1,187,688
     
1,060,558
 
(b) (h)
        Aimco CDO
 
AIMCO 2021-16A E
LIBOR (3M) + 6.20%
11.03%
1/17/2035
USA
USD
   
1,075,210
     
991,231
 
(b) (h)
        ALM Loan Funding Ltd
 
ALM 2020-1A D
LIBOR (3M) + 6.00%
10.83%
10/15/2029
USA
USD
   
865,360
     
792,040
 
(b) (h)
        Arbour CLO II DAC
 
ARBR 2014-2A B1RR
EURIBOR (3M) + 1.50%
3.79%
4/15/2034
IRL
EUR
   
1,099,000
     
1,124,778
 
(b) (h)
        Arbour CLO IV DAC
 
ARBR 4A BRR
EURIBOR (3M) + 1.30%
3.59%
4/15/2034
IRL
EUR
   
724,000
     
738,870
 
(b) (h)
        Arbour CLO IV DAC
 
ARBR 4A CRR
EURIBOR (3M) + 2.05%
4.34%
4/15/2034
IRL
EUR
   
408,000
     
407,360
 
(b) (h)
        ARES CLO Ltd
 
ARESE 15A E
EURIBOR (3M) + 6.11%
8.40%
1/15/2036
IRL
EUR
   
879,000
     
808,477
 
(b) (h)
        Ares LXV CLO Ltd
 
ARES 2022-65A E
SOFR (3M) + 7.10%
11.76%
7/25/2034
USA
USD
   
1,078,040
     
950,718
 
(b) (h)
        Avondale Park CLO DAC
 
AVDPK 1A CR
EURIBOR (3M) + 2.20%
4.25%
9/20/2034
IRL
EUR
   
400,000
     
401,346
 
(b) (h)
        Ballyrock CDO Ltd
 
BALLY 2020-14A D
LIBOR (3M) + 7.00%
11.81%
1/20/2034
USA
USD
   
250,000
     
234,391
 
(b) (h)
        Ballyrock CLO Ltd
 
BALLY 2019-1A DR
LIBOR (3M) + 6.75%
11.58%
7/15/2032
USA
USD
   
431,180
     
405,989
 
(b) (h)
        Barings Euro CLO 2020-1 DAC
 
BABSE 2020-1A BR
EURIBOR (3M) + 1.75%
4.14%
10/21/2034
IRL
EUR
   
1,898,750
     
1,966,753
 
(b) (h)
        Bbam US Clo I Ltd
 
BBAM 2022-1A D
SOFR (3M) + 6.80%
11.46%
4/15/2035
USA
USD
   
1,285,000
     
1,157,495
 
(b) (h)
        Broad River BSL Funding CLO
 
BDRVR 2020-1A ER
LIBOR (3M) + 6.50%
11.31%
7/20/2034
USA
USD
   
1,500,000
     
1,471,692
 
(b) (h)
        Capital Four US CLO Ltd
 
C4US 2022-1A D
SOFR (3M) + 5.36%
9.03%
10/20/2030
USA
USD
   
363,664
     
355,565
 
(b) (h)
        Carlyle Global Market Strategies
 
CGMS 2020-2A DR
LIBOR (3M) + 6.70%
11.52%
1/25/2035
USA
USD
   
640,460
     
601,995
 
(b) (h)
        Carlyle Global Market Strategies
 
CGMS 2021-8A E
LIBOR (3M) + 6.50%
11.33%
10/15/2034
USA
USD
   
370,690
     
327,660
 
(b) (h)
        Carlyle Global Market Strategies
 
CGMS 2021-9A E Mtge
LIBOR (3M) + 6.63%
11.44%
10/20/2034
USA
USD
   
819,560
     
726,100
 
(b) (h)
        CarVal CLO
 
CARVL 2021-1A E
LIBOR (3M) + 6.60%
11.41%
7/20/2034
USA
USD
   
2,000,000
     
1,883,748
 
(b) (h)
        CarVal CLO
 
CARVL 2021-2A E
LIBOR (3M) + 6.75%
11.58%
10/15/2034
USA
USD
   
446,919
     
426,630
 
(b) (h)
        CIFC European Funding CLO IV DAC
 
CIFCE 4A C
EURIBOR (3M) + 2.10%
4.43%
8/18/2035
IRL
EUR
   
1,088,000
     
1,108,898
 
(b) (h)
        CIFC Funding Ltd
 
CIFC 2021-7A E
LIBOR (3M) + 6.35%
11.17%
1/23/2035
USA
USD
   
644,186
     
582,244
 
(b) (h)
        Connecticut Avenue Securities Trust 2022-R08
 
CAS 2022-R08 1B1
SOFR (3M) + 5.60%
9.91%
7/25/2042
USA
USD
   
29,425
     
30,180
 
(h)
        CVC Cordatus Loan Fund IV DAC
 
CORDA 4A CRRR
EURIBOR (3M) + 2.10%
3.92%
2/22/2034
IRL
EUR
   
291,000
     
292,849
 
(b) (h)
        CVC Cordatus Loan Fund XVIII DAC
 
CORDA 18A ER
EURIBOR (3M) + 6.06%
8.54%
7/29/2034
IRL
EUR
   
1,198,000
     
1,081,408
 
(b) (h)
        Dryden Senior Loan Fund
 
DRSLF 2021-92A E
LIBOR (3M) + 6.50%
11.18%
11/20/2034
USA
USD
   
463,342
     
398,617
 
(b) (h)
        Eaton Vance CDO Ltd
 
EATON 2020-2A ER
LIBOR (3M) + 6.50%
11.33%
1/15/2035
USA
USD
   
510,460
     
472,452
 
(b) (h)
        Elmwood CLO
 
ELMW5 2020-2A ER
LIBOR (3M) + 6.10%
10.91%
10/20/2034
USA
USD
   
1,500,000
     
1,397,088
 
(b) (h)
