Unassociated Document
 


 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549


FORM N-Q


Quarterly Schedule of Portfolio Holdings of
Registered Management Investment Company

Investment Company Act file number 811-05531




Babson Capital Participation Investors

(Exact name of registrant as specified in charter)



1500 Main Street, Springfield, MA 01115

(Address of principal executive offices) (Zip code)



Janice M. Bishop, Vice President, Secretary and Chief Legal Officer
Independence Wharf, 470 Atlantic Avenue, Boston, MA  02210

(Name and address of agent for service)



Registrant's telephone number, including area code: 413-226-1000


___________________


Date of fiscal year end: 12/31

___________________


Date of reporting period: 09/30/15

___________________
 
 

 


 
 
 
CONSOLIDATED SCHEDULE OF INVESTMENTS
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities - 78.22%: (A)
 
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
   
Private Placement Investments - 64.95%: (C)
 
   
1492 Acquisition LLC
 
A leading producer of premium Italian cured meats and deli meats in the U.S.
 
14% Senior Subordinated Note due 10/17/2019
  $ 687,703    
10/17/12
    $ 678,450     $ 684,354  
Limited Liability Company Unit Class A Common (B)
 
11,364 uts.
   
10/17/12
      11,364        
Limited Liability Company Unit Class A Preferred (B)
 
102 uts.
   
10/17/12
      102,270       91,816  
                    792,084       776,170  
                               
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.
 
14% Senior Subordinated Note due 12/21/2020
  $ 1,059,775    
12/20/13
      1,042,778       1,070,372  
Limited Liability Company Unit Class A (B)
 
3,094 uts.
                     *       153,704       336,484  
Limited Liability Company Unit Class B (B)
 
1,479 uts.
   
10/09/09
      52,999       160,847  
* 10/09/09 and 12/20/13.
                  1,249,481       1,567,703  
                               
A W X Holdings Corporation
                             
A provider of aerial equipment rental, sales and repair services to non-residential construction and maintenance contractors operating in the State of Indiana.
 
10.5% Senior Secured Term Note due 12/20/2016 (D)
  $ 420,000    
05/15/08
      413,944       405,300  
13% Senior Subordinated Note due 12/20/2016 (D)
  $ 420,000    
05/15/08
      384,627        
Common Stock (B)
 
60,000 shs.
   
05/15/08
      60,000        
Warrant, exercisable until 2016, to purchase
common stock at $.01 per share (B)
 
21,099 shs.
   
05/15/08
      35,654        
                    894,225       405,300  
                               
ABC Industries, Inc.
                             
A manufacturer of mine and tunneling ventilation products in the U.S.
 
13% Senior Subordinated Note due 07/31/2019
  $ 181,818    
08/01/12
      168,970       181,818  
Preferred Stock Series A (B)
 
125,000 shs.
   
08/01/12
      125,000       212,614  
Warrant, exercisable until 2022, to purchase
common stock at $.02 per share (B)
 
22,414 shs.
   
08/01/12
      42,446       35,852  
                    336,416       430,284  
                               
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)
 
32 uts.
   
11/09/12
             
                               
                               
Advanced Manufacturing Enterprises LLC
                             
A designer and manufacturer of large, custom gearing products for a number of critical customer applications.
 
Limited Liability Company Unit (B)
 
1,945 uts.
              *       207,910       155,962  
* 12/07/12 and 07/11/13.
                             
 
 

8
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
   
Acquisition
Date
    Cost     Fair Value  
 
 
 
   
 
   
 
   
 
 
Advanced Technologies Holdings
                       
A provider of factory maintenance services to industrial companies.
 
Preferred Stock Series A (B)
 
152 shs.
   
12/27/07
    $ 75,131     $ 324,417  
Convertible Preferred Stock Series B (B)
 
28 shs.
   
01/04/11
      21,600       59,380  
                  96,731       383,797  
                             
AFC - Dell Holding Corporation
                           
A distributor and provider of inventory management services for “C-Parts” used by OEMs in their manufacturing and production facilities.
 
12.5% Senior Subordinated Note due 09/27/2020
  $ 1,188,400    
03/27/15
      1,166,345       1,198,489  
Preferred Stock (B)
 
1,122 shs.
   
03/27/15
      112,154       110,491  
Common Stock (B)
 
346 shs.
   
03/27/15
      346        
                    1,278,845       1,308,980  
                               
Airxcel Holdings
                             
A leading manufacturer of a broad range of climate control solutions, including air-conditioners, heat pumps, cooking appliances, furnaces, powered vents, and water heaters.
 
12.5% Senior Subordinated Note due 11/18/2020
  $ 1,455,831    
11/18/14
      1,430,032       1,421,936  
Limited Liability Company Unit
 
288 uts.
   
11/18/14
      288,000       206,110  
                    1,718,032       1,628,046  
                               
American Hospice Management Holding LLC
                             
A for-profit hospice care provider in the United States.
 
12% Senior Subordinated Note due 03/31/2020 (D)
  $ 1,237,502                      *       1,237,367        
Preferred Class A Unit (B)
 
1,706 uts.
                   **       170,600        
Preferred Class B Unit (B)
 
808 uts.
   
06/09/08
      80,789        
Common Class B Unit (B)
 
16,100 uts.
   
01/22/04
      1        
Common Class D Unit (B)
 
3,690 uts.
   
09/12/06
             
* 01/22/04 and 06/09/08.
                  1,488,757        
** 01/22/04 and 09/16/06.
                             
                               
AMS Holding LLC
                             
A leading multi-channel direct marketer of high-value collectible coins and proprietary-branded jewelry and watches.
 
Limited Liability Company Unit Class A Preferred (B)
 
114 uts.
   
10/04/12
      113,636       302,984  
                               
Animal Supply Company
                             
A distributor of pet products to independent pet stores, veterinary clients and other pet specialty retailers.
 
9.5% Second Lien Term Loan due 09/17/2019
  $ 1,725,000    
03/30/15
      1,702,065       1,654,747  
                               
                               
ARI Holding Corporation
                             
A leading national supplier of products used primarily by specialty contractors.
 
11.5% Senior Subordinated Note due 02/01/2020
  $ 1,702,445                      *       1,679,959       1,706,073  
Limited Partnership Interest
 
524 uts.
   
08/01/14
      523,950       558,806  
* 05/21/13 and 08/01/14.
                  2,203,909       2,264,879  
 
 
 
 

9
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
     Acquisition
Date
    Cost     Fair Value  
                         
Aurora Parts & Accessories LLC
                       
A distributor of aftermarket over-the-road semi-trailer parts and accessories sold to customers across North America.
 
11% Senior Subordinated Note due 02/17/2022
  $ 1,515,400    
08/17/15
    $ 1,485,655     $ 1,505,121  
Preferred Stock (B)
 
210 shs.
   
08/17/15
      209,390       209,390  
Common Stock (B)
 
210 shs.
   
08/17/15
      210       210  
                    1,695,255       1,714,721  
                               
Avantech Testing Services LLC
                             
A manufacturer of custom Non-Destructive Testing (“NDT”) systems and provider of NDT and inspections services primarily to the oil country tubular goods market.
 
15% Senior Subordinated Note due 07/31/2021 (D)
  $ 500,587    
07/31/14
      491,228        
Limited Liability Company Unit
 
36,964 uts.
   
07/31/14
      369,643        
                    860,871        
                               
Blue Wave Products, Inc.
                             
A distributor of pool supplies.
 
10% Senior Secured Term Note due 09/30/2018
  $ 238,298    
10/12/12
      235,548       238,298  
13% Senior Subordinated Note due 09/30/2019
  $ 327,304    
10/12/12
      311,075       333,850  
Common Stock (B)
 
51,064 shs.
   
10/12/12
      51,064       124,936  
Warrant, exercisable until 2022, to purchase
common stock at $.01 per share (B)
 
20,216 shs.
   
10/12/12
      20,216       49,462  
                    617,903       746,546  
                               
BlueSpire Holding, Inc.
                             
A marketing services firm that integrates strategy, technology, and content to deliver customized marketing solutions for clients in the senior living, financial services and healthcare end markets.
 
12.5% Senior Subordinated Note due 06/30/2021
  $ 1,574,081    
06/30/15
      1,543,618       1,569,618  
Common Stock (B)
 
1,417 shs.
   
06/30/15
      156,800       169,430  
                    1,700,418       1,739,048  
                               
BP SCI LLC
                             
A leading value-added distributor of branded pipes, valves, and fittings (PVF) to diversified end markets.
 
Limited Liability Company Unit Class A (B)
 
417 uts.
   
10/17/12
      41,667       231,077  
Limited Liability Company Unit Class B (B)
 
167 uts.
   
10/17/12
      166,666       230,409  
                    208,333       461,486  
                               
CG Holdings Manufacturing Company
                             
A coating provider serving the automotive, agricultural, heavy truck and other end markets.
 
13% Senior Subordinated Note due 11/01/2019
  $ 1,412,605    
            *
      1,349,394       1,426,731  
Preferred Stock (B)
 
1,350 shs.
   
            *
      134,972       154,001  
Preferred Stock (B)
 
489 shs.
   
            *
      48,721       55,817  
Common Stock (B)
 
140 shs.
   
            *
      14,864       73,971  
Warrant, exercisable until 2023, to purchase
common stock at $.01 per share (B)
 
58 shs.
   
            *
      5,430       30,725  
* 05/09/13 and 11/01/13.
                  1,553,381       1,741,245  
 

10
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
     Acquisition
Date
    Cost     Fair Value  
                         
CHG Alternative Education Holding Company
                       
A leading provider of publicly-funded, for profit pre-K-12 education services targeting special needs children at therapeutic day schools and “at risk” youth through alternative education programs.
 
