Corporate Restricted Securities - 91.99%: (A)
|
Principal Amount,
Shares, Units or |
Acquisition
Date |
Cost
|
Fair Value
|
||||||||||||
Private Placement Investments - 79.31%
|
||||||||||||||||
1492 Acquisition LLC
|
||||||||||||||||
A leading producer of premium Italian cured meats and deli meats in the U.S.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 2,779,614 |
10/17/12
|
$ | 2,729,744 | $ | 2,785,229 | |||||||||
Limited Liability Company Unit Class A Common (B)
|
27,273 uts.
|
10/17/12
|
27,273 | 94,861 | ||||||||||||
Limited Liability Company Unit Class A Preferred (B)
|
245 uts.
|
10/17/12
|
245,450 | 259,679 | ||||||||||||
3,002,467 | 3,139,769 | |||||||||||||||
A E Company, Inc.
|
||||||||||||||||
A designer and manufacturer of machined parts and assembly structures for the commercial and military aerospace industries.
|
||||||||||||||||
Common Stock (B)
|
323,077 shs.
|
11/10/09
|
323,077 | 493,455 | ||||||||||||
Warrant, exercisable until 2019, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
161,538 shs.
|
11/10/09
|
119,991 | 246,727 | ||||||||||||
443,068 | 740,182 | |||||||||||||||
A H C Holding Company, Inc.
|
||||||||||||||||
A designer and manufacturer of boilers and water heaters for the commercial sector.
|
||||||||||||||||
Limited Partnership Interest (B)
|
23.16% int.
|
11/21/07
|
224,795 | 372,010 | ||||||||||||
A S C Group, Inc. | ||||||||||||||||
A designer and manufacturer of high reliability encryption equipment, communications products, computing systems and electronic components primarily for the military and aerospace sectors. | ||||||||||||||||
Limited Liability Company Unit Class A (B)
|
4,128 uts.
|
* | 147,972 | 279,962 | ||||||||||||
Limited Liability Company Unit Class B (B)
|
2,793 uts.
|
10/09/09
|
100,114 | 189,422 | ||||||||||||
* 10/09/09 and 10/27/10.
|
248,086 | 469,384 |
10.5% Senior Secured Term Note due 2014 (D)
|
$ | 735,000 |
05/15/08
|
724,402 | 367,500 | |||||||||||
13% Senior Subordinated Note due 2015 (D)
|
$ | 735,000 |
05/15/08
|
673,096 | — | |||||||||||
Common Stock (B)
|
105,000 shs.
|
05/15/08
|
105,000 | — | ||||||||||||
Warrant, exercisable until 2015, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
36,923 shs.
|
05/15/08
|
62,395 | — | ||||||||||||
1,564,893 | 367,500 | |||||||||||||||
ABC Industries, Inc.
|
||||||||||||||||
A manufacturer of mine and tunneling ventilation products in the U.S. | ||||||||||||||||
13% Senior Subordinated Note due 2019
|
$ | 1,200,000 |
08/01/12
|
1,087,040 | 1,188,423 | |||||||||||
Preferred Stock Series A (B)
|
300,000 shs.
|
08/01/12
|
300,000 | 300,000 | ||||||||||||
Warrant, exercisable until 2022, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
53,794 shs.
|
08/01/12
|
101,870 | 53,794 | ||||||||||||
1,488,910 | 1,542,217 |
Corporate Restricted Securities: (A) (Continued)
|
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
ACP Cascade Holdings LLC
|
||||||||||||||||
A manufacturer and distributor of vinyl windows and patio doors throughout the northwestern United States.
|
||||||||||||||||
Limited Liability Company Unit Class B (B)
|
64 uts.
|
11/09/12
|
$ | — | $ | — | ||||||||||
Advanced Manufacturing Enterprises LLC
|
||||||||||||||||
A designer and manufacturer of large, custom gearing products for a number of critical customer applications.
|
||||||||||||||||
14% Senior Subordinated Note due 2018
|
$ | 2,723,077 |
12/07/12
|
2,685,960 | 2,545,430 | |||||||||||
Limited Liability Company Unit (B)
|
3,434 uts.
|
12/07/12
|
343,385 | 233,962 | ||||||||||||
3,029,345 | 2,779,392 | |||||||||||||||
Advanced Technologies Holdings
|
||||||||||||||||
A provider of factory maintenance services to industrial companies.
|
||||||||||||||||
Preferred Stock Series A (B)
|
796 shs.
|
12/27/07
|
393,754 | 1,712,104 | ||||||||||||
Convertible Preferred Stock Series B (B)
|
52 shs.
|
01/04/11
|
40,800 | 112,943 | ||||||||||||
434,554 | 1,825,047 | |||||||||||||||
All Current Holding Company
|
A specialty re-seller of essential electrical parts and components primarily serving wholesale distributors.
|
||||||||||||||||
Common Stock (B)
|
1,347 shs.
|
09/26/08
|
134,683 | 265,873 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
958 shs.
|
09/26/08
|
87,993 | 189,092 | ||||||||||||
222,676 | 454,965 | |||||||||||||||
American Hospice Management Holding LLC
|
||||||||||||||||
A for-profit hospice care provider in the United States.
|
||||||||||||||||
12% Senior Subordinated Note due 2013
|
$ | 2,337,496 | * | 2,329,989 | 2,337,496 | |||||||||||
Preferred Class A Unit (B)
|
3,223 uts.
|
** | 322,300 | 510,756 | ||||||||||||
Preferred Class B Unit (B)
|
1,526 uts.
|
06/09/08
|
152,626 | 349,454 | ||||||||||||
Common Class B Unit (B)
|
30,420 uts.
|
01/22/04
|
1 | — | ||||||||||||
Common Class D Unit (B)
|
6,980 uts.
|
09/12/06
|
1 | — | ||||||||||||
* 01/22/04 and 06/09/08.
|
2,804,917 | 3,197,706 | ||||||||||||||
** 01/22/04 and 09/12/06.
|
14.25% Senior Subordinated Note due 2019
|
$ | 2,788,463 |
10/04/12
|
2,738,733 | 2,807,476 | |||||||||||
Limited Liability Company Unit Class A Preferred (B)
|
273 uts.
|
10/04/12
|
272,727 | 272,730 | ||||||||||||
3,011,460 | 3,080,206 |
12.5% Senior Subordinated Note due 2017
|
$ | 1,912,500 |
04/28/09
|
1,760,473 | 1,912,500 | |||||||||||
Preferred Stock Series B (B)
|
3,065 shs.
|
04/28/09
|
306,507 | 449,629 | ||||||||||||
Common Stock (B)
|
1,366 shs.
|
04/28/09
|
1,366 | 197,445 | ||||||||||||
2,068,346 | 2,559,574 |
|
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Arch Global Precision LLC | ||||||||||||||||
A leading manufacturer of high tolerance precision components and consumable tools.
|
||||||||||||||||
14.75% Senior Subordinated Note due 2018
|
$ | 2,362,152 |
12/21/11
|
$ | 2,313,145 | $ | 2,354,493 | |||||||||
Limited Liability Company Unit Class B (B)
|
85 uts.
|
12/21/11
|
85,250 | 95,142 | ||||||||||||
Limited Liability Company Unit Class C (B)
|
665 uts.
|
12/21/11
|
664,750 | 741,888 | ||||||||||||
3,063,145 | 3,191,523 | |||||||||||||||
ARI Holding Corporation
|
||||||||||||||||
A leading national supplier of products used primarily by specialty contractors.
|
||||||||||||||||
13.5% Senior Subordinated Note due 2020
|
$ | 2,620,461 |
05/21/13
|
2,569,991 | 2,593,349 | |||||||||||
Preferred Stock (B)
|
58 shs.
|
05/21/13
|
579,208 | 584,348 | ||||||||||||
Common Stock (B)
|
58 shs.
|
05/21/13
|
64,356 | 104,324 | ||||||||||||
3,213,555 | 3,282,021 | |||||||||||||||
Arrow Tru-Line Holdings, Inc
|
A manufacturer of hardware for residential and commercial overhead garage doors in North America.
|
||||||||||||||||
12% Senior Subordinated Note due 2016 (D)
|
$ | 1,473,588 |
05/18/05
|
1,364,577 | 1,473,588 | |||||||||||
Preferred Stock (B)
|
63 shs.
|
10/16/09
|
62,756 | 169,983 | ||||||||||||
Common Stock (B)
|
497 shs.
|
05/18/05
|
497,340 | 10,246 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
130 shs.
|
05/18/05
|
112,128 | 2,686 | ||||||||||||
2,036,801 | 1,656,503 | |||||||||||||||
Baby Jogger Holdings LLC
|
||||||||||||||||
A designer and marketer of premium baby strollers and stroller accessories.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 2,826,634 |
04/20/12
|
2,778,864 | 2,883,167 | |||||||||||
Common Stock (B)
|
2,261 shs.
|
04/20/12
|
226,132 | 389,363 | ||||||||||||
3,004,996 | 3,272,530 | |||||||||||||||
Blue Wave Products, Inc.
|
||||||||||||||||
A distributor of pool supplies.
|
||||||||||||||||
10% Senior Secured Term Note due 2018
|
$ | 714,893 |
10/12/12
|
702,374 | 705,849 | |||||||||||
13% Senior Subordinated Note due 2019
|
$ | 721,869 |
10/12/12
|
673,569 | 709,110 | |||||||||||
Common Stock (B)
|
114,894 shs.
|
10/12/12
|
114,894 | 124,713 | ||||||||||||
Warrant, exercisable until 2022, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
45,486 shs.
|
10/12/12
|
45,486 | 49,373 | ||||||||||||
1,536,323 | 1,589,045 | |||||||||||||||
BP SCI LLC
|
||||||||||||||||
A leading value-added distributor of branded pipes, valves, and fittings (PVF) to diversified end markets.
|
||||||||||||||||
14% Senior Subordinated Note due 2018
|
$ | 2,548,402 |
10/17/12
|
2,503,822 | 2,463,668 | |||||||||||
Limited Liability Company Unit Class A (B)
|
1,000 uts.
|
10/17/12
|
100,000 | 82,014 | ||||||||||||
Limited Liability Company Unit Class B (B)
|
400 uts.
|
10/17/12
|
400,000 | 435,110 | ||||||||||||
3,003,822 | 2,980,792 |
Corporate Restricted Securities: (A) (Continued)
|
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Bravo Sports Holding Corporation
|
||||||||||||||||
A designer and marketer of niche branded consumer products including canopies, trampolines, in-line skates, skateboards, and urethane wheels.
|
||||||||||||||||
12.5% Senior Subordinated Note due 2014
|
$ | 2,281,593 |
06/30/06
|
$ | 2,261,617 | $ | 2,167,513 | |||||||||
Preferred Stock Class A (B)
|
879 shs.
|
06/30/06
|
268,121 | 119,664 | ||||||||||||
Common Stock (B)
|
1 sh.
|
06/30/06
|
286 | — | ||||||||||||
Warrant, exercisable until 2014, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
309 shs.
|
06/30/06
|
92,102 | 42,056 | ||||||||||||
2,622,126 | 2,329,233 |
10.5% Senior Secured Term Note due 2014 | $ | 140,788 |
08/07/08
|
140,287 | 140,788 | |||||||||||
12.5% Senior Subordinated Note due 2015 | $ | 750,872 |
08/07/08
|
724,336 | 750,872 | |||||||||||
Common Stock (B)
|
73,256 shs.
|
08/07/08
|
73,256 | 137,058 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
57,600 shs.
|
08/07/08
|
57,689 | 107,766 | ||||||||||||
995,568 | 1,136,484 |
Common Stock (B) | 109 shs. | * | 503 | 1,230,142 | ||||||||||||
*12/30/97 and 05/29/99. |
13% Senior Subordinated Note due 2019
|
$ | 2,727,273 |
05/09/13
|
2,572,468 | 2,743,442 | |||||||||||
Preferred Stock (B)
|
2,455 shs.
|
05/09/13
|
245,454 | 242,234 | ||||||||||||
Preferred Stock-OID (B)
|
965 shs.
|
05/09/13
|
96,496 | 95,242 | ||||||||||||
Common Stock (B)
|
253 shs.
