0000916183-22-000019.txt : 20220527 0000916183-22-000019.hdr.sgml : 20220527 20220527112137 ACCESSION NUMBER: 0000916183-22-000019 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220331 FILED AS OF DATE: 20220527 PERIOD START: 20220630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PIMCO STRATEGIC INCOME FUND, INC CENTRAL INDEX KEY: 0000916183 IRS NUMBER: 943194834 STATE OF INCORPORATION: MD FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08216 FILM NUMBER: 22974217 BUSINESS ADDRESS: STREET 1: 1633 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 212 739 4000 MAIL ADDRESS: STREET 1: 1633 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10019 FORMER COMPANY: FORMER CONFORMED NAME: PIMCO STRATEGIC GLOBAL GOVERNMENT FUND INC DATE OF NAME CHANGE: 20041005 FORMER COMPANY: FORMER CONFORMED NAME: RCM STRATEGIC GLOBAL GOVERNMENT FUND INC DATE OF NAME CHANGE: 19931214 NPORT-P 1 primary_doc.xml NPORT-P false 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Schedule of Investments PIMCO Strategic Income Fund, Inc.

March 31, 2022

(Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

PRINCIPAL
AMOUNT
(000s)

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 286.7% ¤

 

 

 

 

LOAN PARTICIPATIONS AND ASSIGNMENTS 21.8%

 

 

 

 

Altar Bidco, Inc.
6.100% (LIBOR03M + 5.600%) due 02/01/2030 ~

$

700

$

693

Caesars Resort Collection LLC
3.207% (LIBOR03M + 2.750%) due 12/23/2024 ~

 

99

 

99

Carnival Corp.
4.000% (LIBOR03M + 3.250%) due 10/18/2028 ~

 

464

 

454

Enterprise Merger Sub, Inc.
4.207% (LIBOR03M + 3.750%) due 10/10/2025 ~

 

8,344

 

5,611

Forbes Energy Services LLC (7.000% PIK)
7.000% due 06/30/2022 «

 

65

 

0

Gateway Casinos & Entertainment Ltd.

 

 

 

 

8.750% (LIBOR03M + 8.000%) due 10/15/2027 ~

 

2,686

 

2,689

8.750% due 10/18/2027 «

CAD

588

 

471

Instant Brands Holdings, Inc.
5.750% (LIBOR03M + 5.000%) due 04/12/2028 ~

$

2,771

 

2,591

Intelsat Jackson Holdings SA

 

 

 

 

4.920% due 02/01/2029

 

1,459

 

1,438

Lealand Finance Co. BV
3.457% (LIBOR03M + 3.000%) due 06/28/2024 «~

 

28

 

17

Lealand Finance Co. BV (1.475% Cash and 3.000% PIK)
4.475% (LIBOR03M + 1.000%) due 06/30/2025 ~(c)

 

185

 

90

NAC Aviation 29 DAC
TBD% - 0.500% due 06/27/2022

 

1,000

 

635

Ortho-Clinical Diagnostics SA
3.235% (LIBOR03M + 3.000%) due 06/30/2025 ~

 

186

 

186

Promotora de Informaciones SA
6.000% (EUR003M + 6.000%) due 11/30/2022 ~

EUR

4,933

 

5,298

PUG LLC
3.957% (LIBOR03M + 3.500%) due 02/12/2027 ~

$

16

 

15

Sequa Mezzanine Holdings LLC
7.750% (LIBOR03M + 6.750%) due 11/28/2023 ~

 

162

 

163

Sequa Mezzanine Holdings LLC (11.750% Cash)
11.750% (LIBOR03M + 10.750%) due 04/28/2024 ~

 

8,329

 

8,283

SkyMiles IP Ltd.
4.750% (LIBOR03M + 3.750%) due 10/20/2027 ~

 

3,100

 

3,209

Softbank Vision Fund
5.000% due 12/21/2025 «

 

1,862

 

1,862

Steenbok Lux Finco 1 SARL (10.000% PIK)
10.000% (LIBOR03M) due 12/31/2022 ~(c)

EUR

4,204

 

3,776

Steenbok Lux Finco 2 SARL (10.750% PIK)
10.750% (EUR003M) due 12/29/2022 ~(c)

 

4,505

 

4,329

Steenbok Lux Finco 2 SARL (7.875% PIK)
7.875% (EUR003M + 7.875%) due 12/29/2022 ~(c)

 

557

 

631

Syniverse Holdings, Inc.
6.000% (LIBOR03M + 5.000%) due 03/09/2023 ~

$

5,778

 

5,631

Team Health Holdings, Inc.
3.750% (LIBOR03M + 2.750%) due 02/06/2024 ~

 

3,266

 

3,120

Univision Communications, Inc.
3.750% (LIBOR03M + 2.750%) due 03/15/2024 ~

 

1,842

 

1,838

Westmoreland Mining Holdings LLC (15.000% PIK)
15.000% due 03/15/2029

 

6

 

2

Windstream Services LLC
7.250% (LIBOR03M + 6.250%) due 09/21/2027 ~

 

17

 

17

Total Loan Participations and Assignments (Cost $55,641)

 

 

 

53,148

CORPORATE BONDS & NOTES 68.9%

 

 

 

 

BANKING & FINANCE 15.9%

 

 

 

 

Ally Financial, Inc.
8.000% due 11/01/2031

 

1

 

1

American Assets Trust LP
3.375% due 02/01/2031 (m)

 

600

 

565

Asteroid Private Merger Sub, Inc.
8.500% due 11/15/2029 (m)

 

2,400

 

2,332

Banca Monte dei Paschi di Siena SpA

 

 

 

 

1.875% due 01/09/2026 (m)

EUR

400

 

402

2.625% due 04/28/2025 (m)

 

2,100

 

2,195

3.625% due 09/24/2024 (m)

 

1,300

 

1,393

5.375% due 01/18/2028 •(m)

 

400

 

293

8.000% due 01/22/2030 •(m)

 

1,304

 

983

8.500% due 09/10/2030 •(m)

 

400

 

310

 

 

 

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

10.500% due 07/23/2029 (m)

 

1,360

 

1,108

Banco de Credito del Peru SA
4.650% due 09/17/2024

PEN

400

 

105

Bank of Nova Scotia
4.900% due 06/04/2025 •(i)(j)(m)

$

1,811

 

1,816

Barclays PLC

 

 

 

 

6.375% due 12/15/2025 •(i)(j)(m)

GBP

200

 

272

7.125% due 06/15/2025 •(i)(j)(m)

 

900

 

1,247

BNP Paribas SA
4.625% due 02/25/2031 •(i)(j)(m)

$

1,900

 

1,700

Corestate Capital Holding SA
3.500% due 04/15/2023 (m)

EUR

600

 

475

Country Garden Holdings Co. Ltd.

 

 

 

 

5.400% due 05/27/2025 (m)

$

1,000

 

770

6.150% due 09/17/2025 (m)

 

200

 

156

Credit Suisse Group AG

 

 

 

 

6.375% due 08/21/2026 •(i)(j)(m)

 

600

 

594

7.500% due 07/17/2023 •(i)(j)(m)

 

200

 

204

Erste Group Bank AG
4.250% due 10/15/2027 •(i)(j)(m)

EUR

1,000

 

1,056

Essential Properties LP
2.950% due 07/15/2031 (m)

$

100

 

88

Fairfax India Holdings Corp.
5.000% due 02/26/2028 (m)

 

2,650

 

2,624

GLP Capital LP
3.250% due 01/15/2032

 

100

 

91

Host Hotels & Resorts LP
2.900% due 12/15/2031

 

100

 

89

HSBC Holdings PLC

 

 

 

 

4.600% due 12/17/2030 •(i)(j)(m)

 

200

 

179

4.700% due 03/09/2031 •(i)(j)(m)

 

200

 

180

Huarong Finance Co. Ltd.

 

 

 

 

3.625% due 09/30/2030 (m)

 

1,000

 

880

4.500% due 05/29/2029 (m)

 

2,000

 

1,894

4.625% due 06/03/2026 (m)

 

200

 

196

4.750% due 04/27/2027 (m)

 

200

 

196

5.500% due 08/01/2023 «

 

1,970

 

0

8.500% due 10/15/2024 «

 

4,184

 

0

9.750% due 07/15/2025 «

 

4,167

 

0

MGM Growth Properties Operating Partnership LP

 

 

 

 

4.500% due 09/01/2026

 

100

 

101

5.750% due 02/01/2027

 

100

 

106

Natwest Group PLC

 

 

 

 

4.600% due 06/28/2031 •(i)(j)(m)

 

800

 

706

8.000% due 08/10/2025 •(i)(j)(m)

 

300

 

326

New Metro Global Ltd.
5.000% due 08/08/2022 (m)

 

200

 

185

Newmark Group, Inc.
6.125% due 11/15/2023

 

52

 

54

Pinnacol Assurance
8.625% due 06/25/2034 «(k)

 

2,600

 

3,042

Sabra Health Care LP
3.200% due 12/01/2031 (m)

 

600

 

536

Seazen Group Ltd.
6.450% due 06/11/2022 (m)

 

200

 

187

Societe Generale SA
7.375% due 10/04/2023 •(i)(j)(m)

 

200

 

204

Standard Chartered PLC
4.750% due 01/14/2031 •(i)(j)(m)

 

1,000

 

906

Tesco Property Finance PLC

 

 

 

 

5.411% due 07/13/2044 (m)

GBP

93

 

140

5.661% due 10/13/2041 (m)

 

97

 

151

5.744% due 04/13/2040

 

106

 

165

UBS Group AG
4.875% due 02/12/2027 •(i)(j)(m)

$

2,100

 

2,031

UniCredit SpA
7.830% due 12/04/2023 (m)

 

2,240

 

2,382

Uniti Group LP

 

 

 

 

6.000% due 01/15/2030 (m)

 

2,738

 

2,470

7.875% due 02/15/2025 (m)

 

754

 

784

 

 

 

 

38,870

INDUSTRIALS 44.9%

 

 

 

 

AA Bond Co. Ltd.
5.500% due 07/31/2050 (m)

GBP

2,500

 

3,438

Air Canada Pass-Through Trust
3.600% due 09/15/2028 (m)

$

1,946

 

1,872

American Airlines Pass-Through Trust

 

 

 

 

3.000% due 04/15/2030 (m)

 

154

 

144

3.350% due 04/15/2031 (m)

 

973

 

935

3.700% due 04/01/2028 (m)

 

938

 

907

Boeing Co.

 

 

 

 

5.705% due 05/01/2040 (m)

 

586

 

657

5.805% due 05/01/2050 (m)

 

557

 

645

5.930% due 05/01/2060 (m)

 

878

 

1,017

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

6.125% due 02/15/2033 (m)

 

716

 

814

Bombardier, Inc.
7.125% due 06/15/2026 (m)

 

1,500

 

1,472

Broadcom, Inc.

 

 

 

 

3.137% due 11/15/2035 (m)

 

200

 

177

3.187% due 11/15/2036 (m)

 

1,110

 

966

3.419% due 04/15/2033

 

100

 

94

3.469% due 04/15/2034 (m)

 

200

 

186

3.500% due 02/15/2041 (m)

 

800

 

715

3.750% due 02/15/2051 (m)

 

300

 

270

4.150% due 11/15/2030 (m)

 

190

 

193

CDW LLC
3.569% due 12/01/2031 (m)

 

700

 

650

Cellnex Finance Co. SA
3.875% due 07/07/2041 (m)

 

1,400

 

1,140

CGG SA

 

 

 

 

7.750% due 04/01/2027 (m)

EUR

416

 

466

8.750% due 04/01/2027 (m)

$

4,612

 

4,646

Charter Communications Operating LLC

 

 

 

 

3.500% due 06/01/2041 (m)

 

500

 

417

3.850% due 04/01/2061 (m)

 

300

 

242

3.900% due 06/01/2052 (m)

 

2,900

 

2,455

4.400% due 12/01/2061 (m)

 

4,700

 

4,108

4.800% due 03/01/2050 (m)

 

105

 

100

Community Health Systems, Inc.
8.000% due 03/15/2026 (m)

 

294

 

307

CVS Pass-Through Trust
7.507% due 01/10/2032 (m)

 

629

 

732

Energy Transfer LP
5.300% due 04/01/2044 (m)

 

100

 

103

Envision Healthcare Corp.
8.750% due 10/15/2026 (m)

 

2,108

 

1,019

Exela Intermediate LLC
11.500% due 07/15/2026

 

48

 

23

Ferroglobe PLC
9.375% due 12/31/2025 (k)(m)

 

1,400

 

1,439

Frontier Communications Holdings LLC
6.000% due 01/15/2030 (m)

 

706

 

654

Gazprom PJSC Via Gaz Capital SA
8.625% due 04/28/2034

 

1,710

 

795

HollyFrontier Corp.
4.500% due 10/01/2030 (m)

 

3,419

 

3,338

Intelsat Jackson Holdings SA
6.500% due 03/15/2030 (m)

 

7,256

 

7,256

Las Vegas Sands Corp.