13.5% Senior Subordinated Note due 01/19/2018
  $ 765,174    
01/19/11
    $ 746,177     $ 765,174  
14% Senior Subordinated Note due 08/03/2019
  $ 199,872    
08/03/12
      197,376       199,872  
Common Stock (B)
 
375 shs.
   
01/19/11
      37,500       57,928  
Warrant, exercisable until 2021, to purchase
common stock at $.01 per share (B)
 
295 shs.
   
01/19/11
      29,250       45,535  
                    1,010,303       1,068,509  
                               
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 03/26/2018
  $ 189,038    
03/26/12
      185,641       182,987  
10% Senior Subordinated Note due 09/15/2099
  $ 6,334    
09/15/14
      6,334       5,936  
Common Stock (B)
 
1,327 shs.
   
            *
      132,700       32,823  
Warrant, exercisable until 2022, to purchase
common stock at $.01 per share (B)
 
57 shs.
   
03/26/12
      5,740       1,410  
* 03/26/12, 05/25/12 and 06/19/12.
                  330,415       223,156  
                               
                               
Clarion Brands Holding Corp.
                             
A portfolio of six over-the-counter (OTC) pharmaceutical brands whose products are used to treat tinnitus or ringing of the ear, excessive sweating, urinary tract infections, muscle pain, and skin conditions.
 
12.5% Senior Subordinated Note due 09/31/2021
  $ 1,591,837    
10/01/14
      1,563,445       1,591,837  
Common Stock (B)
 
1,568 shs.
   
10/01/14
      156,818       115,334  
                    1,720,263       1,707,171  
                               
Clough, Harbour and Associates
                             
An engineering service firm that is located in Albany, NY.
 
Preferred Stock (B)
 
147 shs.
   
12/02/08
      146,594       526,758  
                               
Compass Chemical International LLC
                             
A manufacturer and supplier of standard and specialty formulated chemicals, primarily phosphoric acid derivatives called phosphonates.
 
13% Senior Subordinated Note due 10/04/2020
  $ 1,512,168    
03/04/15
      1,484,472       1,465,750  
Limited Liability Company Unit (B)
 
230 uts.
   
03/04/15
      230,000       205,524  
                    1,714,472       1,671,274  
 
 
 
 
 
 

11
 
 

 
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
     Acquisition
Date
    Cost     Fair Value  
                         
Connecticut Electric, Inc.
                       
A supplier and distributor of electrical products sold into the retail and wholesale markets.
 
Limited Liability Company Unit Class A (B)
 
82,613 uts.
   
01/12/07
    $ 82,613     $ 87,072  
Limited Liability Company Unit Class C (B)
 
59,756 uts.
   
01/12/07
      59,756       68,585  
Limited Liability Company Unit Class D (B)
 
671,525 uts.
   
05/03/10
            821,122  
Limited Liability Company Unit Class E (B)
 
1,102 uts.
   
05/03/10
            25,080  
                  142,369       1,001,859  
                             
CTM Holding, Inc.
                           
A leading owner and operator of coin-operated children’s rides, penny presses and candy kiosks in the U.S.
 
15% Senior Subordinated Note due 11/22/2019
  $ 1,249,324    
11/22/13
      1,230,877       1,222,649  
Common Stock (B)
 
78 shs.
   
11/22/13
      443,182       374,698  
                    1,674,059       1,597,347  
                               
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)
 
156 shs.
   
10/26/09
      156,468       252,598  
Preferred Stock Series A (B)
 
114 shs.
   
10/27/09
      104,374       184,553  
Common Stock (B)
 
38 shs.
   
10/26/09
      38,244       145,835  
Warrant, exercisable until 2016, to purchase
common stock at $.01 per share (B)
 
28 shs.
   
10/27/09
      25,735       106,554  
                    324,821       689,540  
                               
DPL Holding Corporation
                             
A distributor and manufacturer of aftermarket undercarriage parts for medium and heavy duty trucks and trailers.
 
14% Senior Subordinated Note due 05/04/2019
  $ 1,369,381    
05/04/12
      1,353,109       1,369,381  
Preferred Stock (B)
 
25 shs.
   
05/04/12
      252,434       312,213  
Common Stock (B)
 
25 shs.
   
05/04/12
      28,048       45,802  
                    1,633,591       1,727,396  
                               
Dunn Paper
                             
A provider of specialty paper for niche product applications.
 
Preferred Stock (B)
 
261 shs.
   
12/30/14
      261,364       447,916  
                               
E S P Holdco, Inc.
                             
A manufacturer of power protection technology for commercial office equipment, primarily supplying the office equipment dealer network.
 
Common Stock (B)
 
349 shs.
   
01/08/08
      174,701       322,150  
 

12
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
Eatem Holding Company
                       
A developer and manufacturer of savory flavor systems for soups, sauces, gravies, and other products produced by food manufacturers for retail and foodservice end products.
 
Common Stock (B)
 
50 shs.
   
02/01/10
    $ 50,000     $ 154,410  
Warrant, exercisable until 2018, to purchase
common stock at $.01 per share (B)
 
119 shs.
   
02/01/10
      107,100       368,175  
                  157,100       522,585  
                             
ECG Consulting Group
                           
A healthcare management consulting company who provides strategic, financial, operational, and technology related consulting services to healthcare providers.
 
11.75% Senior Subordinated Note due 11/21/2020
  $ 1,302,098    
11/21/14
      1,275,674       1,341,161  
Limited Liability Company Unit (B)
 
230 uts.
   
11/19/14
      71,875       73,246  
                    1,347,549       1,414,407  
                               
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 07/26/2019
  $ 292,129    
07/26/13
      287,901       295,050  
Common Stock (B)
 
1,535 shs.
   
07/26/13
      153,474       460,427  
                    441,375       755,477  
                               
ERG Holding Company LLC
                             
A provider of inpatient and outpatient clinical trial services to pharmaceutical companies and contract research organizations.
 
13.5% Senior Subordinated Note due 10/04/2019
  $ 951,373    
04/04/14
      936,509       945,288  
Common Stock (B)
 
31 shs.
   
04/04/14
      77,533       83,727  
                    1,014,042       1,029,015  
                               
F F C Holding Corporation
                             
A leading U.S. manufacturer of private label frozen novelty and ice cream products.
 
Limited Liability Company Unit Preferred (B)
 
171 uts.
   
09/27/10
      58,345       71,350  
Limited Liability Company Unit Common (B)
 
171 uts.
   
09/27/10
      17,073       152,084  
                    75,418       223,434  
                               
F G I Equity LLC
                             
A manufacturer of a broad range of filters and related products that are used in commercial, light industrial, healthcare, gas turbine, nuclear, laboratory, clean room, hotel, educational system, and food processing settings.
 
Limited Liability Company Unit Preferred (B)
 
80,559 uts.
   
04/15/14
            80,559  
Limited Liability Company Unit Class B-1 (B)
 
65,789 uts.
   
12/15/10
      65,789       116,414  
Limited Liability Company Unit Class B-2 (B)
 
8,248 uts.
   
12/15/10
      8,248       14,595  
Limited Liability Company Unit Class B-3 (B)
 
6,522 uts.
   
08/30/12
      15,000       13,236  
Limited Liability Company Unit Class C (B)
 
1,575 uts.
   
12/20/10
      16,009       25,450  
                    105,046       250,254  
 

13
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
FMH Holdings Corporation
                       
A designer and manufacturer of highly engineered components for the aerospace, defense and space industries.
 
11.5% Senior Subordinated Note due 11/01/2020
  $ 1,443,937    
05/01/15
    $ 1,416,849     $ 1,446,141  
Common Stock (B)
 
148 shs.
   
05/01/15
      148,096       126,700  
                    1,564,945       1,572,841  
                               
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)
 
198 shs.
   
10/19/10
      46,958       114,651  
                               
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 Preferred (B)
 
76 uts.
   
10/05/12
      75,920       91,282  
Limited Liability Company Unit Common (B)
 
767 uts.
   
10/05/12
      767       57,408  
                    76,687       148,690  
                               
GenNx Novel Holding, Inc.
                             
A manufacturer and distributor of nutraceutical ingredients.
 
13% Senior Subordinated Note due 03/27/2020
  $ 1,589,945    
03/27/14
      1,564,345       1,562,978  
Common Stock (B)
 
15,500 shs.
   
03/27/14
      155,000       149,853  
                    1,719,345       1,712,831  
                               
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 03/27/2019
  $ 1,189,972    
03/27/13
      1,174,549       1,189,972  
Common Stock (B)
 
1,181 shs.
   
03/27/13
      118,110       157,835  
                    1,292,659       1,347,807  
                               
GlynnDevins Acquisition Corporation
                             
A marketing communications agency that services senior living facilities.
 
13% Senior Subordinated Note due 12/19/2020
  $ 788,872    
06/19/15
      773,863       784,160  
Preferred Stock Series A (B)
 
342 shs.
   
06/19/15
      70,683       70,684  
Common Stock (B)
 
342 shs.
   
06/19/15
      2,945       2,397  
                    847,491       857,241  
 
 
 
 

14
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
Grakon Parent
                       
The leading designer and manufacturer of highly-engineered and customized LED and incandescent lighting systems for transportation-based markets.
 
12% Senior Subordinated Note due 04/30/2021
  $ 1,550,169    
10/31/14
    $ 1,522,208     $ 1,596,674  
Common Stock (B)
 
175 shs.
   
10/31/14
      174,831       214,567  
                    1,697,039       1,811,241  
                               
GTI Holding Company
                             
A designer, developer, and marketer of precision specialty hand tools and handheld test instruments.
 
