MFS CHARTER INCOME TRUST N-Q

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF

REGISTERED MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-5822

MFS CHARTER INCOME TRUST

(Exact name of registrant as specified in charter)

111 Huntington Avenue, Boston, Massachusetts 02199

(Address of principal executive offices) (Zip code)

Christopher R. Bohane

Massachusetts Financial Services Company

111 Huntington Avenue

Boston, Massachusetts 02199

(Name and address of agents for service)

Registrant’s telephone number, including area code: (617) 954-5000

Date of fiscal year end: November 30

Date of reporting period: August 31, 2017


ITEM 1. SCHEDULE OF INVESTMENTS.


QUARTERLY REPORT

August 31, 2017

 

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MFS® CHARTER INCOME TRUST

 

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PORTFOLIO OF INVESTMENTS

8/31/17 (unaudited)

The Portfolio of Investments is a complete list of all securities owned by your fund. It is categorized by broad-based asset classes.

 

Issuer    Shares/Par     Value ($)  
Bonds - 118.7%                 
Aerospace - 1.2%                 
Dae Funding LLC, 5%, 8/01/2024 (n)    $ 1,375,000     $ 1,405,938  
KLX, Inc., 5.875%, 12/01/2022 (n)      1,530,000       1,604,588  
Lockheed Martin Corp., 3.55%, 1/15/2026      263,000       274,667  
TransDigm, Inc., 6%, 7/15/2022      820,000       848,700  
TransDigm, Inc., 6.5%, 7/15/2024      800,000       831,000  
TransDigm, Inc., 6.375%, 6/15/2026      465,000       478,369  
    

 

 

 
             $ 5,443,262  
Airlines - 0.3%  
Go Ahead Group PLC, 2.5%, 7/06/2024    GBP 200,000     $ 260,884  
Ryanair Ltd., 1.125%, 3/10/2023    EUR 775,000       944,078  
    

 

 

 
             $ 1,204,962  
Apparel Manufacturers - 0.1%  
Coach, Inc., 4.125%, 7/15/2027    $ 385,000     $ 387,313  
Asset-Backed & Securitized - 2.8%  
Bayview Financial Revolving Mortgage Loan Trust, FLR, 2.833%, (LIBOR-1mo. + 1.6%) 12/28/2040 (z)    $ 473,788     $ 366,832  
Chesapeake Funding II LLC, 2016-1A, “A2”, FLR, 2.376%, (U.S. LIBOR-1mo. + 1.15%) 3/15/2028 (n)      1,276,202       1,284,246  
Commercial Mortgage Trust, 2015-DC1, “A5”, 3.35%, 2/10/2048      500,000       517,693  
Crest Ltd., CDO, 7%, (7% PIK) 1/28/2040 (a)(p)      3,307,715       529,234  
Dryden Senior Loan Fund, 2013-26A, “A”, CLO, FLR, 2.403%, (U.S. LIBOR-3mo. + 1.1%) 7/15/2025 (n)      683,845       684,867  
Dryden Senior Loan Fund, 2014-34A, “CR”, FLR, 3.453%, (LIBOR-3mo. + 2.15%) 10/15/2026 (n)      255,098       257,898  
First Union-Lehman Brothers Bank of America, FLR, 1.116%, 11/18/2035 (i)      2,374,056       23,218  
Flatiron CLO Ltd., 2013-1A, “A2R”, FLR, 2.953%, (U.S. LIBOR-3mo. + 1.65%) 1/17/2026 (n)      929,626       933,345  
Ford Credit Floorplan Master Owner Trust, 2015-1, “A2”, FLR, 1.626%, (LIBOR-1mo. + 0.4%) 1/15/2020      1,848,000       1,849,780  
HarbourView CLO VII Ltd., “B1R”, FLR, 2.966%, (U.S. LIBOR-3mo. + 1.65%) 11/18/2026 (n)      940,012       940,001  
John Deere Owner Trust , “A2”, 1.15%, 10/15/2018      320,035       319,971  
JPMorgan Chase Commercial Mortgage Trust, 2007-LD11, “AM”, 6.157%, 6/15/2049      819,048       838,581  
Loomis, Sayles & Co., CLO, “A1”, FLR, 2.833%, (U.S. LIBOR-3mo. + 1.53%) 10/15/2027 (n)      2,526,150       2,537,523  
Morgan Stanley Capital I Trust, “AM”, 5.928%, 4/15/2049      4,384       4,450  
Octagon Investment Partners XV, Ltd., FLR, 2.764%, (U.S. LIBOR-3mo. + 1.45%) 10/25/2025 (n)      1,177,401       1,177,387  
Wells Fargo Commercial Mortgage Trust, 2015-NXS1, “A5”, 3.148%, 5/15/2048      768,632       787,193  
    

 

 

 
             $ 13,052,219  
Automotive - 1.8%  
Allison Transmission, Inc., 5%, 10/01/2024 (n)    $ 1,456,000     $ 1,499,680  
Delphi Automotive PLC, 1.5%, 3/10/2025    EUR 200,000       239,399  
Ferrari N.V., 1.5%, 3/16/2023    EUR 350,000       425,468  
FGA Capital Ireland PLC, 2%, 10/23/2019    EUR 450,000       556,245  
Gates Global LLC, 6%, 7/15/2022 (n)    $ 915,000       937,692  
General Motors Financial Co., Inc., 3.45%, 4/10/2022      256,000       260,735  
General Motors Financial Co., Inc., 4.35%, 1/17/2027      129,000       132,475  
IHO Verwaltungs GmbH, 4.75%, 9/15/2026 (n)      1,230,000       1,242,300  
Lear Corp., 3.8%, 9/15/2027      127,000       127,288  
RCI Banque S.A., 1%, 5/17/2023    EUR 600,000       721,290  
Volkswagen International Finance N.V., 2.7% to 12/14/2022, FLR to 12/14/2065    EUR 100,000       117,557  
Volkswagen Leasing GmbH, 1.375%, 1/20/2025    EUR 300,000       357,408  
ZF North America Capital, Inc., 4.5%, 4/29/2022 (n)    $ 1,085,000       1,142,776  
ZF North America Capital, Inc., 4.75%, 4/29/2025 (n)      750,000       786,563  
    

 

 

 
             $ 8,546,876  

 