 

 

 

 

3.200% due 08/08/2024 (m)

 

100

 

96

3.500% due 08/18/2026 (m)

 

200

 

189

3.900% due 08/08/2029 (m)

 

300

 

275

Magallanes, Inc.

 

 

 

 

4.279% due 03/15/2032 (m)

 

800

 

805

5.050% due 03/15/2042 (m)

 

800

 

818

5.141% due 03/15/2052 (m)

 

1,300

 

1,333

5.391% due 03/15/2062 (m)

 

500

 

518

Mileage Plus Holdings LLC
6.500% due 06/20/2027 (m)

 

500

 

522

NCL Corp. Ltd.
5.875% due 02/15/2027 (m)

 

1,060

 

1,045

Nissan Motor Co. Ltd.
4.810% due 09/17/2030 (m)

 

6,000

 

5,960

Noble Corp. PLC (11.000% Cash or 15.000% PIK)
11.000% due 02/15/2028 (c)

 

54

 

61

Oi Movel SA
8.750% due 07/30/2026 (m)

 

950

 

971

Oracle Corp.

 

 

 

 

3.850% due 04/01/2060 (m)

 

200

 

165

4.100% due 03/25/2061 (k)(m)

 

1,000

 

856

Ortho-Clinical Diagnostics, Inc.
7.375% due 06/01/2025

 

11

 

11

Petroleos Mexicanos

 

 

 

 

2.750% due 04/21/2027 (m)

EUR

3,538

 

3,470

5.950% due 01/28/2031 (m)

$

1,088

 

1,006

6.750% due 09/21/2047 (m)

 

2,996

 

2,441

6.950% due 01/28/2060 (m)

 

150

 

122

7.690% due 01/23/2050

 

60

 

52

Prosus NV

 

 

 

 

1.985% due 07/13/2033 (m)

EUR

500

 

442

3.061% due 07/13/2031 (m)

$

1,100

 

915

3.680% due 01/21/2030 (m)

 

2,900

 

2,544

Rolls-Royce PLC

 

 

 

 

3.625% due 10/14/2025 (m)

 

200

 

194

4.625% due 02/16/2026 (m)

EUR

200

 

233

Sands China Ltd.

 

 

 

 

2.550% due 03/08/2027 (m)

$

400

 

349

3.100% due 03/08/2029 (m)

 

400

 

342

3.250% due 08/08/2031 (m)

 

200

 

164

3.800% due 01/08/2026 (m)

 

400

 

380

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

4.375% due 06/18/2030 (m)

 

200

 

182

5.125% due 08/08/2025 (m)

 

200

 

199

5.400% due 08/08/2028 (m)

 

2,998

 

2,954

Santos Finance Ltd.
3.649% due 04/29/2031 (m)

 

500

 

468

Schenck Process Holding GmbH
6.875% due 06/15/2023 (m)

EUR

200

 

222

Spirit AeroSystems, Inc.
3.950% due 06/15/2023 (m)

$

1,360

 

1,349

Studio City Finance Ltd.
5.000% due 01/15/2029 (m)

 

400

 

305

Syngenta Finance NV

 

 

 

 

5.182% due 04/24/2028 (m)

 

200

 

207

5.676% due 04/24/2048 (m)

 

3,209

 

3,463

T-Mobile USA, Inc.

 

 

 

 

3.400% due 10/15/2052 (m)

 

500

 

427

3.600% due 11/15/2060

 

100

 

86

Tencent Holdings Ltd.

 

 

 

 

3.680% due 04/22/2041 (m)

 

300

 

266

3.840% due 04/22/2051 (m)

 

1,200

 

1,043

3.940% due 04/22/2061 (m)

 

800

 

691

Topaz Solar Farms LLC

 

 

 

 

4.875% due 09/30/2039 (m)

 

805

 

855

5.750% due 09/30/2039 (m)

 

2,026

 

2,230

Transocean Pontus Ltd.
6.125% due 08/01/2025 (m)

 

49

 

49

Transocean, Inc.

 

 

 

 

7.250% due 11/01/2025 (m)

 

120

 

105

8.000% due 02/01/2027

 

38

 

32

U.S. Airways Pass-Through Trust
3.950% due 05/15/2027 (m)

 

102

 

97

U.S. Renal Care, Inc.
10.625% due 07/15/2027 (m)

 

4,154

 

3,963

UAL Pass-Through Trust
6.636% due 01/02/2024 (m)

 

712

 

712

United Airlines Pass-Through Trust
4.150% due 02/25/2033

 

80

 

81

Valaris Ltd. (8.250% Cash or 12.000% PIK)

 

 

 

 

8.250% due 04/30/2028 (c)(m)

 

1,960

 

2,033

8.250% due 04/30/2028 (c)

 

9

 

9

Vale Overseas Ltd.
6.875% due 11/21/2036 (m)

 

26

 

31

Vale SA
3.202% due 12/29/2049 «~(i)

BRL

50,000

 

5,368

Viking Cruises Ltd.
13.000% due 05/15/2025 (m)

$

100

 

111

WESCO Aircraft HLDGS, Inc.
10.500% due 11/15/2026 «

 

10,599

 

11,156

Windstream Escrow LLC
7.750% due 08/15/2028

 

50

 

51

 

 

 

 

109,416

UTILITIES 8.1%

 

 

 

 

DTEK Finance PLC (3.500% Cash and 3.500% PIK)
7.000% due 12/31/2027 (c)

 

2,325

 

517

FEL Energy SARL
5.750% due 12/01/2040 (m)

 

1,254

 

1,128

Gazprom Neft OAO Via GPN Capital SA
6.000% due 11/27/2023

 

5,600

 

1,960

NGD Holdings BV
6.750% due 12/31/2026 (m)

 

1,479

 

510

Odebrecht Offshore Drilling Finance Ltd.
6.720% due 12/01/2022 ^(m)

 

197

 

195

Oi SA
10.000% due 07/27/2025 (m)

 

3,220

 

2,443

Pacific Gas & Electric Co.

 

 

 

 

3.500% due 08/01/2050 (m)

 

574

 

464

3.750% due 08/15/2042 (m)

 

100

 

82

3.950% due 12/01/2047 (m)

 

300

 

249

4.000% due 12/01/2046 (m)

 

200

 

167

4.200% due 03/01/2029 (m)

 

1,300

 

1,280

4.200% due 06/01/2041 (m)

 

200

 

174

4.300% due 03/15/2045 (m)

 

950

 

811

4.450% due 04/15/2042 (m)

 

220

 

196

4.500% due 07/01/2040 (m)

 

708

 

646

4.550% due 07/01/2030 (m)

 

1,104

 

1,097

4.600% due 06/15/2043

 

100

 

89

4.750% due 02/15/2044 (m)

 

2,296

 

2,084

4.950% due 07/01/2050 (m)

 

765

 

724

Peru LNG SRL
5.375% due 03/22/2030 (m)

 

2,800

 

2,483

Rio Oil Finance Trust

 

 

 

 

9.250% due 07/06/2024 (m)

 

321

 

336

9.750% due 01/06/2027 (m)

 

553

 

611

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

Southern California Edison Co.
4.875% due 03/01/2049 (m)

 

100

 

107

Talen Energy Supply LLC
7.250% due 05/15/2027 (m)

 

1,335

 

1,250

Transocean Poseidon Ltd.
6.875% due 02/01/2027

 

56

 

56

 

 

 

 

19,659

Total Corporate Bonds & Notes (Cost $185,195)

 

 

 

167,945

CONVERTIBLE BONDS & NOTES 0.3%

 

 

 

 

BANKING & FINANCE 0.3%

 

 

 

 

Corestate Capital Holding SA
1.375% due 11/28/2022 (m)

EUR

700

 

668

Total Convertible Bonds & Notes (Cost $768)

 

 

 

668

MUNICIPAL BONDS & NOTES 2.2%

 

 

 

 

CALIFORNIA 0.8%

 

 

 

 

Golden State, California Tobacco Securitization Corp. Revenue Bonds, Series 2021

 

 

 

 

3.000% due 06/01/2046

$

100

 

99

3.487% due 06/01/2036

 

1,000

 

916

3.850% due 06/01/2050

 

1,000

 

963

 

 

 

 

1,978

ILLINOIS 0.1%

 

 

 

 

Chicago, Illinois General Obligation Bonds, Series 2017
7.045% due 01/01/2029

 

50

 

55

Illinois State General Obligation Bonds, (BABs), Series 2010
6.725% due 04/01/2035

 

15

 

17

Illinois State General Obligation Bonds, Series 2003
5.100% due 06/01/2033

 

55

 

59

 

 

 

 

131

PUERTO RICO 0.3%

 

 

 

 

Commonwealth of Puerto Rico Bonds, Series 2022
0.000% due 11/01/2043

 

351

 

189

Commonwealth of Puerto Rico General Obligation Bonds, Series 2021

 

 

 

 

0.000% due 07/01/2033 (g)

 

91

 

53

4.000% due 07/01/2033

 

70

 

69

4.000% due 07/01/2035

 

63

 

61

4.000% due 07/01/2037

 

54

 

52

4.000% due 07/01/2041

 

74

 

70

4.000% due 07/01/2046

 

77

 

73

Commonwealth of Puerto Rico General Obligation Notes, Series 2021

 

 

 

 

0.000% due 07/01/2024 (g)

 

36

 

33

5.250% due 07/01/2023

 

79

 

81

 

 

 

 

681

WEST VIRGINIA 1.0%

 

 

 

 

Tobacco Settlement Finance Authority, West Virginia Revenue Bonds, Series 2007
0.000% due 06/01/2047 (g)

 

25,300

 

2,463

Total Municipal Bonds & Notes (Cost $5,231)

 

 

 

5,253

U.S. GOVERNMENT AGENCIES 123.0%

 

 

 

 

Fannie Mae

 

 

 

 

1.120% due 12/25/2042 ~(a)

 

3,423

 

99

1.710% due 08/25/2054 ~(a)(m)

 

6,354

 

393

2.135% due 09/01/2028 •

 

2

 

2

2.320% due 12/01/2028 •

 

11

 

11

2.325% due 11/01/2027 •

 

8

 

8

2.451% due 02/25/2052 •(a)(m)

 

137,469

 

5,691

2.479% due 03/01/2032 •(m)

 

57

 

57

2.500% due 12/25/2027 (a)(m)

 

1,250

 

58

3.000% due 06/25/2050 (a)(m)

 

1,270

 

229

3.500% due 07/25/2036 (a)(m)

 

4,104

 

481

3.500% due 07/25/2042 - 12/25/2049 (a)

 

486

 

57

4.000% due 06/25/2050 (a)(m)

 

770

 

134

4.250% due 11/25/2024 (m)

 

76

 

76

4.500% due 07/25/2040 (m)

 

407

 

413

4.969% due 12/25/2042 ~

 

19

 

19

5.000% due 07/25/2037 (a)

 

634

 

90

5.000% due 01/25/2038 - 07/25/2038 (m)

 

3,077

 

3,284

5.080% due 02/25/2042 ~(m)

 

299

 

308

5.365% due 10/25/2042 ~

 

8

 

8

5.500% due 07/25/2024

 

1

 

2

5.500% due 11/25/2032 - 04/25/2035 (m)

 

3,497

 

3,727

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

5.543% due 10/25/2049 •(a)(m)

 

6,953

 

1,914

5.593% due 02/25/2049 •(a)

 

110

 

13

5.643% due 07/25/2050 ~(a)(m)

 

1,183

 

162

5.703% due 10/25/2042 ~

 

223

 