12% Senior Subordinated Note due 02/05/2020
  $ 727,865    
02/05/14
      686,758       703,267  
Common Stock (B)
 
846 shs.
   
02/05/14
      84,636       84,434  
Warrant, exercisable until 2024, to purchase
common stock at $.01 per share (B)
 
397 shs.
   
02/05/14
      36,816       39,622  
                    808,210       827,323  
                               
Handi Quilter Holding Company
                             
A designer and manufacturer of long-arm quilting machines and related components for the consumer quilting market.
 
12% Senior Subordinated Note due 06/19/2021
  $ 1,437,500    
12/19/14
      1,411,117       1,406,145  
Limited Liability Company Unit Preferred (B)
 
288 uts.
   
12/19/14
      287,500       272,230  
Limited Liability Company Unit Common Class A (B)
 
2,875 uts.
   
12/19/14
             
                    1,698,617       1,678,375  
                               
Hartland Controls Holding Corporation
                             
A manufacturer and distributor of electronic and electromechanical components.
 
14% Senior Subordinated Note due 08/14/2019
  $ 1,089,948    
02/14/14
      1,072,922       1,111,747  
12% Senior Subordinated Note due 08/14/2019
  $ 431,250    
06/22/15
      427,168       430,459  
Preferred Stock Series A (B)
 
2,547 shs.
   
02/14/14
      120,857       127,124  
Common Stock (B)
 
821 shs.
   
02/14/14
      822       168,745  
                    1,621,769       1,838,075  
                               
Healthcare Direct Holding Company
                             
A direct-to-customer marketer of discount dental plans.
 
Common Stock (B)
 
517 shs.
   
03/09/12
      51,724       88,031  
                               
HHI Group, LLC
                             
A developer, marketer, and distributor of hobby-grade radio control products.
 
14% Senior Subordinated Note due 01/17/2020
  $ 1,576,168    
01/17/14
      1,551,896       1,587,787  
Limited Liability Company Unit (B)
 
102 uts.
   
01/17/14
      101,563       79,223  
                    1,653,459       1,667,010  
 
 
 
 

15
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
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 03/15/2018
  $ 703,125    
04/15/13
    $ 675,671     $ 694,028  
Limited Liability Company Unit (B)
 
234 uts.
   
04/15/13
      234,375       185,445  
Warrant, exercisable until 2020, to purchase
common stock at $.01 per share (B)
 
37,177 shs.
   
04/15/13
      32,344       29,414  
                    942,390       908,887  
                               
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)
 
47 uts.
   
10/14/11
             
Limited Liability Company Unit Class G (B)
 
114 uts.
   
10/14/11
             
Limited Liability Company Unit Class H (B)
 
47 uts.
   
10/14/11
             
Limited Liability Company Unit Class I (B)
 
47 uts.
   
10/14/11
             
                           
                               
Hospitality Mints Holding Company
                             
A manufacturer of individually-wrapped imprinted promotional mints.
 
12% Senior Subordinated Note due 08/19/2016
  $ 1,098,837    
08/19/08
      1,083,230       1,074,325  
Common Stock (B)
 
251 shs.
   
08/19/08
      251,163       34,538  
Warrant, exercisable until 2016, to purchase
common stock at $.01 per share (B)
 
65 shs.
   
08/19/08
      60,233       8,927  
                    1,394,626       1,117,790  
                               
HVAC Holdings, Inc.
                             
A provider of integrated energy efficiency services and maintenance programs for HVAC systems.
 
12.5% Senior Subordinated Note due 09/27/2019
  $ 1,196,383    
09/27/12
      1,180,873       1,187,141  
Limited Liability Company Unit Class A Preferred (B)
 
1,127 uts.
   
09/27/12
      112,726       149,446  
Limited Liability Company Unit Class A Common (B)
 
910 uts.
   
09/27/12
      910       21,413  
                    1,294,509       1,358,000  
                               
Ideal Tridon Holdings, Inc.
                             
A designer and manufacturer of clamps and couplings used in automotive and industrial end markets.
 
Common Stock (B)
 
93 shs.
   
10/27/11
      92,854       200,893  
                               
Impact Confections
                             
An independent manufacturer and marketer of confectionery products including Warheads® brand sour candies, Melster® brand classic candies, and co-manufactured/private label classic candies.
 
13% Senior Subordinated Note due 11/04/2020
  $ 1,073,266    
11/10/14
      1,054,194       1,066,558  
Common Stock (B)
 
2,300 shs.
   
11/10/14
      230,000       185,713  
                    1,284,194       1,252,271  
 
 
 

16
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
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)
 
47 shs.
   
02/27/07
    $ 1,424     $ 205,977  
                             
J A C Holding Enterprises, Inc.
                           
A supplier of luggage racks and accessories to the original equipment manufacturers.
 
Preferred Stock A (B)
 
165 shs.
   
12/20/10
      165,000       241,623  
Preferred Stock B (B)
 
0.06 shs.
   
12/20/10
            88  
Common Stock
 
33 shs.
   
12/20/10
      1,667        
Warrant, exercisable until 2020, to purchase
common stock at $.01 per share (B)
 
12 shs.
   
12/20/10
      105,643       72,740  
                  272,310       314,451  
                             
Janus Group Holdings LLC
                           
A manufacturer of roll-up doors and hallway systems that are primarily used in self-storage facilities.
 
13.5% Senior Subordinated Note due 06/11/2019
  $ 1,342,391    
12/11/13
      1,322,227       1,369,239  
Limited Liability Company Unit Class A (B)
 
283 uts.
   
12/11/13
      139,258       611,794  
                    1,461,485       1,981,033  
                               
JMH Investors LLC
                             
A developer and manufacturer of custom formulations for a wide variety of foods.
 
14.25% Senior Subordinated Note due 12/05/2019
  $ 1,100,114    
12/05/12
      1,085,397       934,220  
Limited Liability Company Unit (B)
 
1,038,805 uts.
   
12/05/12
      232,207       26,801  
                    1,317,604       961,021  
                               
K & N Parent, Inc.
                             
A manufacturer and supplier of automotive aftermarket performance air filters and intake systems.
 
Preferred Stock Series A
 
102 shs.
   
12/23/11
             
Preferred Stock Series B
 
29 shs.
   
12/23/11
             
Common Stock
 
163 shs.
   
            *
      6,522       134,458  
* 12/23/11 and 06/30/14.
                  6,522       134,458  
                               
K N B Holdings Corporation
                             
A designer, manufacturer and marketer of products for the custom framing market.
 
Common Stock (B)
 
71,053 shs.
   
05/24/06
      71,053       80,752  
Warrant, exercisable until 2016, to purchase
common stock at $.01 per share (B)
 
43,600 shs.
   
05/25/06
      37,871       49,551  
                    108,924       130,303  
 

17
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
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.
 
Limited Liability Company Unit Class C Preferred (B)
 
40 uts.
   
06/30/15
    $     $ 70,502  
Common Stock (B)
 
353 shs.
   
07/15/08
      285,619       382,660  
                  285,619       453,162  
                             
Master Cutlery LLC
                           
A designer and marketer of a wide assortment of knives and swords.
 
13% Senior Subordinated Note due 04/17/2020
  $ 883,644    
04/17/15
      873,450       874,110  
Limited Liability Company Unit (B)
 
5 uts.
   
04/17/15
      678,329       698,150  
                    1,551,779       1,572,260  
                               
Mail Communications Group, Inc.
                             
A provider of mail processing and handling services, lettershop services, and commercial printing services.
 
Limited Liability Company Unit
 
12,764 uts.
   
            *
      166,481       328,747  
Warrant, exercisable until 2017, to purchase
common stock at $.01 per share (B)
 
1,787 shs.
   
05/04/07
      22,781       46,027  
* 05/04/07 and 01/02/08.
                  189,262       374,774  
                               
Manhattan Beachwear Holding Company
                             
A designer and distributor of women’s swimwear.
 
12.5% Senior Subordinated Note due 01/15/2018
  $ 419,971    
01/15/10
      397,744       402,984  
15% Senior Subordinated Note due 01/15/2018
  $ 115,973    
10/05/10
      115,056       106,336  
Common Stock (B)
 
35 shs.
   
10/05/10
      35,400       40,319  
Common Stock Class B (B)
 
118 shs.
   
01/15/10
      117,647       133,996  
Warrant, exercisable until 2019, to purchase
common stock at $.01 per share (B)
 
104 shs.
   
10/05/10
      94,579       118,587  
                    760,426       802,222  
                               
MC Sign Holdings LLC
                             
A provider of sign and lighting services nationwide.
 
11.75% Senior Subordinated Note due 09/15/2021
  $ 761,000    
09/22/15
      745,824       759,388  
Limited Liability Company Unit Class B (B)
 
101,500 uts.
   
09/22/15
      101,500       101,500  
                    847,324       860,888  
                               
MedSystems Holdings LLC
                             
A manufacturer of enteral feeding products, such as feeding tubes and other products related to assisted feeding.
 
Preferred Unit (B)
 
66 uts.
   
08/29/08
      46,152       90,731  
Common Unit Class A (B)
 
671 uts.
   
08/29/08
      671       153,761  
Common Unit Class B (B)
 
263 uts.
   
08/29/08
      63,564       60,320  
                    110,387       304,812  
 
 
 

18
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
Merex Holding Corporation
                       
A provider of after-market spare parts and components, as well as Maintenance, Repair and Overhaul services for “out of production” or “legacy” aerospace and defense systems that are no longer effectively supported by the original equipment manufacturers.
 
16% Senior Subordinated Note due 10/30/2019
  $ 454,295    
09/22/11
    $ 448,613     $ 435,732  
15% Senior Subordinated Note due 04/30/2022
  $ 23,839    
08/18/15
      23,839       19,071  
Limited Liability Company Unit Series A (B)
 
228 uts.
   