1


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Biotechnology - 0.0%  
Life Technologies Corp., 6%, 3/01/2020    $ 200,000     $ 217,963  
Broadcasting - 2.2%  
Clear Channel Worldwide Holdings, Inc., “A”, 6.5%, 11/15/2022    $ 365,000     $ 373,213  
Clear Channel Worldwide Holdings, Inc., “B”, 6.5%, 11/15/2022      1,305,000       1,344,150  
E. W. Scripps Co., 5.125%, 5/15/2025 (n)      1,025,000       1,037,813  
Liberty Media Corp. - Liberty Formula One, 8.5%, 7/15/2029      875,000       971,250  
Liberty Media Corp. - Liberty Formula One, 8.25%, 2/01/2030      410,000       456,125  
Match Group, Inc., 6.375%, 6/01/2024      965,000       1,048,231  
Netflix, Inc., 5.875%, 2/15/2025      1,955,000       2,116,288  
Omnicom Group, Inc., 3.6%, 4/15/2026      290,000       295,076  
ProSiebenSat.1 Media AG, 2.625%, 4/15/2021    EUR 240,000       303,651  
RELX Finance B.V., 1%, 3/22/2024    EUR 150,000       181,527  
SES Global Americas Holdings GP, 2.5%, 3/25/2019 (n)    $ 181,000       181,347  
Time Warner, Inc., 3.8%, 2/15/2027      291,000       292,962  
WMG Acquisition Corp., 5%, 8/01/2023 (z)      210,000       216,825  
WMG Acquisition Corp., 4.875%, 11/01/2024 (n)      1,435,000       1,470,875  
    

 

 

 
             $ 10,289,333  
Brokerage & Asset Managers - 0.2%  
E*TRADE Financial Corp., 2.95%, 8/24/2022    $ 199,000     $ 200,322  
Intercontinental Exchange, Inc., 2.75%, 12/01/2020      178,000       181,134  
Intercontinental Exchange, Inc., 3.75%, 12/01/2025      292,000       312,116  
TD Ameritrade Holding Corp., 3.3%, 4/01/2027      282,000       287,352  
    

 

 

 
             $ 980,924  
Building - 3.5%  
ABC Supply Co., Inc., 5.75%, 12/15/2023 (n)    $ 1,755,000     $ 1,844,944  
Allegion PLC, 5.875%, 9/15/2023      501,000       537,323  
Allegion U.S. Holding Co., Inc., 5.75%, 10/01/2021      1,580,000       1,628,380  
Beacon Roofing Supply, Inc., 6.375%, 10/01/2023      1,435,000       1,521,100  
Elementia S.A. de C.V., 5.5%, 1/15/2025 (n)      210,000       219,450  
Gibraltar Industries, Inc., 6.25%, 2/01/2021      1,045,000       1,077,134  
HD Supply, Inc., 5.75%, 4/15/2024 (n)      1,470,000       1,576,575  
HeidelbergCement AG, 2.25%, 3/30/2023    EUR 170,000       218,824  
Imerys S.A., 1.5%, 1/15/2027    EUR 200,000       241,535  
Martin Marietta Materials, Inc., 3.45%, 6/01/2027    $ 133,000       134,915  
Mohawk Industries, Inc., 3.85%, 2/01/2023      134,000       140,275  
New Enterprise Stone & Lime Co., Inc., 10.125%, 4/01/2022 (z)      920,000       993,600  
Owens Corning, 4.2%, 12/15/2022      127,000       135,392  
Owens Corning, 3.4%, 8/15/2026      238,000       236,895  
PriSo Acquisition Corp., 9%, 5/15/2023 (n)      915,000       969,900  
Standard Industries, Inc., 5.375%, 11/15/2024 (n)      1,760,000       1,839,200  
Standard Industries, Inc., 6%, 10/15/2025 (n)      835,000       897,625  
Summit Materials LLC/Summit Materials Finance Co., 6.125%, 7/15/2023      1,340,000       1,403,650  
Summit Materials LLC/Summit Materials Finance Co., 5.125%, 6/01/2025 (n)      340,000       346,800  
Union Andina de Cementos S.A.A., 5.875%, 10/30/2021 (n)      492,000       514,238  
    

 

 

 
             $ 16,477,755  
Business Services - 2.1%  
Alliance Data Systems Corp., 5.875%, 11/01/2021 (n)    $ 1,500,000     $ 1,541,250  
Alliance Data Systems Corp., 5.375%, 8/01/2022 (n)      450,000       460,125  
Ascend Learning LLC, 6.875%, 8/01/2025 (z)      475,000       494,000  
CDK Global, Inc., 4.875%, 6/01/2027 (n)      1,175,000       1,192,625  
Cisco Systems, Inc., 2.2%, 2/28/2021      350,000       353,732  

 

2


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Business Services - continued  
Equinix, Inc., 4.875%, 4/01/2020    $ 565,000     $ 579,656  
Equinix, Inc., 5.375%, 1/01/2022      305,000       319,488  
Equinix, Inc., 5.375%, 4/01/2023      1,425,000       1,485,563  
Equinix, Inc., 5.75%, 1/01/2025      202,000       217,150  
Fidelity National Information Services, Inc., 3.875%, 6/05/2024      146,000       154,405  
Fidelity National Information Services, Inc., 1.1%, 7/15/2024    EUR 100,000       119,332  
Fidelity National Information Services, Inc., 5%, 10/15/2025    $ 39,000       44,225  
Fidelity National Information Services, Inc., 3%, 8/15/2026      267,000       262,830  
Fidelity National Information Services, Inc., 4.5%, 8/15/2046      133,000       138,886  
First Data Corp., 5%, 1/15/2024 (n)      2,055,000       2,139,748  
Tencent Holdings Ltd., 3.375%, 3/05/2018 (n)      449,000       452,561  
    

 

 

 
             $ 9,955,576  
Cable TV - 6.3%  
Altice Financing S.A., 6.5%, 1/15/2022 (n)    $ 2,005,000     $ 2,085,200  
Altice Financing S.A., 6.625%, 2/15/2023 (n)      2,345,000       2,479,838  
Altice U.S. Finance I Corp., 5.5%, 5/15/2026 (n)      970,000       1,026,381  
CCO Holdings LLC/CCO Holdings Capital Corp., 5.125%, 5/01/2023 (n)      2,535,000       2,651,940  
CCO Holdings LLC/CCO Holdings Capital Corp., 5.75%, 1/15/2024      1,565,000       1,641,763  
CCO Holdings LLC/CCO Holdings Capital Corp., 5.375%, 5/01/2025 (n)      335,000       349,238  
CCO Holdings LLC/CCO Holdings Capital Corp., 5.75%, 2/15/2026 (n)      1,475,000       1,559,355  
Cequel Communications Holdings, 6.375%, 9/15/2020 (n)      938,000       959,386  
Charter Communications Operating LLC, 6.384%, 10/23/2035      217,000       248,361  
Cox Communications, Inc., 4.6%, 8/15/2047 (n)      322,000       326,598  
CSC Holdings LLC, 5.5%, 4/15/2027 (n)      1,395,000       1,456,031  
DISH DBS Corp., 5%, 3/15/2023      1,065,000       1,099,932  
DISH DBS Corp., 5.875%, 11/15/2024      1,665,000       1,796,119  
Intelsat Jackson Holdings S.A., 5.5%, 8/01/2023      335,000       279,725  
Intelsat Jackson Holdings S.A., 8%, 2/15/2024 (n)      245,000       263,755  
Lynx II Corp., 6.375%, 4/15/2023 (n)      555,000       581,363  
Shaw Communications, Inc., 5.65%, 10/01/2019    CAD 260,000       223,168  
Sirius XM Radio, Inc., 4.625%, 5/15/2023 (n)    $ 740,000       762,200  
Sirius XM Radio, Inc., 6%, 7/15/2024 (n)      1,500,000       1,620,420  
Sirius XM Radio, Inc., 5.375%, 4/15/2025 (n)      705,000       745,256  
Sky PLC, 2.5%, 9/15/2026    EUR 350,000       452,740  
Time Warner Cable, Inc., 4.5%, 9/15/2042    $ 119,000       109,933  
Unitymedia Hessen, 5.5%, 1/15/2023 (n)      1,215,000       1,257,525  
Unitymedia KabelBW GmbH, 6.125%, 1/15/2025 (n)      770,000       823,862  
Videotron Ltd., 5.375%, 6/15/2024 (n)      350,000       373,188  
Videotron Ltd., 5.125%, 4/15/2027 (n)      1,445,000       1,488,350  
Virgin Media Finance PLC, 5.75%, 1/15/2025 (n)      200,000       206,000  
Virgin Media Secured Finance PLC, 5.25%, 1/15/2026 (n)      800,000       832,000  
VTR Finance B.V., 6.875%, 1/15/2024 (n)      480,000       510,000  
Ziggo Bond Finance B.V., 5.875%, 1/15/2025 (n)      1,155,000       1,196,869  
    