240

5.750% due 06/25/2033

 

13

 

14

5.807% due 08/25/2043 (m)

 

930

 

981

6.000% due 09/25/2031 (m)

 

96

 

103

6.000% due 01/25/2044

 

670

 

720

6.207% due 07/25/2029 ~

 

660

 

724

6.293% due 07/25/2041 •(a)(m)

 

553

 

72

6.500% due 06/25/2023 - 11/01/2047

 

1,974

 

2,155

6.500% due 09/25/2031 - 04/01/2037 (m)

 

536

 

578

6.850% due 12/18/2027

 

4

 

5

7.000% due 06/18/2027 - 01/01/2047

 

270

 

292

7.000% due 02/25/2035 - 03/25/2045 (m)

 

430

 

467

7.000% due 09/25/2041 ~

 

247

 

255

7.500% due 10/25/2022 - 03/25/2044

 

340

 

359

7.500% due 06/19/2041 ~

 

66

 

73

7.500% due 06/25/2044 (m)

 

256

 

279

7.700% due 03/25/2023

 

1

 

1

8.000% due 06/19/2041 ~

 

525

 

582

8.500% due 06/18/2027 - 06/25/2030

 

109

 

119

Fannie Mae, TBA
3.000% due 06/01/2040

 

20,000

 

19,495

Freddie Mac

 

 

 

 

0.000% due 02/25/2046 (b)(g)

 

640

 

538

0.100% due 02/25/2046 (a)

 

640

 

0

1.782% due 05/15/2038 ~(a)(m)

 

2,807

 

100

1.808% due 08/15/2036 ~(a)(m)

 

1,358

 

39

1.891% due 11/15/2038 ~(a)(m)

 

11,287

 

639

2.010% due 11/25/2045 ~(a)

 

5,336

 

522

2.262% due 12/01/2026 •

 

2

 

2

3.000% due 11/25/2050 - 01/25/2051 (a)(m)

 

10,541

 

1,535

3.500% due 05/25/2050 (a)(m)

 

600

 

111

4.200% due 11/15/2048 •(a)(m)

 

7,164

 

515

4.500% due 06/25/2050 (a)(m)

 

837

 

133

4.560% due 07/25/2032 ~

 

75

 

77

5.000% due 02/15/2024

 

1

 

1

5.500% due 04/01/2039 - 06/15/2041 (m)

 

2,530

 

2,763

5.543% due 04/25/2048 - 11/25/2049 •(a)(m)

 

31,634

 

6,131

5.607% due 10/25/2029 •

 

650

 

699

5.693% due 05/25/2050 •(a)(m)

 

806

 

126

6.000% due 12/15/2028 - 03/15/2035 (m)

 

989

 

1,069

6.000% due 04/15/2031 - 02/01/2034

 

39

 

41

6.500% due 09/15/2023 - 09/01/2047

 

1,871

 

2,081

6.500% due 10/15/2023 - 07/01/2037 (m)

 

1,721

 

1,870

6.500% due 09/25/2043 ~

 

37

 

43

6.900% due 09/15/2023

 

28

 

29

7.000% due 05/15/2023 - 10/25/2043

 

133

 

141

7.000% due 01/15/2024 - 02/25/2043 (m)

 

1,643

 

1,790

7.500% due 05/15/2024 - 03/01/2037 (m)

 

646

 

687

7.500% due 12/01/2025 - 02/25/2042

 

106

 

114

8.000% due 08/15/2022 - 04/15/2030

 

28

 

31

8.000% due 12/01/2026 (m)

 

45

 

47

8.007% due 12/25/2027 •

 

1,581

 

1,550

10.750% due 03/25/2025 •

 

217

 

220

Ginnie Mae

 

 

 

 

5.601% due 08/20/2049 - 09/20/2049 •(a)(m)

 

62,193

 

9,801

5.751% due 06/20/2047 •(a)(m)

 

6,499

 

912

6.000% due 04/15/2029 - 12/15/2038

 

38

 

40

6.000% due 07/15/2037 - 11/15/2038 (m)

 

536

 

577

6.500% due 11/20/2024 - 10/20/2038

 

25

 

25

6.500% due 04/15/2032 - 05/15/2032 (m)

 

201

 

215

7.000% due 04/15/2024 - 06/15/2026

 

14

 

15

7.500% due 06/15/2023 - 03/15/2029

 

254

 

256

7.500% due 04/15/2027 (m)

 

66

 

70

8.500% due 05/15/2022 - 02/15/2031

 

6

 

7

Ginnie Mae, TBA

 

 

 

 

3.500% due 05/01/2052 - 06/01/2052

 

2,500

 

2,504

4.000% due 04/01/2052

 

21,700

 

22,314

U.S. Small Business Administration

 

 

 

 

4.625% due 02/01/2025

 

24

 

24

5.510% due 11/01/2027

 

118

 

122

5.780% due 08/01/2027

 

6

 

7

5.820% due 07/01/2027

 

9

 

10

Uniform Mortgage-Backed Security

 

 

 

 

4.000% due 06/01/2047

 

8

 

8

4.000% due 09/01/2047 - 06/01/2048 (m)

 

7,009

 

7,224

4.500% due 09/01/2023 - 03/01/2028

 

21

 

22

4.500% due 04/01/2041 - 08/01/2041 (m)

 

132

 

139

6.000% due 12/01/2032 - 06/01/2040 (m)

 

2,460

 

2,735

6.000% due 12/01/2032 - 02/01/2033

 

42

 

44

6.500% due 09/01/2028 - 02/01/2038

 

561

 

609

6.500% due 10/01/2033 - 12/01/2036 (m)

 

318

 

352

8.000% due 12/01/2022 - 06/01/2032

 

91

 

92

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

Uniform Mortgage-Backed Security, TBA

 

 

 

 

2.500% due 06/01/2052

 

8,600

 

8,173

3.000% due 05/01/2052

 

5,600

 

5,466

3.500% due 04/01/2052 - 06/01/2052

 

90,200

 

90,003

4.000% due 05/01/2052

 

77,200

 

78,535

Vendee Mortgage Trust

 

 

 

 

6.500% due 03/15/2029

 

53

 

54

6.750% due 02/15/2026 - 06/15/2026

 

34

 

36

7.500% due 09/15/2030

 

1,010

 

1,121

Total U.S. Government Agencies (Cost $307,918)

 

 

 

299,906

NON-AGENCY MORTGAGE-BACKED SECURITIES 25.1%

 

 

 

 

Adjustable Rate Mortgage Trust

 

 

 

 

2.741% due 07/25/2035 ~

 

225

 

223

2.773% due 08/25/2035 ~

 

190

 

187

Banc of America Mortgage Trust
2.556% due 02/25/2035 ~

 

6

 

6

Bancorp Commercial Mortgage Trust
4.147% due 08/15/2032 •(m)

 

3,054

 

3,028

BCAP LLC Trust
0.562% due 07/26/2036 ~

 

202

 

181

Bear Stearns ALT-A Trust
3.292% due 08/25/2036 ^~

 

224

 

139

Bear Stearns Commercial Mortgage Securities Trust

 

 

 

 

5.657% due 10/12/2041 ~

 

175

 

169

5.753% due 12/11/2040 ~

 

674

 

626

Citigroup Commercial Mortgage Trust
5.196% due 12/10/2049 ~

 

1,215

 

546

Citigroup Mortgage Loan Trust, Inc.
7.000% due 09/25/2033

 

1

 

1

Commercial Mortgage Loan Trust
6.027% due 12/10/2049 ~

 

1,144

 

189

Commercial Mortgage Trust
6.397% due 12/15/2038 •

 

1,380

 

1,357

Countrywide Alternative Loan Trust
0.877% due 07/25/2046 ^~

 

1,062

 

990

Countrywide Home Loan Mortgage Pass-Through Trust

 

 

 

 

1.097% due 03/25/2035 •

 

805

 

728

2.327% due 03/25/2046 ^•

 

1,068

 

736

2.688% due 08/25/2034 ~

 

213

 

211

Countrywide Home Loan Reperforming REMIC Trust

 

 

 

 

7.500% due 11/25/2034

 

344

 

355

7.500% due 06/25/2035 ^

 

67

 

69

Credit Suisse Commercial Mortgage Trust
5.457% due 02/15/2040 ~

 

2,175

 

252

Credit Suisse First Boston Mortgage-Backed Pass-Through Certificates
7.000% due 02/25/2034

 

258

 

258

Credit Suisse Mortgage Capital Mortgage-Backed Trust
6.500% due 03/25/2036 ^

 

758

 

198

Eurosail PLC

 

 

 

 

2.622% due 09/13/2045 •

GBP

1,582

 

1,977

3.272% due 09/13/2045 •

 

1,130

 

1,422

4.872% due 09/13/2045 •

 

960

 

1,254

Freddie Mac

 

 

 

 

7.599% due 10/25/2041 •(m)

$

2,800

 

2,667

7.899% due 11/25/2041 •(m)

 

2,800

 

2,638

GC Pastor Hipotecario FTA
0.000% due 06/21/2046 •

EUR

962

 

943

GMAC Mortgage Corp. Loan Trust
2.805% due 08/19/2034 ~

$

20

 

18

GS Mortgage Securities Corp. Trust
4.591% due 10/10/2032 ~

 

2,600

 

2,512

GSAA Home Equity Trust
6.000% due 04/01/2034

 

485

 

500

GSMPS Mortgage Loan Trust

 

 

 

 

7.000% due 06/25/2043

 

1,380

 

1,509

7.500% due 06/19/2027 ~

 

14

 

14

8.000% due 09/19/2027 ~

 

334

 

324

GSR Mortgage Loan Trust

 

 

 

 

0.787% due 12/25/2034 •

 

108

 

104

6.500% due 01/25/2034

 

8

 

8

IM Pastor FTH
0.000% due 03/22/2043 •

EUR

274

 

269

J.P. Morgan Chase Commercial Mortgage Securities Trust
6.787% due 11/15/2038 •(m)

$

2,200

 

2,178

JP Morgan Mortgage Trust

 

 

 

 

2.616% due 10/25/2036 ^~

 

808

 

732

5.500% due 06/25/2037 ^

 

30

 

30

LUXE Commercial Mortgage Trust
3.147% due 10/15/2038 •(m)

 

3,016

 

2,964

MASTR Adjustable Rate Mortgages Trust
2.986% due 10/25/2034 ~

 

409

 

405

MASTR Alternative Loan Trust

 

 

 

 

6.250% due 07/25/2036

 

258

 

187

6.500% due 03/25/2034

 

514

 

510

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

7.000% due 04/25/2034

 

21

 

21

MASTR Reperforming Loan Trust

 

 

 

 

7.000% due 05/25/2035

 

2,615

 

2,279

7.500% due 07/25/2035

 

1,323

 

1,184

MFA Trust
3.661% due 01/26/2065 ~

 

300

 

295

Morgan Stanley Resecuritization Trust
2.713% due 12/26/2046 ~(m)

 

7,470

 

6,699

NAAC Reperforming Loan REMIC Trust

 

 

 

 

7.000% due 10/25/2034 ^

 

598

 

573

7.500% due 03/25/2034 ^

 

1,744

 

1,692

7.500% due 10/25/2034 ^

 

1,794

 

1,727

Newgate Funding PLC

 

 

 

 

0.748% due 12/15/2050 •

EUR

1,420

 

1,505

0.998% due 12/15/2050 ~

 

1,420

 

1,476

RBSSP Resecuritization Trust

 

 

 

 

6.000% due 02/26/2037 ~

$

2,428

 

1,720

6.250% due 12/26/2036 ~

 

5,247

 

2,451

Residential Accredit Loans, Inc. Trust
6.000% due 08/25/2035 ^

 

893

 

845

Residential Asset Mortgage Products Trust

 

 

 

 

8.500% due 10/25/2031

 

228

 

241

8.500% due 11/25/2031

 

639

 

442

Structured Asset Securities Corp. Mortgage Loan Trust
7.500% due 10/25/2036 ^

 

2,315

 

1,597

WaMu Mortgage Pass-Through Certificates Trust
2.869% due 05/25/2035 ~

 

69

 

71

Washington Mutual Mortgage Pass-Through Certificates Trust

 

 

 

 

7.000% due 03/25/2034

 

59

 

61

7.500% due 04/25/2033

 

139

 