        Elmwood CLO VI Ltd
 
ELMW6 2020-3A ER
LIBOR (3M) + 6.50%
11.31%
10/20/2034
USA
USD
   
558,701
     
548,190
 
(b) (h)
        Goldentree Loan Management US Clo 12 Ltd
 
GLM 2022-12A E
SOFR (3M) + 7.25%
11.89%
4/20/2034
USA
USD
   
291,777
     
270,222
 
(b) (h)
        Golub Capital Partners CLO Ltd
 
GCBSL 2021-58A E
LIBOR (3M) + 6.81%
11.63%
1/25/2035
USA
USD
   
549,013
     
517,791
 
(b) (h)
        Guardia 1 Ltd
 
GUARD 2019-1A D
7.11%
7.11%
10/20/2037
USA
USD
   
1,550,000
     
1,261,265
 
(b) (h)
        Gulf Stream Meridian
 
GSM 2021-6A D
LIBOR (3M) + 6.36%
11.19%
1/15/2037
USA
USD
   
1,118,253
     
1,026,022
 
(b) (h)
        Harvest CLO VIII DAC
 
HARVT 8A CRR
EURIBOR (3M) + 1.65%
3.94%
1/15/2031
IRL
EUR
   
302,000
     
307,718
 
(b) (h)
        Harvest CLO XXI DAC
 
HARVT 21A DR
EURIBOR (3M) + 3.40%
5.69%
7/15/2031
IRL
EUR
   
602,000
     
594,015
 
(b) (h)
        Henley CLO III DAC
 
HNLY 3A CR
EURIBOR (3M) + 2.30%
4.75%
12/25/2035
IRL
EUR
   
638,000
     
628,269
 
(b) (h)
        Kayne CLO 7 Ltd
 
KAYNE 2020-1A E
LIBOR (3M) + 6.50%
11.29%
4/17/2033
USA
USD
   
310,460
     
291,186
 
(b) (h)
        Madison Park Funding LIX Ltd
 
MDPK 2021-59A E
LIBOR (3M) + 6.60%
11.39%
1/18/2034
USA
USD
   
814,787
     
769,155
 
(b) (h)
        Madison Park Funding Ltd
 
MDPK 2021-52A E
LIBOR (3M) + 6.50%
11.32%
1/22/2035
USA
USD
   
742,891
     
697,657
 
(b) (h)
        Madison Park Funding XLV Ltd
 
MDPK 2020-45A ER
LIBOR (3M) + 6.35%
11.18%
7/15/2034
USA
USD
   
429,000
     
394,964
 
(b) (h)
        Man GLG Euro CLO I DAC
 
GLGE 1A CRR
EURIBOR (3M) + 1.60%
3.89%
10/15/2030
IRL
EUR
   
704,000
     
717,736
 
(b) (h)
        Morgan Stanley Eaton Vance CLO Ltd
 
MSEV 2021-1A E
LIBOR (3M) + 6.75%
11.57%
10/20/2034
USA
USD
   
520,000
     
462,488
 
(b) (h)
        Neuberger Berman CLO Ltd
 
NEUB 2021-46A E
LIBOR (3M) + 6.25%
11.06%
1/20/2036
USA
USD
   
1,067,761
     
987,268
 
(b) (h)
        Neuberger Berman Loan Advisers Euro CLO 2 DAC
 
NEUBE 2021-2A C
EURIBOR (3M) + 2.20%
4.49%
4/15/2034
IRL
EUR
   
449,000
     
453,208
 
(b) (h)
        Oak Hill Credit Partners
 
OAKC 2021-10A E
LIBOR (3M) + 6.25%
11.04%
1/18/2036
USA
USD
   
497,312
     
459,626
 
(b) (h)
        Otranto Park
 
OTOPK 1A B
EURIBOR (3M) + 2.15%
3.95%
5/15/2035
IRL
EUR
   
708,000
     
739,398
 
(b) (h)
        Otranto Park
 
OTOPK 1A E
EURIBOR (3M) + 7.05%
8.85%
5/15/2035
IRL
EUR
   
428,000
     
420,929
 
(b) (h)
        Palmer Square CLO Ltd
 
PFIXD 2019-1A E
7.11%
7.11%
4/20/2037
USA
USD
   
930,641
     
781,413
 
(b) (h)
        Palmer Square European CLO 2021-2 DAC
 
PLMER 2021-2A C
EURIBOR (3M) + 2.07%
4.36%
4/15/2035
IRL
EUR
   
1,429,000
     
1,436,072
 
(b) (h)
        Pikes Peak CLO
 
PIPK 2021-9A E
LIBOR (3M) + 6.58%
11.39%
10/27/2034
USA
USD
   
405,000
     
368,357
 
(b) (h)
        Post CLO
 
POST 2021-1A E
LIBOR (3M) + 6.45%
11.28%
10/15/2034
USA
USD
   
250,000
     
237,729
 
(b) (h)
        PPM CLO 4 Ltd
 
PPMC 2020-4A ER
LIBOR (3M) + 6.50%
11.29%
10/18/2034
USA
USD
   
332,741
     
291,641
 
(b) (h)
        Providus CLO IV DAC
 
PRVD 4A CR
EURIBOR (3M) + 2.20%
4.54%
4/20/2034
IRL
EUR
   
668,000
     
668,952
 
(b) (h)
        Rad CLO Ltd
 
RAD 2021-14A E
LIBOR (3M) + 6.50%
11.33%
1/15/2035
USA
USD
   
335,000
     
305,072
 
(b) (h)
        Rad CLO Ltd
 
RAD 2021-15A E
LIBOR (3M) + 6.20%
11.01%
1/20/2034
USA
USD
   
928,117
     
857,374
 
(b) (h)
        REESE PARK CLO LTD
 
RESPK 2020-1A ER
LIBOR (3M) + 6.50%
11.33%
10/15/2034
USA
USD
   