|
05/09/13
|
27,273 | 16,882 | ||||||||||||
Warrant, exercisable until 2023, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
114 shs.
|
05/09/13
|
10,736 | 7,615 | ||||||||||||
2,952,427 | 3,105,415 |
13.5% Senior Subordinated Note due 2018
|
$ | 2,226,881 |
01/19/11
|
2,133,210 | 2,271,418 | |||||||||||
14% Senior Subordinated Note due 2019
|
$ | 575,843 |
08/03/12
|
565,790 | 577,893 | |||||||||||
Common Stock (B)
|
1,125 shs.
|
01/19/11
|
112,500 | 141,748 | ||||||||||||
Warrant, exercisable until 2021, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
884 shs.
|
01/19/11
|
87,750 | 111,422 | ||||||||||||
2,899,250 | 3,102,481 |
Corporate Restricted Securities: (A) (Continued)
|
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fare Value | ||||||||||||
Church Services Holding Company | ||||||||||||||||
A provider of diversified residential services to homeowners in the Houston, Dallas, and Austin markets.
|
||||||||||||||||
14.5% Senior Subordinated Note due 2018
|
$ | 1,236,726 |
03/26/12
|
$ | 1,202,900 | $ | 1,229,501 | |||||||||
Common Stock (B)
|
3,981 shs.
|
* | 398,100 | 348,713 | ||||||||||||
Warrant, exercisable until 2022, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
172 shs.
|
03/26/12
|
17,220 | 15,066 | ||||||||||||
*03/26/12, 05/25/12 and 06/19/12.
|
1,618,220 | 1,593,280 | ||||||||||||||
Clough, Harbour and Associates
|
||||||||||||||||
An engineering service firm that is located in Albany, NY.
|
||||||||||||||||
Preferred Stock (B)
|
277 shs.
|
12/02/08
|
276,900 | 399,942 | ||||||||||||
Connecticut Electric, Inc.
|
||||||||||||||||
A supplier and distributor of electrical products sold into the retail and wholesale markets.
|
||||||||||||||||
10% Senior Subordinated Note due 2014 (D)
|
$ | 1,456,429 |
01/12/07
|
1,358,675 | 1,433,979 | |||||||||||
Limited Liability Company Unit Class A (B)
|
156,046 uts.
|
01/12/07
|
156,046 | 95,396 | ||||||||||||
Limited Liability Company Unit Class C (B)
|
112,873 uts.
|
01/12/07
|
112,873 | 73,946 | ||||||||||||
Limited Liability Company Unit Class D (B)
|
1,268,437 uts.
|
05/03/10
|
— | 1,365,306 | ||||||||||||
Limited Liability Company Unit Class E (B)
|
2,081 uts.
|
05/03/10
|
— | — | ||||||||||||
1,627,594 | 2,968,627 | |||||||||||||||
Connor Sport Court International, Inc.
|
Preferred Stock Series B-2 (B)
|
17,152 shs.
|
07/05/07
|
700,392 | 539,611 | ||||||||||||
Preferred Stock Series C (B)
|
7,080 shs.
|
07/05/07
|
236,503 | 222,727 | ||||||||||||
Common Stock (B)
|
718 shs.
|
07/05/07
|
7 | — | ||||||||||||
Limited Partnership Interest (B)
|
12.64% int.
|
* | 189,586 | — | ||||||||||||
*08/12/04 and 01/14/05.
|
1,126,488 | 762,338 | ||||||||||||||
CorePharma LLC
|
||||||||||||||||
A manufacturer of oral dose generic pharmaceuticals targeted at niche applications.
|
||||||||||||||||
Warrant, exercisable until 2015, to purchase
|
||||||||||||||||
common stock at $.001 per share (B)
|
20 shs.
|
08/04/05
|
137,166 | 504,919 | ||||||||||||
Crane Rental Corporation
|
||||||||||||||||
A crane rental company since 1960, headquartered in Florida.
|
||||||||||||||||
13% Senior Subordinated Note due 2015
|
$ | 1,950,750 |
08/21/08
|
1,872,920 | 1,950,750 | |||||||||||
Common Stock (B)
|
255,000 shs.
|
08/21/08
|
255,000 | 296,984 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
136,070 shs.
|
08/21/08
|
194,826 | 158,472 | ||||||||||||
2,322,746 | 2,406,206 |
Corporate Restricted Securities: (A) (Continued)
|
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost | Fair Value | ||||||||||||
Custom Engineered Wheels, Inc.
|
||||||||||||||||
A manufacturer of custom engineered, non-pneumatic plastic wheels and plastic tread cap tires used primarily for lawn and garden products and wheelchairs.
|
||||||||||||||||
Preferred Stock PIK (B)
|
296 shs.
|
10/27/09
|
$ | 295,550 | $ | 391,597 | ||||||||||
Preferred Stock Series A (B)
|
216 shs.
|
10/27/09
|
197,152 | 286,116 | ||||||||||||
Common Stock (B)
|
72 shs.
|
10/27/09
|
72,238 | 140,863 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
53 shs.
|
10/27/09
|
48,608 | 102,917 | ||||||||||||
613,548 | 921,493 | |||||||||||||||
DPL Holding Corporation
|
||||||||||||||||
A distributor and manufacturer of aftermarket undercarriage parts for medium and heavy duty trucks and trailers.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 3,157,964 |
05/04/12
|
3,104,395 | 2,997,552 | |||||||||||
Preferred Stock (B)
|
61 shs.
|
05/04/12
|
605,841 | 638,116 | ||||||||||||
Common Stock (B)
|
61 shs.
|
05/04/12
|
67,316 | 116,349 | ||||||||||||
3,777,552 | 3,752,017 | |||||||||||||||
Duncan Systems, Inc.
|
||||||||||||||||
A distributor of windshields and side glass for the recreational vehicle market.
|
||||||||||||||||
10% Senior Secured Term Note due 2013
|
$ | 135,000 |
11/01/06
|
134,968 | 134,781 | |||||||||||
13% Senior Subordinated Note due 2014
|
$ | 855,000 |
11/01/06
|
834,563 | 845,668 | |||||||||||
Common Stock (B)
|
180,000 shs.
|
11/01/06
|
180,000 | 42,105 | ||||||||||||
Warrant, exercisable until 2014, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
56,514 shs.
|
11/01/06
|
78,160 | 13,220 | ||||||||||||
1,227,691 | 1,035,774 |
Common Stock (B)
|
660 shs.
|
01/08/08
|
329,990 | 474,193 | ||||||||||||
12.5% Senior Subordinated Note due 2018
|
$ | 2,850,000 |
02/01/10
|
2,590,968 | 2,801,525 | |||||||||||
Common Stock (B)
|
150 shs.
|
02/01/10
|
150,000 | 178,105 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
358 shs.
|
02/01/10
|
321,300 | 424,661 | ||||||||||||
3,062,268 | 3,404,291 | |||||||||||||||
ELT Holding Company
|
||||||||||||||||
A provider of web-based ethics and compliance training solutions for companies in the United States.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 2,816,026 |
03/01/12
|
2,769,803 | 2,803,376 | |||||||||||
Common Stock (B)
|
122 shs.
|
03/01/12
|
272,727 | 186,897 | ||||||||||||
3,042,530 | 2,990,273 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
EPM Holding Company | ||||||||||||||||
A provider of non-discretionary regulatory driven engineering services that support mission critical safety and operational aspects of nuclear power plants.
|
||||||||||||||||
14.5% Senior Subordinated Note due 2019
|
$ | 1,156,249 |
07/26/13
|
$ | 1,133,674 | $ | 1,146,861 | |||||||||
Common Stock
|
3,069 shs.
|
07/26/13
|
306,947 | 291,600 | ||||||||||||
1,440,621 | 1,438,461 | |||||||||||||||
F F C Holding Corporation
|
||||||||||||||||
A leading U.S. manufacturer of private label frozen novelty and ice cream products.
|
||||||||||||||||
16% Senior Subordinated Note due 2017
|
$ | 2,763,034 |
09/27/10
|
$ | 2,730,726 | $ | 2,763,034 | |||||||||
Limited Liability Company Unit Preferred (B)
|
512 uts.
|
09/27/10
|
175,035 | 575,305 | ||||||||||||
Limited Liability Company Unit (B)
|
512 uts.
|
09/27/10
|
51,220 | 60,783 | ||||||||||||
2,956,981 | 3,399,122 |
13.25% Senior Subordinated Note due 2018
|
$ | 2,618,849 |
05/02/13
|
2,594,371 | 2,619,738 | |||||||||||
14.25% Senior Subordinated Note due 2018
|
$ | 684,253 |
02/29/12
|
684,437 | 684,936 | |||||||||||
Limited Liability Company Unit Class B-1 (B)
|
394,737 uts.
|
12/15/10
|
394,737 | 965,064 | ||||||||||||
Limited Liability Company Unit Class B-2 (B)
|
49,488 uts.
|
12/15/10
|
49,488 | 120,990 | ||||||||||||
Limited Liability Company Unit Class B-3 (B)
|
39,130 uts.
|
08/30/12
|
90,000 | 105,338 | ||||||||||||
Limited Liability Company Unit Class C (B)
|
9,449 uts.
|
12/20/10
|
96,056 | 155,546 | ||||||||||||
3,909,089 | 4,651,612 |
10% Senior Secured Term Note due 2014 (D)
|
$ | 1,146,937 |
04/13/06
|
908,339 | 1,146,937 | |||||||||||
14% Senior Subordinated Note due 2015 (D)
|
$ | 756,489 |
04/13/06
|
509,089 | 71,448 | |||||||||||
1,417,428 | 1,218,385 | |||||||||||||||
G C Holdings | ||||||||||||||||
A leading manufacturer of gaming tickets, industrial recording charts, security-enabled point-of sale receipts, and medical charts and supplies.
|
||||||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
594 shs.
|
10/19/10
|
140,875
|
1,959,742
|
||||||||||||
GD Dental Services LLC
|
||||||||||||||||
A provider of convenient “onestop” general, specialty, and cosmetic dental services with 21 offices located throughout South and Central Florida.
|
||||||||||||||||
Limited Liability Company Unit Common (B)
|
1,840 uts.
|
10/05/12 |
1,840
|
5,276
|
||||||||||||
Limited Liability Company Unit Preferred (B)
|
182 uts.
|
10/05/12
|
182,209
|
193,124
|
||||||||||||
184,049
|
198,400
|
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
gloProfessional Holdings, Inc. | ||||||||||||||||
A marketer and distributor of premium mineral-based cosmetics, cosmeceuticals and professional hair care products to the professional spa and physician’s office channels. | ||||||||||||||||
14% Senior Subordinated Note due 2019 | $ | 2,744,223 |
03/27/13
|
$ | 2,692,943 | $ | 2,683,766 | |||||||||
Common Stock (B)
|
2,835 shs.
|
03/27/13
|
283,465 | 255,815 | ||||||||||||
2,976,408 | 2,939,581 | |||||||||||||||
Golden County Foods Holding, Inc.
|
||||||||||||||||
A manufacturer of frozen appetizers and snacks.
|
||||||||||||||||
14% Senior Subordinated Note due 2015 (D) | $ | 1,912,500 |
11/01/07
|
1,772,199 | — | |||||||||||
14% PIK Note due 2015 (D) | $ | 472,711 |
12/31/08
|
411,209 | — | |||||||||||
8% Series A Convertible Preferred Stock, convertible into
|
||||||||||||||||
common shares (B)
|
287,658 shs.
|
11/01/07
|
146,658 | — | ||||||||||||
2,330,066 | — |
A designer, manufacturer, and importer of promotional and wood furniture.
|
||||||||||||||||
7.5% Senior Subordinated Note due 2014 (D)
|
$ | 685,100 |
10/15/09
|
512,231 | — | |||||||||||
Preferred Stock (B)
|
40 shs.
|
* | 40,476 | — | ||||||||||||
Preferred Stock Series B (B)
|
2,055 shs.
|
10/15/09
|
1,536,694 | — | ||||||||||||
Common Stock (B)
|
340 shs.
|
02/10/06
|
340,000 | — | ||||||||||||
Common Stock Class C (B)
|
560 shs.