138

Wells Fargo Commercial Mortgage Trust
5.092% due 12/15/2039 ~

 

2,558

 

2,533

Total Non-Agency Mortgage-Backed Securities (Cost $62,944)

 

 

 

61,164

ASSET-BACKED SECURITIES 9.0%

 

 

 

 

Access Financial Manufactured Housing Contract Trust
7.650% due 05/15/2022

 

200

 

4

Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates
3.982% due 11/25/2032 ^•

 

39

 

1

Bear Stearns Asset-Backed Securities Trust
0.500% due 09/25/2034 •

 

207

 

201

Conseco Finance Corp.
6.530% due 02/01/2031 ~

 

70

 

66

Conseco Finance Securitizations Corp.
7.960% due 05/01/2031

 

1,437

 

567

Countrywide Asset-Backed Certificates

 

 

 

 

0.657% due 06/25/2037 ^•(m)

 

1,623

 

1,690

0.717% due 12/25/2036 ^•(m)

 

2,185

 

2,134

Countrywide Asset-Backed Certificates Trust
2.107% due 11/25/2034 •(m)

 

2,297

 

2,149

Credit-Based Asset Servicing & Securitization LLC
4.689% due 12/25/2037 þ

 

32

 

32

ECAF Ltd.
4.947% due 06/15/2040

 

1,473

 

1,223

Elmwood CLO Ltd.
0.000% due 04/20/2034 ~

 

1,213

 

1,052

Encore Credit Receivables Trust
1.192% due 07/25/2035 •

 

576

 

564

Exeter Automobile Receivables Trust
0.000% due 05/15/2031 «(g)

 

7

 

3,849

Flagship Credit Auto Trust
0.000% due 12/15/2025 «(g)

 

12

 

1,344

Madison Park Funding Ltd.
0.000% due 07/27/2047 ~

 

500

 

325

Marlette Funding Trust

 

 

 

 

0.000% due 12/15/2028 «(g)

 

6

 

470

0.000% due 04/16/2029 «(g)

 

10

 

653

0.000% due 07/16/2029 «(g)

 

7

 

606

National Collegiate Commutation Trust
0.000% due 03/25/2038 •

 

10,400

 

3,181

Oakwood Mortgage Investors, Inc.
0.627% due 06/15/2032 •

 

4

 

4

Residential Asset Mortgage Products Trust
8.500% due 12/25/2031

 

9

 

6

SMB Private Education Loan Trust
0.000% due 10/15/2048 «(g)

 

5

 

1,798

Total Asset-Backed Securities (Cost $36,912)

 

 

 

21,919

SOVEREIGN ISSUES 6.8%

 

 

 

 

Argentina Government International Bond

 

 

 

 

0.500% due 07/09/2030 þ

 

647

 

200

1.000% due 07/09/2029

 

269

 

93

1.125% due 07/09/2035 þ

 

227

 

70

1.125% due 07/09/2035 þ(m)

 

904

 

260

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

1.125% due 07/09/2046 þ

 

115

 

36

1.450% due 08/13/2023 (m)

ARS

66,558

 

352

2.000% due 01/09/2038 þ(m)

$

4,388

 

1,668

2.500% due 07/09/2041 þ(m)

 

1,880

 

668

Egypt Government International Bond
6.375% due 04/11/2031 (m)

EUR

1,600

 

1,520

Ghana Government International Bond

 

 

 

 

6.375% due 02/11/2027 (m)

$

323

 

244

7.875% due 02/11/2035 (m)

 

388

 

272

Panama Government International Bond
4.500% due 04/16/2050 (m)

 

1,700

 

1,683

Peru Government International Bond
6.900% due 08/12/2037 (m)

PEN

10,700

 

2,880

Romania Government International Bond
2.000% due 04/14/2033 (m)

EUR

7,500

 

6,679

Venezuela Government International Bond

 

 

 

 

6.000% due 12/09/2049

$

135

 

12

8.250% due 10/13/2024 ^(d)

 

13

 

1

9.250% due 09/15/2027 ^(d)

 

171

 

15

Total Sovereign Issues (Cost $21,022)

 

 

 

16,653

 

 

SHARES

 

 

COMMON STOCKS 4.9%

 

 

 

 

COMMUNICATION SERVICES 1.3%

 

 

 

 

Clear Channel Outdoor Holdings, Inc. (e)

 

291,816

 

1,010

iHeartMedia, Inc. 'A' (e)

 

68,102

 

1,289

iHeartMedia, Inc. 'B' «(e)

 

52,880

 

901

 

 

 

 

3,200

ENERGY 0.3%

 

 

 

 

Axis Energy Services 'A' «(e)(k)

 

422

 

6

Nobil Corp. (e)(k)

 

17,389

 

610

Valaris Ltd. (e)

 

1,412

 

73

 

 

 

 

689

FINANCIALS 1.2%

 

 

 

 

Intelsat SA «(e)(k)

 

98,667

 

3,009

INDUSTRIALS 2.1%

 

 

 

 

Neiman Marcus Group Ltd. LLC «(e)(k)

 

32,851

 

5,094

Noble Corp. (e)

 

1,690

 

59

Westmoreland Mining Holdings «(e)(k)

 

70

 

0

 

 

 

 

5,153

MATERIALS 0.0%

 

 

 

 

Associated Materials Group, Inc. «(e)

 

397,884

 

0

Total Common Stocks (Cost $11,766)

 

 

 

12,051

RIGHTS 0.0%

 

 

 

 

FINANCIALS 0.0%

 

 

 

 

Intelsat Jackson Holdings SA «

 

20,891

 

99

Total Rights (Cost $0)

 

 

 

99

WARRANTS 0.3%

 

 

 

 

FINANCIALS 0.0%

 

 

 

 

Intelsat Emergence SA - Exp. 02/17/2027 «

 

711

 

3

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

Windstream Holdings LLC - Exp. 9/21/2055 «

 

28,052

 

683

Total Warrants (Cost $2,791)

 

 

 

686

PREFERRED SECURITIES 7.2%

 

 

 

 

FINANCIALS 7.1%

 

 

 

 

Capital Farm Credit ACA
5.000% due 03/15/2026 •(i)

 

1,300,000

 

1,287

Charles Schwab Corp.
4.000% due 12/01/2030 •(i)

 

100,000

 

90

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

Farm Credit Bank of Texas
5.700% due 09/15/2025 •(i)

 

1,000,000

 

1,050

Nationwide Building Society
10.250% ~(m)

 

36,440

 

8,233

Stichting AK Rabobank Certificaten
6.500% due 12/29/2049 þ(i)(m)

 

5,317,100

 

6,880

 

 

 

 

17,540

INDUSTRIALS 0.1%

 

 

 

 

General Electric Co.
4.156% (US0003M + 3.330%) due 06/15/2022 ~(i)

 

139,000

 

134

Total Preferred Securities (Cost $17,325)

 

 

 

17,674

REAL ESTATE INVESTMENT TRUSTS 1.0%

 

 

 

 

REAL ESTATE 1.0%

 

 

 

 

CBL & Associates Properties, Inc.

 

2,011

 

66

Uniti Group, Inc.

 

73,539

 

1,012

VICI Properties, Inc.

 

44,227

 

1,259

Total Real Estate Investment Trusts (Cost $1,161)

 

 

 

2,337

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

SHORT-TERM INSTRUMENTS 16.2%

 

 

 

 

REPURCHASE AGREEMENTS (l) 2.7%

 

 

 

6,536

SHORT-TERM NOTES 0.1%

 

 

 

 

Future Diamond Ltd.
4.250% due 09/22/2022 (m)

$

200

 

178

U.S. TREASURY BILLS 11.2%

 

 

 

 

0.466% due 04/19/2022 - 06/30/2022 (f)(g)(m)(o)

 

27,400

 

27,376

U.S. TREASURY CASH MANAGEMENT BILLS 2.2%

 

 

 

 

0.722% due 07/26/2022 (g)(h)(o)

 

5,400

 

5,387

Total Short-Term Instruments (Cost $39,487)

 

 

 

39,477

Total Investments in Securities (Cost $748,161)

 

 

 

698,980

Total Investments 286.7% (Cost $748,161)

 

 

$

698,980

Financial Derivative Instruments (n)(p) (0.2)%(Cost or Premiums, net $9,195)

 

 

 

(448)

Other Assets and Liabilities, net (186.5)%

 

 

 

(454,747)

Net Assets 100.0%

 

 

$

243,785

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

^

Security is in default.

«

Security valued using significant unobservable inputs (Level 3).

~

Variable or Floating rate security. Rate shown is the rate in effect as of period end. Certain variable rate securities are not based on a published reference rate and spread, rather are determined by the issuer or agent and are based on current market conditions. Reference rate is as of reset date, which may vary by security. These securities may not indicate a reference rate and/or spread in their description.

Rate shown is the rate in effect as of period end. The rate may be based on a fixed rate, a capped rate or a floor rate and may convert to a variable or floating rate in the future. These securities do not indicate a reference rate and spread in their description.

þ

Coupon represents a rate which changes periodically based on a predetermined schedule or event. Rate shown is the rate in effect as of period end.

(a)

Security is an Interest Only ("IO") or IO Strip.

(b)

Principal only security.

(c)

Payment in-kind security.

(d)

Security is not accruing income as of the date of this report.

(e)

Security did not produce income within the last twelve months.

(f)

Coupon represents a weighted average yield to maturity.

(g)

Zero coupon security.

(h)

Coupon represents a yield to maturity.

(i)

Perpetual maturity; date shown, if applicable, represents next contractual call date.

(j)

Contingent convertible security.

(k)

RESTRICTED SECURITIES:

Issuer Description

 

 

Acquisition
Date

 

Cost

 

Market
Value

Market Value
as Percentage
of Net Assets

Axis Energy Services 'A'

 

 

07/01/2021

$

6

$

6

0.00

%

Ferroglobe PLC9.375% due 12/31/2025

 

 

10/04/2021

 

1,354

 

1,439

0.59

 

Intelsat SA

 

 

06/19/2017 - 02/23/2022

 

6,774

 

3,009

1.23

 

Neiman Marcus Group Ltd. LLC

 

 

09/25/2020

 

1,058

 

5,094

2.09

 

Nobil Corp.

 

 

02/05/2021 - 02/27/2021

 

219

 

610

0.25

 

Oracle Corp.4.100% due 03/25/2061

 

 

06/17/2021 - 10/05/2021

 

1,111

 

856

0.35

 

Pinnacol Assurance8.625% due 06/25/2034

 

 

06/23/2014

 

2,600

 

3,042

1.25

 

Westmoreland Mining Holdings

 

 

03/26/2019

 

0

 

0

0.00

 

 

 

 

 

$

13,122

$

14,056

5.76%

BORROWINGS AND OTHER FINANCING TRANSACTIONS

(l)

REPURCHASE AGREEMENTS:

Counterparty

Lending
Rate

Settlement
Date

Maturity
Date

 

Principal
Amount

Collateralized By

 

Collateral
(Received)

 

Repurchase
Agreements,
at Value

 

Repurchase
Agreement
Proceeds
to be
Received
(1)

FICC

0.010%

03/31/2022

04/01/2022

$

6,536

U.S. Treasury Bills 0.000% due 08/04/2022

$

(6,667)

$

6,536

$

6,536

Total Repurchase Agreements

 

$

(6,667)

$

6,536

$

6,536

REVERSE REPURCHASE AGREEMENTS:

Counterparty

Borrowing Rate(2)

Settlement Date

Maturity Date

 

Amount
Borrowed
(2)

 

Payable for
Reverse
Repurchase
Agreements

BCY

0.926%

12/07/2021

06/07/2022

$

(1,540)

$

(1,545)

BOM

0.630

01/11/2022

04/11/2022

 

(2,067)

 

(2,070)

BOS

0.340

03/14/2022

04/13/2022

 

(8,966)

 

(8,967)

 

0.780

03/17/2022

06/10/2022

 

(1,748)

 

(1,749)

BPS

(5.000)

08/19/2021

TBD(3)

EUR

(563)

 

(612)

 

(0.450)

02/11/2022

05/11/2022

 

(915)

 

(1,011)

 

(0.350)

01/19/2022

04/19/2022

 

(3,043)

 

(3,364)

 

0.360

02/04/2022

04/08/2022

$

(1,384)

 