05/07/14
      14,760        
Limited Liability Company Unit Series B (B)
 
155,945 uts.
   
09/22/11
      155,945        
                    643,157       454,803  
                               
MES Partners, Inc.
                             
An industrial service business offering an array of cleaning and environmental services to the Gulf Coast region of the U.S.
 
12% Senior Subordinated Note due 09/30/2021
  $ 1,092,906    
09/30/14
      1,073,354       1,095,223  
Common Stock Class B (B)
 
219,545 shs.
   
09/30/14
      219,545       285,935  
                    1,292,899       1,381,158  
                               
MNX Holding Company
                             
An international third party logistics company providing customized logistics services to customers across the globe.
 
14% Senior Subordinated Note due 11/02/2019
  $ 1,277,508    
11/02/12
      1,260,679       1,280,655  
Common Stock (B)
 
45 shs.
   
11/02/12
      44,643       33,989  
                    1,305,322       1,314,644  
                               
Money Mailer
                             
A leading provider of hyperlocal shared direct mail advertising as well as interactive and online advertising solutions through its nationwide production and distribution network.
 
Preferred Stock
 
1,332,865 shs.
   
12/10/14
      1,312,872       1,332,865  
                               
Motion Controls Holdings
                             
A manufacturer of high performance mechanical motion control and linkage products.
 
14.25% Senior Subordinated Note due 08/15/2020
  $ 987,301    
11/30/10
      978,265       987,301  
Limited Liability Company Unit Class B-1 (B)
 
75,000 uts.
   
11/30/10
            88,912  
Limited Liability Company Unit Class B-2 (B)
 
6,801 uts.
   
11/30/10
            8,063  
                    978,265       1,084,276  
                               
NABCO, Inc.
                             
A producer of explosive containment vessels in the United States.
 
Common Stock (B)
 
429 shs.
   
12/20/12
      306,091       161,437  
 
 
 
 

19
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
NetShape Technologies, Inc.
                       
A manufacturer of powder metal and metal injection molded precision components used in industrial, consumer, and other applications.
 
12% Senior Subordinated Note due 06/10/2020
  $ 810,000    
02/02/07
    $ 809,450     $ 780,743  
Limited Partnership Interest of Saw Mill PCG Partners
LLC (B)
 
1.38% int.
   
02/01/07
      588,077        
Limited Liability Company Unit Class D of Saw Mill
PCG Partners LLC (B)
 
9 uts.
                *       8,873        
Limited Liability Company Unit Class D-1 of Saw Mill
PCG Partners LLC (B)
 
121 uts.
   
09/30/09
      121,160        
Limited Liability Company Unit Class D-2 of Saw Mill
PCG Partners LLC (B)
 
68 uts.
   
04/29/11
      34,547       43,131  
Limited Liability Company Unit Class D-3 of Saw Mill
PCG Partners LLC (B)
 
104 uts.
   
12/10/14
      103,904       105,043  
* 12/18/08 and 09/30/09.
                  1,666,011       928,917  
                               
                               
Northwest Mailing Services, Inc.
                             
A producer of promotional materials for companies that use direct mail as part of their customer retention and loyalty programs.
 
Limited Partnership Interest (B)
 
1,740 uts.
   
            *
      174,006       190,601  
Warrant, exercisable until 2019, to purchase
common stock at $.01 per share (B)
 
2,605 shs.
   
            *
      260,479       285,321  
* 07/09/09 and 08/09/10.
                  434,485       475,922  
                               
O E C Holding Corporation
                             
A provider of elevator maintenance, repair and modernization services.
 
Preferred Stock Series A (B)
 
554 shs.
   
06/04/10
      55,354       86,545  
Preferred Stock Series B (B)
 
311 shs.
   
06/04/10
      31,125       47,137  
Common Stock (B)
 
344 shs.
   
06/04/10
      344       12,153  
                    86,823       145,835  
                               
Pearlman Enterprises, Inc.
                             
A developer and distributor of tools, equipment and supplies to the natural and engineered stone industry.
 
Preferred Stock Series A (B)
 
1,236 shs.
   
05/22/09
      59,034       1,856,297  
Preferred Stock Series B (B)
 
7,059 shs.
   
05/22/09
      290,050       100,740  
Common Stock (B)
 
21,462 shs.
   
05/22/09
      993,816        
                    1,342,900       1,957,037  
                               
Petroplex Inv Holdings LLC
                             
A leading provider of acidizing services to E&P customers in the Permian Basin.
 
Limited Liability Company Unit
 
156,250 uts.
   
11/29/12
      156,250       163,312  
 
 
 
 

20
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
Polytex Holdings LLC
                       
A manufacturer of water based inks and related products serving primarily the wall covering market.
 
13% Senior Subordinated Note due 01/31/2020
  $ 1,048,824    
07/31/14
    $ 1,031,332     $ 1,032,821  
Limited Liability Company Unit
 
148,096 uts.
   
07/31/14
      148,096       127,274  
                    1,179,428       1,160,095  
                               
Power Stop Holdings LLC
                             
A supplier of performance upgrade aftermarket brake products.
 
11% Senior Subordinated Note due 05/29/2022
  $ 1,610,100    
05/29/15
      1,579,454       1,617,654  
Limited Liability Company Unit Preferred (B)
 
1,149 uts.
   
05/29/15
      114,900       115,907  
Limited Liability Company Unit Common (B)
 
1,149 uts.
   
05/29/15
            6,520  
                    1,694,354       1,740,081  
                               
PPC Event Services
                             
A special event equipment rental business.
 
14% Senior Subordinated Note due 05/20/2020
  $ 1,138,153    
11/20/14
      1,118,004       1,163,044  
Limited Liability Company Unit (B)
 
3,450 uts.
   
11/20/14
      172,500       338,921  
                    1,290,504       1,501,965  
                               
R A J Manufacturing Holdings LLC
 
A designer and manufacturer of women’s swimwear sold under a variety of licensed brand names.
 
8% Senior Subordinated Note due 01/02/2017
  $ 49,908    
01/02/14
      217,411       47,412  
Limited Liability Company Unit (B)
 
1,497 uts.
   
12/15/06
      149,723        
Limited Liability Company Unit Class B Common (B)
 
6 uts.
   
01/02/14
      219,593        
Limited Liability Company Unit Series B-1 Preferred (B)
 
9 uts.
   
01/02/14
      374,307       374,308  
Warrant, exercisable until 2017, to purchase
common stock at $.01 per share (B)
 
2 shs.
   
12/15/06
      69,609        
                    1,030,643       421,720  
                               
Randy’s Worldwide Automotive
 
A designer and distributor of automotive aftermarket parts.
 
11.5% Senior Subordinated Note due 05/12/2021
  $ 1,135,898    
05/12/15
      1,114,637       1,122,500  
Common Stock (B)
 
118 shs.
   
05/12/15
      118,476       105,023  
                    1,233,113       1,227,523  
                               
REVSpring, Inc.
 
A provider of accounts receivable management and revenue cycle management services to customers in the healthcare, financial and utility industries.
 
Limited Liability Company Unit Class A (B)
 
13,548 uts.
   
            *
      135,477       252,680  
* 10/21/11 and 08/03/12.
                             
 
 
 
 

21
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
    Shares, Units or                    
Corporate Restricted Securities: (A) (Continued)  
Ownership
Percentage
    Acquisition
Date
    Cost     Fair Value  
                         
Safety Infrastructure Solutions
                       
A provider of trench safety equipment to a diverse customer base across multiple end markets in Texas and the Southwestern United States.
 
Preferred Stock (B)
 
2,098 shs.
   
03/30/12
    $ 83,920     $ 112,824  
Common Stock (B)
 
983 shs.
   
03/30/12
      9,830       106,742  
                  93,750       219,566  
                             
Signature Systems Holding Company
                           
A seller and installer of a variety of modular surfaces, industrial matting and related products used for ground protection.
 
Common Stock (B)
 
76 shs.
   
03/15/13
      75,509       249,213  
Warrant, exercisable until 2023, to purchase
common stock A at $.01 per share (B)
 
31 shs.
   
03/15/13
      28,316       101,817  
                  103,825       351,030  
                             
Smart Source Holdings LLC
                           
A short-term computer rental company.
 
Limited Liability Company Unit (B)
 
328 uts.
                *       261,262       344,923  
Warrant, exercisable until 2016, to purchase
common stock at $.01 per share (B)
 
83 shs.
                *       67,467       87,369  
* 08/31/07 and 03/06/08.
                328,729       432,292  
                             
SMB Machinery Holdings, Inc.
                           
A reseller of used, rebuilt and refurbished packaging and processing equipment, primarily serving the bottling and food manufacturing industries.
 
14% Senior Subordinated Note due 10/18/2019 (D)
  $ 738,694    
10/18/13
      726,147        
Common Stock (B)
 
841 shs.
   
10/18/13
      84,100        
                    810,247        
                               
Strahman Holdings Inc
                             
A manufacturer of industrial valves and wash down equipment for a variety of industries, including chemical, petrochemical, polymer, pharmaceutical, food processing, beverage and mining.
 
14% Senior Subordinated Note due 06/13/2019
  $ 1,059,783    
12/13/13
      1,042,206       1,066,453  
Preferred Stock Series A (B)
 
158,967 shs.
   
12/13/13
      158,967       251,279  
Preferred Stock Series A-2 (B)
 
26,543 shs.
   
09/10/15
      29,994       41,956  
                    1,231,167       1,359,688  
                               
Sunvair Aerospace Group Inc.
                             