 

 

 
             $ 29,406,496  
Chemicals - 1.2%  
Air Liquide Finance Co., 2.25%, 9/27/2023 (n)    $ 261,000     $ 255,339  
Axalta Coating Systems Co., 4.875%, 8/15/2024 (n)      670,000       685,075  
Chemours Co., 6.625%, 5/15/2023      600,000       636,750  
Chemours Co., 7%, 5/15/2025      290,000       319,725  
GCP Applied Technologies Co., 9.5%, 2/01/2023 (n)      1,621,000       1,823,625  
LYB International Finance B.V., 4%, 7/15/2023      135,000       143,656  
PPG Industries, Inc., 0.875%, 11/03/2025    EUR 230,000       272,152  

 

3


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Chemicals - continued  
Tronox Finance LLC, 7.5%, 3/15/2022 (n)    $ 645,000     $ 675,638  
W.R. Grace & Co., 5.125%, 10/01/2021 (n)      800,000       870,000  
    

 

 

 
             $ 5,681,960  
Computer Software - 1.2%  
Diamond 1 Finance Corp./Diamond 2 Finance Corp., 6.02%, 6/15/2026 (n)    $ 765,000     $ 854,629  
Diamond 1 Finance Corp./Diamond 2 Finance Corp., 5.875%, 6/15/2021 (n)      1,100,000       1,153,295  
Nuance Communications, Inc., 5.625%, 12/15/2026 (n)      1,275,000       1,330,781  
Oracle Corp., 3.4%, 7/08/2024      251,000       262,926  
VeriSign, Inc., 4.75%, 7/15/2027 (z)      345,000       351,003  
VeriSign, Inc., 4.625%, 5/01/2023      1,465,000       1,507,119  
VeriSign, Inc., 5.25%, 4/01/2025      250,000       267,500  
    

 

 

 
             $ 5,727,253  
Computer Software - Systems - 1.6%  
Apple, Inc., 2.7%, 5/13/2022    $ 400,000     $ 410,265  
Apple, Inc., 4.5%, 2/23/2036      417,000       476,148  
Apple, Inc., 3.6%, 7/31/2042    GBP 130,000       202,004  
Apple, Inc., 4.25%, 2/09/2047    $ 84,000       91,031  
CDW LLC/CDW Finance Corp., 5.5%, 12/01/2024      395,000       433,019  
CDW LLC/CDW Finance Corp., 5%, 9/01/2025      235,000       244,988  
JDA Software Group, Inc., 7.375%, 10/15/2024 (n)      1,105,000       1,127,100  
Sabre GLBL, Inc., 5.375%, 4/15/2023 (n)      1,765,000       1,815,744  
SS&C Technologies Holdings, Inc., 5.875%, 7/15/2023      945,000       992,250  
Western Digital Corp., 10.5%, 4/01/2024      1,320,000       1,567,500  
    

 

 

 
             $ 7,360,049  
Conglomerates - 2.2%  
Amsted Industries Co., 5%, 3/15/2022 (n)    $ 2,335,000     $ 2,416,725  
EnerSys, 5%, 4/30/2023 (n)      1,965,000       2,021,494  
Enpro Industries, Inc., 5.875%, 9/15/2022      1,650,000       1,720,125  
Enpro Industries, Inc., 5.875%, 9/15/2022 (n)      55,000       57,338  
Entegris, Inc., 6%, 4/01/2022 (n)      1,792,000       1,868,160  
Johnson Controls International PLC, 1.375%, 2/25/2025    EUR 200,000       241,050  
Johnson Controls International PLC, 4.5%, 2/15/2047    $ 68,000       72,822  
Parker-Hannifin Corp., 4.1%, 3/01/2047 (n)      176,000       183,561  
Smiths Group PLC, 2%, 2/23/2027    EUR 200,000       247,300  
SPX FLOW, Inc., 5.625%, 8/15/2024 (n)    $ 1,315,000       1,357,738  
    

 

 

 
             $ 10,186,313  
Construction - 0.1%  
Empresas ICA S.A.B. de C.V., 8.9%, 2/04/2021 (a)(d)    $ 450,000     $ 110,475  
Empresas ICA S.A.B. de C.V., 8.875%, 5/29/2024 (a)(d)(n)      853,000       206,853  
    

 

 

 
             $ 317,328  
Consumer Products - 0.9%  
Essity AB, 1.625%, 3/30/2027    EUR 300,000     $ 364,826  
NBTY, Inc., 7.625%, 5/15/2021 (n)    $ 755,000       805,963  
Prestige Brands, Inc., 5.375%, 12/15/2021 (n)      1,180,000       1,215,400  
Reckitt Benckiser Treasury Services PLC, 3.625%, 9/21/2023 (n)      250,000       265,191  
Reckitt Benckiser Treasury Services PLC, 3%, 6/26/2027 (n)      544,000       543,454  
Spectrum Brands, Inc., 6.125%, 12/15/2024      170,000       182,325  
Spectrum Brands, Inc., 5.75%, 7/15/2025      770,000       819,088  
    

 

 

 
             $ 4,196,247  
Consumer Services - 2.0%  
ADT Corp., 6.25%, 10/15/2021    $ 1,025,000     $ 1,114,226  
G4S International Finance PLC, 1.5%, 6/02/2024    EUR 200,000       241,798  

 