(1,385)

 

0.420

03/17/2022

04/21/2022

 

(7,837)

 

(7,838)

 

0.550

02/04/2022

04/08/2022

 

(1,862)

 

(1,863)

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

 

0.750

01/10/2022

10/11/2022

 

(12,554)

 

(12,575)

 

0.750

03/10/2022

05/13/2022

 

(306)

 

(306)

 

0.750

03/16/2022

06/16/2022

 

(5,153)

 

(5,154)

 

0.750

03/31/2022

06/16/2022

 

(396)

 

(396)

 

0.850

11/05/2021

TBD(3)

GBP

(941)

 

(1,238)

 

0.900

03/23/2022

06/23/2022

$

(5,460)

 

(5,461)

 

1.100

03/29/2022

06/02/2022

 

(1,206)

 

(1,206)

 

1.200

03/29/2022

06/02/2022

 

(10,219)

 

(10,220)

 

1.220

03/22/2022

09/23/2022

 

(7,208)

 

(7,210)

 

1.250

03/16/2022

09/16/2022

 

(3,950)

 

(3,953)

 

1.430

03/21/2022

09/22/2022

 

(2,041)

 

(2,042)

 

1.430

03/22/2022

09/23/2022

 

(1,154)

 

(1,154)

 

1.520

03/07/2022

09/07/2022

 

(8,327)

 

(8,336)

BRC

(0.320)

11/05/2021

TBD(3)

EUR

(1,178)

 

(1,302)

 

0.460

02/01/2022

05/04/2022

$

(358)

 

(358)

 

0.500

01/06/2022

04/06/2022

 

(2,474)

 

(2,477)

 

0.600

03/18/2022

TBD(3)

 

(64)

 

(64)

 

0.720

03/02/2022

05/06/2022

 

(205)

 

(205)

 

0.750

03/18/2022

TBD(3)

 

(332)

 

(332)

 

0.750

03/30/2022

TBD(3)

 

(1,613)

 

(1,613)

 

0.870

03/10/2022

06/13/2022

 

(1,118)

 

(1,119)

 

1.130

03/18/2022

04/22/2022

 

(7,755)

 

(7,758)

CEW

0.770

02/11/2022

05/13/2022

 

(5,964)

 

(5,971)

 

0.830

02/09/2022

TBD(3)

GBP

(2,556)

 

(3,360)

 

0.900

03/14/2022

04/14/2022

$

(2,480)

 

(2,481)

CIB

0.340

03/14/2022

04/13/2022

 

(5,637)

 

(5,638)

 

0.600

03/17/2022

06/16/2022

 

(194)

 

(194)

 

0.800

03/07/2022

04/07/2022

 

(5,125)

 

(5,128)

 

1.150

03/16/2022

06/16/2022

 

(1,683)

 

(1,684)

 

1.150

03/17/2022

06/16/2022

 

(2,505)

 

(2,506)

 

1.250

03/18/2022

06/16/2022

 

(4,575)

 

(4,578)

IND

0.650

03/09/2022

06/09/2022

 

(333)

 

(333)

 

0.740

03/09/2022

06/09/2022

 

(871)

 

(872)

 

1.120

03/17/2022

09/15/2022

 

(536)

 

(537)

JML

(4.000)

02/25/2022

TBD(3)

EUR

(963)

 

(1,061)

 

(1.000)

02/18/2022

TBD(3)

 

(1,200)

 

(1,326)

 

(0.500)

01/05/2022

04/05/2022

 

(203)

 

(224)

 

(0.450)

01/05/2022

TBD(3)

 

(357)

 

(395)

 

(0.400)

11/05/2021

TBD(3)

 

(1,888)

 

(2,085)

 

(0.400)

02/25/2022

05/25/2022

 

(190)

 

(210)

 

(0.380)

02/25/2022

05/25/2022

 

(5,886)

 

(6,509)

 

(0.350)

02/11/2022

05/11/2022

 

(497)

 

(550)

 

0.550

03/18/2022

05/06/2022

$

(2,520)

 

(2,520)

 

0.650

03/18/2022

05/06/2022

 

(2,755)

 

(2,756)

 

0.950

02/25/2022

05/25/2022

GBP

(6,047)

 

(7,951)

JPS

0.550

03/28/2022

04/29/2022

$

(2,040)

 

(2,040)

MEI

(5.500)

01/05/2022

04/06/2022

EUR

(336)

 

(367)

 

(3.000)

01/05/2022

04/06/2022

 

(352)

 

(387)

 

(0.300)

02/17/2022

04/06/2022

 

(393)

 

(434)

 

0.850

02/17/2022

04/06/2022

GBP

(392)

 

(515)

 

0.900

02/17/2022

04/06/2022

 

(196)

 

(258)

NOM

0.500

03/18/2022

TBD(3)

$

(3,656)

 

(3,657)

 

1.000

03/30/2022

07/05/2022

 

(906)

 

(906)

RDR

0.430

02/08/2022

04/11/2022

 

(1,488)

 

(1,489)

 

0.850

03/22/2022

05/24/2022

 

(11,963)

 

(11,966)

SCX

(0.450)

02/01/2022

05/02/2022

EUR

(6,174)

 

(6,825)

 

(0.410)

02/09/2022

08/08/2022

 

(423)

 

(468)

 

(0.350)

02/01/2022

05/02/2022

 

(1,266)

 

(1,399)

SGY

0.500

03/30/2022

04/04/2022

$

(2,081)

 

(2,081)

SOG

0.480

01/24/2022

04/29/2022

 

(1,860)

 

(1,862)

 

0.490

02/01/2022

05/03/2022

 

(1,240)

 

(1,241)

 

0.490

03/18/2022

TBD(3)

 

(448)

 

(448)

 

0.500

10/01/2021

04/01/2022

 

(4,120)

 

(4,130)

 

0.500

01/04/2022

04/04/2022

 

(649)

 

(650)

 

0.500

03/18/2022

TBD(3)

 

(1,666)

 

(1,666)

 

0.500

03/22/2022

04/19/2022

 

(666)

 

(666)

 

0.550

10/26/2021

04/27/2022

 

(496)

 

(497)

 

0.570

03/18/2022

TBD(3)

 

(1,035)

 

(1,035)

 

0.580

03/18/2022

TBD(3)

 

(1,010)

 

(1,010)

 

0.590

02/01/2022

05/03/2022

 

(147)

 

(147)

 

0.600

03/18/2022

TBD(3)

 

(5,721)

 

(5,723)

 

0.670

01/07/2022

07/06/2022

 

(662)

 

(663)

 

0.760

04/04/2022

05/03/2022

 

(647)

 

(647)

 

1.250

04/01/2022

06/30/2022

 

(3,669)

 

(3,669)

TDM

0.470

03/18/2022

TBD(3)

 

(2,309)

 

(2,310)

 

0.500

03/18/2022

TBD(3)

 

(162)

 

(163)

UBS

0.510

01/05/2022

04/05/2022

 

(2,821)

 

(2,825)

 

0.510

01/11/2022

04/05/2022

 

(2,162)

 

(2,165)

 

0.510

01/14/2022

04/14/2022

 

(1,603)

 

(1,605)

 

0.510

03/30/2022

04/05/2022

 

(769)

 

(769)

 

0.520

01/25/2022

04/25/2022

 

(1,771)

 

(1,772)

 

0.540

02/01/2022

05/02/2022

 

(362)

 

(362)

 

0.580

02/01/2022

05/02/2022

 

(299)

 

(300)

 

1.180

03/18/2022

06/17/2022

 

(3,170)

 

(3,171)

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

 

1.300

03/18/2022

06/17/2022

 

(2,190)

 

(2,191)

Total Reverse Repurchase Agreements

 

 

 

 

 

$

(238,231)

SHORT SALES:

Description

Coupon

Maturity
Date

 

Principal
Amount

 

Proceeds

 

Payable for
Short Sales

U.S. Government Agencies (4.5)%

Uniform Mortgage-Backed Security, TBA

2.000%

04/01/2037

$

300

$

(300)

$

(292)

Uniform Mortgage-Backed Security, TBA

2.000

04/01/2052

 

1,950

 

(1,854)

 

(1,810)

Uniform Mortgage-Backed Security, TBA

2.500

05/01/2052

 

9,200

 

(8,783)

 

(8,760)

Total Short Sales (4.5)%

 

 

 

 

$

(10,937)

$

(10,862)

(m)

Securities with an aggregate market value of $253,772 and cash of $3,973 have been pledged as collateral under the terms of master agreements as of March 31, 2022.

(1)

Includes accrued interest.

(2)

The average amount of borrowings outstanding during the period ended March 31, 2022 was $(220,438) at a weighted average interest rate of 0.382%. Average borrowings may include reverse repurchase agreements and sale-buyback transactions, if held during the period.

(3)

Open maturity reverse repurchase agreement.

(n)

FINANCIAL DERIVATIVE INSTRUMENTS: EXCHANGE-TRADED OR CENTRALLY CLEARED

SWAP AGREEMENTS:

CREDIT DEFAULT SWAPS ON CORPORATE ISSUES - SELL PROTECTION(1)

 

Variation Margin

Reference Entity

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

Implied
Credit Spread at
March 31, 2022
(2)

 

Notional
Amount
(3)

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value
(4)

 

Asset

 

Liability

Boeing Co.

1.000%

Quarterly

06/20/2026

1.341

%

$

2,300

$

(42)

$

12

$

(30)

$

0

$

0

Rolls-Royce PLC

1.000

Quarterly

06/20/2026

1.999

 

EUR

300

 

(26)

 

12

 

(14)

 

0

 

(1)

 

 

 

 

 

 

$

(68)

$

24

$

(44)

$

0

$

(1)

CREDIT DEFAULT SWAPS ON CREDIT INDICES - SELL PROTECTION(1)

 

Variation Margin

Index/Tranches

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount
(3)

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value
(4)

 

Asset

 

Liability

iTraxx Asia Ex-Japan 37 5-Year Index

1.000%

Quarterly

06/20/2027

$

4,400

$

(22)

$

23

$

1

$

0

$

(4)

INTEREST RATE SWAPS

 

Variation Margin

Pay/
Receive
Floating Rate

Floating Rate Index

Fixed Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value

 

Asset

 

Liability

Receive

1-Day GBP-SONIO Compounded-OIS

0.750%

Annual

09/21/2052

GBP

6,100

$

725

$

594

$

1,319

$

0

$

(68)

Receive )

1-Day USD-SOFR Compounded-OIS

1.000

Annual

06/15/2027

$

13,100

 

435

 

368

 

803

 

0

 

0

Pay(5)

1-Day USD-SOFR Compounded-OIS

1.000

Annual

06/15/2029

 

2,810

 

(113)

 

(107)

 

(220)

 

4

 

0

Receive(5)

1-Day USD-SOFR Compounded-OIS

1.250

Annual

06/15/2032

 

4,570

 

(388)

 

7

 

(381)

 

15

 

0

Receive(

1-Day USD-SOFR Compounded-OIS

1.250

Annual

06/15/2032

 

59,740

 

2,147

 

2,592

 

4,739

 

0

 

(285)

Pay

(5)

1-Day USD-SOFR Compounded-OIS

1.750

Annual

06/15/2032

 

47,860

 

1,942

 

(361)

 

1,581

 

3

 

(230)

Pay(5)

1-Day USD-SOFR Compounded-OIS

1.500

Annual

06/15/2052

 

17,900

 

(841)

 

(1,125)

 

(1,966)

 

152

 

0

Pay

 

1-Year BRL-CDI

12.015

Maturity

01/04/2027

BRL

39,700

 

0

 

197

 

197

 

21

 

0

Pay

 

3-Month CAD-Bank Bill

3.300

Semi-Annual

06/19/2024

CAD

11,200

 

624

 

(453)

 

171

 

6

 

0

Receive

3-Month CAD-Bank Bill

3.500

Semi-Annual

06/20/2044

 

1,300

 

(183)

 

93

 

(90)

 

0

 

(7)

Receive

3-Month USD-LIBOR

0.250

Semi-Annual

12/18/2022

$

101,000

 

49

 

899

 

948

 

0

 

(3)

Receive

3-Month USD-LIBOR

1.000

Semi-Annual

06/17/2023

 

3,400

 

(76)

 

114

 

38

 

0

 

