Principal Amount |
Value (Note 1) |
||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Convertible Bonds and Notes 72.7% |
|||||||||||
Airlines 1.5% |
|||||||||||
Hawaiian Holdings, Inc., 5.00%, Due 3/15/16, (BB) |
$ | 1,000,000 | $ | 1,838,750 | |||||||
Automobiles 0.4% |
|||||||||||
Tesla Motors, Inc., 1.25%, Due 3/1/21, (BBB) |
500,000 | 469,688 | |||||||||
Biotechnology 9.2% |
|||||||||||
Acorda Therapeutics, Inc., 1.75%, Due 6/15/21, (A) |
250,000 | 243,906 | |||||||||
AMAG Pharmaceuticals, Inc., 2.50%, Due 2/15/19, (BB) |
500,000 | 517,500 | |||||||||
Array BioPharma Inc., 3.00%, Due 6/1/20, (BB) |
250,000 | 235,312 | |||||||||
Cepheid, 1.25%, Due 2/1/21, (A) (1) |
800,000 | 756,000 | |||||||||
Cubist Pharmaceuticals, Inc., 1.875%, Due 9/1/20, (BBB) |
1,100,000 | 1,185,938 | |||||||||
Emergent BioSolutions Inc., 2.875%, Due 1/15/21, (BBB) |
800,000 | 827,000 | |||||||||
Exelixis, Inc., 4.25%, Due 8/15/19, (BB) |
1,000,000 | 941,250 | |||||||||
Gilead Sciences, Inc., 1.625%, Due 5/1/16, (A) |
900,000 | 3,620,254 | |||||||||
Incyte Corp., 1.25%, Due 11/15/20, (BBB) |
1,000,000 | 1,209,375 | |||||||||
Merrimack Pharmaceuticals, Inc., 4.50%, Due 7/15/20, (BB) |
250,000 | 291,250 | |||||||||
OPKO Health Inc., 3.00%, Due 2/1/33, (BBB) |
400,000 | 541,000 | |||||||||
Regeneron Pharmaceuticals, Inc., 1.875%, Due 10/1/16, (A) |
250,000 | 940,625 | |||||||||
11,309,410 | |||||||||||
Capital Markets 2.1% |
|||||||||||
BlackRock Kelso Capital Corp., 5.50%, Due 2/15/18, (BBB) |
1,500,000 | 1,588,125 | |||||||||
FXCM Inc., 2.25%, Due 6/15/18, (A) |
1,000,000 | 1,003,750 | |||||||||
2,591,875 | |||||||||||
Communications Equipment 2.2% |
|||||||||||
Infinera Corp., 1.75%, Due 6/1/18, (BBB) |
1,250,000 | 1,312,500 | |||||||||
InterDigital, Inc., 2.50%, Due 3/15/16, (A) |
1,250,000 | 1,347,656 | |||||||||
2,660,156 | |||||||||||
Computers & Peripherals 1.1% |
|||||||||||
SanDisk Corp., 1.50%, Due 8/15/17, (A) |
750,000 | 1,372,031 | |||||||||
Consumer Finance 1.6% |
|||||||||||
Encore Capital Group, Inc., 3.00%, Due 7/1/20, (BBB) (1) |
1,250,000 | 1,396,875 | |||||||||
Portfolio Recovery Associates, Inc., 3.00%, Due 8/1/20, (A) |
500,000 | 590,000 | |||||||||
1,986,875 | |||||||||||
Diversified Consumer Services 0.8% |
|||||||||||
Carriage Services, Inc., 2.75%, Due 3/15/21, (BBB) (1) |
1,000,000 | 1,014,380 | |||||||||
Diversified Telecommunications Services 0.7% |
|||||||||||
Alaska Communications Systems Group, Inc., 6.25%, Due 5/1/18, (BB) |
1,000,000 | 813,125 | |||||||||
Electrical Equipment 0.6% |
|||||||||||
SolarCity Corp., 2.75%, Due 11/1/18, (BBB) |
500,000 | 700,000 | |||||||||
Electronic Equipment Instruments 1.4% |
|||||||||||