1,375,020
     
1,204,293
 
(b) (h)
        Regatta Funding Ltd
 
REG21 2021-3A E
LIBOR (3M) + 6.75%
11.56%
10/20/2034
USA
USD
   
321,680
     
302,636
 
(b) (h)
        Regatta Funding Ltd
 
REG23 2021-4A E
LIBOR (3M) + 6.70%
11.51%
1/20/2035
USA
USD
   
804,000
     
753,204
 
(b) (h)
        Regatta XX Funding Ltd
 
REG20 2021-2A E
LIBOR (3M) + 6.25%
11.08%
10/15/2034
USA
USD
   
208,000
     
202,599
 
(b) (h)
        Rockford Tower Europe CLO 2018-1 DAC
 
RFTE 2018-1A C
EURIBOR (3M) + 2.47%
4.52%
12/20/2031
IRL
EUR
   
402,000
     
420,866
 
(b) (h)
        RRE 1 Loan Management DAC
 
RRME 1A A2R
EURIBOR (3M) + 1.35%
3.64%
4/15/2035
IRL
EUR
   
358,000
     
365,496
 
(b) (h)
        Sand Trust 2001-1
 
SAND 2021-1A E
LIBOR (3M) + 6.80%
10.88%
10/15/2034
USA
USD
   
643,000
     
581,770
 
(b) (h)
        Sculptor European CLO I DAC
 
OZLME 1A CRR
EURIBOR (3M) + 2.30%
4.63%
4/18/2034
IRL
EUR
   
631,000
     
635,630
 
(b) (h)
        Segovia European CLO 5-2018 DAC
 
SEGOV 2018-5A C
EURIBOR (3M) + 1.90%
4.23%
10/18/2031
IRL
EUR
   
442,000
     
452,447
 
(b) (h)
        Segovia European CLO 6-2019 DAC
 
SEGOV 2019-6A C1R
EURIBOR (3M) + 2.35%
4.69%
7/20/2032
IRL
EUR
   
408,000
     
424,172
 
(b) (h)
        SG Residential Mortgage Trust 2022-2
 
SGR 2022-2 B1
5.35%
5.35%
8/25/2062
USA
USD
   
57,502
     
49,022
 
(h)
        Sound Point CLO Ltd
 
SNDPT 2021-1A E
LIBOR (3M) + 6.85%
11.67%
4/25/2034
USA
USD
   
290,000
     
241,425
 
(b) (h)
        Sound Point Euro CLO
 
SNDPE 2A ER
EURIBOR (3M) + 6.34%
8.73%
1/26/2036
IRL
EUR
   
500,000
     
461,959
 
(b) (h)
        St Paul’s CLO VII DAC
 
SPAUL 7A B1RR
EURIBOR (3M) + 1.65%
3.98%
7/18/2034
IRL
EUR
   
856,000
     
878,072
 
(b) (h)
        Symphony CLO Ltd
 
SYMP 2020-22A E
LIBOR (3M) + 6.25%
11.04%
4/18/2033
USA
USD
   
598,680
     
556,133
 
(b) (h)
        TICP CLO Ltd
 
TICP 2017-9A E
LIBOR (3M) + 5.60%
10.41%
1/20/2031
USA
USD
   
738,460
     
669,872
 
(b) (h)
        Tikehau CLO DAC
 
TIKEH 2015-1A DRR EUR
EURIBOR (3M) + 3.40%
5.13%
8/4/2034
IRL
EUR
   
637,000
     
635,443
 
(b) (h)
        Tikehau CLO V DAC
 
TIKEH 5A D1
EURIBOR (3M) + 3.90%
6.19%
4/15/2032
IRL
EUR
   
301,000
     
302,325
 
(b) (h)
        Trinitas Euro CLO II DAC
 
TRNTE 2A ER
EURIBOR (3M) + 7.23%
8.61%
4/15/2035
IRL
EUR
   
1,770,566
     
1,772,026
 
(b) (h)
        Voya Euro CLO II DAC
 
VOYE 2A CR
EURIBOR (3M) + 2.15%
4.44%
7/15/2035
IRL
EUR
   
378,000
     
386,249
 
(b) (h)
TOTAL ASSET BACKED SECURITIES (Amortized cost $53,073,618)
                   
$
51,076,708
   
                                           
Issuer
 
Asset
   
Maturity Date
Country
Currency
 
Shares
   
Fair Value
 
Footnotes
Equity & Other Investments - 6.59%
                                        
                                           
Aerospace & Defense - 0.08%
                                        
        Altitude II
 
Private Equity
     
   CYM
USD
   
185,733
   
$
185,326
 
(b)
        Ultra Electronics Holdings PLC
 
Private Equity
     
   GBR
USD
   
43,729
     
41,779
 
(a) (b)
        Ultra Electronics Holdings PLC
 
Private Equity
     
   GBR
USD
   
23,486,307
     
237,212
 
(a) (b)
                                           
Application Software - 1.19%
                                        
        Med-Metrix
 
Common Stock
     
   USA
USD
   
597
     
66,284
 
(a) (b) (c)
        Med-Metrix
 
8.00% 12/2050 PIK Pref Equity
   
  12/16/2050
USA
USD
   
597
     
29,862
 
(a) (b) (f)
        TIBCO Software Inc
 