4


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Consumer Services - continued  
G4S International Finance PLC, 1.5%, 1/09/2023    EUR 200,000     $ 245,306  
Grupo Posadas S.A.B. de C.V., 7.875%, 6/30/2022 (n)    $ 520,000       549,640  
Interval Acquisition Corp., 5.625%, 4/15/2023      2,175,000       2,240,250  
Monitronics International, Inc., 9.125%, 4/01/2020      890,000       748,713  
Priceline Group, Inc., 3.55%, 3/15/2028      141,000       142,309  
Priceline Group, Inc., 2.15%, 11/25/2022    EUR 110,000       140,575  
Priceline Group, Inc., 1.8%, 3/03/2027    EUR 1,100,000       1,329,269  
Service Corp. International, 5.375%, 5/15/2024    $ 350,000       372,313  
ServiceMaster Co. LLC, 5.125%, 11/15/2024 (n)      1,165,000       1,197,038  
Visa, Inc., 2.8%, 12/14/2022      290,000       297,471  
Visa, Inc., 4.15%, 12/14/2035      234,000       256,149  
Visa, Inc., 4.3%, 12/14/2045      300,000       335,192  
    

 

 

 
             $ 9,210,249  
Containers - 3.1%  
Berry Global Group, Inc., 5.5%, 5/15/2022    $ 1,025,000     $ 1,063,438  
Berry Global Group, Inc., 6%, 10/15/2022      975,000       1,032,281  
Berry Global Group, Inc., 5.125%, 7/15/2023      420,000       437,850  
Crown American LLC, 4.5%, 1/15/2023      1,179,000       1,235,003  
Crown Americas LLC/Crown Americas Capital Corp. V, 4.25%, 9/30/2026      650,000       653,250  
Multi-Color Corp., 6.125%, 12/01/2022 (n)      1,700,000       1,776,500  
Plastipak Holdings, Inc., 6.5%, 10/01/2021 (n)      1,858,000       1,918,385  
Reynolds Group, 5.75%, 10/15/2020      510,000       519,506  
Reynolds Group, 5.125%, 7/15/2023 (n)      1,200,000       1,250,628  
Reynolds Group, 7%, 7/15/2024 (n)      535,000       573,119  
Sealed Air Corp., 4.875%, 12/01/2022 (n)      1,495,000       1,573,488  
Sealed Air Corp., 5.125%, 12/01/2024 (n)      390,000       414,375  
Sealed Air Corp., 5.5%, 9/15/2025 (n)      220,000       239,250  
Signode Industrial Group, 6.375%, 5/01/2022 (n)      740,000       764,050  
Silgan Holdings, Inc., 5.5%, 2/01/2022      100,000       102,750  
Silgan Holdings, Inc., 4.75%, 3/15/2025 (n)      630,000       645,750  
    

 

 

 
             $ 14,199,623  
Defense Electronics - 0.0%  
BAE Systems PLC, 4.125%, 6/08/2022    GBP 150,000     $ 218,879  
Electrical Equipment - 0.4%  
Arrow Electronics, Inc., 3.5%, 4/01/2022    $ 173,000     $ 178,157  
CommScope Holding Company, Inc., 5.5%, 6/15/2024 (n)      390,000       406,575  
CommScope Technologies LLC, 5%, 3/15/2027 (n)      1,260,000       1,255,653  
    

 

 

 
             $ 1,840,385  
Electronics - 0.7%  
Broadcom Corp./Broadcom Cayman Finance Ltd., 3.875%, 1/15/2027 (n)    $ 240,000     $ 246,988  
Intel Corp., 3.15%, 5/11/2027      490,000       500,119  
Sensata Technologies B.V., 5.625%, 11/01/2024 (n)      520,000       566,800  
Sensata Technologies B.V., 5%, 10/01/2025 (n)      1,205,000       1,262,238  
Tyco Electronics Group S.A., 2.375%, 12/17/2018      294,000       295,699  
Tyco Electronics Group S.A., 1.1%, 3/01/2023    EUR 350,000       424,717  
    

 

 

 
             $ 3,296,561  
Emerging Market Quasi-Sovereign - 1.8%  
BPRL International Singapore Pte. Ltd., 4.375%, 1/18/2027    $ 567,000     $ 596,012  
CNPC General Capital Ltd., 3.4%, 4/16/2023 (n)      293,000       301,150  
Empresa Nacional del Petroleo, 3.75%, 8/05/2026 (n)      207,000       206,997  

 

5


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Emerging Market Quasi-Sovereign - continued  
Gaz Capital S.A., 4.95%, 2/06/2028    $ 383,000     $ 389,036  
Gaz Capital S.A., 7.288%, 8/16/2037      507,000       611,742  
Office Cherifien des Phosphates S.A., 6.875%, 4/25/2044 (n)      351,000       396,132  
ONGC Videsh Ltd., 4.625%, 7/15/2024      511,000       549,748  
Pertamina PT, 6%, 5/03/2042 (n)      318,000       354,062  
Pertamina PT, 6%, 5/03/2042      654,000       728,164  
Pertamina PT, 5.625%, 5/20/2043 (n)      375,000       401,619  
Petrobras Global Finance B.V., 8.75%, 5/23/2026      192,000       229,824  
Petrobras Global Finance B.V., 6.125%, 1/17/2022      44,000       46,640  
Petrobras Global Finance B.V., 7.375%, 1/17/2027      37,000       40,894  
Petrobras International Finance Co., 6.75%, 1/27/2041      1,116,000       1,102,050  
Petroleos Mexicanos, 4.625%, 9/21/2023      212,000       220,692  
Petroleos Mexicanos, 5.5%, 6/27/2044      254,000       239,014  
Petroleos Mexicanos, 5.625%, 1/23/2046      246,000       231,302  
Southern Gas Corridor CJSC, 6.875%, 3/24/2026      1,315,000       1,470,302  
State Grid Overseas Investment (2016) Ltd., 2.75%, 5/04/2022 (n)      402,000       405,872  
    

 

 

 
             $ 8,521,252  
Emerging Market Sovereign - 4.5%  
Dominican Republic, 7.5%, 5/06/2021 (n)    $ 548,000     $ 610,335  
Dominican Republic, 8.625%, 4/20/2027      758,000       926,655  
Republic of Angola, 7%, 8/17/2019      241,000       249,264  
Republic of Argentina, 5.625%, 1/26/2022      564,000       589,944  
Republic of Argentina, 6.875%, 1/26/2027      115,000       123,913  
Republic of Argentina, 2.5% to 3/31/2019, 3.75% to 3/31/2029, 5.25% to 12/31/2038      353,000       246,747  
Republic of Croatia, 5.5%, 4/04/2023 (n)      1,146,000       1,272,894  
Republic of Hungary, 5.375%, 2/21/2023      746,000       845,852  
Republic of Hungary, 7.625%, 3/29/2041      470,000       725,548  
Republic of Indonesia, 11.625%, 3/04/2019 (n)      571,000       652,634  
Republic of Indonesia, 2.875%, 7/08/2021 (z)    EUR 175,000       223,924  
Republic of Indonesia, 7%, 5/15/2022    IDR 45,446,000,000       3,508,423  
Republic of Indonesia, 3.375%, 4/15/2023 (n)    $ 302,000       307,859  
Republic of Indonesia, 2.15%, 7/18/2024 (z)    EUR 161,000       195,994  
Republic of Indonesia, 4.125%, 1/15/2025 (n)    $ 342,000       359,681  
Republic of Indonesia, 4.125%, 1/15/2025      1,368,000       1,438,726  
Republic of Indonesia, 4.625%, 4/15/2043      1,349,000       1,398,066  
Republic of Kazakhstan, 5.125%, 7/21/2025 (n)      341,000       381,460  
Republic of Panama, 9.375%, 4/01/2029      719,000       1,087,488  
Republic of Paraguay, 6.1%, 8/11/2044 (n)      350,000       401,625  
Republic of Paraguay, 6.1%, 8/11/2044      243,000       278,843  
Republic of Sri Lanka, 6.125%, 6/03/2025      1,286,000       1,355,299  
Republic of Sri Lanka, 6.85%, 11/03/2025      208,000       228,350  
Republic of Turkey, 3.25%, 3/23/2023      633,000       606,900  
Republic of Turkey, 4.875%, 10/09/2026      1,523,000       1,547,277  
Russian Federation, 4.875%, 9/16/2023 (n)      400,000       437,400  
Russian Federation, 4.75%, 5/27/2026      800,000       850,704  
United Mexican States, 4.15%, 3/28/2027      224,000       237,104  
    