InvenSense, Inc., 1.75%, Due 11/1/18, (BBB) (1) |
1,500,000 | 1,801,875 | |||||||||
Energy Equipment & Services 2.2% |
|||||||||||
Bristow Group Inc., 3.00%, Due 6/15/38, (BB) |
1,356,000 | 1,544,145 | |||||||||
Hornbeck Offshore Services, Inc., 1.50%, Due 9/1/19, (BB) |
1,000,000 | 1,166,250 | |||||||||
2,710,395 | |||||||||||
Food Products 0.6% |
|||||||||||
Chiquita Brands International, 4.25%, Due 8/15/16, (CCC) |
700,000 | 703,062 |
Principal Amount |
Value (Note 1) |
||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Convertible Bonds and Notes continued |
|||||||||||
Health Care Equipment & Supplies 0.2% |
|||||||||||
The Spectranetics Corporation, 2.625%, Due 6/1/34, (BBB) |
$ | 250,000 | $ | 281,406 | |||||||
Health Care Providers & Services 1.2% |
|||||||||||
Molina Healthcare Inc., 1.125%, Due 1/15/20, (A) |
1,250,000 | 1,471,094 | |||||||||
Health Care Technology 0.7% |
|||||||||||
Allscripts Healthcare Solutions, Inc., 1.25%, Due 7/1/20, (A) |
750,000 | 855,938 | |||||||||
Hotels, Restaurants & Leisure 0.6% |
|||||||||||
MGM Resorts International, 4.25%, Due 4/15/15, (B) |
500,000 | 743,438 | |||||||||
Household Durables 1.4% |
|||||||||||
Jarden Corp., 1.875%, Due 9/15/18, (BB) |
750,000 | 994,688 | |||||||||
Jarden Corp., 1.125%, Due 3/15/34, (BB) (1) |
750,000 | 744,375 | |||||||||
1,739,063 | |||||||||||
Insurance 0.7% |
|||||||||||
AmTrust Financial Services, Inc., 5.50%, Due 12/15/21, (A) |
500,000 | 846,875 | |||||||||
Internet & Catalog Retail 2.2% |
|||||||||||
HomeAway, Inc., 0.125%, Due 4/1/19, (A) (1) |
500,000 | 490,938 | |||||||||
The Priceline Group Inc., 1.00%, Due 3/15/18, (BBB) |
1,500,000 | 2,171,250 | |||||||||
2,662,188 | |||||||||||
Internet Software & Services 4.9% |
|||||||||||
Cardtronics, Inc., 1.00%, Due 12/1/20, (BB) |
1,250,000 | 1,241,412 | |||||||||
Equinix Inc., 4.75%, Due 6/15/16, (B) |
750,000 | 1,947,188 | |||||||||
Move, Inc., 2.75%, Due 9/1/18, (A) |
500,000 | 540,312 | |||||||||
Web.com Group, Inc., 1.00%, Due 8/15/18, (BBB) |
1,250,000 | 1,292,969 | |||||||||
Yahoo! Inc., Due 12/1/18, (BB) (1) |
1,000,000 | 1,013,125 | |||||||||
6,035,006 | |||||||||||
IT Services 1.3% |
|||||||||||
CSG Systems International, Inc., 3.00%, Due 3/1/17, (A) |
1,250,000 | 1,561,719 | |||||||||
Life Science Tools & Services 1.6% |
|||||||||||
Illumina, Inc., 0.25%, Due 3/15/16, (A) |
500,000 | 969,378 | |||||||||
Illumina, Inc., 0.50%, Due 6/15/21, (A) (1) |
1,000,000 | 998,125 | |||||||||
1,967,503 | |||||||||||
Machinery 0.8% |
|||||||||||
Chart Industries, Inc., 2.00%, Due 8/1/18, (BB) |
750,000 | 986,250 | |||||||||
Media 0.8% |
|||||||||||
Liberty Media Corp., 1.375%, Due 10/15/23, (A) |
1,000,000 | 1,026,250 | |||||||||