An aerospace maintenance, repair, and overhaul provider servicing landing gears on narrow body aircraft.
 
12% Senior Subordinated Note due 07/31/2021
  $ 1,215,600    
07/31/15
      1,191,963       1,209,063  
Common Stock (B)
 
68 shs.
   
07/31/15
      78,150       74,245  
                    1,270,113       1,283,308  
 
 
 

22
 
 

 
Babson Capital Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
   
Shares, Units or
                   
Corporate Restricted Securities: (A) (Continued)
 
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
Sunrise Windows Holding Company
                       
A manufacturer and marketer of premium vinyl windows exclusively selling to the residential remodeling and replacement market.
 
14% Senior Subordinated Note due 12/14/2017
  $ 1,059,836    
12/14/10
    $ 1,035,344     $ 1,059,836  
14% Senior Subordinated PIK Note due 12/14/2017
  $ 110,257    
08/17/12
      108,461       109,394  
Common Stock (B)
 
38 shs.
   
12/14/10
      38,168       41,315  
Warrant, exercisable until 2020, to purchase
common stock at $.01 per share (B)
 
37 shs.
   
12/14/10
      37,249       40,319  
                    1,219,222       1,250,864  
                               
Synteract Holdings Corporation
                             
A provider of outsourced clinical trial management services to pharmaceutical and biotechnology companies.
 
16% Senior Subordinated Note due 02/26/2019
  $ 2,407,441    
09/02/08
      2,361,276       2,407,441  
Preferred Stock Series D (B)
 
257 shs.
   
02/27/13
      25,678        
Redeemable Preferred Stock Series A (B)
 
678 shs.
   
10/03/08
      6,630        
Warrant, exercisable until 2018, to purchase
common stock at $.01 per share (B)
 
6,778 shs.
   
09/02/08
      59,661        
                    2,453,245       2,407,441  
                               
Torrent Group Holdings, Inc.
                             
A contractor specializing in the sales and installation of engineered drywells for the retention and filtration of stormwater and nuisance water flow.
 
3% Senior Subordinated Note due 12/31/2018 (D)
  $ 1,062,258    
12/05/13
            1,009,145  
15% Senior Subordinated Note due 12/05/2020 (D)
  $ 46,798    
12/05/13
      219,203       42,118  
Warrant, exercisable until 2023, to purchase
common stock at $.01 per share (B)
 
28,079 shs.
   
12/05/13
             
                    219,203       1,051,263  
                               
Transpac Holding Company
                             
A designer, importer, and wholesaler of home décor and seasonal gift products.
 
8% Senior Subordinated Note due 10/31/2015 (D)
  $ 938,651    
10/31/07
      909,276        
Common Stock (B)
 
110 shs.
   
10/31/07
      110,430        
Warrant, exercisable until 2015, to purchase
common stock at $.01 per share (B)
 
50 shs.
   
10/31/07
      46,380        
                    1,066,086        
                               
Tranzonic Holdings LLC
                             
A producer of commercial and industrial supplies, such as safety products, janitorial supplies, work apparel, washroom and restroom supplies and sanitary care products.
 
14% Senior Subordinated Note due 07/05/2019
  $ 1,544,668    
07/05/13
      1,523,350       1,544,668  
Limited Liability Company Unit Preferred Class A (B)
 
147,727 shs.
   
07/05/13
      147,727       189,619  
           
            —
      1,671,077       1,734,287  
 
 

23
 
 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Principal Amount,                    
   
Shares, Units or
   
 
             
Corporate Restricted Securities: (A) (Continued)
 
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
Tristar Global Energy Solutions, Inc.
                       
A hydrocarbon and decontamination services provider serving refineries worldwide.
 
12.5% Senior Subordinated Note due 07/31/2020
  $ 1,122,191    
01/23/15
    $ 1,101,585     $ 1,052,124  
                               
Vitex Packaging Group, Inc.
                             
A manufacturer of specialty packaging, primarily envelopes and tags used on tea bags.
 
Class B Unit (B)
 
406,525 uts.
   
10/29/09
      184,266        
Class C Unit (B)
 
450,000 uts.
   
10/29/09
      413,244       292,277  
Limited Liability Company Unit Class A (B)
 
383,011 uts.
                *       229,353        
Limited Liability Company Unit Class B (B)
 
96,848 uts.
   
07/19/04
      96,848        
* 07/19/04 and 10/29/09.
                  923,711       292,277  
                               
VP Holding Company
                             
A provider of school transportation services for special-needs and homeless children in Massachusetts.
 
Common Stock (B)
 
3,632 shs.
   
03/31/14
      363,158       584,560  
                               
Wellborn Forest Holding Company
                             
A manufacturer of semi-custom kitchen and bath cabinetry.
 
8% Senior Subordinated Note due 09/30/2017 (D)
  $ 1,680,931    
11/30/06
      867,531       840,466  
Common Stock (B)
 
101 shs.
   
11/30/06
      101,250        
Warrant, exercisable until 2016, to purchase
common stock at $.01 per share (B)
 
51 shs.
   
11/30/06
      45,790        
                    1,014,571       840,466  
                               
Westminster Acquisition LLC
                             
A manufacturer of premium, all-natural oyster cracker products sold under the Westminster and Olde Cape Cod brands.
 
12% Senior Subordinated Note due 02/03/2020
  $ 370,827    
08/03/15
      363,635       367,944  
Limited Liability Company Unit (B)
 
370,241 uts.
   
08/03/15
      370,241       370,241  
                    733,876       738,185  
                               
Whitcraft Holdings, Inc.
                             
A leading independent manufacturer of precision formed, machined, and fabricated flight-critical aerospace components.
 
Common Stock (B)
 
205 shs.
   
12/16/10
      205,480       139,304  
Warrant, exercisable until 2018, to purchase
common stock at $.01 per share (B)
 
55 shs.
   
12/16/10
      49,334       37,436  
                    254,814       176,740  
                               
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 06/12/2020
  $ 937,029    
11/03/11
      927,360       946,399  
Common Stock
 
1,500 shs.
   
11/03/11
      150,000       190,765  
                    1,077,360       1,137,164  
 

24
 
 

 
Babson Capital Participation Investors

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
  
   
Principal Amount,
                   
   
Shares, Units or
   
 
             
Corporate Restricted Securities: (A) (Continued)
 
Ownership Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
York Wall Holding Company
                       
A designer, manufacturer and marketer of wall covering products for both residential and commercial wall coverings.
 
12.5% Senior Subordinated Note due 03/04/2021
  $ 1,554,765    
03/04/15
    $ 1,525,982     $ 1,518,331  
Common Stock (B)
 
1,835 shs.
   
03/04/15
      183,500       173,347  
                    1,709,482       1,691,678  
                               
                               
Total Private Placement Investments (E)
                $ 89,726,091     $ 91,364,667  
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

25
 
 

 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
   
Interest
   
Maturity
   
Principal
         
Market
 
Corporate Restricted Securities: (A) (Continued)
 
Rate
   
Date
   
Amount
   
Cost
   
Value
 
                               
Rule 144A Securities - 13.27%:
                             
                               
Bonds - 13.27%
                             
Amsted Industries
    5.375 %  
09/15/24
    $ 240,000     $ 240,000     $ 233,400  
ArcelorMittal
    6.125    
06/01/18
      500,000       507,559       490,000  
Belden Inc.
    5.250    
07/15/24
      210,000       210,000       194,250  
CITGO Petroleum Corporation
    6.250    
08/15/22
      425,000       425,000       405,875  
Consolidated Energy Finance S.A.
    6.750    
10/15/19
      447,000       442,927       422,415  
Cornerstone Chemical Company
    9.375    
03/15/18
      375,000       380,622       390,000  
CTP Transportation Products, LLC
    8.250    
12/15/19
      310,000       310,000       329,375  
Dean Foods
    6.500    
03/15/23
      329,000       329,000       333,935  
Endo Finance LLC
    5.375    
01/31/23
      500,000       491,089       480,625  
Family Tree Escrow, LLC
    5.750    
03/01/23
      156,000       156,000       161,850  
Forest Laboratories, Inc.
    5.000    
12/15/21
      370,000       370,000       401,369  
Forest Laboratories, Inc.
    4.875    
02/15/21
      500,000       500,000       540,019  
Harron Communications, L.P.
    9.125    
04/01/20
      250,000       269,623       265,625  
HD Supply, Inc.
    5.250    
12/15/21
      127,000       127,000       127,635  
Hilcorp Energy Company
    5.000    
12/01/24
      335,000       335,000       284,750  
H.J. Heinz Company
    4.875    
02/15/25
      300,000       300,000       320,160  
HP Enterprise Company
    4.900    
10/15/25
      500,000       498,625       498,625  
Huntington Ingalls Industries
    5.000    
12/15/21
      500,000       500,000       510,000  
International Wire Group
    8.500    
10/15/17
      500,000       518,801       505,000  
J.B. Poindexter Co., Inc.
    9.000    
04/01/22
      500,000       500,000       526,250  
Jupiter Resources Inc.
    8.500    
10/01/22
      500,000       474,828       281,250  
Kindred Escrow Corp. II
    8.750    
01/15/23
      500,000       500,000       541,875  
LBC Tank Terminals Holding Netherlands B.V.
    6.875    
05/15/23
      663,000       681,051       687,862  
Mallinckrodt PLC
    5.750    
08/01/22
      500,000       500,000       482,500  
MEG Energy Corporation
    6.375    
01/30/23
      500,000       500,000       391,250  
Micron Technology, Inc.
    5.250    
08/01/23
      494,000       494,000       454,381  
Moog Inc.
    5.250    
12/01/22
      500,000       503,867       500,000  
Murry Energy Corporation
    11.250    
04/15/21
      500,000       485,139       262,500  
Netflix, Inc.
    5.500    
02/15/22
      299,000       299,000       301,990  
Nielsen Finance LLC
    5.000    
04/15/22
      271,000       272,886       262,531  
Numericable Group SA
    4.875    
05/15/19
      240,000       240,000       232,200  
NXP BV/NXP Funding LLC
    3.750    
06/01/18
      750,000       750,000       751,875  
Paragon Offshore plc.
    6.750    
07/15/22
      500,000       169,210       65,000  
Penske Corporation
    4.875    
07/11/22
      500,000       498,394       531,325  
Prestige Brands Holdings, Inc.
    5.375    
12/15/21
      650,000       650,000       633,750  
Sabre GLBL, Inc.
    5.375    
04/15/23
      170,000       170,000       167,450  
Safway Group Holding LLC/Finance Corporation
    7.000    
05/15/18
      250,000       250,000       255,938  
 