12.00% Pref Equity
   
  12/31/2069
USA
USD
   
6,451
     
6,275,743
 
(b) (d) (f)
                                           
Diversified Metals & Mining - 0.04%
                                        
        Foresight Energy LLC
 
Common Stock
     
   USA
USD
   
17,979
     
214,388
 
(a) (b) (c)
                                           
Diversified Real Estate Activities  - 0.04%
                                        
        KKR Residential Opportunities I LLC
 
Private Equity
     
   USA
USD
   
229,576
     
220,064
 
(b)
                                           
Diversified Support Services - 0.01%
                                        
        Magna Legal Services LLC
 
Common Stock
     
   USA
USD
   
618
     
61,808
 
(a) (b) (c)
                                           
Food Distributors - 0.01%
                                        
        Lipari Foods LLC
 
Common Stock
     
   USA
USD
   
63,878
     
61,693
 
(b) (c)
                                           
Health Care Services - 0.19%
                                        
        Affordable Care Inc
 
11.75% 12/2069 PIK Pref Equity
   
  12/31/2069
USA
USD
   
677,000
     
695,279
 
(a) (b) (f)
        American Vision Partners
 
Private Equity
     
   USA
USD
   
53,939
     
44,737
 
(a) (b)
        Amerivet Partners Management Inc
 
11.50% 12/2059 Pref Equity PIK
   
  12/31/2059
USA
USD
   
298
     
277,198
 
(a) (b) (f)
                                           
Health Care Technology - 2.33%
                                        
        athenahealth Inc
 
Private Equity
     
   USA
USD
   
12,641,498
     
12,572,349
 
(b)
                                           
Hotels, Resorts & Cruise Lines - 0.67%
                                        
        Hilton Grand Vacations Inc
 
Common Stock
     
   USA
USD
   
75,777
     
3,588,799
 
 (c)
                                           
Leisure Facilities - 0.35%
                                        
        Pure Gym Ltd
 
Private Equity
     
   GBR
GBP
   
1,416,469
     
1,891,214
 
(a) (b)
                                           
Residential REITs - 1.41%
                                        
        Avenue One PropCo
 
Private Equity
     
   USA
USD
   
7,550,072
     
7,572,721
 
(a) (b)
                                           
Specialized REITs  - 0.27%
                                        
        Pretium Partners LLC P2
 
Private Equity
     
   USA
USD
   
1,635,306
     
1,462,438
 
(a) (b)
TOTAL EQUITY & OTHER INVESTMENTS (Cost $35,215,756)
                   
$
35,498,894
   
 
                                         
Trade Claim - 0.00%
                                        
 
                                         
Health Care Facilities - 0.00%
                                        
        Quorum Health Corp
 
Trade Claim
     
   USA
USD
   
212,000
   
$
23,426
 
(a) (b)
TOTAL TRADE CLAIM (Cost $85,850)
                       
$
23,426
   
 
                                         
TOTAL INVESTMENTS (Cost $810,713,554) - 134.26%
                       
$
723,028,184
   
LIABILITIES EXCEEDING OTHER ASSETS, NET - (34.26%)
                     
(184,489,988
)
 
NET ASSETS - 100.00%
                       
$
538,538,196
   
                                           
                                           
                                           

 
TL
Term loan
 
DD
Delayed draw term loan
 
1L
First lien
 
2L
Second lien
 
(a)
Security considered restricted.
 