|
10/15/09
|
— | — | ||||||||||||
Warrant, exercisable until 2013, to purchase
|
||||||||||||||||
common stock at $.02 per share (B)
|
126 shs.
|
02/10/06
|
116,875 | — | ||||||||||||
* 09/18/07 and 06/27/08.
|
2,546,276 | — |
12% Senior Subordinated Note due 2017
|
$ | 1,384,615 |
11/14/11
|
1,304,294 | 1,426,153 | |||||||||||
Common Stock (B)
|
115 shs.
|
11/14/11
|
115,385 | 278,219 | ||||||||||||
Warrant, exercisable until 2021, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
83 shs.
|
11/14/11
|
76,788 | 199,182 | ||||||||||||
1,496,467 | 1,903,554 | |||||||||||||||
Healthcare Direct Holding Company
|
||||||||||||||||
A direct-to-consumer marketer of discount dental plans.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 2,162,178 |
03/09/12
|
2,126,604 | 2,058,848 | |||||||||||
Common Stock (B)
|
1,552 shs.
|
03/09/12
|
155,172 | 43,018 | ||||||||||||
2,281,776 | 2,101,866 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date |
Cost
|
Fair Value
|
||||||||||||
Hi-Rel Group LLC | ||||||||||||||||
A manufacturer and distributor of precision metal piece parts for the microelectronic packaging industry, serving the aerospace/ defense, telecommunications, and medical end markets. | ||||||||||||||||
12% Senior Subordinated Note due 2018
|
$ | 1,687,500 |
04/15/13
|
$ | 1,583,549 | $ | 1,663,751 | |||||||||
Limited Liability Company Unit (B)
|
563 uts.
|
04/15/13
|
562,500 | 540,480 | ||||||||||||
Warrant, exercisable until 2020, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
89,224 shs.
|
04/15/13
|
77,625 | 64,215 | ||||||||||||
2,223,674 | 2,268,446 | |||||||||||||||
Home Décor Holding Company
|
||||||||||||||||
A designer, manufacturer and marketer of framed art and wall décor products.
|
||||||||||||||||
Common Stock (B)
|
63 shs.
|
* | 62,742 | 159,411 | ||||||||||||
Warrant, exercisable until 2013, to purchase
|
||||||||||||||||
common stock at $.02 per share (B)
|
200 shs.
|
* | 199,501 | 506,893 | ||||||||||||
* 06/30/04 and 08/19/04.
|
262,243 | 666,304 | ||||||||||||||
HOP Entertainment LLC
|
||||||||||||||||
A provider of post production equipment and services to producers of television shows and motion pictures.
|
||||||||||||||||
Limited Liability Company Unit Class F (B)
|
89 uts.
|
10/14/11
|
— | — | ||||||||||||
Limited Liability Company Unit Class G (B)
|
215 uts.
|
10/14/11
|
— | — | ||||||||||||
Limited Liability Company Unit Class H (B)
|
89 uts.
|
10/14/11
|
— | — | ||||||||||||
Limited Liability Company Unit Class I (B)
|
89 uts.
|
10/14/11
|
— | — | ||||||||||||
— | — | |||||||||||||||
Hospitality Mints Holding Company
|
||||||||||||||||
A manufacturer of individually-wrapped imprinted promotional mints.
|
||||||||||||||||
12% Senior Subordinated Note due 2016
|
$ | 2,075,581 |
08/19/08
|
1,998,219 | 2,003,761 | |||||||||||
Common Stock (B)
|
474 shs.
|
08/19/08
|
474,419 | 134,705 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
123 shs.
|
08/19/08
|
113,773 | 34,816 | ||||||||||||
2,586,411 | 2,173,282 | |||||||||||||||
HVAC Holdings, Inc.
|
||||||||||||||||
A provider of integrated energy efficiency services and maintenance programs for HVAC systems.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 2,782,844 |
09/27/12
|
2,733,256 | 2,750,718 | |||||||||||
Preferred Stock Series A (B)
|
2,705 shs.
|
09/27/12
|
270,542 | 296,165 | ||||||||||||
Common Stock (B)
|
2,185 shs.
|
09/27/12
|
2,185 | 18,678 | ||||||||||||
3,005,983 | 3,065,561 | |||||||||||||||
Ideal Tridon Holdings, Inc.
|
||||||||||||||||
A designer and manufacturer of clamps and couplings used in automotive and industrial end markets.
|
||||||||||||||||
Common Stock (B)
|
279 shs.
|
10/27/11
|
278,561 | 479,312 |
Corporate Restricted Securities: (A) (Continued)
|
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Insurance Claims Management, Inc.
|
|
|
||||||||||||||
A third party administrator providing auto and property claim administration services for insurance companies.
|
||||||||||||||||
Common Stock (B)
|
89 shs.
|
02/27/07
|
$ | 2,689 | $ | 574,999 | ||||||||||
J A C Holding Enterprises, Inc.
|
||||||||||||||||
A supplier of luggage racks and accessories to the original equipment manufacturers.
|
||||||||||||||||
Preferred Stock A (B)
|
495 shs.
|
12/20/10
|
495,000 | 670,204 | ||||||||||||
Preferred Stock B (B)
|
0.17 shs.
|
12/20/10
|
— | 226 | ||||||||||||
Common Stock (B)
|
100 shs.
|
12/20/10
|
5,000 | 144,730 | ||||||||||||
Warrant, exercisable until 2020, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
36 shs.
|
12/20/10
|
316,930 | 52,479 | ||||||||||||
816,930 | 867,639 | |||||||||||||||
Jason Partners Holdings LLC
|
||||||||||||||||
A diversified manufacturing company serving various industrial markets.
|
||||||||||||||||
Limited Liability Company Unit (B)
|
90 uts.
|
09/21/10
|
848,275 | 48,185 | ||||||||||||
JMH Investors LLC
|
||||||||||||||||
A developer and manufacturer of custom formulations for a wide variety of foods.
|
||||||||||||||||
14.25% Senior Subordinated Note due 2019
|
$ | 2,524,413 |
12/05/12
|
2,478,395 | 2,457,881 | |||||||||||
Limited Liability Company Unit (B)
|
521,739 uts.
|
12/05/12
|
521,739 | 405,200 | ||||||||||||
3,000,134 | 2,863,081 | |||||||||||||||
K & N Parent, Inc.
|
||||||||||||||||
A manufacturer and supplier of automotive aftermarket performance air filters and intake systems.
|
||||||||||||||||
14% Senior Subordinated Note due 2019
|
$ | 3,428,236 |
12/23/11
|
3,352,154 | 3,434,749 | |||||||||||
Preferred Stock Series A (B)
|
305 shs.
|
12/23/11
|
119,662 | 350,273 | ||||||||||||
Preferred Stock Series B (B)
|
86 shs.
|
12/23/11
|
— | 99,140 | ||||||||||||
Common Stock (B)
|
391 shs.
|
12/23/11
|
19,565 | 148,046 | ||||||||||||
3,491,381 | 4,032,208 | |||||||||||||||
K N B Holdings Corporation
|
||||||||||||||||
A designer, manufacturer and marketer of products for the custom framing market.
|
||||||||||||||||
14% Senior Subordinated Note due 2017
|
$ | 4,616,657 | * | 4,337,464 | 4,616,657 | |||||||||||
Common Stock (B)
|
134,210 shs.
|
05/25/06
|
134,210 | 71,438 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
82,357 shs.
|
05/25/06
|
71,534 | 43,837 | ||||||||||||
* 05/25/06 and 04/12/11.
|
4,543,208 | 4,731,932 |
K P H I Holdings, Inc. | ||||||||||||||||
A manufacturer of highly engineered plastic and metal components for a diverse range of end-markets, including medical, consumer and industrial, automotive and defense. | ||||||||||||||||
Common Stock (B)
|
698,478 shs.
|
12/10/10
|
698,478 | 808,469 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
K P I Holdings, Inc.
|
||||||||||||||||
The largest player in the U.S. non-automotive, non-ferrous die casting segment.
|
||||||||||||||||
Convertible Preferred Stock Series C (B)
|
55 shs.
|
06/30/09
|
$ | 55,435 | $ | 110,000 | ||||||||||
Convertible Preferred Stock Series D (B)
|
24 shs.
|
09/17/09
|
24,476 | 73,410 | ||||||||||||
Common Stock (B)
|
443 shs.
|
07/15/08
|
443,478 | 93,563 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
96 shs.
|
07/16/08
|
96,024 | 20,258 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
128 shs.
|
09/17/09
|
— | 26,920 | ||||||||||||
619,413 | 324,151 |
Common Stock (B)
|
315 shs.
|
08/15/11
|
315,057 | 440,018 | ||||||||||||
Common Stock (B)
|
61 shs.
|
09/12/08
|
60,714 | 30,066 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
66 shs.
|
09/12/08
|
65,571 | 32,473 | ||||||||||||
126,285 | 62,539 |
Limited Liability Company Unit (B)
|
24,109 uts.
|
* | 314,464 | 474,165 | ||||||||||||
Warrant, exercisable until 2014, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
3,375 shs.
|
05/04/07
|
43,031 | 66,378 | ||||||||||||
* 05/04/07 and 01/02/08.
|
357,495 | 540,543 |
Manhattan Beachwear Holding Company
|
||||||||||||||||
A designer and distributor of women’s swimwear.
|
||||||||||||||||
12.5% Senior Subordinated Note due 2018
|
$ | 1,259,914 |
01/15/10
|
1,151,081 | 1,259,914 | |||||||||||
15% Senior Subordinated Note due 2018
|
$ | 331,003 |
10/05/10
|
326,482 | 317,117 | |||||||||||
Common Stock (B)
|
106 shs.
|
10/05/10
|
106,200 | 250,711 | ||||||||||||
Common Stock Class B (B)
|
353 shs.
|
01/15/10
|
352,941 | 833,201 | ||||||||||||
Warrant, exercisable until 2019, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
312 shs.
|
01/15/10
|
283,738 | 737,378 | ||||||||||||
2,220,442 | 3,398,321 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Marshall Physicians Services LLC | ||||||||||||||||
A provider of emergency department and hospital medicine services to hospitals located in the state of Kentucky. The Company was founded in 1999 and is owned by seven practicing physicians. | ||||||||||||||||
13% Senior Subordinated Note due 2016
|
$ | 1,347,005 |
09/20/11
|
$ | 1,326,104 | $ | 1,373,945 | |||||||||
Limited Liability Company Unit Class A (B)
|
8,700 uts.
|
09/20/11
|
180,000 | 391,987 | ||||||||||||
Limited Liability Company Unit Class D (B)
|
874 uts.
|
09/20/11
|
— | 23,563 | ||||||||||||
1,506,104 | 1,789,495 |
12% Senior Subordinated Note due 2016
|
$ | 3,352,486 | * | 3,156,590 | 3,352,486 | |||||||||||
Preferred Stock Series A (B)
|
4,164 shs.
|
09/07/10
|
416,392 | 1,187,746 | ||||||||||||
Common Stock (B)
|
487 shs.
|
03/01/11
|
48,677 | 138,913 | ||||||||||||
Common Stock (B)
|
458 shs.
|
09/07/10
|
45,845 | 130,641 | ||||||||||||
Warrant, exercisable until 2020, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
310 shs.
|
03/01/11
|
30,975 | 88,425 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
1,158 shs.
|
09/07/10
|
115,870 | 330,310 | ||||||||||||
* 09/07/10 and 03/01/11.
|
3,814,349 | 5,228,521 |
Preferred Unit (B)
|
126 uts.
|
08/29/08
|
125,519 | 164,715 | ||||||||||||
Common Unit Class A (B)
|
1,268 uts.
|
08/29/08
|
1,268 | 57,198 | ||||||||||||
Common Unit Class B (B)
|
472 uts.
|
08/29/08
|
120,064 | 21,283 | ||||||||||||
246,851 | 243,196 |
Preferred Stock (B)
|
107 shs.
|
09/24/08
|
103,255 | 166,284 | ||||||||||||
Limited Partnership Interest (B)
|
1.40% int.
|
09/16/08
|
388,983 | 776,528 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
35 shs.