 

 

 
             $ 21,088,909  
Energy - Independent - 4.3%  
Afren PLC, 10.25%, 4/08/2019 (a)(d)(n)    $ 451,812     $ 90  
Alta Mesa Holdings LP/Alta Mesa Finance Services Corp., 7.875%, 12/15/2024 (n)      1,315,000       1,410,338  
Carrizo Oil & Gas, Inc., 6.25%, 4/15/2023      1,760,000       1,707,200  
Consol Energy, Inc., 5.875%, 4/15/2022      805,000       805,000  
Consol Energy, Inc., 8%, 4/01/2023      730,000       770,150  

 

6


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Energy - Independent - continued  
Continental Resources, Inc., 4.5%, 4/15/2023    $ 1,970,000     $ 1,940,450  
Diamondback Energy, Inc., 5.375%, 5/31/2025      1,525,000       1,566,938  
Gulfport Energy Corp., 6%, 10/15/2024 (n)      980,000       960,400  
Gulfport Energy Corp., 6.375%, 5/15/2025 (n)      685,000       673,869  
Laredo Petroleum, Inc., 6.25%, 3/15/2023      1,245,000       1,273,013  
PDC Energy, Inc., 6.125%, 9/15/2024 (n)      1,550,000       1,588,750  
QEP Resources, Inc., 5.25%, 5/01/2023      615,000       584,250  
Rice Energy, Inc., 7.25%, 5/01/2023      820,000       876,375  
Seven Generations Energy, 8.25%, 5/15/2020 (n)      700,000       728,000  
Seven Generations Energy, 6.75%, 5/01/2023 (z)      1,180,000       1,228,675  
SM Energy Co., 6.75%, 9/15/2026      1,710,000       1,611,675  
Tengizchevroil Finance Co. International Ltd., 4%, 8/15/2026 (n)      401,000       400,885  
Tengizchevroil Finance Co. International Ltd., 4%, 8/15/2026      987,000       986,716  
Whiting Petroleum Corp., 6.25%, 4/01/2023      1,075,000       997,063  
    

 

 

 
             $ 20,109,837  
Energy - Integrated - 0.3%  
Inkia Energy Ltd., 8.375%, 4/04/2021    $ 754,000     $ 774,810  
LUKOIL International Finance B.V., 4.563%, 4/24/2023 (n)      544,000       563,932  
    

 

 

 
      $ 1,338,742  
Entertainment - 1.3%  
Carnival Corp., 1.875%, 11/07/2022    EUR 330,000     $ 420,360  
Cedar Fair LP, 5.375%, 6/01/2024    $ 405,000       427,275  
Cedar Fair LP, 5.375%, 4/15/2027 (n)      710,000       745,500  
Cinemark USA, Inc., 5.125%, 12/15/2022      1,430,000       1,471,470  
Cinemark USA, Inc., 4.875%, 6/01/2023      1,040,000       1,037,400  
Six Flags Entertainment Corp., 4.875%, 7/31/2024 (n)      2,105,000       2,123,524  
    

 

 

 
             $ 6,225,529  
Financial Institutions - 2.4%  
AerCap Ireland Capital Co., 3.65%, 7/21/2027    $ 379,000     $ 379,562  
Aircastle Ltd., 5.125%, 3/15/2021      625,000       662,500  
Aircastle Ltd., 5.5%, 2/15/2022      1,425,000       1,553,250  
Nationstar Mortgage LLC/Capital Corp., 6.5%, 8/01/2018      615,000       615,769  
Nationstar Mortgage LLC/Capital Corp., 7.875%, 10/01/2020      2,110,000       2,158,794  
Nationstar Mortgage LLC/Capital Corp., 6.5%, 7/01/2021      515,000       525,485  
Navient Corp., 7.25%, 1/25/2022      2,455,000       2,682,088  
Navient Corp., 7.25%, 9/25/2023      430,000       466,378  
Navient Corp., 6.125%, 3/25/2024      398,000       405,960  
Park Aerospace Holdings Ltd., 5.5%, 2/15/2024 (n)      1,845,000       1,918,800  
    

 

 

 
             $ 11,368,586  
Food & Beverages - 2.7%  
Anheuser-Busch InBev N.V., 1.5%, 4/18/2030    EUR 250,000     $ 298,301  
Anheuser-Busch InBev S.A., 6.875%, 11/15/2019    $ 300,000       331,889  
Anheuser-Busch InBev Worldwide, Inc., 3.3%, 2/01/2023      408,000       423,688  
Anheuser-Busch InBev Worldwide, Inc., 4.7%, 2/01/2036      483,000       537,741  
Aramark Services, Inc., 4.75%, 6/01/2026      1,010,000       1,058,278  
Coca-Cola Enterprises, Inc., 1.875%, 3/18/2030    EUR 200,000       246,223  
Cott Holdings, Inc., 5.5%, 4/01/2025 (n)    $ 1,360,000       1,421,200  
Danone S.A., 2.077%, 11/02/2021 (n)      236,000       232,881  
Danone S.A., 2.589%, 11/02/2023 (n)      553,000       545,927  
Gruma S.A.B. de C.V., 4.875%, 12/01/2024 (n)      202,000       218,918  
JBS Investments GmbH, 7.25%, 4/03/2024      200,000       202,000  

 