(b)
Value determined using significant unobservable inputs.
 
(c)
Non-income producing security.
 
(d)
Investment is held as collateral for the fund’s credit facility.
 
(e)
Investment is an unfunded or partially funded commitment.
 
(f)
Represents a payment-in-kind (“PIK”) security which may pay interest/dividend in additional par/shares.
 
(g)
Zero coupon bond.
 
(h)
Securities exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may only be resold to qualified institutional buyers in transactions exempt from registration.




The following are the details of the restricted securities held by the Fund:

Issuer
Asset
 
Par/Shares
   
Cost
   
Fair Value
 
Acquisition Date
 
% of Net Assets
Common Stock
                         
 Foresight Energy LLC
 Foresight Energy LLC
   
17,979
   
$
200,230
   
$
214,388
 
6/30/2020
   
0.04%
 Magna Legal Services LLC
 Magna Legal Services LLC
   
618
     
61,808
     
61,808
 
11/22/2022
   
0.01%
 Med-Metrix
 Med-Metrix
   
597
     
29,862
     
66,284
 
9/15/2021
   
0.01%
High Yield
                                 
 Lenovo Group Ltd
 Lenovo Group Ltd
   
117,599
     
117,599
     
117,611
 
9/14/2022
   
0.02%
 Lenovo Group Ltd
 Lenovo Group Ltd
   
90,524
     
90,321
     
98,379
 
9/14/2022
   
0.02%
 Lenovo Group Ltd
 Lenovo Group Ltd
   
125,603
     
125,321
     
136,502
 
9/14/2022
   
0.03%
 Lenovo Group Ltd
 Lenovo Group Ltd
   
28,545
     
32,941
     
35,177
 
9/14/2022
   
0.01%
 Lenovo Group Ltd
 Lenovo Group Ltd
   
163,170
     
163,170
     
163,186
 
9/14/2022
   
0.03%
 Lenovo Group Ltd
 Lenovo Group Ltd
   
20,573
     
23,741
     
25,353
 
9/14/2022
   
0.00%
 Ultra Electronics Holdings PLC
 Ultra Electronics Holdings PLC
   
2,162,000
     
2,101,429
     
2,021,470
 
8/4/2022
   
0.38%
 Ultra Electronics Holdings PLC
 Ultra Electronics Holdings PLC
   
2,000,179
     
1,943,675
     
1,868,967
 
8/4/2022
   
0.35%
Preferred Stock
                                 
 Affordable Care Inc
 Affordable Care Inc
   
677,000
     
663,528
     
695,279
 
8/2/2021
   
0.13%
 Amerivet Partners Management Inc
 Amerivet Partners Management Inc
   
298
     
288,779
     
277,198
 
2/25/2022
   
0.05%
 Med-Metrix
 Med-Metrix
   
597
     
29,862
     
29,862
 
9/15/2021
   
0.01%
Private Equity
                                 
 American Vision Partners
 American Vision Partners
   
53,939
     
54,546
     
44,737
 
9/30/2021
   
0.01%
 Avenue One PropCo
 Avenue One PropCo
   
7,550,072
     
7,550,072
     
7,572,721
 
4/4/2022
   
1.41%
 Pretium Partners LLC P2
 Pretium Partners LLC P2
   
1,635,306
     
1,602,600
     
1,462,438
 
12/16/2021
   
0.27%
 Pure Gym Ltd
 Pure Gym Ltd
   
1,416,469
     
1,925,990
     
1,891,214
 
1/28/2022
   
0.35%
 Ultra Electronics Holdings PLC
 Ultra Electronics Holdings PLC
   
23,486,307
     
234,863
     
237,212
 
8/2/2022
   
0.04%
 Ultra Electronics Holdings PLC
 Ultra Electronics Holdings PLC
   
43,729
     
44,431
     
41,779
 
9/8/2022
   
0.01%
Revolver
                                 
 3Pillar Global Inc
 3Pillar Global Inc
   
186,240
     
-
     
(6,481
)