|
09/24/08
|
33,268 | 124,465 | ||||||||||||
525,506 | 1,067,277 |
14% Senior Subordinated Note due 2018
|
$ | 1,273,585 |
09/22/11
|
1,253,454 | 1,285,794 | |||||||||||
Limited Liability Company Unit Series B (B)
|
467,833 uts.
|
09/22/11
|
467,833 | 515,379 | ||||||||||||
1,721,287 | 1,801,173 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fare Value | ||||||||||||
MicroGroup, Inc. | ||||||||||||||||
A manufacturer of precision parts and assemblies, and a value-added supplier of metal tubing and bars.
|
||||||||||||||||
7% Senior Subordinated Note due 2014 (D)
|
$ | 1,705,152 | * | $ | 1,635,166 | $ | 426,288 | |||||||||
Preferred Stock Series A (B)
|
980 shs.
|
10/10/12
|
942,054 | — | ||||||||||||
Common Stock (B)
|
450 shs.
|
* | 450,000 | — | ||||||||||||
Common Stock Series B (B)
|
1,128 shs.
|
10/10/12
|
11 | — | ||||||||||||
Warrant, exercisable until 2014, to purchase
|
||||||||||||||||
common stock at $.02 per share (B)
|
164 shs.
|
* | 162,974 | — | ||||||||||||
* 08/12/05 and 09/11/06.
|
3,190,205 | 426,288 |
14% Senior Subordinated Note due 2019
|
$ | 2,946,092 |
11/02/12
|
2,892,961 | 2,921,159 | |||||||||||
Common Stock (B)
|
107 shs.
|
11/02/12
|
107,143 | 88,370 | ||||||||||||
3,000,104 | 3,009,529 |
Motion Controls Holdings
|
||||||||||||||||
A manufacturer of high performance mechanical motion control and linkage products.
|
||||||||||||||||
14.25% Senior Subordinated Note due 2017
|
$ | 2,858,863 |
11/30/10
|
2,822,472 | 2,809,029 | |||||||||||
Limited Liability Company Unit Class B-1 (B)
|
281,250 uts.
|
11/30/10
|
— | 250,276 | ||||||||||||
Limited Liability Company Unit Class B-2 (B)
|
25,504 uts.
|
11/30/10
|
— | 22,695 | ||||||||||||
2,822,472 | 3,082,000 |
NABCO, Inc.
|
||||||||||||||||
A producer of explosive containment vessels in the United States.
|
||||||||||||||||
Common Stock (B)
|
809 shs.
|
12/20/12
|
578,174 | 191,426 |
14% Senior Subordinated Note due 2014
|
$ | 2,004,985 |
02/02/07
|
1,941,101 | 1,904, | |||||||||||
Limited Partnership Interest of
|
||||||||||||||||
Saw Mill PCG Partners LLC (B)
|
2.73% int.
|
02/01/07
|
1,110,810 | — | ||||||||||||
Limited Liability Company Unit Class D of
|
||||||||||||||||
Saw Mill PCG Partners LLC (B)
|
17 uts.
|
* | 16,759 | — | ||||||||||||
Limited Liability Company Unit Class D-1 of
|
||||||||||||||||
Saw Mill PCG Partners LLC (B)
|
229 uts.
|
09/30/09
|
228,858 | 430,367 | ||||||||||||
Limited Liability Company Unit Class D-2 of
|
||||||||||||||||
Saw Mill PCG Partners LLC (B)
|
128 uts.
|
04/29/11
|
65,256 | 442,726 | ||||||||||||
* 12/18/08 and 09/30/09.
|
3,362,784 | 2,777,829 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Newark Group, Inc. | ||||||||||||||||
A major producer of paper products from recycled materials.
|
||||||||||||||||
Common Stock (B)
|
134,520 shs.
|
09/02/10
|
$ | 796,862 | $ | 411,497 |
14% Senior Subordinated Note due 2018
|
$ | 1,469,573 |
11/05/10
|
1,378,600 | 1,484,269 | |||||||||||
Limited Liability Company Unit Series B (B)
|
51,724 uts.
|
11/05/10
|
51,724 | 64,003 | ||||||||||||
Limited Liability Company Unit Series B (B)
|
104,792 uts.
|
11/05/10
|
104,792 | 129,669 | ||||||||||||
Limited Liability Company Unit Series F (B)
|
156,516 uts.
|
11/05/10
|
— | 686,666 | ||||||||||||
1,535,116 | 2,364,607 |
12% Senior Subordinated Note due 2016
|
$ | 2,818,421 | * | 2,516,835 | 2,776,423 | |||||||||||
Limited Partnership Interest (B)
|
3,287 uts.
|
* | 328,679 | 163,221 | ||||||||||||
Warrant, exercisable until 2019, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
4,920 shs.
|
* | 492,016 | 244,333 | ||||||||||||
* 07/09/09 and 08/09/10.
|
3,337,530 | 3,183,977 |
12% Senior Subordinated Note due 2019
|
$ | 2,649,351 |
02/02/11
|
2,485,674 | 2,675,845 | |||||||||||
Common Stock (B)
|
377 shs.
|
* | 377,399 | 432,229 | ||||||||||||
Warrant, exercisable until 2021, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
176 shs.
|
02/02/11
|
158,961 | 201,867 | ||||||||||||
*02/02/11 and 06/30/11.
|
3,022,034 | 3,309,941 |
O E C Holding Corporation
|
||||||||||||||||
A provider of elevator maintenance, repair and modernization services.
|
||||||||||||||||
13% Senior Subordinated Note due 2017
|
$ | 1,333,333 |
06/04/10
|
1,254,993 | 1,333,333 | |||||||||||
Preferred Stock Series A (B)
|
1,661 shs.
|
06/04/10
|
166,062 | 71,768 | ||||||||||||
Preferred Stock Series B (B)
|
934 shs.
|
06/04/10
|
93,376 | 40,355 | ||||||||||||
Common Stock (B)
|
1,032 shs.
|
06/04/10
|
1,032 | — | ||||||||||||
1,515,463 | 1,445,456 | |||||||||||||||
Ontario Drive & Gear Ltd.
|
||||||||||||||||
A manufacturer of all-wheel drive, off-road amphibious vehicles and related accessories.
|
||||||||||||||||
Limited Liability Company Unit (B)
|
3,667 uts.
|
01/17/06
|
572,115 | 1,603,400 | ||||||||||||
Warrant, exercisable until 2013, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
619 shs.
|
01/17/06
|
170,801 | 270,710 | ||||||||||||
742,916 | 1,874,110 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
P K C Holding Corporation | ||||||||||||||||
A manufacturer of plastic film and badges for the general industrial, medical, and food industries.
|
||||||||||||||||
14% Senior Subordinated Note due 2016
|
$ | 3,099,620 |
12/21/10
|
$ | 3,076,455 | $ | 3,130,617 | |||||||||
Preferred Stock Class A (B)
|
54 shs.
|
12/21/10
|
340,718 | 625,928 | ||||||||||||
Common Stock (B)
|
54 shs.
|
12/21/10
|
25,500 | 60,003 | ||||||||||||
3,442,673 | 3,816,548 | |||||||||||||||
P P T Holdings LLC
|
15% Senior Subordinated Note due 2017
|
$ | 2,913,806 |
12/20/10
|
2,875,402 | 2,865,521 | |||||||||||
Limited Liability Company Unit Class A (B)
|
99 uts.
|
12/20/10
|
318,215 | 311,247 | ||||||||||||
Limited Liability Company Unit Class B (B)
|
99 uts.
|
12/20/10
|
3,214 | 311,247 | ||||||||||||
3,196,831 | 3,488,015 |
Pacific Consolidated Holdings LLC
|
||||||||||||||||
A manufacturer of rugged, mobile liquid and gaseous oxygen and nitrogen generating systems used in the global defense, oil and gas, and medical sectors. | ||||||||||||||||
0% Senior Subordinated Note due 2014
|
$ | 79,688 |
12/18/12
|
— | 79,688 |
12% Senior Subordinated Note due 2016
|
$ | 1,593,750 |
12/19/00
|
1,591,175 | 1,593,750 | |||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
372 shs.
|
12/21/00
|
265,625 | 318,603 | ||||||||||||
1,856,800 | 1,912,353 |
Pearlman Enterprises, Inc.
|
||||||||||||||||
A developer and distributor of tools, equipment, and supplies to the natural and engineered stone industry.
|
||||||||||||||||
Preferred Stock Series A (B)
|
2,334 shs.
|
05/22/09
|
111,508 | — | ||||||||||||
Preferred Stock Series B (B)
|
13,334 shs.
|
05/22/09
|
547,872 | — | ||||||||||||
Common Stock (B)
|
40,540 shs.
|
05/22/09
|
1,877,208 | — | ||||||||||||
2,536,588 | — |
Petroplex Inv Holdings LLC
|
||||||||||||||||
A leading provider of acidizing services to E&P customers in the Permian Basin.
|
||||||||||||||||
16% Senior Subordinated Note due 2018
|
$ | 2,715,353 |
11/29/12
|
2,656,377 | 2,635,905 | |||||||||||
Limited Liability Company Unit (B)
|
375,000 uts.
|
11/29/12
|
375,000 | 355,061 | ||||||||||||
3,031,377 | 2,990,966 |
Corporate Restricted Securities: (A) (Continued) | Principal Amount,
Shares, Units or
Ownership Percentage
|
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Postle Aluminum Company LLC | ||||||||||||||||
A manufacturer and distributor of aluminum extruded products.
|
||||||||||||||||
15% Senior Subordinated Note due 2013
|
$ | 1,690,010 |
06/03/10
|
$ | 1,688,316 | $ | 1,690,010 | |||||||||
Limited Liability Company Unit Class A (B)
|
1,384 uts.
|
10/02/06
|
510,000 | 234,498 | ||||||||||||
Limited Liability Company Unit (B)
|
143 uts.
|
05/22/09
|
642 | 24,227 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
8,595 shs.
|
10/02/06
|
124,644 | 1,456,238 | ||||||||||||
2,323,602 | 3,404,973 |
Warrant, exercisable until 2019, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
206 shs.
|
11/12/09
|
203,944 | 349,713 | ||||||||||||
R A J Manufacturing Holdings LLC
|
||||||||||||||||
A designer and manufacturer of women’s swimwear sold under a variety of licensed brand names.
|
||||||||||||||||
14.5% Senior Subordinated Note due 2014
|
$ | 1,570,531 |
12/15/06
|
1,532,479 | 785,266 | |||||||||||
Limited Liability Company Unit (B)
|
2,828 uts.
|
12/15/06
|
282,810 | — | ||||||||||||
Warrant, exercisable until 2014, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
3 shs.
|
12/15/06
|
131,483 | — | ||||||||||||
1,946,772 | 785,266 |
14% Senior Subordinated Note due 2018
|
$ | 3,464,878 | * | 3,413,252 | 3,446,881 | |||||||||||
Limited Liability Company Unit Class A (B)
|
40,643 uts.
|
* | 406,432 | 532,162 | ||||||||||||
* 10/21/11 and 08/03/12.
|
3,819,684 | 3,979,043 | ||||||||||||||
Rose City Holding Company
|
||||||||||||||||
A designer and printer of folding cartons and packaging for food and beverage manufacturers on the West Coast.
|
||||||||||||||||
14.5% Senior Subordinated Note due 2018
|
$ | 1,434,652 |
12/11/12
|
1,409,351 | 1,416,460 | |||||||||||
Preferred Stock (B)
|
93,749 shs.
|
12/11/12
|
93,749 | 99,070 | ||||||||||||
Common Stock (B)
|
94 shs.
|
12/11/12
|
9 | 25,506 | ||||||||||||
1,503,109 | 1,541,036 | |||||||||||||||
Safety Infrastructure Solutions
|
15% Senior Subordinated Note due 2018
|
$ | 2,531,250 | * | 2,498,851 | 2,560,903 | |||||||||||
Preferred Stock (B)
|
6,294 shs.
|
03/30/12
|
251,758 | 276,452 | ||||||||||||
Common Stock (B)
|
2,949 shs.
|
03/30/12
|
29,492 | — | ||||||||||||
* 03/30/12 and 05/16/13.