7


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Food & Beverages - continued  
JBS USA LLC/JBS USA Finance, Inc., 5.875%, 7/15/2024 (n)    $ 1,860,000     $ 1,883,250  
Kraft Heinz Foods Co., 5.2%, 7/15/2045      31,000       33,658  
Kraft Heinz Foods Co., 4.375%, 6/01/2046      130,000       126,048  
Lamb Weston Holdings, Inc., 4.625%, 11/01/2024 (n)      835,000       861,094  
Lamb Weston Holdings, Inc., 4.875%, 11/01/2026 (n)      520,000       539,578  
Pinnacle Foods Finance LLC/Pinnacle Foods Finance Corp., 5.875%, 1/15/2024      1,430,000       1,528,313  
U.S. Foods Holding Corp., 5.875%, 6/15/2024 (n)      1,590,000       1,655,588  
Wm. Wrigley Jr. Co., 2.9%, 10/21/2019 (n)      107,000       108,826  
Wm. Wrigley Jr. Co., 3.375%, 10/21/2020 (n)      300,000       310,420  
    

 

 

 
             $ 12,563,821  
Food & Drug Stores - 0.1%  
Walgreens Boots Alliance, Inc., 2.7%, 11/18/2019    $ 333,000     $ 338,618  
Forest & Paper Products - 0.0%  
Appvion, Inc., 9%, 6/01/2020 (n)    $ 281,000     $ 148,228  
Gaming & Lodging - 1.6%  
CCM Merger, Inc., 6%, 3/15/2022 (n)    $ 815,000     $ 847,600  
GLP Capital LP/GLP Financing II, Inc., 5.375%, 11/01/2023      1,500,000       1,623,750  
GLP Capital LP/GLP Financing II, Inc., 5.375%, 4/15/2026      175,000       189,875  
Hilton Worldwide Finance LLC, 4.625%, 4/01/2025      1,065,000       1,112,819  
InterContinental Hotels Group PLC, 3.75%, 8/14/2025    GBP 100,000       144,558  
MGM Resorts International, 6.625%, 12/15/2021    $ 825,000       926,063  
MGM Resorts International, 6%, 3/15/2023      650,000       718,250  
Ryman Hospitality Properties, Inc., REIT, 5%, 4/15/2021      1,375,000       1,399,063  
Ryman Hospitality Properties, Inc., REIT, 5%, 4/15/2023      620,000       638,600  
    

 

 

 
             $ 7,600,578  
Industrial - 0.3%  
KAR Auction Services, Inc., 5.125%, 6/01/2025 (n)    $ 1,250,000     $ 1,292,750  
Insurance - 0.1%  
American International Group, Inc., 1.875%, 6/21/2027    EUR 110,000     $ 133,195  
Bupa Finance PLC, 2%, 4/05/2024    GBP 200,000       261,276  
    

 

 

 
             $ 394,471  
Insurance - Health - 0.6%  
Aetna, Inc., 2.8%, 6/15/2023    $ 317,000     $ 321,654  
Centene Corp., 5.625%, 2/15/2021      410,000       426,400  
Centene Corp., 6.125%, 2/15/2024      1,180,000       1,269,975  
UnitedHealth Group, Inc., 2.7%, 7/15/2020      528,000       541,064  
    

 

 

 
             $ 2,559,093  
Insurance - Property & Casualty - 0.5%  
Berkshire Hathaway, Inc., 2.75%, 3/15/2023    $ 234,000     $ 239,351  
Berkshire Hathaway, Inc., 1.625%, 3/16/2035    EUR 150,000       171,110  
Chubb INA Holdings, Inc., 2.3%, 11/03/2020    $ 95,000       96,030  
Chubb INA Holdings, Inc., 2.875%, 11/03/2022      221,000       227,021  
Liberty Mutual Group, Inc., 4.25%, 6/15/2023      365,000       394,726  
Liberty Mutual Group, Inc., 2.75%, 5/04/2026 (z)    EUR 100,000       129,782  
Liberty Mutual Group, Inc., 2.75%, 5/04/2026    EUR 100,000       129,782  
Marsh & McLennan Cos., Inc., 3.5%, 6/03/2024    $ 159,000       165,919  
Marsh & McLennan Cos., Inc., 4.35%, 1/30/2047      131,000       142,272  

 

8


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Insurance - Property & Casualty - continued  
QBE Capital Funding III Ltd., 7.5% to 5/24/2021, FLR to 5/24/2041    GBP 200,000     $ 293,901  
XLIT Ltd., 3.25% to 6/29/2027, FLR to 6/29/2047    EUR 230,000       271,066  
    

 

 

 
             $ 2,260,960  
International Market Sovereign - 11.2%  
Commonwealth of Australia, 3.75%, 4/21/2037    AUD 197,000     $ 168,102  
Federal Republic of Germany, 6.25%, 1/04/2030    EUR 442,000       889,459  
Federal Republic of Germany, 2.5%, 7/04/2044    EUR 120,000       189,484  
Government of Canada, 3.25%, 6/01/2021    CAD 187,000       159,720  
Government of Canada, 0.5%, 3/01/2022    CAD 6,934,000       5,315,668  
Government of Canada, 2.5%, 6/01/2024    CAD 5,700,000       4,803,930  
Government of Canada, 1.5%, 6/01/2026    CAD 1,028,000       803,416  
Government of Canada, 5.75%, 6/01/2033    CAD 948,000       1,128,004  
Government of Japan, 0.8%, 6/20/2023    JPY 500,000,000       4,790,012  
Government of Japan, 0.3%, 12/20/2025    JPY 16,400,000       153,458  
Government of Japan, 2.2%, 9/20/2027    JPY 787,000,000       8,724,973  
Government of Japan, 2.4%, 3/20/2037    JPY 493,400,000       6,041,979  
Government of Japan, 1.8%, 3/20/2043    JPY 81,000,000       920,888  
Kingdom of Spain, 4.6%, 7/30/2019    EUR 1,130,000       1,471,933  
Kingdom of Spain, 5.4%, 1/31/2023    EUR 1,416,000       2,134,911  
Kingdom of Spain, 5.15%, 10/31/2028    EUR 1,210,000       1,950,740  
Republic of France, 4.75%, 4/25/2035    EUR 747,000       1,387,007  
Republic of France, 4.5%, 4/25/2041    EUR 580,000       1,106,616  
Republic of Ireland, 4.5%, 4/18/2020    EUR 222,000       298,821  
Republic of Italy, 3.75%, 3/01/2021    EUR 1,581,000       2,107,966  
Republic of Italy, 5.5%, 9/01/2022    EUR 925,000       1,351,456  
Republic of Portugal, 4.95%, 10/25/2023    EUR 1,894,000       2,683,932  
United Kingdom Treasury, 4.25%, 3/07/2036    GBP 470,000       866,261  
United Kingdom Treasury, 3.25%, 1/22/2044    GBP 1,530,000       2,607,939  
    

 

 

 
             $ 52,056,675  
Local Authorities - 0.1%  
Province of Alberta, 4.5%, 12/01/2040    CAD 255,000     $ 247,383  
Province of British Columbia, 2.3%, 6/18/2026    CAD 370,000       292,527  
    

 

 

 
             $ 539,910  
Machinery & Tools - 0.9%  
Ashtead Capital, Inc., 5.625%, 10/01/2024 (n)    $ 1,185,000     $ 1,269,277  
CNH Industrial Capital LLC, 4.375%, 11/06/2020      1,930,000       2,012,025  
CNH Industrial N.V., 4.5%, 8/15/2023      840,000       885,150  
    