11/23/2021
   
0.00%
 48Forty Solutions LLC
 48Forty Solutions LLC
   
610,068
     
-
     
(7,748
)
3/11/2022
   
0.00%
 Affordable Care Inc
 Affordable Care Inc
   
177,081
     
14,166
     
11,953
 
8/2/2021
   
0.00%
 American Vision Partners
 American Vision Partners
   
158,140
     
63,256
     
59,097
 
9/30/2021
   
0.01%
 Amerivet Partners Management Inc
 Amerivet Partners Management Inc
   
197,240
     
-
     
(5,838
)
2/25/2022
   
0.00%
 Arcfield Acquisition Corp
 Arcfield Acquisition Corp
   
143,583
     
-
     
(2,786
)
3/10/2022
   
0.00%
 Community Brands Inc
 Community Brands Inc
   
60,610
     
-
     
(1,709
)
2/24/2022
   
0.00%
 Excelitas Technologies Corp
 Excelitas Technologies Corp
   
351,770
     
145,398
     
138,539
 
8/11/2022
   
0.03%
 Follett Software Co
 Follett Software Co
   
136,050
     
-
     
(1,619
)
8/31/2021
   
0.00%
 Foundation Risk Partners Corp
 Foundation Risk Partners Corp
   
141,750
     
56,688
     
55,051
 
10/29/2021
   
0.01%
 Galway Partners Holdings LLC
 Galway Partners Holdings LLC
   
205,492
     
-
     
(41
)
9/30/2021
   
0.00%
 Insight Global LLC
 Insight Global LLC
   
427,591
     
64,139
     
58,665
 
9/22/2021
   
0.01%
 Magna Legal Services LLC
 Magna Legal Services LLC
   
26,940
     
-
     
(67
)
11/22/2022
   
0.00%
 Med-Metrix
 Med-Metrix
   
158,828
     
-
     
-
 
9/15/2021
   
0.00%
 NPD Group Inc/The
 NPD Group Inc/The
   
51,095
     
7,153
     
7,153
 
8/1/2022
   
0.00%
 Oxford Global Resources LLC
 Oxford Global Resources LLC
   
128,823
     
33,494
     
33,159
 
8/17/2021
   
0.01%
 PartsSource Inc
 PartsSource Inc
   
87,104
     
-
     
(2,326
)
10/18/2021
   
0.00%
 Radwell International LLC/PA
 Radwell International LLC/PA
   
68,154
     
-
     
-
 
12/1/2022
   
0.00%
 SAMBA Safety Inc
 SAMBA Safety Inc
   
41,810
     
-
     
(176
)
9/1/2021
   
0.00%
 SavATree LLC
 SavATree LLC
   
128,932
     
-
     
(1,264
)
10/12/2021
   
0.00%
 Time Manufacturing Co
 Time Manufacturing Co
   
153,560
     
100,512
     
92,082
 
12/1/2021
   
0.02%
Leveraged Loans
                                 
 3Pillar Global Inc
 3Pillar Global Inc
   
620,511
     
110,207
     
93,586
 
11/23/2021
   
0.02%
 3Pillar Global Inc
 3Pillar Global Inc
   
1,935,958
     
1,920,442
     
1,868,587
 
11/23/2021
   
0.35%
 48Forty Solutions LLC
 48Forty Solutions LLC
   
4,723,786
     
4,687,730
     
4,663,794
 
2/11/2022
   
0.87%
 48Forty Solutions LLC
 48Forty Solutions LLC
   
3,157,204
     
3,141,324
     
3,117,108
 
3/11/2022
   
0.58%
 Affordable Care Inc
 Affordable Care Inc
   
598,760
     
206,462
     
203,680
 
8/2/2021
   
0.04%
 Affordable Care Inc
 Affordable Care Inc
   
1,585,658
     
1,573,213
     
1,565,837
 
8/2/2021
   
0.29%
 Alera Group Intermediate Holdings Inc
 Alera Group Intermediate Holdings Inc
   
538,485
     
-
     
522,330
 
12/16/2021
   
0.10%
 Alera Group Intermediate Holdings Inc
 Alera Group Intermediate Holdings Inc
   
186,208
     
184,702
     
180,622
 
9/30/2021
   
0.03%
 Alera Group Intermediate Holdings Inc
 Alera Group Intermediate Holdings Inc
   