Metals & Mining 2.8% |
|||||||||||
A.M. Castle & Co., 7.00%, Due 12/15/17, (BBB) |
400,000 | 431,000 | |||||||||
Kaiser Aluminum Corp., 4.50%, Due 4/1/15, (BB) |
750,000 | 1,223,250 | |||||||||
Royal Gold, Inc., 2.875%, Due 6/15/19, (A) |
600,000 | 654,000 | |||||||||
RTI International Metals, Inc., 3.00%, Due 12/1/15, (BBB) |
600,000 | 620,625 | |||||||||
RTI International Metals, Inc., 1.625%, Due 10/15/19, (BBB) |
500,000 | 489,688 | |||||||||
3,418,563 | |||||||||||
Oil, Gas & Consumable Fuels 1.7% |
|||||||||||
Clean Energy Fuels Corp., 5.25%, Due 10/1/18, (BB) |
500,000 | 472,812 | |||||||||
Goodrich Petroleum Corp., 5.00%, Due 10/1/32, (CCC) |
743,000 | 839,590 | |||||||||
Ship Finance International Ltd., 3.25%, Due 2/1/18, (B) |
750,000 | 842,344 | |||||||||
2,154,746 |
Principal Amount |
Value (Note 1) |
||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Convertible Bonds and Notes continued |
|||||||||||
Pharmaceuticals 2.7% |
|||||||||||
Mylan Inc., 3.75%, Due 9/15/15, (BBB) |
$ | 500,000 | $ | 1,857,500 | |||||||
Salix Pharmaceuticals, Ltd., 2.75%, Due 5/15/15, (B) |
300,000 | 851,625 | |||||||||
Salix Pharmaceuticals, Ltd., 1.50%, Due 3/15/19, (B) |
300,000 | 621,375 | |||||||||
3,330,500 | |||||||||||
Real Estate Investment Trusts 3.9% |
|||||||||||
American Realty Capital Properties, Inc., 3.00%, Due 8/1/18, (A) |
1,000,000 | 1,021,875 | |||||||||
Colony Financial, Inc., 5.00%, Due 4/15/23, (AA) |
1,250,000 | 1,329,688 | |||||||||
IAS Operating Partnership LP, 5.00%, Due 3/15/18, (NR) (1) |
|||||||||||
(exchangeable for Invesco Mortgage Capital Inc. common stock) |
1,000,000 | 983,125 | |||||||||
Lexington Realty Trust, 6.00%, Due 1/15/30, (BBB) |
300,000 | 483,938 | |||||||||
RAIT Financial Trust, 4.00%, Due 10/1/33, (A) |
500,000 | 480,625 | |||||||||
Spirit Realty Capital, Inc., 3.75%, Due 5/15/21, (A) |
500,000 | 506,252 | |||||||||
4,805,503 | |||||||||||
Real Estate Management 0.8% |
|||||||||||
Forest City Enterprises, Inc., 3.625%, Due 8/15/20, (B) |
1,000,000 | 1,050,000 | |||||||||
Semiconductors & Semiconductor Equipment 9.2% |
|||||||||||
GT Advanced Technologies Inc., 3.00%, Due 12/15/20, (BB) |
1,000,000 | 1,396,875 | |||||||||
JinkoSolar Holding Co., Ltd., 4.00%, Due 2/1/19, (BB) |
500,000 | 471,875 | |||||||||
Micron Technology, Inc., 3.00%, Due 11/15/43, (BB) |
1,750,000 | 2,157,969 | |||||||||
NVIDIA Corp., 1.00%, Due 12/1/18, (BB) (1) |
1,250,000 | 1,359,375 | |||||||||
Photronics, Inc., 3.25%, Due 4/1/16, (A) |
1,000,000 | 1,055,625 | |||||||||
Rudolph Technologies Inc., 3.75%, Due 7/15/16, (A) |
500,000 | 521,875 | |||||||||
Spansion LLC, 2.00%, Due 9/1/20, (B) |
500,000 | 762,812 | |||||||||
SunEdison, Inc., 2.75%, Due 1/1/21, (BB) |