|
2,780,101 | 2,837,355 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or |
Acquisition
Date
|
Cost
|
Fair Value
|
||||||||||||
Sencore Holding Company | ||||||||||||||||
A designer, manufacturer, and marketer of decoders, receivers and modulators sold to broadcasters, satellite, cable and telecom operators for encoding/decoding analog and digital transmission video signals. | ||||||||||||||||
12.5% Senior Subordinated Note due 2014 (D) | $ | 2,185,882 | 01/15/09 | $ | 1,560,231 | $ | — | |||||||||
Signature Systems Holdings Company | ||||||||||||||||
A seller and installer of a variety of modular surfaces, industrial matting and related products used for ground protection. | ||||||||||||||||
12.5% Senior Subordinated Note due 2021
|
$ | 1,812,211 |
03/15/13
|
1,712,119 | 1,805,262 | |||||||||||
Common Stock (B)
|
181 shs.
|
03/15/13
|
181,221 | 176,348 | ||||||||||||
Warrant, exercisable until 2023, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
74 shs.
|
03/15/13
|
67,958 | 72,040 | ||||||||||||
1,961,298 | 2,053,650 | |||||||||||||||
Smart Source Holdings LLC
|
||||||||||||||||
A short-term computer rental company.
|
||||||||||||||||
Limited Liability Company Unit (B)
|
619 uts.
|
* | 493,496 | 815,567 | ||||||||||||
Warrant, exercisable until 2015, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
157 shs.
|
* | 127,437 | 206,610 | ||||||||||||
* 08/31/07 and 03/06/08.
|
620,933 | 1,022,177 |
13% Senior Subordinated Note due 2020
|
$ | 2,682,486 |
11/12/10
|
2,569,323 | 2,709,311 | |||||||||||
Preferred Stock A (B)
|
3,395 shs.
|
11/12/10
|
301,503 | 231,420 | ||||||||||||
Preferred Stock B (B)
|
1,575 shs.
|
11/12/10
|
— | 107,388 | ||||||||||||
Common Stock (B)
|
19,737 shs.
|
11/12/10
|
19,737 | — | ||||||||||||
Warrant, exercisable until 2020, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
5,418 shs.
|
11/12/10
|
5,418 | — | ||||||||||||
2,895,981 | 3,048,119 | |||||||||||||||
SouthernCare Holdings, Inc.
|
||||||||||||||||
A hospice company providing palliative care services to terminally ill patients.
|
||||||||||||||||
Common Stock (B)
|
2,727 shs.
|
12/01/11
|
272,727 | 293,877 | ||||||||||||
Spartan Foods Holding Company
|
||||||||||||||||
A manufacturer of branded pizza crusts and pancakes.
|
||||||||||||||||
14.25% Senior Subordinated Note due 2017
|
$ | 2,267,934 |
12/15/09
|
2,047,754 | 2,202,533 | |||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
257 shs.
|
12/15/09
|
227,109 | 88,098 | ||||||||||||
2,274,863 | 2,290,631 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or |
Acquisition
Date |
Cost
|
Fair Value
|
||||||||||||
Specialty Commodities, Inc.
|
||||||||||||||||
A distributor of specialty food ingredients.
|
||||||||||||||||
Common Stock (B)
|
30 shs.
|
10/23/08
|
$ | 300,000 | $ | 461,808 | ||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
11 shs.
|
10/23/08
|
100,650 | 175,487 | ||||||||||||
400,650 | 637,295 | |||||||||||||||
Stag Parkway Holding Company
|
||||||||||||||||
A distributor of RV parts and accessories in the United States.
|
||||||||||||||||
13% Senior Subordinated Note due 2018
|
$ | 2,737,569 |
12/19/12
|
2,619,825 | 2,734,708 | |||||||||||
Common Stock (B)
|
284 shs.
|
12/19/12
|
283,688 | 283,829 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
83 shs.
|
12/19/12
|
76,435 | 83,351 | ||||||||||||
2,979,948 | 3,101,888 | |||||||||||||||
Strata/WLA Holding Corporation
|
14.5% Senior Subordinated Note due 2018
|
$ | 2,877,446 |
07/01/11
|
2,831,111 | 719,361 | |||||||||||
Preferred Stock Series A (B)
|
228 shs.
|
07/01/11
|
228,137 | — | ||||||||||||
3,059,248 | 719,361 | |||||||||||||||
Sundance Investco LLC
|
||||||||||||||||
A provider of post-production services to producers of movies and television shows.
|
||||||||||||||||
Limited Liability Company Unit Class A (B)
|
6,429 shs.
|
03/31/10
|
— | — |
14% Senior Subordinated Note due 2017 | $ | 3,053,453 |
12/14/10
|
2,930,568 | 2,986,344 | |||||||||||
14% Senior Subordinated PIK Note due 2017 | $ | 262,521 |
08/17/12
|
253,565 | 256,751 | |||||||||||
Common Stock (B)
|
115 shs.
|
12/14/10
|
114,504 | 44,201 | ||||||||||||
Warrant, exercisable until 2020, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
112 shs.
|
12/14/10
|
111,747 | 43,139 | ||||||||||||
3,410,384 | 3,330,435 | |||||||||||||||
Synteract Holdings Corporation
|
||||||||||||||||
A provider of outsourced clinical trial management services to pharmaceutical and biotechnology companies.
|
||||||||||||||||
14% Senior Subordinated Note due 2019 | $ | 3,315,144 |
09/02/08
|
3,192,670 | 3,315,144 | |||||||||||
Preferred Stock Series D (B)
|
485 shs.
|
02/27/13
|
48,503 | 70,981 | ||||||||||||
Redeemable Preferred Stock Series A (B)
|
1,280 shs.
|
09/02/08
|
12,523 | — | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
12,803 shs.
|
09/02/08
|
112,693 | — | ||||||||||||
3,366,389 | 3,386,125 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or |
Acquisition
Date |
Cost
|
Fair Value
|
||||||||||||
Terra Renewal LLC | ||||||||||||||||
A provider of wastewater residual management and required environmental reporting, permitting, nutrient management planning and record keeping to companies involved in poultry and food processing. | ||||||||||||||||
12% Senior Subordinated Note due 2014 (D)
|
$ | 1,066,407 | * | $ | 445,904 | $ | — | |||||||||
Common Stock Class B
|
55 shs.
|
* | 35,237 | — | ||||||||||||
Limited Partnership Interest of
|
||||||||||||||||
Saw Mill Capital Fund V, LLC (B)
|
3.97% int.
|
** | 256,106 | — | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
72 shs.
|
04/28/06
|
59,041 | — | ||||||||||||
* 04/28/06 and 09/13/06.
|
796,288 | — | ||||||||||||||
** 03/01/05 and 10/10/08.
|
14.5% Senior Subordinated Note due 2014 (D)
|
$ | 2,455,561 |
10/26/07
|
2,147,354 | 2,455,561 | |||||||||||
Series B Preferred Stock (B)
|
182 shs.
|
03/31/10
|
— | 255,023 | ||||||||||||
Common Stock (B)
|
515 shs.
|
03/31/10
|
414,051 | — | ||||||||||||
2,561,405 | 2,710,584 |
12% Senior Subordinated Note due 2015
|
$ | 1,773,006 |
10/31/07
|
1,706,184 | 1,329,754 | |||||||||||
Common Stock (B)
|
209 shs.
|
10/31/07
|
208,589 | — | ||||||||||||
Warrant, exercisable until 2015, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
94 shs.
|
10/31/07
|
87,607 | — | ||||||||||||
2,002,380 | 1,329,754 |
14% Senior Subordinated Note due 2019
|
$ | 2,968,497 |
07/05/13
|
2,910,936 | 2,955,769 | |||||||||||
Limited Liability Company Unit Class A (B)
|
295,455 shs.
|
07/05/13
|
295,455 | 280,682 | ||||||||||||
3,206,391 | 3,236,451 |
12% Senior Subordinated Note due 2016
|
$ | 2,309,541 | * | 2,253,930 | 2,289,234 | |||||||||||
Preferred Stock Series B (B)
|
241 shs.
|
10/20/08
|
241,172 | 614,157 | ||||||||||||
Common Stock (B)
|
742 shs.
|
* | 800,860 | — | ||||||||||||
Warrant, exercisable until 2017, to purchase
|
||||||||||||||||
common stock at $.02 per share (B)
|
153 shs.
|
* | 159,894 | — | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
1,054 shs.
|
10/20/08
|
— | — | ||||||||||||
* 07/19/05 and 12/22/05.
|
3,455,856 | 2,903,391 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or |
Acquisition
Date |
Cost
|
Fair Value
|
||||||||||||
TruStile Doors, Inc. | ||||||||||||||||
A manufacturer and distributor of interior doors.
|
||||||||||||||||
Limited Liability Company Unit (B)
|
11,775 uts.
|
02/28/11
|
$ | 187,500 | $ | 444,176 | ||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
5,781 shs.
|
04/11/03
|
68,059 | 95,563 | ||||||||||||
255,559 | 539,739 | |||||||||||||||
U-Line Corporation
|
A manufacturer of high-end, built-in, undercounter ice making, wine storage and refrigeration appliances.
|
||||||||||||||||
Common Stock (B)
|
182 shs.
|
04/30/04
|
182,200 | 335,409 | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
230 shs.
|
04/30/04
|
211,736 | 424,176 | ||||||||||||
393,936 | 759,585 | |||||||||||||||
U M A Enterprises, Inc.
|
||||||||||||||||
An importer and wholesaler of home décor products.
|
||||||||||||||||
Convertible Preferred Stock (B)
|
887 shs.
|
02/08/08
|
886,956 | 1,984,024 |
Visioneering, Inc.
|
||||||||||||||||
A designer and manufacturer of tooling and fixtures for the aerospace industry.
|
||||||||||||||||
10.5% Senior Secured Term Loan due 2013
|
$ | 725,735 |
05/17/07
|
725,465 | 727,759 | |||||||||||
13% Senior Subordinated Note due 2014
|
$ | 648,530 |
05/17/07
|
638,512 | 648,530 | |||||||||||
18% PIK Convertible Preferred Stock (B)
|
37,381 shs.
|
03/13/09
|
72,519 | 142,933 | ||||||||||||
Common Stock (B)
|
123,529 shs.
|
05/17/07
|
123,529 | 341,489 | ||||||||||||
Warrant, exercisable until 2014, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
35,006 shs.
|
05/17/07
|
55,055 | 96,772 | ||||||||||||
1,615,080 | 1,957,483 | |||||||||||||||
Vitex Packaging Group, Inc.
|
||||||||||||||||
A manufacturer of specialty packaging, primarily envelopes and tags used on tea bags.
|
||||||||||||||||
Class B Unit (B)
|
767,881 uts.
|
10/29/09
|
348,058 | — | ||||||||||||
Class C Unit (B)
|
850,000 uts.
|
10/29/09
|
780,572 | 830,485 | ||||||||||||
Limited Liability Company Unit Class A (B)
|
723,465 uts.
|
* | 433,222 | — | ||||||||||||
Limited Liability Company Unit Class B (B)
|
182,935 uts.
|
07/19/04
|
182,935 | — | ||||||||||||
* 07/19/04 and 10/29/09.
|
1,744,787 | 830,485 | ||||||||||||||
Wellborn Forest Holding Company
|
||||||||||||||||
A manufacturer of semi-custom kitchen and bath cabinetry.
|
||||||||||||||||
12.13% Senior Subordinated Note due 2016
|
$ | 1,721,250 |
11/30/06
|
1,638,669 | 430,313 | |||||||||||
Common Stock (B)
|
191 shs.
|
11/30/06
|
191,250 | — | ||||||||||||
Warrant, exercisable until 2016, to purchase
|
||||||||||||||||
common stock at $.01 per share (B)
|
95 shs.
|
11/30/06
|
86,493 | — | ||||||||||||
1,916,412 | 430,313 |
Corporate Restricted Securities: (A) (Continued) |
Principal Amount,
Shares, Units or |
Acquisition
Date |
Cost
|
Fair Value
|
||||||||||||
Wheaton Holding Corporation | ||||||||||||||||
A distributor and manufacturer of laboratory supply products and packaging.
|
||||||||||||||||
Preferred Stock Series B (B)
|
2,109 shs.
|
06/08/10
|
$ | 210,924 | $ | 286,643 | ||||||||||
Common Stock (B)
|
1,058 shs.