655,236
     
649,936
     
635,579
 
9/30/2021
   
0.12%
 American Vision Partners
 American Vision Partners
   
1,905,174
     
1,890,374
     
1,855,068
 
9/30/2021
   
0.34%
 American Vision Partners
 American Vision Partners
   
786,737
     
780,625
     
766,045
 
9/30/2021
   
0.14%
 Amerivet Partners Management Inc
 Amerivet Partners Management Inc
   
2,235,596
     
2,216,720
     
2,169,423
 
2/25/2022
   
0.40%
 Amerivet Partners Management Inc
 Amerivet Partners Management Inc
   
1,576,564
     
389,674
     
356,320
 
2/25/2022
   
0.07%
 Arcfield Acquisition Corp
 Arcfield Acquisition Corp
   
981,712
     
973,363
     
962,666
 
3/10/2022
   
0.18%
 Bankers Healthcare Group LLC
 Bankers Healthcare Group LLC
   
140,740
     
140,740
     
144,695
 
11/8/2022
   
0.03%
 Belk Inc
 Belk Inc
   
53,180
     
52,731
     
45,619
 
2/24/2021
   
0.01%
 Belk Inc
 Belk Inc
   
997,211
     
658,089
     
185,107
 
2/24/2021
   
0.03%
 CFC Underwriting Ltd
 CFC Underwriting Ltd
   
5,343,384
     
5,223,435
     
5,349,796
 
5/16/2022
   
0.99%
 CFC Underwriting Ltd
 CFC Underwriting Ltd
   
630,571
     
-
     
932
 
5/16/2022
   
0.00%
 Community Brands Inc
 Community Brands Inc
   
1,022,573
     
1,005,314
     
993,736
 
2/24/2022
   
0.18%
 Community Brands Inc
 Community Brands Inc
   
121,212
     
-
     
(3,418
)
2/24/2022
   
0.00%
 Encora Digital Inc
 Encora Digital Inc
   
1,652,370
     
1,624,596
     
1,581,153
 
12/20/2021
   
0.29%
 Encora Digital Inc
 Encora Digital Inc
   
398,160
     
391,467
     
380,999
 
12/20/2021
   
0.07%
 Encora Digital Inc
 Encora Digital Inc
   
482,470
     
471,169
     
458,829
 
12/20/2021
   
0.09%
 Envirotainer Ltd
 Envirotainer Ltd
   
865,234
     
-
     
(39,677
)
7/29/2022
   
-0.01%
 Envirotainer Ltd
 Envirotainer Ltd
   
4,739,642
     
4,734,999
     
4,933,039
 
7/29/2022
   
0.92%
 Envirotainer Ltd
 Envirotainer Ltd
   
2,411,934
     
2,356,044
     
2,341,264
 
7/29/2022
   
0.43%
 Excelitas Technologies Corp
 Excelitas Technologies Corp
   
602,699
     
616,492
     
642,159
 
8/11/2022
   
0.12%
 Excelitas Technologies Corp
 Excelitas Technologies Corp
   
3,646,681
     
3,612,695
     
3,575,571
 
8/11/2022
   
0.66%
 Excelitas Technologies Corp
 Excelitas Technologies Corp
   
703,540
     
-
     
(13,719
)
8/11/2022
   
0.00%
 Flint Group GmbH
 Flint Group GmbH
   
1,169,530
     
1,154,672
     
792,772
 
3/9/2021
   
0.15%
 Flint Group GmbH
 Flint Group GmbH
   
79,627
     
92,971
     
58,017
 
11/5/2020
   
0.01%
 Flint Group GmbH
 Flint Group GmbH
   
35,894
     
41,805
     
26,152
 
11/5/2020
   
0.00%
 Flint Group GmbH
 Flint Group GmbH
   
622,598
     
736,756
     
453,628
 
11/5/2020
   
0.08%
 Flint Group GmbH
 Flint Group GmbH
   
456,770
     
537,791
     
332,805
 
11/18/2020
   
0.06%
 Flint Group GmbH
 Flint Group GmbH
   
71,892
     
81,749
     
52,381
 
11/5/2020
   
0.01%
 Flint Group GmbH
 Flint Group GmbH
   
3,505,793
     
4,105,018
     
2,554,343
 
11/5/2020
   
0.47%
 Flint Group GmbH
 Flint Group GmbH
   
194,162
     
191,695
     
131,613
 
3/9/2021
   
0.02%
 Follett Software Co
 Follett Software Co
   
1,534,181
     
1,521,953
     
1,515,924
 
8/31/2021
   
0.28%
 Foresight Energy LLC
 Foresight Energy LLC
   
121,885
     
121,885
     
121,885
 
6/30/2020
   
0.02%
 Foundation Risk Partners Corp
 Foundation Risk Partners Corp
   
3,355,421
     
1,956,973
     
1,922,618
 
4/14/2022
   
0.36%
 Foundation Risk Partners Corp
 Foundation Risk Partners Corp
   
833,827
     
822,853
     
814,315
 
4/14/2022
   
0.15%
 Foundation Risk Partners Corp
 Foundation Risk Partners Corp
   
1,332,352
     
1,315,962
     
1,301,175
 
10/29/2021
   
0.24%
 Foundation Risk Partners Corp
 Foundation Risk Partners Corp
   
289,772
     
286,208
     
282,992
 
10/29/2021
   
0.05%
 Galway Partners Holdings LLC
 Galway Partners Holdings LLC
   
2,637,960
     
2,599,759
     
2,637,434
 
6/6/2022
   
0.49%
 Galway Partners Holdings LLC
 Galway Partners Holdings LLC
   