0

Receive

3-Month USD-LIBOR

0.500

Semi-Annual

12/15/2023

 

85,300

 

(4)

 

2,649

 

2,645

 

0

 

(6)

Receive

3-Month USD-LIBOR

3.000

Semi-Annual

06/19/2024

 

32,500

 

(1,241)

 

675

 

(566)

 

0

 

0

Receive

3-Month USD-LIBOR

1.500

Semi-Annual

12/18/2024

 

14,000

 

46

 

313

 

359

 

2

 

0

Receive

3-Month USD-LIBOR

2.000

Semi-Annual

06/20/2025

 

8,400

 

399

 

(280)

 

119

 

2

 

0

Receive

3-Month USD-LIBOR

1.350

Semi-Annual

01/20/2027

 

3,200

 

0

 

163

 

163

 

0

 

(2)

Receive

3-Month USD-LIBOR

1.360

Semi-Annual

02/15/2027

 

2,130

 

0

 

111

 

111

 

0

 

(1)

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

Receive

3-Month USD-LIBOR

1.450

Semi-Annual

02/17/2027

 

3,500

 

0

 

167

 

167

 

0

 

(2)

Receive

3-Month USD-LIBOR

1.420

Semi-Annual

02/24/2027

 

1,000

 

0

 

50

 

50

 

0

 

0

Pay

 

3-Month USD-LIBOR

1.650

Semi-Annual

02/24/2027

 

3,400

 

(12)

 

(120)

 

(132)

 

2

 

0

Receive

3-Month USD-LIBOR

1.420

Semi-Annual

08/17/2028

 

3,800

 

0

 

229

 

229

 

0

 

(4)

Receive

3-Month USD-LIBOR

1.370

Semi-Annual

08/25/2028

 

11,363

 

0

 

724

 

724

 

0

 

(10)

Pay

 

3-Month USD-LIBOR

1.500

Semi-Annual

12/15/2028

 

7,141

 

126

 

(522)

 

(396)

 

6

 

0

Receive

3-Month USD-LIBOR

1.500

Semi-Annual

01/12/2029

 

2,365

 

0

 

135

 

135

 

0

 

(3)

Pay

 

3-Month USD-LIBOR

1.700

Semi-Annual

01/12/2029

 

8,600

 

(33)

 

(346)

 

(379)

 

10

 

0

Pay

 

3-Month USD-LIBOR

3.000

Semi-Annual

06/19/2029

 

65,000

 

5,159

 

(2,129)

 

3,030

 

216

 

0

Pay

 

3-Month USD-LIBOR

1.500

Semi-Annual

12/18/2029

 

4,500

 

(68)

 

(214)

 

(282)

 

7

 

0

Receive

3-Month USD-LIBOR

1.000

Semi-Annual

12/16/2030

 

4,805

 

28

 

501

 

529

 

0

 

(12)

Receive

3-Month USD-LIBOR

1.750

Semi-Annual

12/15/2031

 

12,200

 

(187)

 

811

 

624

 

0

 

(34)

Receive

3-Month USD-LIBOR

1.350

Semi-Annual

02/03/2032

 

60,700

 

(455)

 

5,816

 

5,361

 

0

 

(269)

Receive

3-Month USD-LIBOR

2.000

Semi-Annual

01/15/2050

 

4,400

 

(32)

 

299

 

267

 

0

 

(39)

Receive

3-Month USD-LIBOR

1.750

Semi-Annual

01/22/2050

 

4,100

 

(10)

 

476

 

466

 

0

 

(34)

Receive

3-Month USD-LIBOR

1.875

Semi-Annual

02/07/2050

 

1,400

 

(5)

 

128

 

123

 

0

 

(12)

Receive

3-Month USD-LIBOR

1.150

Semi-Annual

12/11/2050

 

17,500

 

36

 

4,154

 

4,190

 

0

 

(184)

Receive

3-Month USD-LIBOR

1.250

Semi-Annual

12/16/2050

 

9,000

 

909

 

1,085

 

1,994

 

0

 

(63)

Receive

3-Month USD-LIBOR

1.450

Semi-Annual

04/07/2051

 

3,500

 

0

 

598

 

598

 

0

 

(31)

Pay

 

3-Month USD-LIBOR

1.650

Semi-Annual

04/08/2051

 

2,100

 

0

 

(266)

 

(266)

 

19

 

0

Pay

 

3-Month ZAR-JIBAR

5.873

Quarterly

05/12/2026

ZAR

149,000

 

(3)

 

(286)

 

(289)

 

53

 

0

Pay

 

6-Month CZK-PRIBOR

1.800

Annual

05/17/2026

CZK

146,800

 

0

 

(658)

 

(658)

 

1

 

0

Receive

 

6-Month EUR-EURIBOR

0.260

Annual

09/06/2024

EUR

15,100

 

2

 

131

 

133

 

0

 

(13)

Receive

6-Month EUR-EURIBOR

0.500

Annual

09/21/2052

 

3,500

 

303

 

227

 

530

 

0

 

(35)

Pay

 

6-Month HUF-BBR

2.121

Annual

05/17/2026

HUF

2,037,400

 

0

 

(910)

 

(910)

 

24

 

0

Pay

 

28-Day MXN-TIIE

4.550

Lunar

02/27/2023

MXN

59,400

 

7

 

(104)

 

(97)

 

1

 

0

Pay

 

28-Day MXN-TIIE

4.500

Lunar

03/03/2023

 

39,200

 

(1)

 

(67)

 

(68)

 

1

 

0

Receive

28-Day MXN-TIIE

8.320

Lunar

03/30/2023

 

99,300

 

0

 

(3)

 

(3)

 

0

 

(3)

 

 

 

 

 

 

$

9,285

$

16,355

$

25,640

$

545

$

(1,350)

Total Swap Agreements

$

9,195

$

16,402

$

25,597

$

545

$

(1,355)

(o)

Securities with an aggregate market value of $4,421 and cash of $8,633 have been pledged as collateral for exchange-traded and centrally cleared financial derivative instruments as of March 31, 2022.

(1)

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

(2)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on issues as of period end serve as indicators of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(3)

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

(4)

The prices and resulting values for credit default swap agreements serve as indicators of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the underlying referenced instrument's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(5)

This instrument has a forward starting effective date.

(p)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

FORWARD FOREIGN CURRENCY CONTRACTS:

 

Unrealized Appreciation/(Depreciation)

Counterparty

Settlement
Month

 

Currency to
be Delivered

 

Currency to
be Received

 

Asset

 

Liability

BOA

04/2022

GBP

511

$

666

$

0

$

(6)

 

04/2022

HUF

121,595

 

352

 

0

 

(14)

 

04/2022

$

553

EUR

502

 

2

 

0

 

04/2022

 

6

HUF

2,231

 

0

 

0

 

06/2022

PEN

705

$

169

 

0

 

(21)

 

07/2022

$

205

PEN

825

 

17

 

0

BPS

04/2022

CAD

442

$

349

 

0

 

(5)

 

04/2022

EUR

2,547

 

2,761

 

0

 

(56)

 

04/2022

HUF

138,085

 

401

 

0

 

(14)

 

04/2022

$

560

EUR

501

 

0

 

(5)

 

04/2022

 

245

GBP

185

 

0

 

(2)

 

05/2022

ZAR

673

$

43

 

0

 

(3)

 

06/2022

 

1,185

 

76

 

0

 

(4)

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

 

08/2022

MXN

2,567

 

117

 

0

 

(9)

 

08/2022

ZAR

1,062

 

67

 

0

 

(5)

 

11/2022

 

961

 

60

 

0

 

(5)

BRC

04/2022

$

550

GBP

414

 

0

 

(6)

 

11/2022

ZAR

697

$

43

 

0

 

(3)

CBK

04/2022

BRL

4,474

 

944

 

5

 

0

 

04/2022

PEN

562

 

140

 

0

 

(13)

 

04/2022

$

855

BRL

4,474

 

85

 

0

 

04/2022

 

151

PEN

562

 

2

 

0

 

05/2022

MXN

740

$

36

 

0

 

(1)

 

05/2022

$

175

PEN

715

 

19

 

0

 

06/2022

CZK

7,446

$

325

 

0

 

(10)

 

06/2022

$

185

PEN

705

 

5

 

0

 

08/2022

PEN

12,084

$

3,202

 

0

 

(45)

 

11/2022

$

110

PEN

435

 

6

 

0

 

12/2022

PEN

705

$

182

 

0

 

(5)

 

12/2022

$

886

PEN

3,716

 

101

 

0

 

03/2023

PEN

562

$

145

 

0

 

(3)

GLM

04/2022

BRL

4,474

 

903

 

0

 

(37)

 

04/2022

HUF

108,657

 

302

 

0

 

(24)

 

04/2022

$

944

BRL

4,474

 

0

 

(5)

 

05/2022

 

896

 

4,474

 

36

 

0

 

05/2022

ZAR

1,742

$

110

 

0

 

(9)

 

06/2022

$

77

ZAR

1,185

 

3

 

0

HUS

04/2022

EUR

3,345

$

3,686

 

0

 

(14)

 

04/2022

GBP

608

 

803

 

5

 

(1)

 

04/2022

$

2,216

EUR

2,008

 

5

 

0

 

04/2022

 

1,090

GBP

831

 

2

 

0

 

05/2022

 

133

EUR

120

 

0

 

0

IND

04/2022

 

24

HUF

7,817

 

0

 

0

JPM

06/2022

CZK

4,740

$

205

 

0

 

(8)

MYI

04/2022

$

18,361

EUR

16,489

 

0

 

(120)

 

05/2022

EUR

16,489

$

18,377

 

121

 

0

RYL

08/2022

$

114

ZAR

1,884

 

13

 

0

SCX

04/2022

EUR

13,608

$

15,304

 

250

 

0

 

04/2022

GBP

4,974

 

6,676

 

142

 

0

 

05/2022

 

4,663

 

6,138

 

14

 

0

 

11/2022

PEN

140

 

34

 

0

 

(3)

SOG

05/2022

$

108

ZAR

1,649

 

5

 

0

 

06/2022

CZK

6,722

$

282

 

0

 

(20)

Total Forward Foreign Currency Contracts

$

838

$

(476)

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2022 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2022

Investments in Securities, at Value

Loan Participations and Assignments

$

0

$

50,798

$

2,350

$

53,148

 

Corporate Bonds & Notes

 

Banking & Finance

 

0

 

35,828

 

3,042

 

38,870

 

 

Industrials

 

0

 

92,892

 

16,524

 

109,416

 

 

Utilities

 

0

 

19,659

 

0

 

19,659

 

Convertible Bonds & Notes

 

Banking & Finance

 

0

 

668

 

0

 

668

 

Municipal Bonds & Notes

 

California

 

0

 

1,978

 

0

 

1,978

 

 

Illinois

 

0

 

131

 

0

 

131

 

 

Puerto Rico

 

0

 

681

 

0

 

681

 

 

West Virginia

 

0

 

2,463

 

0

 

2,463

 

U.S. Government Agencies

 

0

 

299,906

 

0

 

299,906

 

Non-Agency Mortgage-Backed Securities

 

0

 

61,164

 

0

 

61,164

 

Asset-Backed Securities

 

0

 

13,199

 

8,720

 

21,919

 

Sovereign Issues

 

0

 

16,653

 

0

 

16,653

 

Common Stocks

 

Communication Services

 

2,299

 

0

 

901

 

3,200

 

 

Energy

 

683

 

0

 

6

 

689

 

 

Financials

 

0

 

0

 

3,009

 

3,009

 

 

Industrials

 

0

 

59

 

5,094

 

5,153

 

Rights

 

Financials

 

0

 

0

 

99

 

99

 

Warrants

 

Financials

 

0

 

0

 

3

 

3

 

 

Information Technology

 

0

 

0

 

683

 

683

 

Preferred Securities

 

Financials

 

0

 

17,540

 

0

 

17,540

 

 

Industrials

 

0

 

134

 

0

 

134

 

Real Estate Investment Trusts

 

Real Estate

 

2,337

 

0

 

0

 

2,337

 

Short-Term Instruments

 

Repurchase Agreements

 

0

 

6,536

 

0

 

6,536

 

 

Short-Term Notes

 

0

 

178

 

0

 

178

 

 

U.S. Treasury Bills

 

0

 

27,376

 

0

 