|
06/08/10
|
1,058 | 16,381 | ||||||||||||
211,982 | 303,024 | |||||||||||||||
Whitcraft Holdings, Inc.
|
||||||||||||||||
A leading independent manufacturer of precision formed, machined, and fabricated flight-critical aerospace components.
|
||||||||||||||||
12% Senior Subordinated Note due 2018
|
$ | 2,383,562 |
12/16/10
|
2,234,918 | 2,305,706 | |||||||||||
Common Stock (B)
|
616 shs.
|
12/16/10
|
616,438 | 331,182 | ||||||||||||
Warrant, exercisable until 2018, to purchase
|
||||||||||||||||
common stock at $.02 per share (B)
|
166 shs.
|
12/16/10
|
148,003 | 88,990 | ||||||||||||
2,999,359 | 2,725,878 | |||||||||||||||
Workplace Media Holding Company
|
||||||||||||||||
A direct marketer specializing in providing advertisers with access to consumers in the workplace.
|
||||||||||||||||
13% Senior Subordinated Note due 2015 (D)
|
$ | 1,235,800 |
05/14/07
|
1,136,081 | — | |||||||||||
Limited Partnership Interest (B)
|
23.16% int.
|
05/14/07
|
115,804 | — | ||||||||||||
Warrant, exercisable until 2015, to purchase
|
||||||||||||||||
common stock at $.02 per share (B)
|
88 shs.
|
05/14/07
|
83,462 | — | ||||||||||||
1,335,347 | — | |||||||||||||||
WP Supply Holding Corporation
|
||||||||||||||||
A distributor of fresh fruits and vegetables to grocery wholesalers and foodservice distributors in the upper Midwest.
|
||||||||||||||||
14.5% Senior Subordinated Note due 2018
|
$ | 2,674,405 |
11/03/11
|
2,632,545 | 2,718,631 | |||||||||||
Common Stock (B)
|
4,500 shs.
|
11/03/11
|
450,000 | 575,642 | ||||||||||||
3,082,545 | 3,294,273 | |||||||||||||||
Total Private Placement Investments (E)
|
$ | 217,737,594 | $ | 216,053,007 |
Interest
|
Due
|
Principal
|
Market
|
|||||||||||||||
Corporate Restricted Securities: (A) (Continued)
|
Rate
|
Date
|
Amount
|
Cost
|
Value
|
|||||||||||||
Rule 144A Securities - 12.68%:
|
||||||||||||||||||
Bonds - 12.63%
|
||||||||||||||||||
AAR Corporation
|
7.250 | % |
01/15/22
|
$ | 1,000,000 | $ | 1,071,923 | $ | 1,042,500 | |||||||||
ADT Corporation
|
6.250 |
10/15/21
|
1,000,000 | 1,000,000 | 1,015,000 | |||||||||||||
Calpine Corporation
|
7.500 |
02/15/21
|
675,000 | 691,553 | 717,187 | |||||||||||||
Clarie’s Stores, Inc.
|
7.750 |
06/01/20
|
725,000 | 725,000 | 708,687 | |||||||||||||
Commscope Holdings Inc.
|
6.625 |
06/01/20
|
500,000 | 501,248 | 497,500 | |||||||||||||
Cooper-Standard Automotive
|
7.375 |
04/01/18
|
1,000,000 | 1,007,030 | 1,005,000 | |||||||||||||
Cornerstone Chemical Company
|
9.375 |
03/15/18
|
750,000 | 768,903 | 785,625 | |||||||||||||
Coeur d’Alene Mines Corporation
|
7.875 |
02/01/21
|
1,000,000 | 1,003,726 | 1,010,000 | |||||||||||||
Energy Future Holdings
|
10.000 |
12/01/20
|
400,000 | 403,621 | 420,000 | |||||||||||||
First Data Corporation
|
11.750 |
08/15/21
|
1,000,000 | 1,000,000 | 965,000 | |||||||||||||
FMG Resources
|
7.000 |
11/01/15
|
750,000 | 765,945 | 772,500 | |||||||||||||
FMG Resources
|
6.875 |
04/01/22
|
1,000,000 | 963,099 | 1,000,000 | |||||||||||||
Forum Energy Technologies
|
6.250 |
10/01/21
|
325,000 | 325,000 | 327,031 | |||||||||||||
Hercules Offshore, Inc.
|
7.500 |
10/01/21
|
1,000,000 | 1,000,000 | 1,000,000 | |||||||||||||
Hilcorp Energy Company
|
7.625 |
04/15/21
|
725,000 | 697,233 | 775,750 | |||||||||||||
Hilton Worldwide Holdings, Inc.
|
5.625 |
10/15/21
|
1,000,000 | 1,000,000 | 1,002,500 | |||||||||||||
Hovnanian Enterprises, Inc.
|
7.250 |
10/15/20
|
1,000,000 | 1,000,000 | 1,052,500 | |||||||||||||
Hub International Ltd.
|
7.875 |
10/01/21
|
1,000,000 | 1,000,000 | 1,001,250 | |||||||||||||
International Automotive Component
|
9.125 |
06/01/18
|
1,000,000 | 954,722 | 1,030,000 | |||||||||||||
J.B. Poindexter Co., Inc.
|
9.000 |
04/01/22
|
1,000,000 | 1,052,363 | 1,050,000 | |||||||||||||
LBC Tank Terminals Holding Netherlands B.V.
|
6.875 |
05/15/23
|
1,315,000 | 1,357,398 | 1,321,575 | |||||||||||||
Lear Corporation
|
4.750 |
01/15/23
|
750,000 | 735,587 | 695,625 | |||||||||||||
Linn Energy, LLC
|
8.625 |
04/15/20
|
1,000,000 | 1,009,896 | 1,033,750 | |||||||||||||
MEG Energy Corporation
|
7.000 |
03/31/24
|
1,000,000 | 1,000,000 | 1,006,250 | |||||||||||||
Magnum Hunter Resources Corporation
|
9.750 |
05/15/20
|
1,500,000 | 1,572,138 | 1,552,500 | |||||||||||||
Meritor, Inc.
|
7.875 |
03/01/26
|
669,000 | 663,403 | 839,177 | |||||||||||||
Midstates Petro Inc.
|
9.250 |
06/01/21
|
1,000,000 | 1,000,000 | 987,500 | |||||||||||||
Milacron Financial
|
7.750 |
02/15/21
|
500,000 | 500,000 | 516,250 | |||||||||||||
Mustang Merger Corporation
|
8.500 |
08/15/21
|
1,000,000 | 997,504 | 990,000 | |||||||||||||
NXP BV/NXP Funding LLC
|
3.750 |
06/01/18
|
1,500,000 | 1,500,000 | 1,462,500 | |||||||||||||
Oasis Petroleum Inc.
|
6.875 |
03/15/22
|
1,000,000 | 1,000,000 | 1,055,000 | |||||||||||||
Pinnacle Operating Corporation
|
9.000 |
11/15/20
|
350,000 | 350,000 | 358,313 | |||||||||||||
RKI Inc.
|
8.500 |
08/01/21
|
1,000,000 | 1,004,958 | 1,005,000 | |||||||||||||
Safway Group Holding LLC/Finance Corporation
|
7.000 |
05/15/18
|
500,000 | 500,000 | 507,500 | |||||||||||||
Sirius XM Radio Inc.
|
5.875 |
10/01/20
|
750,000 | 750,000 | 756,562 | |||||||||||||
Sprint Corporation
|
7.875 |
09/15/23
|
1,000,000 | 1,000,000 | 1,020,000 |
Shares or
|
|||||||||||||||||||
Interest
|
Due
|
Principal
|
Market
|
||||||||||||||||
Corporate Restricted Securities: (A) (Continued)
|
Rate
|
Date
|
Amount
|
Cost
|
Value
|
||||||||||||||
Univision Communications, Inc.
|
5.125 | % |
05/15/23
|
$ | 325,000 | $ | 325,000 | $ | 311,188 | ||||||||||
Valeant Pharmaceuticals International
|
6.750 |
10/01/17
|
70,000 | 69,761 | 74,725 | ||||||||||||||
Valeant Pharmaceuticals International
|
7.000 |
10/01/20
|
880,000 | 881,574 | 932,800 | ||||||||||||||
Welltec A/S
|
8.000 |
02/01/19
|
750,000 | 737,430 | 798,750 | ||||||||||||||
Total Bonds
|
33,886,015 | 34,402,995 | |||||||||||||||||
Convertible Preferred Stock - 0.00%
|
|||||||||||||||||||
ETEX Corporation (B)
|
777 | — | — | ||||||||||||||||
Total Convertible Preferred Stock
|
— | — | |||||||||||||||||
Preferred Stock - 0.05%
|
|||||||||||||||||||
Ally Financial
|
143 | 45,009 | 136,637 | ||||||||||||||||
TherOX, Inc. (B)
|
103 | — | — | ||||||||||||||||
Total Preferred Stock
|
45,009 | 136,637 | |||||||||||||||||
Common Stock - 0.00%
|
|||||||||||||||||||
Touchstone Health Partnership (B)
|
1,168 | — | — | ||||||||||||||||
Total Common Stock
|
— | — | |||||||||||||||||
Total Rule 144A Securities
|
33,931,024 | 34,539,632 | |||||||||||||||||
Total Corporate Restricted Securities
|
$ | 251,668,618 | $ | 250,592,639 |
Corporate Public Securities -12.89%: (A)
|
Interest
Rate
|
Due
Date
|
Principal
Amount
|
Cost
|
Market
Value |
||||||||||||||
Bonds - 12.57% | |||||||||||||||||||
Accuride Corp
|
9.500 | % |
08/01/18
|
$ | 1,500,000 | $ | 1,535,905 | $ | 1,563,750 | ||||||||||
Ally Financial, Inc.
|
5.500 |
02/15/17
|
1,500,000 | 1,525,368 | 1,574,197 | ||||||||||||||
Alta Mesa Financial Services
|
9.625 |
10/15/18
|
1,500,000 | 1,501,345 | 1,582,500 | ||||||||||||||
Arch Coal, Inc.
|
7.000 |
06/15/19
|
150,000 | 150,000 | 116,250 | ||||||||||||||
Audatex North America, Inc.
|
6.750 |
06/15/18
|
250,000 | 250,000 | 265,000 | ||||||||||||||
Avis Budget Car Rental
|
9.750 |
03/15/20
|
750,000 | 750,000 | 864,375 | ||||||||||||||
B E Aerospace, Inc.
|
6.875 |
10/01/20
|
850,000 | 867,798 | 928,625 | ||||||||||||||
Calumet Specialty Products Partners L.P.
|
9.375 |
05/01/19
|
1,500,000 | 1,509,122 | 1,646,250 | ||||||||||||||
CCO Holdings Capital Corporation
|
7.250 |
10/30/17
|
750,000 | 764,663 | 794,062 | ||||||||||||||
CHC Helicopter SA
|
9.375 |
06/01/21
|
1,500,000 | 1,500,000 | 1,492,500 | ||||||||||||||
Chemtura Corporation
|
7.875 |
09/01/18
|
500,000 | 523,681 | 540,000 | ||||||||||||||
Clearwater Paper Corporation
|
4.500 |
02/01/23
|
750,000 | 742,801 | 675,000 | ||||||||||||||
Commercial Metals Company
|
4.875 |
05/15/23
|
1,500,000 | 1,503,059 | 1,350,000 | ||||||||||||||
Cooper-Standard Automotive
|
8.500 |
05/01/18
|
750,000 | 788,980 | 798,750 | ||||||||||||||
Crosstex Energy L.P.
|
8.875 |
02/15/18
|
225,000 | 221,990 | 239,063 | ||||||||||||||
CVR Refining LLC
|
6.500 |
11/01/22
|
650,000 | 627,388 | 631,312 | ||||||||||||||
Energy Transfer Equity L.P.
|
7.500 |
10/15/20
|
100,000 | 100,000 | 107,000 | ||||||||||||||
EP Energy/EP Finance Inc.