 

 

 
             $ 4,166,452  
Major Banks - 2.8%  
Bank of America Corp., 7.625%, 6/01/2019    $ 370,000     $ 405,165  
Bank of America Corp., 2.625%, 4/19/2021      370,000       373,920  
Bank of America Corp., 3.248%, 10/21/2027      462,000       455,351  
Bank of America Corp., FLR, 6.1%, (U.S. LIBOR-3mo. + 3.898%) 12/29/2049      670,000       734,488  
Barclays Bank PLC, 6%, 1/14/2021    EUR 250,000       347,494  
Barclays Bank PLC, 6.75% to 1/16/2018, FLR to 1/16/2023    GBP 100,000       131,830  
Credit Agricole S.A., 7.375%, 12/18/2023    GBP 100,000       170,526  
Credit Suisse Group AG, 6.5%, 8/08/2023 (n)    $ 200,000       226,000  
Goldman Sachs Group, Inc., 2.625%, 4/25/2021      360,000       362,445  
Goldman Sachs Group, Inc., 5.75%, 1/24/2022      500,000       564,756  
Goldman Sachs Group, Inc., 3.625%, 1/22/2023      454,000       471,893  
Goldman Sachs Group, Inc., 3.85%, 1/26/2027      314,000       323,103  

 

9


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Major Banks - continued  
HSBC Holdings PLC, 4.375%, 11/23/2026    $ 269,000     $ 282,782  
JPMorgan Chase & Co., 6.3%, 4/23/2019      500,000       536,152  
JPMorgan Chase & Co., 3.25%, 9/23/2022      478,000       494,897  
JPMorgan Chase & Co., 2.95%, 10/01/2026      601,000       591,769  
JPMorgan Chase & Co., 3.54% to 5/01/2027, FLR to 5/01/2028      291,000       296,222  
JPMorgan Chase & Co., 4.26% to 2/22/2047, FLR to 2/22/2048      303,000       320,779  
JPMorgan Chase & Co., 6% to 8/01/2023, FLR to 12/31/2049      1,210,000       1,309,825  
Morgan Stanley, 6.625%, 4/01/2018      391,000       401,950  
Morgan Stanley, 2.2%, 12/07/2018      238,000       239,421  
Morgan Stanley, 3.125%, 7/27/2026      303,000       299,053  
Morgan Stanley, 2.625%, 3/09/2027    GBP 200,000       264,536  
Morgan Stanley, 3.95%, 4/23/2027    $ 229,000       234,097  
Nationwide Building Society, 1.25%, 3/03/2025    EUR 240,000       293,647  
Nordea Bank AB, 1%, 9/07/2026    EUR 200,000       240,544  
PNC Bank N.A., 2.6%, 7/21/2020    $ 295,000       300,465  
UBS Group AG, 6.875% to 8/07/2025, FLR to 12/29/2049      1,220,000       1,337,425  
UBS Group Funding (Jersey) Ltd., 1.5%, 11/30/2024    EUR 300,000       369,742  
UBS Group Funding (Switzerland) AG, FLR, 2.859%, (LIBOR-3mo. + 0.954%) 8/15/2023 (n)    $ 750,000       751,364  
Wells Fargo & Co., 4.1%, 6/03/2026      100,000       105,010  
    

 

 

 
             $ 13,236,651  
Medical & Health Technology & Services - 5.3%  
AmSurg Corp., 5.625%, 7/15/2022    $ 1,095,000     $ 1,138,800  
Baxter International, Inc., 1.3%, 5/30/2025    EUR 200,000       241,029  
Becton, Dickinson and Co., 2.675%, 12/15/2019    $ 379,000       384,430  
Becton, Dickinson and Co., 3.734%, 12/15/2024      239,000       246,920  
CHS/Community Health Systems, Inc., 6.875%, 2/01/2022      960,000       795,600  
DaVita, Inc., 5.125%, 7/15/2024      455,000       464,384  
DaVita, Inc., 5%, 5/01/2025      1,175,000       1,191,215  
HCA, Inc., 7.5%, 2/15/2022      2,350,000       2,708,375  
HCA, Inc., 5.875%, 3/15/2022      1,770,000       1,960,983  
HCA, Inc., 5%, 3/15/2024      1,040,000       1,105,000  
HCA, Inc., 5.375%, 2/01/2025      1,490,000       1,571,950  
HCA, Inc., 5.875%, 2/15/2026      415,000       447,681  
HCA, Inc., 5.25%, 6/15/2026      215,000       231,394  
HealthSouth Corp., 5.125%, 3/15/2023      1,305,000       1,334,363  
HealthSouth Corp., 5.75%, 11/01/2024      960,000       988,800  
Laboratory Corp. of America Holdings, 3.2%, 2/01/2022      200,000       205,545  
Laboratory Corp. of America Holdings, 4.7%, 2/01/2045      310,000       327,109  
MEDNAX, Inc., 5.25%, 12/01/2023 (n)      905,000       936,675  
Quintiles IMS Holdings, Inc., 5%, 10/15/2026 (n)      1,225,000       1,283,188  
Quorum Health Corp., 11.625%, 4/15/2023      715,000       630,988  
Tenet Healthcare Corp., 8%, 8/01/2020      672,000       681,878  
Tenet Healthcare Corp., 8.125%, 4/01/2022      1,740,000       1,827,000  
THC Escrow Corp. III, 5.125%, 5/01/2025 (n)      965,000       970,983  
Thermo Fisher Scientific, Inc., 3.2%, 8/15/2027      476,000       476,693  
Thermo Fisher Scientific, Inc., 3%, 4/15/2023      360,000       367,472  
Universal Health Services, Inc., 7.625%, 8/15/2020      1,325,000       1,344,875  
Universal Health Services, Inc., 5%, 6/01/2026 (n)      239,000       251,846  
West Street Merger Sub, Inc., 6.375%, 9/01/2025 (z)      555,000       552,919  
    

 

 

 
             $ 24,668,095  
Medical Equipment - 0.8%  
Hologic, Inc., 5.25%, 7/15/2022 (n)    $ 830,000     $ 873,824  
Medtronic, Inc., 3.5%, 3/15/2025      615,000       648,350  

 

10


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Medical Equipment - continued  
Teleflex, Inc., 5.25%, 6/15/2024    $ 1,095,000     $ 1,149,750  
Teleflex, Inc., 4.875%, 6/01/2026      610,000       628,300  
Zimmer Biomet Holdings, Inc., 1.414%, 12/13/2022    EUR 300,000       365,076  
    

 

 