500,000 | 784,688 | |||||||||
SunEdison, Inc., 0.25%, Due 1/15/20, (BB) (1) |
375,000 | 378,516 | |||||||||
SunPower Corp., 0.875%, Due 6/1/21, (BBB) (1) |
1,500,000 | 1,695,938 | |||||||||
Xilinx, Inc., 2.625%, Due 6/15/17, (A) |
500,000 | 737,500 | |||||||||
11,323,048 | |||||||||||
Software 8.3% |
|||||||||||
Bottomline Technologies, Inc., 1.50%, Due 12/1/17, (A) |
1,000,000 | 1,146,250 | |||||||||
Mentor Graphics Corp., 4.00%, Due 4/1/31, (A) |
1,250,000 | 1,450,000 | |||||||||
MercadoLibre, Inc., 2.25%, Due 7/1/19, (AA) (1) |
500,000 | 510,938 | |||||||||
NQ Mobile Inc., 4.00%, Due 10/15/18, (BB) |
500,000 | 364,062 | |||||||||
Nuance Communications, Inc., 2.75%, Due 11/1/31, (BB) |
2,000,000 | 2,000,000 | |||||||||
Proofpoint, Inc., 1.25%, Due 12/15/18, (BBB) (1) |
1,250,000 | 1,440,625 | |||||||||
Take-Two Interactive Software, Inc., 1.75%, Due 12/1/16, (A) |
1,000,000 | 1,316,875 | |||||||||
TeleCommunication Systems, Inc., 7.75%, Due 6/30/18, (BBB) |
1,000,000 | 985,000 | |||||||||
Verint Systems Inc., 1.50%, Due 6/1/21, (B) |
950,000 | 969,000 | |||||||||
10,182,750 | |||||||||||
Textiles, Apparel & Luxury Goods 1.7% |
|||||||||||
Iconix Brand Group, Inc., 2.50%, Due 6/1/16, (A) |
750,000 | 1,074,375 | |||||||||
Iconix Brand Group, Inc., 1.50%, Due 3/15/18, (A) |
750,000 | 1,079,062 | |||||||||
2,153,437 | |||||||||||
Trading Companies & Distributors 0.8% |
|||||||||||
Kaman Corp., 3.25%, Due 11/15/17, (A) |
750,000 | 968,906 | |||||||||
Total Convertible Bonds and Notes |
89,535,805 | ||||||||||
Shares |
|||||||||||
Convertible Preferred Stock 12.1% |
|||||||||||
Commercial Banks 3.3% |
|||||||||||
Huntington Bancshares, Inc., 8.50%, (BB) |
1,250 | 1,668,750 | |||||||||
Wells Fargo & Co., 7.50%, (BBB) |
2,000 | 2,420,000 | |||||||||
4,088,750 |
Shares |
Value (Note 1) |
||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Convertible Preferred Stock continued |
|||||||||||
Diversified Financial Services 1.7% |
|||||||||||
Bank of America Corp., 7.25%, (BB) |
1,800 | $ | 2,079,000 | ||||||||
Food Products 1.8% |
|||||||||||
Bunge Ltd., 4.875%, (BB) |
7,500 | 800,250 | |||||||||
Post Holdings, Inc., 3.75%, (B) |
8,300 | 893,288 | |||||||||
Post Holdings, Inc., 2.50%, (B) |
5,000 | 459,688 | |||||||||
2,153,226 | |||||||||||
Machinery 0.9% |
|||||||||||
Stanley Black & Decker, Inc., 6.25%, (BBB) |
10,000 | 1,137,500 | |||||||||
Oil, Gas & Consumable Fuels 1.9% |
|||||||||||
Chesapeake Energy Corp., 5.75%, (B) |
1,550 | 1,825,512 | |||||||||
Halcon Resources Corp., 5.75%, (CCC) |
500 | 520,000 | |||||||||
2,345,512 | |||||||||||
Real Estate Investment Trusts 0.9% |
|||||||||||
Health Care REIT, Inc., 6.50%, (BB) |