|
9.375 |
05/01/20
|
1,000,000 | 1,015,366 | 1,125,000 | ||||||||||||||
Fidelity National Information
|
7.875 |
07/15/20
|
125,000 | 125,000 | 138,135 | ||||||||||||||
Halcón Resources Corporation
|
9.750 |
07/15/20
|
1,000,000 | 1,052,338 | 1,057,500 | ||||||||||||||
Headwaters, Inc.
|
7.625 |
04/01/19
|
850,000 | 850,186 | 892,500 | ||||||||||||||
Health Management Association
|
6.125 |
04/15/16
|
750,000 | 765,046 | 819,375 | ||||||||||||||
Huntington Ingalls Industries
|
7.125 |
03/15/21
|
750,000 | 776,407 | 808,125 | ||||||||||||||
Lennar Corporation
|
4.750 |
11/15/22
|
750,000 | 738,848 | 690,000 | ||||||||||||||
Meritor, Inc.
|
6.750 |
06/15/21
|
1,000,000 | 1,000,000 | 990,000 | ||||||||||||||
MGM Resorts International
|
6.750 |
10/01/20
|
1,000,000 | 1,000,000 | 1,050,000 | ||||||||||||||
Michael Foods, Inc.
|
9.750 |
07/15/18
|
75,000 | 75,000 | 82,031 | ||||||||||||||
Neustar, Inc.
|
4.500 |
01/15/23
|
750,000 | 726,577 | 673,125 | ||||||||||||||
Nexstar Broadcasting Group, Inc.
|
8.875 |
04/15/17
|
175,000 | 174,327 | 190,400 | ||||||||||||||
Nexeo Solutions LLC
|
8.375 |
03/01/18
|
40,000 | 40,000 | 39,800 | ||||||||||||||
Nielsen Finance LLC
|
4.500 |
10/01/20
|
1,000,000 | 1,000,000 | 962,500 | ||||||||||||||
NRG Energy, Inc.
|
8.500 |
06/15/19
|
750,000 | 770,294 | 804,375 | ||||||||||||||
Nuveen Investments
|
5.500 |
09/15/15
|
1,500,000 | 1,415,715 | 1,455,000 | ||||||||||||||
Omnova Solutions, Inc.
|
7.875 |
11/01/18
|
1,500,000 | 1,525,141 | 1,578,750 | ||||||||||||||
Perry Ellis International, Inc.
|
7.875 |
04/01/19
|
750,000 | 743,605 | 791,250 | ||||||||||||||
Precision Drilling Corporation
|
6.625 |
11/15/20
|
750,000 | 770,733 | 793,125 | ||||||||||||||
Quebecor Media, Inc.
|
7.750 |
03/15/16
|
570,000 | 554,184 | 579,975 | ||||||||||||||
Suburban Propane Partners, L.P.
|
7.500 |
10/01/18
|
168,000 | 176,801 | 179,760 |
Interest
|
Due
|
Principle
|
Market
|
||||||||||||||||
Corporate Public Securities: (A) (Continued)
|
Rate
|
Date
|
Amount
|
Cost
|
Value
|
||||||||||||||
Thermadyne Holdings Corporation
|
9.000 | % |
12/15/17
|
$ | 750,000 | $ | 788,168 | $ | 808,125 | ||||||||||
Tomkins, Inc.
|
9.250 |
10/01/18
|
79,000 | 79,000 | 86,110 | ||||||||||||||
Tronox Finance LLC
|
6.375 |
08/15/20
|
750,000 | 732,251 | 742,500 | ||||||||||||||
Unit Corporation
|
6.625 |
05/15/21
|
1,000,000 | 988,772 | 1,025,000 | ||||||||||||||
Venoco, Inc.
|
8.875 |
02/15/19
|
500,000 | 507,842 | 503,750 | ||||||||||||||
Visteon Corporation
|
6.750 |
04/15/19
|
180,000 | 180,000 | 191,250 | ||||||||||||||
Total Bonds
|
33,433,701 | 34,226,095 | |||||||||||||||||
Common Stock - 0.32%
|
|||||||||||||||||||
Bally Total Fitness Holding Corporation (B) (F)
|
23 | — | — | ||||||||||||||||
Chase Packaging Corporation (B)
|
9,541 | — | 191 | ||||||||||||||||
Intrepid Potash, Inc. (B)
|
365 | 11,680 | 5,760 | ||||||||||||||||
Nortek, Inc. (B)
|
175 | 1 | 12,033 | ||||||||||||||||
Rue21, Inc. (B)
|
650 | 12,350 | 26,214 | ||||||||||||||||
Supreme Industries, Inc. (B)
|
131,371 | 267,319 | 834,206 | ||||||||||||||||
Total Common Stock
|
291,350 | 878,404 | |||||||||||||||||
Total Corporate Public Securities
|
$ | 33,725,051 | $ | 35,104,499 |
Interest
|
Due
|
Principal
|
Market
|
||||||||||||||||
Short-Term Securities:
|
Rate/Yield^
|
Date
|
Amount
|
Cost
|
Value
|
||||||||||||||
Commercial Paper - 3.85%
|
|||||||||||||||||||
Florida Power and Light Company
|
0.140 | % |
10/11/13
|
$ | 4,000,000 | $ | 3,999,844 | $ | 3,999,844 | ||||||||||
Ryder System Inc.
|
0.250 |
10/02/13
|
3,500,000 | 3,499,976 | 3,499,976 | ||||||||||||||
Southern Carolina Electric and Gas
|
0.270 |
10/16/13
|
3,000,000 | 2,999,663 | 2,999,663 | ||||||||||||||
Total Short-Term Securities
|
$ | 10,499,483 | $ | 10,499,483 | |||||||||||||||
Total Investments
|
108.73 | % | $ | 295,893,152 | $ | 296,196,621 | |||||||||||||
Other Assets
|
5.22 | 14,227,563 | |||||||||||||||||
Liabilities
|
(13.95 | ) | (38,005,326 | ) | |||||||||||||||
Total Net Assets
|
100.00 | % | $ | 272,418,858 |
(A)
|
In each of the convertible note, warrant, convertible preferred and common stock investments, the issuer has agreed to provide certain registration rights.
|
(B)
|
Non-income producing security.
|
(C)
|
Variable rate security; rate indicated is as of September 30, 2013.
|
(D)
|
Defaulted security; interest not accrued.
|
(E)
|
Illiquid security. As of September 30, 2013, the value of these securities amounted to $216,053,006 or 79.31% of net assets.
|
(F)
|
Security valued at fair value using methods determined in good faith by or under the direction of the Board of Trustees.
|
^
|
Effective yield at purchase
|
PIK |
Payment-in-kind
|
Fair Value/
|
Fair Value/
|
||||||||
Industry Classification:
|
Market Value
|
Market Value
|
|||||||
BROADCASTING & ENTERTAINMENT - 0.07%
|
|||||||||
AEROSPACE - 3.38%
|
Nexstar Broadcasting Group, Inc.
|
$ | 190,400 | ||||||
A E Company, Inc.
|
$ | 740,182 | |||||||
AAR Corporation
|
1,042,500 |
BUILDINGS & REAL ESTATE - 2.25%
|
|||||||
B E Aerospace, Inc.
|
928,625 |
Hovnanian Enterprises, Inc.
|
1,052,500 | ||||||
Merex Holding Corporation
|
1,801,173 |
Lennar Corporation
|
690,000 | ||||||
Visioneering, Inc.
|
1,957,483 |
Safway Group Holding LLC/Finance Corporation
|
507,500 | ||||||
Whitcraft Holdings, Inc.
|
2,725,878 |
Sunrise Windows Holding Company
|
3,330,435 | ||||||
9,195,841 |
TruStile Doors, Inc.
|
539,739 | |||||||
AUTOMOBILE - 8.26%
|
6,120,174 | ||||||||
Accuride Corp
|
1,563,750 |
CHEMICAL, PLASTICS & RUBBER - 2.46%
|
|||||||
Audatex North America, Inc.
|
265,000 |
Capital Specialty Plastics, Inc.
|
1,230,142 | ||||||
Avis Budget Car Rental
|
864,375 |
Cornerstone Chemical Company
|
785,625 | ||||||
CG Holdings Manufacturing Company
|
3,105,415 |
Nicoat Acquisitions LLC
|
2,364,607 | ||||||
Cooper-Standard Automotive
|
1,803,750 |
Omnova Solutions, Inc.
|
1,578,750 | ||||||
DPL Holding Corporation
|
3,752,017 |
Tronox Finance LLC
|
742,500 | ||||||
Ideal Tridon Holdings, Inc.
|
479,312 | 6,701,624 | |||||||
International Automotive Component
|
1,030,000 |
CONSUMER PRODUCTS - 10.84%
|
|||||||
J A C Holding Enterprises, Inc.
|
867,639 |
AMS Holding LLC
|
3,080,206 | ||||||
Jason Partners Holdings LLC
|
48,185 |
Baby Jogger Holdings LLC
|
3,272,530 | ||||||
K & N Parent, Inc.
|
4,032,208 |
Bravo Sports Holding Corporation
|
2,329,233 | ||||||
Lear Corporation
|
695,625 |
Clearwater Paper Corporation
|
675,000 | ||||||
Meritor, Inc.
|
1,829,177 |
Custom Engineered Wheels, Inc.
|
921,493 | ||||||
Ontario Drive & Gear Ltd.
|
1,874,110 |
gloProfessional Holdings, Inc.
|
2,939,581 | ||||||
Tomkins, Inc.
|
86,110 |
Handi Quilter Holding Company
|
1,903,554 | ||||||
Visteon Corporation
|
191,250 |
K N B Holdings Corporation
|
4,731,932 | ||||||
22,487,923 |
Manhattan Beachwear Holding Company
|
3,398,321 | |||||||
BEVERAGE, DRUG & FOOD - 7.85%
|
NXP BV/NXP Funding LLC
|
1,462,500 | |||||||
1492 Acquisition LLC
|
3,139,769 |
Perry Ellis International, Inc.
|
791,250 | ||||||
Eatem Holding Company
|
3,404,291 |
R A J Manufacturing Holdings LLC
|
785,266 | ||||||
F F C Holding Corporation
|
3,399,122 |
Tranzonic Companies (The)
|
3,236,451 | ||||||
Hospitality Mints Holding Company
|
2,173,282 | 29,527,317 | |||||||
JMH Investors LLC
|
2,863,081 | ||||||||
Michael Foods, Inc.
|
82,031 | ||||||||
Pinnacle Operating Corporation
|
358,313 | ||||||||
Snacks Parent Corporation
|
3,048,119 | ||||||||
Spartan Foods Holding Company
|
2,290,631 | ||||||||
Specialty Commodities, Inc.
|
637,295 | ||||||||
21,395,934 |
Industry Classification: (Continued) |
Fair Value/
Market Value |
Fair Value/
Market Value |
|||||||
CONTAINERS, PACKAGING & GLASS - 4.70% | DIVERSIFIED/CONGLOMERATE, SERVICE - 10.14% | ||||||||
Chase Packaging Corporation
|
$ | 191 |
ADT Corporation
|
$ | 1,015,000 | ||||
Flutes, Inc.
|
1,218,385 |
A S C Group, Inc.
|
469,384 | ||||||
P K C Holding Corporation
|
3,816,548 |
A W X Holdings Corporation
|
367,500 | ||||||
P P T Holdings LLC
|
3,488,015 |
Advanced Technologies Holdings
|
1,825,047 | ||||||
Paradigm Packaging, Inc.
|
1,912,353 |
Apex Analytix Holding Corporation
|
2,559,574 | ||||||
Rose City Holding Company
|
1,541,036 |
Church Services Holding Company
|
1,593,280 | ||||||
Vitex Packaging Group, Inc.
|
830,485 |
Clough, Harbour and Associates
|
399,942 | ||||||
12,807,013 |
Crane Rental Corporation
|
2,406,206 | |||||||
DISTRIBUTION - 6.36%
|
ELT Holding Company
|
2,990,273 | |||||||
ARI Holding Corporation
|
3,282,021 |
Hilton Worldwide Holdings, Inc.
|
1,002,500 | ||||||
Blue Wave Products, Inc.
|
1,589,045 |
Hub International Ltd.
|
1,001,250 | ||||||
BP SCI LLC
|
2,980,792 |
HVAC Holdings, Inc.
|
3,065,561 | ||||||
Duncan Systems, Inc.