26,576
     
-
     
(5
)
9/30/2021
   
0.00%
 Insight Global LLC
 Insight Global LLC
   
5,387,783
     
5,344,378
     
5,318,820
 
9/22/2021
   
0.99%
 Insight Global LLC
 Insight Global LLC
   
1,042,940
     
1,038,461
     
1,029,591
 
2/28/2022
   
0.19%
 Integrity Marketing Group LLC
 Integrity Marketing Group LLC
   
5,573,239
     
4,465,047
     
4,518,163
 
6/21/2022
   
0.84%
 Integrity Marketing Group LLC
 Integrity Marketing Group LLC
   
2,930,839
     
2,900,585
     
2,911,496
 
12/3/2021
   
0.54%
 Magna Legal Services LLC
 Magna Legal Services LLC
   
64,660
     
-
     
(162
)
11/22/2022
   
0.00%
 Magna Legal Services LLC
 Magna Legal Services LLC
   
231,690
     
228,311
     
231,111
 
11/22/2022
   
0.04%
 Med-Metrix
 Med-Metrix
   
1,254,740
     
1,245,079
     
1,267,288
 
9/15/2021
   
0.24%
 Med-Metrix
 Med-Metrix
   
634,359
     
121,225
     
132,453
 
9/15/2021
   
0.02%
 Novotech Pty Ltd
 Novotech Pty Ltd
   
266,244
     
-
     
(5,591
)
1/14/2022
   
0.00%
 Novotech Pty Ltd
 Novotech Pty Ltd
   
1,579,895
     
1,118,874
     
1,086,031
 
1/14/2022
   
0.20%
 Novotech Pty Ltd
 Novotech Pty Ltd
   
1,144,851
     
1,123,597
     
1,120,809
 
1/14/2022
   
0.21%
 NPD Group Inc/The
 NPD Group Inc/The
   
960,340
     
960,340
     
979,547
 
8/1/2022
   
0.18%
 Opendoor Labs Inc
 Opendoor Labs Inc
   
4,886,391
     
4,886,391
     
4,588,322
 
10/1/2021
   
0.85%
 Oxford Global Resources LLC
 Oxford Global Resources LLC
   
257,645
     
115,021
     
116,301
 
8/17/2021
   
0.02%
 Oxford Global Resources LLC
 Oxford Global Resources LLC
   
1,475,662
     
1,464,495
     
1,471,825
 
8/17/2021
   
0.27%
 Oxford Global Resources LLC
 Oxford Global Resources LLC
   
6,610,887
     
6,552,801
     
6,593,699
 
6/17/2022
   
1.22%
 Parts Town LLC
 Parts Town LLC
   
920,208
     
920,208
     
897,295
 
3/31/2022
   
0.17%
 Parts Town LLC
 Parts Town LLC
   
1,284,596
     
1,273,980
     
1,252,610
 
11/10/2021
   
0.23%
 Parts Town LLC
 Parts Town LLC
   
838,073
     
831,146
     
817,205
 
11/10/2021
   
0.15%
 PartsSource Inc
 PartsSource Inc
   
1,322,260
     
1,310,186
     
1,286,956
 
10/18/2021
   
0.24%
 PartsSource Inc
 PartsSource Inc
   
464,562
     
-
     
(12,404
)
10/18/2021
   
0.00%
 Pretium Partners LLC P2
 Pretium Partners LLC P2
   
3,270,612
     
3,214,423
     
3,205,200
 
12/16/2021
   
0.60%
 Radwell International LLC/PA
 Radwell International LLC/PA
   
24,298
     
24,298
     
24,198
 
8/16/2022
   
0.00%
 Radwell International LLC/PA
 Radwell International LLC/PA
   
908,726
     
908,726
     
916,178
 
12/1/2022
   
0.17%
 SAMBA Safety Inc
 SAMBA Safety Inc
   
569,876
     
565,524
     
567,482
 
9/1/2021
   
0.11%
 SavATree LLC
 SavATree LLC
   
915,871
     
910,964
     
906,897
 
7/14/2022
   
0.17%
 SavATree LLC
 SavATree LLC
   
81,228
     
5,693
     
5,393
 
10/12/2021
   
0.00%
 SitusAMC Holdings Corp
 SitusAMC Holdings Corp
   
2,219,259
     
2,201,179
     
2,160,227
 
12/22/2021
   
0.40%
 Solina France SASU
 Solina France SASU
   
500,000
     
485,685
     
493,000
 
10/28/2022
   
0.09%
 Time Manufacturing Co
 Time Manufacturing Co
   
594,000
     
659,955
     
610,040
 
12/1/2021
   
0.11%
 Time Manufacturing Co
 Time Manufacturing Co
   
921,425
     
904,734
     
870,839
 
12/1/2021
   
0.16%
 Time Manufacturing Co
 Time Manufacturing Co
   
372,332
     
392,797
     
382,387
 
6/24/2022
   
0.07%
 Yak Access LLC
 Yak Access LLC
   
1,126,352
     
1,123,175
     
1,115,088
 
10/28/2022
   
0.21%
 Yak Access LLC
 Yak Access LLC
   
6,608,816
     
6,306,060
     
2,686,484
 
6/29/2018
   
0.50%
 Yak Access LLC
 Yak Access LLC
   
844,764
     
840,587
     
836,316
 
12/21/2022
   
0.16%
 Yak Access LLC
 Yak Access LLC
   
1,013,810
     
1,005,299
     
1,003,672
 
1/23/2023
   
0.19%
Trade Claim
                                 
 Quorum Health Corp
 Quorum Health Corp
   
212,000
     
90,722
     
23,426
 
6/1/2018
   
0.00%
Total
           
$
128,490,113
   
$
121,430,180