27,376

 

 

U.S. Treasury Cash Management Bills

 

0

 

5,387

 

0

 

5,387

 

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

Total Investments

$

5,319

$

653,230

$

40,431

$

698,980

 

Short Sales, at Value - Liabilities

U.S. Government Agencies

$

0

$

(10,862)

$

0

$

(10,862)

 

Financial Derivative Instruments - Assets

Exchange-traded or centrally cleared

 

0

 

545

 

0

 

545

 

Over the counter

 

0

 

838

 

0

 

838

 

 

$

0

$

1,383

$

0

$

1,383

 

Financial Derivative Instruments - Liabilities

Exchange-traded or centrally cleared

 

0

 

(1,355)

 

0

 

(1,355)

 

Over the counter

 

0

 

(476)

 

0

 

(476)

 

 

$

0

$

(1,831)

$

0

$

(1,831)

 

Total Financial Derivative Instruments

$

0

$

(448)

$

0

$

(448)

 

Totals

$

5,319

$

641,920

$

40,431

$

687,670

 

 

 

 

The following is a reconciliation of the fair valuations using significant unobservable inputs (Level 3) for the Fund during the period ended March 31, 2022:

Category and Subcategory

Beginning
Balance
at 06/30/2021

Net
Purchases

Net
Sales/Settlements

Accrued
Discounts/
(Premiums)

Realized
Gain/(Loss)

Net Change in
Unrealized
Appreciation/
(Depreciation)
(1)

Transfers into
Level 3

Transfers out
of Level 3

Ending
Balance
at 03/31/2022

Net Change in
Unrealized
Appreciation/
(Depreciation)
on Investments
Held at
03/31/2022
(1)

Investments in Securities, at Value

Loan Participations and Assignments

$

2,996

$

2,367

$

(252)

$

3

$

(72)

$

(99)

$

0

$

(2,593)

$

2,350

$

(1)

Corporate Bonds & Notes

 

Banking & Finance

 

3,320

 

0

 

0

 

0

 

0

 

(278)

 

0

 

0

 

3,042

 

(278)

 

Industrials

 

0

 

11,030

 

(167)

 

(1)

 

0

 

127

 

5,535

 

0

 

16,524

 

127

Asset-Backed Securities

 

5,781

 

4,206

 

0

 

0

 

0

 

(1,266)

 

0

 

0

 

8,721

 

(1,266)

Common Stocks

 

Affiliated Investments

 

3,630

 

0

 

0

 

0

 

0

 

1,464

 

0

 

0

 

5,094

 

1,464

 

Communication Services

 

1,281

 

0

 

0

 

0

 

0

 

(380)

 

0

 

0

 

901

 

(381)

 

Energy

 

0

 

6

 

0

 

0

 

0

 

0

 

0

 

0

 

6

 

0

 

Financials

 

0

 

6,774

 

0

 

0

 

0

 

(3,765)

 

0

 

0

 

3,009

 

(3,765)

 

Materials

 

2,817

 

0

 

(2,739)

 

0

 

212

 

(290)

 

0

 

0

 

0

 

0

Rights

 

Financials

 

0

 

0

 

0

 

0

 

0

 

100

 

0

 

0

 

100

 

100

Warrants

 

Financials

 

0

 

2,726

 

0

 

0

 

(65)

 

(2,658)

 

0

 

0

 

3

 

(2,658)

 

Information Technology

 

626

 

0

 

0

 

0

 

0

 

56

 

0

 

0

 

682

 

57

Totals

$

20,451

$

27,109

$

(3,158)

$

2

$

75

$

(6,989)

$

5,535

$

(2,593)

$

40,432

$

(6,601)


The following is a summary of significant unobservable inputs used in the fair valuations of assets and liabilities categorized within Level 3 of the fair value hierarchy:

 

(% Unless Noted Otherwise)

 

Category and Subcategory

Ending
Balance
at 03/31/2022

Valuation Technique

Unobservable Inputs

 

Input Value(s)

Weighted Average%

Investments in Securities, at Value

Loan Participations and Assignments

$

1,862

Recent Transaction

Purchase Price

 

100.000

 

 

488

Third Party Vendor

Broker Quote

 

62.500 - 100.250

Corporate Bonds & Notes

 

Banking & Finance

 

3,042

Discounted Cash Flow

Discount Rate

 

5.760

 

Industrials

 

11,156

Discounted Cash Flow

Discount Rate

 

9.037

 

 

 

5,368

Reference Instrument

Weighted Average

 

BRL52.705

Asset-Backed Securities

 

1,344

Discounted Cash Flow

Discount Rate

 

8.000

 

 

7,376

Proxy Pricing

Base Price

 

6,724.141 - 56,864.1

Common Stocks

 

Affiliated Investments

 

5,094

Discounted Cash Flow

Discount Rate

 

11.500

 

Communication Services

 

901

Stock Price w/Liquidity Discount

Liquidity Discount

 

10.000

 

Energy

 

6

Other Valuation Techniques(2)

-

 

-

 

Financials

 

3,009

Other Valuation Techniques(2)

-

 

-

Rights

 

Financials

 

100

Other Valuation Techniques(2)

-

 

-

Warrants

 

Financials

 

3

Other Valuation Techniques(2)

-

 

-

 

Information Technology

 

683

Comparable Companies/Discounted Cash Flow

EBITDA Multiple

 

X5.590

Schedule of Investments PIMCO Strategic Income Fund, Inc. (Cont.)

March 31, 2022

(Unaudited)

 

Total

$

40,432

(2)

Any difference between Net Change in Unrealized Appreciation/(Depreciation) and Net Change in Unrealized Appreciation/(Depreciation) on Investments Held at March 31, 2022 may be due to an investment no longer held or categorized as Level 3 at period end.

(2)

Includes valuation techniques not defined in the Notes to Financial Statements as securities valued using such techniques are not considered significant to the Fund.

 

 

 

Notes to Financial Statements 

 

1. INVESTMENT VALUATION AND FAIR VALUE MEASUREMENTS

(a) Investment Valuation Policies The net asset value (“NAV”) of the Fund’s shares is determined by dividing the total value of portfolio investments and other assets, less any liabilities, attributable to the Fund by the total number of shares outstanding of the Fund.

 

On each day that the New York Stock Exchange (“NYSE”) is open, Fund shares are ordinarily valued as of the close of regular trading (normally 4:00 p.m., Eastern time) (“NYSE Close”). Information that becomes known to the Fund or its agents after the time as of which NAV has been calculated on a particular day will not generally be used to retroactively adjust the price of a security or the NAV determined earlier that day. If regular trading on the NYSE closes earlier than scheduled, the Fund reserves the right to either (i) calculate its NAV as of the earlier closing time or (ii) calculate its NAV as of the normally scheduled close of regular trading on the NYSE for that day. The Fund generally does not calculate its NAV on days during which the NYSE is closed. However, if the NYSE is closed on a day it would normally be open for business, the Fund reserves the right to calculate its NAV as of the normally scheduled close of regular trading on the NYSE for that day or such other time that the Fund may determine.

 

For purposes of calculating NAV, portfolio securities and other assets for which market quotes are readily available are valued at market value. Market value is generally determined on the basis of official closing prices or the last reported sales prices, or if no sales are reported, based on quotes obtained from established market makers or prices (including evaluated prices) supplied by the Fund's approved pricing services, quotation reporting systems and other third-party sources (together, “Pricing Services”). The Fund will normally use pricing data for domestic equity securities received shortly after the NYSE Close and does not normally take into account trading, clearances or settlements that take place after the NYSE Close. If market value pricing is used, a foreign (non-U.S.) equity security traded on a foreign exchange or on more than one exchange is typically valued using pricing information from the exchange considered by Pacific Investment Management Company LLC (“PIMCO” or the “Manager”) to be the primary exchange. A foreign (non-U.S.) equity security will be valued as of the close of trading on the foreign exchange, or the NYSE Close, if the NYSE Close occurs before the end of trading on the foreign exchange. Domestic and foreign (non-U.S.) fixed income securities, non-exchange traded derivatives, and equity options are normally valued on the basis of quotes obtained from brokers and dealers or Pricing Services using such data reflecting the principal markets for those securities. Prices obtained from Pricing Services may be based on, among other things, information provided by market makers or estimates of market values obtained from yield data relating to investments or securities with similar characteristics. Certain fixed income securities purchased on a delayed-delivery basis are marked to market daily until settlement at the forward settlement date. Exchange-traded options, except equity options, futures and options on futures are valued at the settlement price determined by the relevant exchange, quotes obtained from a quotation reporting system, established market makers or pricing services. Swap agreements are valued on the basis of market-based prices supplied by Pricing Services or quotes obtained from brokers and dealers. The Fund's investments in open-end management investment companies, other than exchange-traded funds (“ETFs”), are valued at the NAVs of such investments.

 

If a foreign (non-U.S.) equity security’s value has materially changed after the close of the security’s primary exchange or principal market but before the NYSE Close, the security may be valued at fair value based on procedures established and approved by the Board of Trustees (the “Board”). Foreign (non-U.S.) equity securities that do not trade when the NYSE is open are also valued at fair value. With respect to foreign (non-U.S.) equity securities, the Fund may determine the fair value of investments based on information provided by Pricing Services and other third-party vendors, which may recommend fair value or adjustments with reference to other securities, indices or assets. In considering whether fair valuation is required and in determining fair values, the Fund may, among other things, consider significant events (which may be considered to include changes in the value of U.S. securities or securities indices) that occur after the close of the relevant market and before the NYSE Close. The Fund may utilize modeling tools provided by third-party vendors to determine fair values of foreign (non-U.S.) securities. For these purposes, any movement in the applicable reference index or instrument (“zero trigger”) between the earlier close of the applicable foreign market and the NYSE Close may be deemed to be a significant event, prompting the application of the pricing model (effectively resulting in daily fair valuations). Foreign exchanges may permit trading in foreign (non-U.S.) equity securities on days when the Fund is not open for business, which may result in the Fund's portfolio investments being affected when shareholders are unable to buy or sell shares.

 

Senior secured floating rate loans for which an active secondary market exists to a reliable degree are valued at the mean of the last available bid/ask prices in the market for such loans, as provided by a Pricing Service. Senior secured floating rate loans for which an active secondary market does not exist to a reliable degree are valued at fair value, which is intended to approximate market value. In valuing a senior secured floating rate loan at fair value, the factors considered may include, but are not limited to, the following: (a) the creditworthiness of the borrower and any intermediate participants, (b) the terms of the loan, (c) recent prices in the market for similar loans, if any, and (d) recent prices in the market for instruments of similar quality, rate, period until next interest rate reset and maturity.

 

Investments valued in currencies other than the U.S. dollar are converted to the U.S. dollar using exchange rates obtained from Pricing Services. As a result, the value of such investments and, in turn, the NAV of the Fund's shares may be affected by changes in the value of currencies in relation to the U.S. dollar. The value of investments traded in markets outside the United States or denominated in currencies other than the U.S. dollar may be affected significantly on a day that the Fund is not open for business. As a result, to the extent that the Fund holds foreign (non-U.S.) investments, the value of those investments may change at times when shareholders are unable to buy or sell shares and the value of such investments will be reflected in the Fund's next calculated NAV.

 

Investments for which market quotes or market based valuations are not readily available are valued at fair value as determined in good faith by the Board or persons acting at their direction. The Board has adopted methods for valuing securities and other assets in circumstances where market quotes are not readily available, and has delegated to PIMCO the responsibility for applying the fair valuation methods. In the event that market quotes or market based valuations are not readily available, and the security or asset cannot be valued pursuant to a Board approved valuation method, the value of the security or asset will be determined in good faith by the Board. Market quotes are considered not readily available in circumstances where there is an absence of current or reliable market-based data (e.g., trade information, bid/ask information, indicative market quotations (“Broker Quotes”), Pricing Services’ prices), including where events occur after the close of the relevant market, but prior to the NYSE Close, that materially affect the values of the Fund's securities or assets. In addition, market quotes are considered not readily available when, due to extraordinary circumstances, the exchanges or markets on which the securities trade do not open for trading for the entire day and no other market prices are available. The Board has delegated, to the Manager, the responsibility for monitoring significant events that may materially affect the values of the Fund's securities or assets and for determining whether the value of the applicable securities or assets should be reevaluated in light of such significant events.