 
 

26
 
 

 
Babson Capital Participation Investors

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
               
Shares or
             
   
Interest
   
Maturity
   
Principal
         
Market
 
Corporate Restricted Securities: (A) (Continued)
 
Rate
   
Date
   
Amount
   
Cost
   
Value
 
                               
Sirius XM Radio Inc.
    5.875 %  
10/01/20
    $ 445,000     $ 445,000     $ 452,788  
Topaz Marine S.A.
    8.625    
11/01/18
      500,000       500,000       441,875  
Unitymedia KabelBW GmbH
    6.125    
01/15/25
      500,000       500,000       493,750  
Univision Communications, Inc.
    5.125    
05/15/23
      160,000       160,000       152,000  
Univision Communications, Inc.
    5.125    
02/15/25
      419,000       424,761       392,813  
UPCB Finance IV Limited
    5.375    
01/15/25
      208,000       208,000       195,520  
Valeant Pharmaceuticals International
    7.000    
10/01/20
      250,000       250,562       255,000  
Virgin Media Secured Finance PLC
    5.250    
01/15/26
      500,000       504,573       460,000  
VRX Escrow Corp.
    6.125    
04/15/25
      382,000       382,000       363,855  
Welltec A/S
    8.000    
02/01/19
      375,000       370,714       340,313  
West Corporation
    5.375    
07/15/22
      500,000       491,208       461,875  
XPO Logistics, Inc.
    7.875    
09/01/19
      451,000       464,200       439,725  
Total Bonds
                          19,550,639       18,674,349  
                                       
Preferred Stock - 0.00%
                                     
TherOX, Inc. (B)
                  26              
Total Preferred Stock
                                 
                                       
Common Stock - 0.00%
                                     
Touchstone Health Partnership (B)
                  292              
Total Common Stock
                                 
                                       
Total Rule 144A Securities
                          19,550,639       18,674,349  
                                       
Total Corporate Restricted Securities
                        $ 109,276,730     $ 110,039,016  
 
 
 
 
 
 
 
 
 
 

 

27
 
 

 
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
    Interest    
Maturity
   
Principal
         
Market
 
Corporate Public Securities - 21.38%: (A)
 
Rate
   
Date
   
Amount
   
Cost
   
Value
 
                               
Bank Loans - 0.12%
                             
Aquilex Holdings LLC
    5.000 %  
12/31/20
    $ 168,405     $ 168,086     $ 165,879  
Total Bank Loans
                          168,086       165,879  
                                       
Bonds - 21.26%
                                     
Accuride Corp
    9.500    
08/01/18
      500,000       489,700       502,500  
ADT Corporation
    6.250    
10/15/21
      500,000       515,154       515,625  
Alcoa, Inc.
    6.150    
08/15/20
      600,000       620,338       617,999  
Ally Financial, Inc.
    5.500    
02/15/17
      750,000       755,379       768,750  
Alta Mesa Financial Services
    9.625    
10/15/18
      383,000       373,585       202,032  
Anglogold Holdings PLC
    5.375    
04/15/20
      600,000       603,506       564,749  
Anixter, Inc.
    5.125    
10/01/21
      165,000       165,000       163,762  
Antero Resources Corporation
    5.375    
11/01/21
      395,000       395,000       347,600  
B&G Foods, Inc.
    4.625    
06/01/21
      440,000       440,000       423,500  
Bank of America Corporation
    4.000    
04/01/24
      500,000       498,361       514,653  
Bonanza Creek Energy, Inc.
    5.750    
02/01/23
      500,000       500,000       325,000  
Brunswick Corporation
    7.125    
08/01/27
      500,000       504,324       532,500  
California Resources Corporation
    6.000    
11/15/24
      480,000       480,000       285,900  
Calumet Specialty Products Partners L.P.
    7.625    
01/15/22
      500,000       500,148       465,000  
CCO Holdings Capital Corporation
    5.750    
01/15/24
      500,000       484,763       477,500  
CHC Helicopter SA
    9.250    
10/15/20
      900,000       851,882       504,000  
Chrysler Group, LLC
    8.250    
06/15/21
      210,000       227,945       222,851  
Clearwater Paper Corporation
    4.500    
02/01/23
      500,000       496,061       462,500  
Commercial Metals Company
    4.875    
05/15/23
      750,000       751,268       656,250  
CVR Refining LLC
    6.500    
11/01/22
      350,000       339,882       339,150  
D.R. Horton, Inc.
    4.000    
02/15/20
      500,000       500,000       503,750  
Duke Realty Limited Partnership
    3.875    
10/15/22
      500,000       503,760       509,165  
Forum Energy Technologies
    6.250    
10/01/21
      160,000       160,000       134,400  
Frontier Communications Corporation
    6.875    
01/15/25
      500,000       491,033       395,000  
General Electric Capital Corporation
    5.500    
01/08/20
      500,000       499,011       572,193  
HCA Holdings, Inc.
    3.750    
03/15/19
      500,000       500,000       498,750  
HealthSouth Corporation
    7.750    
09/15/22
      365,000       365,637       379,600  
Hertz Corporation
    6.750    
04/15/19
      220,000       218,114       223,850  
Hilton Worldwide Holdings, Inc.
    5.625    
10/15/21
      750,000       750,000       774,375  
Hornbeck Offshore Services, Inc.
    5.000    
03/01/21
      500,000       500,000       371,250  
Icahn Enterprises L.P.
    4.875    
03/15/19
      475,000       475,000       475,713  
Icahn Enterprises L.P.
    6.000    
08/01/20
      600,000       609,267       616,500  
Jabil Circuit, Inc.
    4.700    
09/15/22
      500,000       499,978       486,250  
Johnson Controls, Inc.
    5.500    
01/15/16
      500,000       494,398       506,752  
Kraft Foods, Inc.
    5.375    
02/10/20
      500,000       508,671       560,460  
Laboratory Corporation of America Holdings
    3.600    
02/01/25
      500,000       499,261       484,033  
Lamar Media Corp.
    5.375    
01/15/24
      160,000       160,000       161,600  
Lazard Group LLC
    4.250    
11/14/20
      500,000       498,749       529,626  
 
 
 
 
 

28
 
 

 
Babson Capital Participation Investors

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
               
Shares or
             
   
Interest
   
Maturity
   
Principal
         
Market
 
Corporate Public Securities: (A) (Continued)
 
Rate
   
Date
   
Amount
   
Cost
   
Value
 
                               
Lennar Corporation
    4.500 %  
11/15/19
    $ 250,000     $ 250,503     $ 252,125  
Lennar Corporation
    4.750    
11/15/22
      375,000       370,437       364,050  
Lifepoint Hospitals, Inc.
    5.500    
12/01/21
      350,000       358,828       353,500  
MarkWest Energy Partners, L.P.
    4.875    
12/01/24
      500,000       500,000       457,500  
Masco Corporation
    7.125    
03/15/20
      350,000       349,999       403,375  
MasTec, Inc.
    4.875    
03/15/23
      500,000       491,425       412,500  
Meritor, Inc.
    6.750    
06/15/21
      1,000,000       1,000,000       1,005,000  
Morgan Stanley
    5.500    
01/26/20
      500,000       498,644       559,002  
NBC Universal Media LLC
    5.150    
04/30/20
      500,000       499,605       564,375  
NRG Energy, Inc.
    6.250    
07/15/22
      500,000       500,000       455,000  
Omnova Solutions, Inc.
    7.875    
11/01/18
      600,000       606,478       594,000  
Orbital ATK, Inc.
    5.250    
10/01/21
      500,000       500,000       506,250  
Perry Ellis International, Inc.
    7.875    
04/01/19
      125,000       124,257       126,250  
Precision Drilling Corporation
    6.625    
11/15/20
      250,000       255,252       218,125  
Qwest Diagnostic, Inc.
    4.750    
01/30/20
      500,000       499,341       542,999  
R.R. Donnelley & Sons Company
    6.000    
04/01/24
      500,000       500,000       460,000  
Sprint Corporation
    7.125    
06/15/24
      155,000       155,000       119,288  
Sprint Nextel Corporation
    6.000    
12/01/16
      500,000       503,668       492,813  
Steelcase, Inc.
    6.375    
02/15/21
      500,000       505,333       557,660  
Stone Energy Corporation
    7.500    
11/15/22
      500,000       512,621       310,000  
Suburban Propane Partners, L.P.
    5.750    
03/01/25
      500,000       500,000       473,750  
Tech Data Corporation
    3.750    
09/21/17
      500,000       503,105       512,763  
Time Warner Cable, Inc.
    5.000    
02/01/20
      500,000       494,913       536,472  
T-Mobile USA Inc.
    6.464    
04/28/19
      340,000       342,247       345,950  
Tyson Foods, Inc.
    4.500    
06/15/22
      500,000       512,059       529,886  
Weatherford International
    4.500    
04/15/22
      500,000       515,659       404,400  
William Lyon Homes
    7.000    
08/15/22
      500,000       500,000       513,750  
WPX Energy, Inc.
    5.250    
09/15/24
      425,000       425,000       342,125  
Xerium Technologies, Inc.
    8.875    
06/15/18
      416,000       428,913       422,240  
Total Bonds
                          31,428,462       29,910,236  
                                       