20,000 | 1,159,800 | |||||||||
Specialty Retail 0.6% |
|||||||||||
Amerivon Holdings LLC, 4.00%, (NR) (1,2,3) |
655,793 | 763,605 | |||||||||
Amerivon Holdings LLC, common equity units, (NR) (1,2,3) |
272,728 | 16,364 | |||||||||
779,969 | |||||||||||
Thrift & Mortgage Finance 1.0% |
|||||||||||
New York Community Capital Trust V, 6.00%, (BB) |
24,000 | 1,194,960 | |||||||||
Total Convertible Preferred Stock |
14,938,717 | ||||||||||
Mandatory Convertible Securities 11.9% (4) |
|||||||||||
Aerospace & Defense 1.9% |
|||||||||||
United Technologies Corp., 7.50%, Due 8/1/15, (BBB) |
40,000 | 2,372,800 | |||||||||
Biotechnology 0.9% |
|||||||||||
AmSurg Corp., 5.25%, Due 7/1/17, (B) |
10,500 | 1,095,938 | |||||||||
Electric Utilities 1.8% |
|||||||||||
NextEra Energy, Inc., 5.599%, Due 6/1/15, (BBB) |
7,500 | 465,375 | |||||||||
NextEra Energy, Inc., 5.799%, Due 9/1/16, (BBB) |
10,000 | 535,500 | |||||||||
NextEra Energy, Inc., 5.889%, Due 9/1/15, (BBB) |
20,000 | 1,208,600 | |||||||||
2,209,475 | |||||||||||
Food Products 0.4% |
|||||||||||
Post Holdings, Inc., 5.25%, Due 6/1/17, (B) |
2,500 | 244,688 | |||||||||
Tyson Foods, Inc., 4.75%, Due 7/15/17, (NR) |
5,000 | 250,000 | |||||||||
494,688 | |||||||||||
Insurance 0.8% |
|||||||||||
Maiden Holdings, Ltd., 7.25%, Due 9/15/16, (NR) |
22,500 | 1,051,425 | |||||||||
Multi-Utilities 1.1% |
|||||||||||
Dominion Resources, Inc., 6.125%, Due 4/1/16, (BBB) |
12,500 | 692,500 | |||||||||
Dominion Resources, Inc., 6.00%, Due 7/1/16, (BBB) |
12,500 | 692,750 | |||||||||
1,385,250 | |||||||||||
Real Estate Investment Trusts 3.9% |
|||||||||||
American Tower Corp., 5.25%, Due 5/15/17, (BBB) |
15,000 | 1,649,550 | |||||||||
Crown Castle International Corp., 4.50%, Due 11/1/16, (B) |
15,000 | 1,499,400 | |||||||||
Weyerhaeuser Co., 6.375%, Due 7/1/16, (BBB) |
30,000 | 1,652,700 | |||||||||
4,801,650 | |||||||||||
Road & Rail 1.1% |
|||||||||||
Genesee & Wyoming, Inc., 5.00%, Due 10/1/15, (NR) |
10,000 | 1,295,000 | |||||||||
Total Mandatory Convertible Securities (4) |
14,706,226 |
Shares |
Value (Note 1) |
||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Common Stock 0.5% |
|||||||||||
Insurance 0.5% |
|||||||||||
MetLife, Inc. |
12,680 | $ | 666,968 | ||||||||
Oil, Gas & Consumable Fuels 0.0% |
|||||||||||
Halcon Resources Corp. |
1,380 | 8,211 | |||||||||
Total Common Stock |
675,179 | ||||||||||
Convertible Bonds and Notes 72.7% |
$ | 89,535,805 | |||||||||
Convertible Preferred Stock 12.1% |
14,938,717 | ||||||||||
Mandatory Convertible Securities 12.0% |
14,706,226 | ||||||||||
Common Stock 0.6% |
675,179 | ||||||||||
Total Investments 97.4% |
119,855,927 | ||||||||||
Other Assets, Net of Liabilites 2.6% |