|
1,035,774 |
Insurance Claims Management, Inc.
|
574,999 | ||||||
Signature Systems Holdings Company
|
2,053,650 |
Mail Communications Group, Inc.
|
540,543 | ||||||
Stag Parkway Holding Company
|
3,101,888 |
Mustang Merger Corporation
|
990,000 | ||||||
WP Supply Holding Corporation
|
3,294,273 |
Nexeo Solutions LLC
|
39,800 | ||||||
17,337,443 |
Northwest Mailing Services, Inc.
|
3,183,977 | |||||||
DIVERSIFIED/CONGLOMERATE,
|
Safety Infrastructure Solutions
|
2,837,355 | |||||||
MANUFACTURING - 10.17%
|
Sirius XM Radio Inc.
|
756,562 | |||||||
A H C Holding Company, Inc.
|
372,010 | 27,618,753 | |||||||
Advanced Manufacturing Enterprises LLC
|
2,779,392 |
ELECTRONICS - 1.09%
|
|||||||
Arrow Tru-Line Holdings, Inc.
|
1,656,503 |
Connecticut Electric, Inc.
|
2,968,627 | ||||||
C D N T, Inc.
|
1,136,484 | ||||||||
EPM Holding Company
|
1,438,461 |
FINANCIAL SERVICES - 4.04%
|
|||||||
F G I Equity LLC
|
4,651,612 |
Ally Financial, Inc.
|
1,710,834 | ||||||
G C Holdings
|
1,959,742 |
Alta Mesa Financial Services
|
1,582,500 | ||||||
Hi-Rel Group LLC
|
2,268,446 |
LBC Tank Terminals Holding Netherlands B.V.
|
1,321,575 | ||||||
J.B. Poindexter Co., Inc.
|
1,050,000 |
Nielsen Finance LLC
|
962,500 | ||||||
K P H I Holdings, Inc.
|
808,469 |
Nuveen Investments
|
1,455,000 | ||||||
K P I Holdings, Inc.
|
324,151 |
REVSpring, Inc.
|
3,979,043 | ||||||
LPC Holding Company
|
440,018 | 11,011,452 | |||||||
MEGTEC Holdings, Inc.
|
1,067,277 | ||||||||
Nortek, Inc.
|
12,033 | ||||||||
O E C Holding Corporation
|
1,445,456 | ||||||||
Postle Aluminum Company LLC
|
3,404,973 | ||||||||
Truck Bodies & Equipment International
|
2,903,391 | ||||||||
27,718,418 |
Industry Classification: (Continued) |
Fair Value/
Market Value |
Fair Value/
Market Value
|
|||||||
HEALTHCARE, EDUCATION & CHILDCARE - 5.54% | MEDICAL DEVICES/BIOTECH - 2.48% | ||||||||
American Hospice Management Holding LLC
|
$ | 3,197,706 |
Chemtura Corporation
|
$ | 540,000 | ||||
CHG Alternative Education Holding Company
|
3,102,481 |
Halcón Resources Corporation
|
1,057,500 | ||||||
GD Dental Services LLC
|
198,400 |
Health Management Association
|
819,375 | ||||||
Healthcare Direct Holding Company
|
2,101,866 |
MedSystems Holdings LLC
|
243,196 | ||||||
Marshall Physicians Services LLC
|
1,789,495 |
MicroGroup, Inc.
|
426,288 | ||||||
SouthernCare Holdings, Inc.
|
293,877 |
NT Holding Company
|
3,309,941 | ||||||
Strata/WLA Holding Corporation
|
719,361 |
Precision Wire Holding Company
|
349,713 | ||||||
Synteract Holdings Corporation
|
3,386,125 | 6,746,013 | |||||||
Wheaton Holding Corporation | 303,024 |
15,092,335 |
|
||||||||
HOME & OFFICE FURNISHINGS, HOUSEWARES & DURABLE CONSUMER PRODUCTS - 2.18% |
MINING, STEEL, IRON & NON-PRECIOUS
METALS - 1.52% |
||||||||
Connor Sport Court International, Inc.
|
762,338 | Coeur d’Alene Mines Corporation |
1,010,000
|
||||||
Home Décor Holding Company
|
666,304 |
Commercial Metals Company
|
1,350,000 | ||||||
Transpac Holding Company
|
1,329,754 |
FMG Resources
|
1,772,500 | ||||||
U-Line Corporation
|
759,585 | 4,132,500 | |||||||
U M A Enterprises, Inc.
|
1,984,024 |
NATURAL RESOURCES - 0.37%
|
|||||||
Wellborn Forest Holding Company
|
430,313 |
Arch Coal, Inc.
|
116,250 | ||||||
5,932,318 |
Headwaters, Inc.
|
892,500 | |||||||
LEISURE, AMUSEMENT & ENTERTAINMENT - 0.50% |
Intrepid Potash, Inc.
|
5,760 | |||||||
MGM Resorts International
|
1,050,000 | 1,014,510 | |||||||
Univision Communications, Inc.
|
311,188 | ||||||||
1,361,188 | |||||||||
MACHINERY - 5.20%
|
|||||||||
ABC Industries, Inc.
|
1,542,217 | ||||||||
Arch Global Precision LLC
|
3,191,523 | ||||||||
E S P Holdco, Inc.
|
474,193 | ||||||||
M V I Holding, Inc.
|
62,539 | ||||||||
Milacron Financial
|
516,250 | ||||||||
Motion Controls Holdings
|
3,082,000 | ||||||||
NetShape Technologies, Inc.
|
2,777,829 | ||||||||
Pacific Consolidated Holdings LLC
|
79,688 | ||||||||
Supreme Industries, Inc.
|
834,206 | ||||||||
Thermadyne Holdings Corporation
|
808,125 | ||||||||
Welltec A/S
|
798,750 | ||||||||
14,167,320 |
Fair Value/
|
Fair Value/
|
||||||||
Industry Classification: (Continued)
|
Market Value
|
Market Value
|
|||||||
OIL & GAS - 9.53%
|
TELECOMMUNICATIONS - 1.26%
|
||||||||
Calumet Specialty Products Partners L.P.
|
$ | 1,646,250 |
All Current Holding Company
|
$ | 454,965 | ||||
CVR Refining LLC
|
631,312 |
CCO Holdings Capital Corporation
|
794,062 | ||||||
Energy Transfer Equity L.P.
|
107,000 |
Commscope Holdings Inc.
|
497,500 | ||||||
EP Energy/EP Finance Inc.
|
1,125,000 |
Neustar, Inc.
|
673,125 | ||||||
Forum Energy Technologies
|
327,031 |
Sprint Corporation
|
1,020,000 | ||||||
Hercules Offshore, Inc.
|
1,000,000 | 3,439,652 | |||||||
Hilcorp Energy Company
|
775,750 |
TRANSPORTATION - 3.30%
|
|||||||
Linn Energy, LLC
|
1,033,750 |
CHC Helicopter SA
|
1,492,500 | ||||||
Magnum Hunter Resources Corporation
|
1,552,500 |
Huntington Ingalls Industries
|
808,125 | ||||||
MBWS Ultimate Holdco, Inc.
|
5,228,521 |
MNX Holding Company
|
3,009,529 | ||||||
MEG Energy Corporation
|
1,006,250 |
NABCO, Inc.
|
191,426 | ||||||
Midstates Petro Inc.
|
987,500 |
Ryder System Inc.
|
3,499,976 | ||||||
Oasis Petroleum Inc.
|
1,055,000 | 9,001,556 | |||||||
Petroplex Inv Holdings LLC
|
2,990,966 |
UTILITIES - 2.27%
|
|||||||
Precision Drilling Corporation
|
793,125 |
Calpine Corporation
|
717,187 | ||||||
RKI Inc.
|
1,005,000 |
Crosstex Energy L.P.
|
239,063 | ||||||
Southern Carolina Electric and Gas
|
2,999,663 |
Energy Future Holdings
|
420,000 | ||||||
Suburban Propane Partners, L.P.
|
179,760 |
Florida Power and Light Company
|
3,999,844 | ||||||
Unit Corporation
|
1,025,000 |
NRG Energy, Inc.
|
804,375 | ||||||
Venoco, Inc.
|
503,750 | 6,180,469 | |||||||
25,973,128 | WASTE MANAGEMENT/POLLUTION - 1.00% |
PHARMACEUTICALS - 0.56%
|
Torrent Group Holdings, Inc.
|
2,710,584 | |||||||
CorePharma LLC
|
504,919 | ||||||||
Valeant Pharmaceuticals International
|
1,007,525 | ||||||||
1,512,444 | |||||||||
PUBLISHING/PRINTING - 0.36%
|
Total Investments - 108.73%
|
$ | 296,196,621 | ||||||
Newark Group, Inc.
|
411,497 | ||||||||
Quebecor Media, Inc.
|
579,975 | ||||||||
991,472 | |||||||||
RETAIL STORES - 0.27%
|
|||||||||
Clarie’s Stores, Inc.
|
708,687 | ||||||||
Rue21, Inc.
|
26,214 | ||||||||
734,901 | |||||||||
TECHNOLOGY - 0.78%
|
|||||||||
Fidelity National Information
|
138,135 | ||||||||
First Data Corporation
|
965,000 | ||||||||
Smart Source Holdings LLC
|
1,022,177 | ||||||||
2,125,312 |
Assets:
|
Total
|
Level 1
|
Level 2
|
Level 3
|
||||||||||||
Restricted Securities
|
||||||||||||||||
Corporate Bonds
|
$ | 192,624,579 | $ | — | $ | 34,402,995 | $ | 158,221,584 | ||||||||
Common Stock - U.S.
|
23,367,217 | — | — | 23,367,217 | ||||||||||||
Preferred Stock
|
14,160,483 | — | 136,637 | 14,023,846 | ||||||||||||
Partnerships and LLCs
|
20,440,360 | — | 20,440,360 | |||||||||||||
Public Securities
|
||||||||||||||||
Corporate Bonds
|
34,226,095 | — | 34,226,095 | — | ||||||||||||
Common Stock - U.S.
|
878,404 | 878,404 | — | — | ||||||||||||
Short-term Securities
|
10,499,483 | — | 10,499,483 | — | ||||||||||||
Total
|
$ | 296,196,621 | $ | 878,404 | $ | 79,265,210 | $ | 216,053,007 | ||||||||
See information disaggregated by security type and industry classification in the Consolidated Schedule of Investments. |
Beginning
|
Transfers in
|
Ending
|
||||||||||||||||||||||||||
balance
|
Included in
|
and/or
|
balance at
|
|||||||||||||||||||||||||
Assets:
|
at 12/31/2012
|
earnings
|
Purchases
|
Sales
|
Prepayments
|
out of Level 3 |
09/30/2013
|
|||||||||||||||||||||
Restricted Securities
|
||||||||||||||||||||||||||||
Corporate Bonds
|
$ | 191,789,043 | $ | (3,895,290 | ) | $ | 24,070,962 | $ | (9,078,854 | ) | $ | (44,664,277 | ) | $ | — | $ | 158,221,584 | |||||||||||
Common Stock - U.S.
|
18,594,948 | 5,760,491 | 1,019,580 | (2,007,802 | ) | — | — | 23,367,217 | ||||||||||||||||||||
Preferred Stock
|
12,415,845 | 1,198,514 | 969,658 | (560,171 | ) | — | — | 14,023,846 | ||||||||||||||||||||
Partnerships and LLCs
|
15,933,742 | 3,711,257 | 1,249,285 | (453,924 | ) | — | — | 20,440,360 | ||||||||||||||||||||
Public Securities
|
||||||||||||||||||||||||||||
Common Stock
|
— | 2 | — | (2 | ) | — | — | — | ||||||||||||||||||||
$ | 238,733,578 | $ | 6,774,974 | $ | 27,309,485 | $ | (12,100,753 | ) | $ | (44,664,277 | ) | $ | — | $ | 216,053,007 |
By (Signature and Title)*
|
/s/ Michael L. Klofas
Michael L. Klofas, President |
By (Signature and Title)*
|
/s/ Michael L. Klofas
Michael L. Klofas, President |
By (Signature and Title)*
|
/s/ James M. Roy
James M. Roy, Vice President and Chief Financial Officer
|