 

When the Fund uses fair valuation to determine the value of a portfolio security or other asset for purposes of calculating its NAV, such investments will not be priced on the basis of quotes from the primary market in which they are traded, but rather may be priced by another method that the Board or persons acting at their direction believe reflects fair value. Fair valuation may require subjective determinations about the value of a security. While the Fund’s policy is intended to result in a calculation of the Fund’s NAV that fairly reflects security values as of the time of pricing, the Fund cannot ensure that fair values determined by the Board or persons acting at their direction would accurately reflect the price that the Fund could obtain for a security if it were to dispose of that security as of the time of pricing (for instance, in a forced or distressed sale). The prices used by the Fund may differ from the value that would be realized if the securities were sold.

 

 

Notes to Financial Statements (Cont.)

 

(b) Fair Value Hierarchy U.S. GAAP describes fair value as the price that the Fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. It establishes a fair value hierarchy that prioritizes inputs to valuation methods and requires disclosure of the fair value hierarchy, separately for each major category of assets and liabilities, that segregates fair value measurements into levels (Level 1, 2, or 3). The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Levels 1, 2, and 3 of the fair value hierarchy are defined as follows:

 

• Level 1 — Quoted prices in active markets or exchanges for identical assets and liabilities.

 

• Level 2 — Significant other observable inputs, which may include, but are not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market corroborated inputs.

 

• Level 3 — Significant unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available, which may include assumptions made by the Board or persons acting at their direction that are used in determining the fair value of investments.

 

Assets or liabilities categorized as Level 2 or 3 as of period end have been transferred between Levels 2 and 3 since the prior period due to changes in the method utilized in valuing the investments. Transfers from Level 2 to Level 3 are a result of a change, in the normal course of business, from the use of methods used by Pricing Services (Level 2) to the use of a Broker Quote or valuation technique which utilizes significant unobservable inputs due to an absence of current or reliable market-based data (Level 3). Transfers from Level 3 to Level 2 are a result of the availability of current and reliable market-based data provided by Pricing Services or other valuation techniques which utilize significant observable inputs. In accordance with the requirements of U.S. GAAP, the amounts of transfers into and out of Level 3, if material, are disclosed in the Notes to Schedule of Investments for the Fund.

 

For fair valuations using significant unobservable inputs, U.S. GAAP requires a reconciliation of the beginning to ending balances for reported fair values that presents changes attributable to realized gain (loss), unrealized appreciation (depreciation), purchases and sales, accrued discounts (premiums), and transfers into and out of the Level 3 category during the period. The end of period value is used for the transfers between Levels of the Fund's assets and liabilities. Additionally, U.S. GAAP requires quantitative information regarding the significant unobservable inputs used in the determination of fair value of assets or liabilities categorized as Level 3 in the fair value hierarchy. In accordance with the requirements of U.S. GAAP, a fair value hierarchy, and if material, a Level 3 reconciliation and details of significant unobservable inputs, have been included in the Notes to Schedule of Investments for the Fund.

 

(c) Valuation Techniques and the Fair Value Hierarchy

Level 1, Level 2 and Level 3 trading assets and trading liabilities, at fair value The valuation methods (or “techniques”) and significant inputs used in determining the fair values of portfolio securities or other assets and liabilities categorized as Level 1, Level 2 and Level 3 of the fair value hierarchy are as follows:

 

Fixed income securities including corporate, convertible and municipal bonds and notes, U.S. government agencies, U.S. treasury obligations, sovereign issues, bank loans, convertible preferred securities and non-U.S. bonds are normally valued on the basis of quotes obtained from brokers and dealers or Pricing Services that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. The Pricing Services' internal models use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar assets. Securities that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Fixed income securities purchased on a delayed-delivery basis or as a repurchase commitment in a sale-buyback transaction are marked to market daily until settlement at the forward settlement date and are categorized as Level 2 of the fair value hierarchy.

 

Mortgage-related and asset-backed securities are usually issued as separate tranches, or classes, of securities within each deal. These securities are also normally valued by Pricing Services that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. The pricing models for these securities usually consider tranche-level attributes, current market data, estimated cash flows and market-based yield spreads for each tranche, and incorporate deal collateral performance, as available. Mortgage-related and asset-backed securities that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Common stocks, ETFs, exchange-traded notes and financial derivative instruments, such as futures contracts, rights and warrants, or options on futures that are traded on a national securities exchange, are stated at the last reported sale or settlement price on the day of valuation. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized as Level 1 of the fair value hierarchy.

 

Valuation adjustments may be applied to certain securities that are solely traded on a foreign exchange to account for the market movement between the close of the foreign market and the NYSE Close. These securities are valued using Pricing Services that consider the correlation of the trading patterns of the foreign security to the intraday trading in the U.S. markets for investments. Securities using these valuation adjustments are categorized as Level 2 of the fair value hierarchy. Preferred securities and other equities traded on inactive markets or valued by reference to similar instruments are also categorized as Level 2 of the fair value hierarchy.

 

Valuation adjustments may be applied to certain exchange traded futures and options to account for market movement between the exchange settlement and the NYSE close. These securities are valued using quotes obtained from a quotation reporting system, established market makers or pricing services. Financial derivatives using these valuation adjustments are categorized as Level 2 of the fair value hierarchy.

 

Equity exchange-traded options and over the counter financial derivative instruments, such as forward foreign currency contracts and options contracts derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These contracts are normally valued on the basis of quotes obtained from a quotation reporting system, established market makers or Pricing Services (normally determined as of the NYSE Close). Depending on the product and the terms of the transaction, financial derivative instruments can be valued by Pricing Services using a series of techniques, including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as quoted prices, issuer details, indices, bid/ask spreads, interest rates, implied volatilities, yield curves, dividends and exchange rates. Financial derivative instruments that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Notes to Financial Statements (Cont.)

 

 

Centrally cleared swaps and over the counter swaps derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. They are valued using a broker-dealer bid quotation or on market-based prices provided by Pricing Services (normally determined as of the NYSE Close). Centrally cleared swaps and over the counter swaps can be valued by Pricing Services using a series of techniques, including simulation pricing models. The pricing models may use inputs that are observed from actively quoted markets such as the overnight index swap rate, London Interbank Offered Rate forward rate, interest rates, yield curves and credit spreads. These securities are categorized as Level 2 of the fair value hierarchy.

 

When a fair valuation method is applied by PIMCO that uses significant unobservable inputs, investments will be priced by a method that the Board or persons acting at their direction believe reflects fair value and are categorized as Level 3 of the fair value hierarchy.

 

Proxy pricing procedures set the base price of a fixed income security and subsequently adjust the price proportionally to market value changes of a pre-determined security deemed to be comparable in duration, generally a U.S. Treasury or sovereign note based on country of issuance. The base price may be a broker-dealer quote, transaction price, or an internal value as derived by analysis of market data. The base price of the security may be reset on a periodic basis based on the availability of market data and procedures approved by the Valuation Oversight Committee. Significant changes in the unobservable inputs of the proxy pricing process (the base price) would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

If third-party evaluated vendor pricing is not available or not deemed to be indicative of fair value, the Manager may elect to obtain Broker Quotes directly from the broker-dealer or passed through from a third-party vendor. In the event that fair value is based upon a single sourced Broker Quote, these securities are categorized as Level 3 of the fair value hierarchy. Broker Quotes are typically received from established market participants. Although independently received, the Manager does not have the transparency to view the underlying inputs which support the market quotation. Significant changes in the Broker Quote would have direct and proportional changes in the fair value of the security.

 

Reference instrument valuation estimates fair value by utilizing the correlation of the security to one or more broad-based securities, market indices, and/or other financial instruments, whose pricing information is readily available. Unobservable inputs may include those used in algorithm based on percentage change in the reference instruments and/or weights of each reference instrument. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 2 or Level 3 of the fair value hierarchy depending on the source or input of the reference instrument.

 

The Discounted Cash Flow model is based on future cash flows generated by the investment and may be normalized based on expected investment performance. Future cash flows are discounted to present value using an appropriate rate of return, typically calibrated to the initial transaction date and adjusted based on Capital Asset Pricing Model and/or other market-based inputs. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

The Comparable Companies model is based on application of valuation multiples from publicly traded comparable companies to the financials of the subject company. Adjustments may be made to the market-derived valuation multiples based on differences between the comparable companies and the subject company. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

Securities may be valued based on purchase prices of privately negotiated transactions. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

Short-term debt instruments (such as commercial paper) having a remaining maturity of 60 days or less may be valued at amortized cost, so long as the amortized cost value of such short-term debt instruments is approximately the same as the fair value of the instrument as determined without the use of amortized cost valuation. These securities are categorized as Level 2 or Level 3 of the fair value hierarchy depending on the source of the base price.

 

2. FEDERAL INCOME TAX MATTERS

The Fund intends to qualify as a regulated investment company under Subchapter M of the Internal Revenue Code (the “Code”) and distribute all of its taxable income and net realized gains, if applicable, to shareholders. Accordingly, no provision for Federal income taxes has been made.

 

The Fund may be subject to local withholding taxes, including those imposed on realized capital gains. Any applicable foreign capital gains tax is accrued daily based upon net unrealized gains, and may be payable following the sale of any applicable investments.

 

In accordance with U.S. GAAP, the Manager has reviewed the Fund's tax positions for all open tax years. As of March 31, 2022, the Fund has recorded no liability for net unrecognized tax benefits relating to uncertain income tax positions it has taken or expects to take in future tax returns.

 

The Fund files U.S. federal, state, and local tax returns as required. The Fund's tax returns are subject to examination by relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return but which can be extended to six years in certain circumstances. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

 

Glossary: (abbreviations that may be used in the preceding statements) (Unaudited)
 
Counterparty Abbreviations:
BCY Barclays Capital, Inc. FICC Fixed Income Clearing Corporation NOM Nomura Securities International Inc.
BOA Bank of America N.A. GLM Goldman Sachs Bank USA RDR RBC Capital Markets LLC
BOM Bank of Montreal HUS HSBC Bank USA N.A. RYL NatWest Markets Plc
BOS BofA Securities, Inc. IND Crédit Agricole Corporate and Investment Bank
S.A.
SCX Standard Chartered Bank, London
BPS BNP Paribas S.A. JML JP Morgan Securities Plc SGY Societe Generale, NY
BRC Barclays Bank PLC JPM JP Morgan Chase Bank N.A. SOG Societe Generale Paris
CBK Citibank N.A. JPS J.P. Morgan Securities LLC TDM TD Securities (USA) LLC
CEW Canadian Imperial Bank of Commerce MEI Merrill Lynch International UBS UBS Securities LLC
CIB Canadian Imperial Bank of Commerce MYI Morgan Stanley & Co. International PLC
 
Currency Abbreviations:
ARS Argentine Peso EUR Euro PEN Peruvian New Sol
BRL Brazilian Real GBP British Pound USD (or $) United States Dollar
CAD Canadian Dollar HUF Hungarian Forint ZAR South African Rand
CZK Czech Koruna MXN Mexican Peso
 
Index/Spread Abbreviations:
EUR003M 3 Month EUR Swap Rate SOFR Secured Overnight Financing Rate US0003M ICE 3-Month USD LIBOR
LIBOR03M 3 Month USD-LIBOR SONIO Sterling Overnight Interbank Average Rate
 
Municipal Bond or Agency Abbreviations:
ACA American Capital Access Holding Ltd.
 
Other Abbreviations:
ALT Alternate Loan Trust EURIBOR Euro Interbank Offered Rate REMIC Real Estate Mortgage Investment Conduit
BABs Build America Bonds JIBAR Johannesburg Interbank Agreed Rate TBA To-Be-Announced
BBR Bank Bill Rate LIBOR London Interbank Offered Rate TBD To-Be-Determined
CDI Brazil Interbank Deposit Rate Lunar Monthly payment based on 28-day periods.  One year consists of 13 periods. TBD% Interest rate to be determined when loan settles or at the time of funding
CLO Collateralized Loan Obligation OIS Overnight Index Swap TIIE Tasa de Interés Interbancaria de Equilibrio "Equilibrium Interbank Interest Rate"
DAC Designated Activity Company PIK Payment-in-Kind
EBITDA Earnings before Interest, Taxes, Depreciation and Amoritization PRIBOR Prague Interbank Offered Rate