3,237,477 | ||||||||||
Total Net Assets 100.0% |
$ | 123,093,404 |
Security |
|
Acquisition Date |
|
Shares |
|
Cost |
|
Price per Share |
|
Value |
|
% Net Assets |
|||||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Amerivon Holdings LLC series A 4.00% cv. pfd. |
April 1, 2010 | 655,793 | $ | 1,500,000 | $ | 1.147 | $ | 763,605 | 0.62 | % | |||||||||||||||||
Amerivon Holdings LLC common equity units |
April 1, 2010 | 272,728 | 0 | 0.060 | 16,364 | 0.01 | % |
SUMMARY OF PORTFOLIO RATINGS * |
||||||
AAA |
0 | % | ||||
AA |
1 | % | ||||
A |
26 | % | ||||
BBB |
31 | % | ||||
BB |
25 | % | ||||
B |
11 | % | ||||
CCC & below |
2 | % | ||||
Not Rated |
4 | % |
Level 1 |
|
Level 2 |
|
Level 3 |
|
Totals |
|||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Investments in Securities: |
|||||||||||||||||||
Common Stock |
$ | 675,179 | $ | | $ | | $ | 675,179 | |||||||||||
Convertible Bonds and Notes |
| 89,535,805 | | 89,535,805 | |||||||||||||||
Convertible Preferred Stock: |
|||||||||||||||||||
Commercial Banks |
| 4,088,750 | | 4,088,750 | |||||||||||||||
Diversified Financial Services |
| 2,079,000 | | 2,079,000 | |||||||||||||||
Food Products |
| 2,153,226 | | 2,153,226 | |||||||||||||||
Machinery |
| 1,137,500 | | 1,137,500 | |||||||||||||||
Oil, Gas & Consumable Fuels |
| 2,345,512 | | 2,345,512 | |||||||||||||||
Real Estate Investment Trusts |
| 1,159,800 | | 1,159,800 | |||||||||||||||
Specialty Retail |
| | 779,969 | 779,969 | |||||||||||||||
Thrift & Mortgage Finance |
| 1,194,960 | | 1,194,960 | |||||||||||||||
Total Preferred Stock |
| 14,158,748 | 779,969 | 14,938,717 | |||||||||||||||
Mandatory Convertible Securities |
| 14,706,226 | | 14,706,226 | |||||||||||||||
Total Investments |
$ | 675,179 | $ | 118,400,779 | $ | 779,969 | $ | 119,855,927 |
Description |
Investments in Securities |
|||||
---|---|---|---|---|---|---|
Beginning balance as of October 31, 2014 |
$ | 780,024 | ||||
Proceeds from sales |
| |||||
Gain/loss |
| |||||
Change in unrealized appreciation (depreciation) |
(55 | ) | ||||
Net transfers in/out of Level 3 |
||||||
Balance as of July 31, 2014 |
$ | 779,969 |
Fair Value July 31, 2014 |
Valuation Methodologies |
Unobservable Input (1) |
Impact to Valuation from an Increase in Input (2) |
|||||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Amerivon Holdings LLC series A cv. pfd. and common equity units |
$ | 779,969 | Market Comparables/ Sum of the Parts Valuation/ Dividend Analysis |
Liquidity Discount |
Decrease |
Unrealized appreciation |
$ | 17,364,793 | ||||
Unrealized depreciation |
(1,876,482 | ) | ||||
Net unrealized appreciation |
15,488,311 | |||||
Cost for federal income tax purposes |
$ | 104,367,616 |