Common Stock - 0.00%
                                     
Nortek, Inc. (B)
                  100     $ 1     $ 6,331  
Total Common Stock
                          1       6,331  
                                       
                                       
Total Corporate Public Securities
                        $ 31,596,549     $ 30,082,446  
 
 
 
 
 

29
 
 

 
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
   
Interest
   
Maturity
   
Principal
         
Market
 
Short-Term Security:
 
Rate/Yield^
   
Date
   
Amount
   
Cost
   
Value
 
                               
Commercial Paper - 1.42%
                             
Encana Corporation
   
0.519
%
 
10/01/15
   
$
2,000,000
   
$
2,000,000
   
$
2,000,000
 
Total Short-Term Security
                       
$
2,000,000
   
$
2,000,000
 
                                       
                                       
                                       
Total Investments
   
101.02
%
 
 
           
$
142,873,279
   
$
142,121,462
 
                                       
Other Assets
   
10.60
                           
14,916,264
 
Liabilities
   
(11.62
)
                         
(16,357,185
)
Total Net Assets
   
100.00
%
                       
$
140,680,541
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
(A)
In each of the convertible note, warrant, and common stock investments, the issuer has agreed to provide certain registration rights.
(B)
Non-income producing security.
(C)
Security valued at fair value using methods determined in good faith by or under the direction of the Board of Trustees.
(D)
Defaulted security; interest not accrued.
(E)
Illiquid security. As of September 30, 2015, the values of these securities amounted to $91,364,667 or 64.95% of net assets.
^
Effective yield at purchase
PIK
- Payment-in-kind
 
 
 

30
 
 

 
Babson Capital Participation Investors
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
   
Fair Value/
     
Fair Value/
 
Industry Classification:
 
Market Value
     
Market Value
 
               
AEROSPACE & DEFENSE - 4.32%
     
Masco Corporation
  $ 403,375  
A S C Group, Inc.
  $ 1,567,703  
Nortek, Inc.
    6,331  
FMH Holdings Corporation
    1,572,841  
Pearlman Enterprises, Inc.
    1,957,037  
Huntington Ingalls Industries
    510,000  
Signature Systems Holding Company
    351,030  
Merex Holding Corporation
    454,803  
Sunrise Windows Holding Company
    1,250,864  
Orbital ATK, Inc.
    506,250  
Torrent Group Holdings, Inc.
    1,051,263  
Sunvair Aerospace Group Inc.
    1,283,308  
Wellborn Forest Holding Company
    840,466  
Whitcraft Holdings, Inc.
    176,740         10,106,278  
      6,071,645            
         
CABLE & SATELLITE - 1.89%
       
AIRLINES - 0.31%
       
CCO Holdings Capital Corporation
    477,500  
XPO Logistics, Inc.
    439,725  
Harron Communications, L.P.
    265,625  
         
Numericable Group SA
    232,200  
AUTOMOTIVE - 9.36%
       
Time Warner Cable, Inc.
    536,472  
Accuride Corp
    502,500  
Unitymedia KabelBW GmbH
    493,750  
Aurora Parts & Accessories LLC
    1,714,721  
UPCB Finance IV Limited
    195,520  
CG Holdings Manufacturing Company
    1,741,245  
Virgin Media Secured Finance PLC
    460,000  
Chrysler Group, LLC
    222,851         2,661,067  
DPL Holding Corporation
    1,727,396            
Grakon Parent
    1,811,241  
CHEMICALS - 3.50%
       
J A C Holding Enterprises, Inc.
    314,451  
Compass Chemical International LLC
    1,671,274  
J.B. Poindexter Co., Inc.
    526,250  
Consolidated Energy Finance S.A.
    422,415  
K & N Parent, Inc.
    134,458  
Cornerstone Chemical Company
    390,000  
Meritor, Inc.
    1,005,000  
LBC Tank Terminals Holding Netherlands B.V.
    687,862  
Moog Inc.
    500,000  
Omnova Solutions, Inc.
    594,000  
Power Stop Holdings LLC
    1,740,081  
Polytex Holdings LLC
    1,160,095  
Randy’s Worldwide Automotive
    1,227,523         4,925,646  
      13,167,717            
         
CONSTRUCTION MACHINERY - 0.45%
       
BANKING - 0.76%
       
A W X Holdings Corporation
    405,300  
Bank of America Corporation
    514,653  
Safety Infrastructure Solutions
    219,566  
Morgan Stanley
    559,002         624,866  
      1,073,655            
         
CONSUMER CYCLICAL SERVICES - 2.31%
 
BROKERAGE, ASSET MANAGERS & EXCHANGES - 1.15%
 
CHG Alternative Education Holding Company
    1,068,509  
Icahn Enterprises L.P.
    1,092,213  
Church Services Holding Company
    223,156  
Lazard Group LLC
    529,626  
PPC Event Services
    1,501,965  
      1,621,839  
West Corporation
    461,875  
                3,255,505  
BUILDING MATERIALS - 7.18%
                 
ACP Cascade Holdings LLC
     
CONSUMER PRODUCTS - 10.32%
       
ARI Holding Corporation
    2,264,879  
AMS Holding LLC
    302,984  
Janus Group Holdings LLC
    1,981,033  
Animal Supply Company
    1,654,747  
         
Blue Wave Products, Inc.
    746,546  
 
 

31
 
 

 
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
   
Fair Value/
     
Fair Value/
 
Industry Classification: (Continued)
 
Market Value
     
Market Value
 
               
gloProfessional Holdings, Inc.
  $ 1,347,807  
FINANCIAL OTHER - 0.69%
     
GTI Holding Company
    827,323  
Ally Financial, Inc.
  $ 768,750  
Handi Quilter Holding Company
    1,678,375  
Insurance Claims Management, Inc.
    205,977  
HHI Group, LLC
    1,667,010         974,727  
HP Enterprise Company
    498,625  
FOOD & BEVERAGE - 7.54%
       
K N B Holdings Corporation
    130,303  
1492 Acquisition LLC
    776,170  
Manhattan Beachwear Holding Company
    802,222  
B&G Foods, Inc.
    423,500  
MasTec, Inc.
    412,500  
Dean Foods
    333,935  
Master Cutlery LLC
    1,572,260  
Eatem Holding Company
    522,585  
Perry Ellis International, Inc.
    126,250  
F F C Holding Corporation
    223,434  
Prestige Brands Holdings, Inc.
    633,750  
GenNx Novel Holding, Inc.
    1,712,831  
R A J Manufacturing Holdings LLC
    421,720  
H.J. Heinz Company
    320,160  
Transpac Holding Company
     
Hospitality Mints Holding Company
    1,117,790  
York Wall Holding Company
    1,691,678  
Impact Confections
    1,252,271  
      14,514,100  
JMH Investors LLC
    961,021  
         
Kraft Foods, Inc.
    560,460  
DIVERSIFIED MANUFACTURING - 6.49%
 
Tyson Foods, Inc.
    529,886  
ABC Industries, Inc.
    430,284  
Westminster Acquisition LLC
    738,185  
Advanced Manufacturing Enterprises LLC
    155,962  
WP Supply Holding Corporation
    1,137,164  
Airxcel Holdings
    1,628,046         10,609,392  
Amsted Industries
    233,400            
Belden Inc.
    194,250  
GAMING - 1.14%
       
BP SCI LLC
    461,486  
CTM Holding, Inc.
    1,597,347  
CTP Transportation Products, LLC
    329,375            
Custom Engineered Wheels, Inc.
    689,540  
HEALTHCARE - 5.53%
       
E S P Holdco, Inc.
    322,150  
American Hospice Management Holding LLC
     
F G I Equity LLC
    250,254  
ECG Consulting Group
    1,414,407  
Forum Energy Technologies
    134,400  
GD Dental Services LLC
    148,690  
G C Holdings
    114,651  
HCA Holdings, Inc.
    498,750  
Ideal Tridon Holdings, Inc.
    200,893  
Healthcare Direct Holding Company
    88,031  
K P I Holdings, Inc.
    453,162  
HealthSouth Corporation
    379,600  
Motion Controls Holdings
    1,084,276  
Kindred Escrow Corp. II
    541,875  
NABCO, Inc.
    161,437  
Laboratory Corporation of America Holdings
    484,033  
NetShape Technologies, Inc.
    928,917  
Lifepoint Hospitals, Inc.
    353,500  
Strahman Holdings Inc
    1,359,688  
MedSystems Holdings LLC
    304,812  
      9,132,171  
Qwest Diagnostic, Inc.
    542,999  
         
Synteract Holdings Corporation
    2,407,441  
ELECTRIC - 0.32%
       
TherOX, Inc.
     
NRG Energy, Inc.
    455,000  
Touchstone Health Partnership
     
         
Valeant Pharmaceuticals International
    255,000  
FINANCE COMPANIES - 0.41%
       
VRX Escrow Corp.
    363,855  
General Electric Capital Corporation
    572,193         7,782,993  
 
 
See Notes to Consolidated Financial Statements

32
 
 

 
Babson Capital Participation Investors

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
   
Fair Value/
     
Fair Value/
 
Industry Classification: (Continued)
 
Market Value
     
Market Value
 
               
HOME CONSTRUCTION - 1.16%
     
MEDIA & ENTERTAINMENT - 4.56%
     
D.R. Horton, Inc.
  $ 503,750  
BlueSpire Holding, Inc.
  $ 1,739,048  
Lennar Corporation
    616,175  
GlynnDevins Acquisition Corporation
    857,241  
William Lyon Homes
    513,750  
HOP Entertainment LLC
     
      1,633,675  
Lamar Media Corp.
    161,600  
         
Money Mailer
    1,332,865  
INDEPENDENT - 1.25%
       
NBC Universal Media LLC
    564,375  
Alta Mesa Financial Services
    202,032  
Netflix, Inc.
    301,990  
Antero Resources Corporation
    347,600  
R.R. Donnelley & Sons Company
    460,000  
Jupiter Resources Inc.
    281,250  
Sirius XM Radio Inc.
    452,788  
MEG Energy Corporation
    391,250  
Univision Communications, Inc.
    544,813  
Precision Drilling Corporation
    218,125         6,414,720  
Stone Energy Corporation
    310,000            
      1,750,257  
METALS & MINING - 1.84%
       
         
Alcoa, Inc.
    617,999  
INDUSTRIAL OTHER - 10.95%
       
Anglogold Holdings PLC
    564,749  
ADT Corporation
    515,625  
ArcelorMittal
    490,000  
Advanced Technologies Holdings
    383,797  
Commercial Metals Company
    656,250  
AFC - Dell Holding Corporation
    1,308,980  
Murry Energy Corporation
    262,500  
Aquilex Holdings LLC
    165,879         2,591,498  
Brunswick Corporation
    532,500            
Clough, Harbour and Associates
    526,758  
MIDSTREAM - 0.90%
       
Connecticut Electric, Inc.
    1,001,859  
CVR Refining LLC
    339,150  
EPM Holding Company
    755,477  
MarkWest Energy Partners, L.P.
    457,500  
Hartland Controls Holding Corporation
    1,838,075  
Suburban Propane Partners, L.P.
    473,750  
Hi-Rel Group LLC
    908,887         1,270,400  
HVAC Holdings, Inc.
    1,358,000            
International Wire Group
    505,000  
NATURAL GAS - 1.42%
       
Johnson Controls, Inc.
    506,752  
Encana Corporation
    2,000,000  
Mail Communications Group, Inc.
    374,774            
MC Sign Holdings LLC
    860,888  
OIL FIELD SERVICES - 2.46%
       
Nielsen Finance LLC
    262,531  
Avantech Testing Services LLC
     
Northwest Mailing Services, Inc.
    475,922  
Bonanza Creek Energy, Inc.
    325,000  
O E C Holding Corporation
    145,835  
California Resources Corporation
    285,900  
Safway Group Holding LLC/Finance Corporation
    255,938  
CHC Helicopter SA
    504,000  
Smart Source Holdings LLC
    432,292  
Hilcorp Energy Company
    284,750  
SMB Machinery Holdings, Inc.
     
Hornbeck Offshore Services, Inc.
    371,250  
Steelcase, Inc.
    557,660  
Petroplex Inv Holdings LLC
    163,312  
Tranzonic Holdings LLC
    1,734,287  
Topaz Marine S.A.
    441,875  
      15,407,716  
Weatherford International
    404,400  
         
Welltec A/S
    340,313  
LODGING - 0.55%
       
WPX Energy, Inc.
    342,125  
Hilton Worldwide Holdings, Inc.
    774,375         3,462,925  
 
 
See Notes to Consolidated Financial Statements

33
 
 

 
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
September 30, 2015
(Unaudited)
 
 
   
Fair Value/
     
Fair Value/
 
Industry Classification: (Continued)
 
Market Value
     
Market Value
 
               
OTHER - REITS - 0.36%
     
TRANSPORTATION SERVICES - 1.89%
     
Duke Realty Limited Partnership
  $ 509,165  
Hertz Corporation
  $ 223,850  
         
MNX Holding Company
    1,314,644  
PACKAGING - 0.21%
       
Penske Corporation
    531,325  
Vitex Packaging Group, Inc.
    292,277  
VP Holding Company
    584,560  
                2,654,379  
PAPER - 0.95%
                 
Clearwater Paper Corporation
    462,500  
WIRELESS - 0.68%
       
Dunn Paper
    447,916  
Sprint Corporation
    119,288  
Xerium Technologies, Inc.
    422,240  
Sprint Nextel Corporation
    492,813  
      1,332,656  
T-Mobile USA Inc.
    345,950  
                958,051  
PHARMACEUTICALS - 3.30%
                 
Clarion Brands Holding Corp.
    1,707,171  
WIRELINES - 0.28%
       
Endo Finance LLC
    480,625  
Frontier Communications Corporation
    395,000  
ERG Holding Company LLC
    1,029,015            
Forest Laboratories, Inc.
    941,388  
Total Investments - 101.02%
  $ 142,121,462  
Mallinckrodt PLC
    482,500            
      4,640,699            
                   
REFINING - 2.40%
                 
Calumet Specialty Products Partners L.P.
    465,000            
CITGO Petroleum Corporation
    405,875            
MES Partners, Inc.
    1,381,158            
Paragon Offshore plc.
    65,000            
Tristar Global Energy Solutions, Inc.
    1,052,124            
      3,369,157            
                   
RETAILERS - 0.21%
                 
Family Tree Escrow, LLC
    161,850            
HD Supply, Inc.
    127,635            
      289,485            
                   
TECHNOLOGY - 1.98%
                 
Anixter, Inc.
    163,762            
Jabil Circuit, Inc.
    486,250            
Micron Technology, Inc.
    454,381            
NXP BV/NXP Funding LLC
    751,875            
REVSpring, Inc.
    252,680            
Sabre GLBL, Inc.
    167,450            
Tech Data Corporation
    512,763            
      2,789,161            
 
 
See Notes to Consolidated Financial Statements

34
 
 

 
Fair Values Hierarchy
 
The Trust categorizes its investments measured at fair value in three levels, based on the inputs and assumptions used to determine fair value. These levels are as follows:
 
Level 1 – quoted prices in active markets for identical securities
 
Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
 
Level 3 – significant unobservable inputs (including the Trust’s own assumptions in determining the fair value of investments)
 
 
 
The following is a summary of the inputs used to value the Trust’s net assets as of September 30, 2015:
 
Assets:
 
Total
   
Level 1
   
Level 2
   
Level 3
 
Restricted Securities
                       
Corporate Bonds
  $ 84,499,338     $     $ 18,674,349     $ 65,824,989  
Common Stock - U.S.
    8,381,070                   8,381,070  
Preferred Stock
    7,119,313                   7,119,313  
Partnerships and LLCs
    10,039,295                   10,039,295  
Public Securities
                               
Bank Loans
    165,879             165,879        
Corporate Bonds
    29,910,236             29,910,236        
Common Stock - U.S.
    6,331       6,331              
Short-term Securities
    2,000,000             2,000,000        
Total
  $ 142,121,462     $ 6,331     $ 50,750,464     $ 91,364,667  
 
        See information disaggregated by security type and industry classification in the Consolidated Schedule of Investments.

 
 
Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value:
 
    Beginning                             Transfers     Transfers     Ending  
    balance at     Included in                       into     out of     balance at  
Assets:
 
12/31/2014
   
earnings
   
Purchases
   
Sales
   
Prepayments
   
Level 3
   
Level 3
   
09/30/2015
 
Restricted Securities
                                               
Corporate Bonds
  $ 59,265,205     $ (1,442,124 )   $ 19,182,981     $ (3,126,840 )   $ (8,054,233 )   $     $     $ 65,824,989  
Common Stock - U.S.
    8,548,845       1,869,204       687,613       (2,724,592 )                       8,381,070  
Preferred Stock
    6,123,833       2,068,504       309,494       (1,382,518 )                       7,119,313  
Partnerships and LLCs
    9,571,615       645,787       1,680,711       (1,858,818 )                       10,039,295  
    $ 83,509,498     $ 3,141,371     $ 21,860,799     $ (9,092,768 )   $ (8,054,233 )   $     $     $ 91,364,667  
 
There were no transfers into or out of Level 1 and Level 2 assets.
 

 
 

 
 
TEM 2. CONTROLS AND PROCEDURES.

(a) The principal executive officer and principal financial officer of the Registrant evaluated the effectiveness of the Registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the "Act") as of a date within 90 days of the filing date of this report and based on that evaluation have concluded that such disclosure controls and procedures are effective to provide reasonable assurance that material information required to be disclosed by the Registrant on Form N-Q is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission's rules and forms.

(b) There have been changes in the Registrant's internal controls over financial reporting (as defined in Rule 30a-3(d) under the Act)("internal controls") that occurred during the Registrant's last fiscal quarter.  The Registrant's investment adviser, Babson Capital Management LLC, who maintains the Registrant's internal controls, revised its internal controls to oversee State Street Bank & Trust who now provides certain administrative and accounting services to the Registrant.

 
 
ITEM 3. EXHIBITS.

Certifications pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) are attached hereto as an exhibit.
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

 
SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

(Registrant)  Babson Capital Participation Investors
             


By (Signature and Title)*
/s/ Michael L. Klofas

Michael L. Klofas, President


Date    November 30, 2015


 
 
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

By (Signature and Title)*
/s/ Michael L. Klofas

Michael L. Klofas, President

 
Date    November 30, 2015


 

 
By (Signature and Title)*
/s/ James M. Roy

James M. Roy, Vice President and
Chief Financial Officer

 
Date    November 30, 2015

 
 
 
 
 
 
 
 
 
 

 
* PRINT THE NAME AND TITLE OF EACH SIGNING OFFICER UNDER HIS OR HER SIGNATURE.