 
             $ 3,665,300  
Metals & Mining - 3.6%  
Barrick Gold Corp., 4.1%, 5/01/2023    $ 194,000     $ 213,306  
Cameco Corp., 5.67%, 9/02/2019    CAD 262,000       220,414  
First Quantum Minerals Ltd., 7%, 2/15/2021 (n)    $ 565,000       581,597  
First Quantum Minerals Ltd., 7.25%, 4/01/2023 (n)      770,000       791,175  
Freeport-McMoRan, Inc., 6.5%, 11/15/2020      135,000       138,038  
Freeport-McMoRan, Inc., 6.875%, 2/15/2023      2,270,000       2,460,113  
Freeport-McMoRan, Inc., 3.875%, 3/15/2023      855,000       846,450  
Glencore Finance (Europe) S.A., 1.25%, 3/17/2021    EUR 330,000       403,375  
Glencore Finance (Europe) S.A., 1.75%, 3/17/2025    EUR 200,000       241,328  
GrafTech International Co., 6.375%, 11/15/2020    $ 680,000       630,700  
Kaiser Aluminum Corp., 5.875%, 5/15/2024      1,525,000       1,631,750  
Kinross Gold Corp., 4.5%, 7/15/2027 (n)      920,000       920,000  
Kinross Gold Corp., 5.125%, 9/01/2021      300,000       318,783  
Kinross Gold Corp., 5.95%, 3/15/2024      1,265,000       1,391,500  
Lundin Mining Corp., 7.5%, 11/01/2020 (n)      370,000       386,188  
Lundin Mining Corp., 7.875%, 11/01/2022 (n)      930,000       1,013,700  
Novelis Corp., 5.875%, 9/30/2026 (z)      1,455,000       1,516,838  
Steel Dynamics, Inc., 5.125%, 10/01/2021      430,000       441,266  
Steel Dynamics, Inc., 5.25%, 4/15/2023      775,000       802,125  
Steel Dynamics, Inc., 5.5%, 10/01/2024      835,000       896,581  
Suncoke Energy, Inc., 7.625%, 8/01/2019      127,000       126,683  
TMS International Corp., 7.25%, 8/15/2025 (z)      860,000       868,600  
    

 

 

 
             $ 16,840,510  
Midstream - 3.3%  
APT Pipelines Ltd., 5%, 3/23/2035 (n)    $ 280,000     $ 297,598  
Blue Racer Midstream LLC/Blue Racer Finance Corp., 6.125%, 11/15/2022 (n)      1,755,000       1,803,263  
DCP Midstream LP, 4.95%, 4/01/2022      486,000       501,795  
DCP Midstream LP, 5.6%, 4/01/2044      270,000       251,100  
DCP Midstream LP, 3.875%, 3/15/2023      500,000       486,875  
Dominion Gas Holdings LLC, 2.8%, 11/15/2020      270,000       275,159  
Energy Transfer Equity LP, 7.5%, 10/15/2020      1,325,000       1,495,594  
Enterprise Products Operating LLC, 1.65%, 5/07/2018      296,000       295,868  
Enterprise Products Partners LP, 6.3%, 9/15/2017      180,000       180,203  
Kinder Morgan (Delaware), Inc., 7.75%, 1/15/2032      1,160,000       1,492,948  
ONEOK, Inc., 4.95%, 7/13/2047      474,000       474,422  
Sabine Pass Liquefaction, 4.2%, 3/15/2028      666,000       668,606  
Sabine Pass Liquefaction LLC, 5.625%, 2/01/2021      805,000       871,492  
Sabine Pass Liquefaction LLC, 5.625%, 4/15/2023      1,740,000       1,923,123  
Targa Resources Partners LP/Targa Resources Finance Corp., 4.125%, 11/15/2019      1,050,000       1,061,813  
Targa Resources Partners LP/Targa Resources Finance Corp., 5.25%, 5/01/2023      725,000       741,313  
Targa Resources Partners LP/Targa Resources Finance Corp., 5.375%, 2/01/2027 (n)      2,300,000       2,380,500  
    

 

 

 
             $ 15,201,672  
Mortgage-Backed - 3.1%  
Fannie Mae, 5.5%, 9/01/2019 - 7/01/2035    $ 276,901     $ 300,039  
Fannie Mae, 6.5%, 4/01/2032 - 1/01/2033      47,959       54,541  
Fannie Mae, 6%, 8/01/2034 - 2/01/2037      83,939       95,283  
Fannie Mae, FLR, 1.253%, (LIBOR-1mo. + 2.5%) 5/25/2018      735,874       735,849  

 

11


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Mortgage-Backed - continued  
Freddie Mac, 2.811%, 1/25/2025    $ 11,000,000     $ 11,315,029  
Freddie Mac, 2.673%, 3/25/2026      701,000       709,333  
Freddie Mac, 3.243%, 4/25/2027      991,000       1,043,724  
Freddie Mac, 3.117%, 6/25/2027      298,465       310,925  
Freddie Mac, 6%, 8/01/2034      67,594       76,699  
    

 

 

 
             $ 14,641,422  
Natural Gas - Distribution - 0.2%  
Boston Gas Co., 3.15%, 8/01/2027 (n)    $ 248,000     $ 252,076  
GNL Quintero S.A., 4.634%, 7/31/2029 (n)      523,000       547,189  
    

 

 

 
             $ 799,265  
Network & Telecom - 1.7%  
AT&T, Inc., 4.9%, 8/14/2037    $ 488,000     $ 492,995  
AT&T, Inc., 4.25%, 6/01/2043    GBP 100,000       139,976  
AT&T, Inc., 5.65%, 2/15/2047    $ 206,000       223,609  
British Telecom PLC, 5.75%, 12/07/2028    GBP 150,000       257,817  
CenturyLink, Inc., 6.45%, 6/15/2021    $ 470,000       491,738  
CenturyLink, Inc., 7.65%, 3/15/2042      595,000       523,600  
Columbus International, Inc., 7.375%, 3/30/2021 (n)      200,000       213,960  
Deutsche Telekom International Finance B.V., 1.5%, 4/03/2028    EUR 200,000       240,851  
Empresa Nacional de Telecomunicaciones S.A., 4.75%, 8/01/2026    $ 300,000       312,221  
Telecom Italia Capital, 6%, 9/30/2034      250,000       276,250  
Telecom Italia S.p.A., 5.303%, 5/30/2024 (n)      1,515,000       1,639,988  
Telefonica Celular del Paraguay S.A., 6.75%, 12/13/2022      517,000       535,989  
Verizon Communications, Inc., 4.812%, 3/15/2039      323,000       327,674  
Zayo Group LLC/Zayo Capital, Inc., 6.375%, 5/15/2025      660,000       709,295  
Zayo Group LLC/Zayo Capital, Inc., 5.75%, 1/15/2027 (n)      1,285,000       1,363,681  
    

 

 

 
             $ 7,749,644  
Oil Services - 0.5%  
Bristow Group, Inc., 6.25%, 10/15/2022    $ 621,000     $ 386,573  
Diamond Offshore Drilling, Inc., 5.7%, 10/15/2039      945,000       722,925  
Odebrecht Offshore Drilling Finance Ltd., 6.75%, 10/01/2022 (a)(d)(n)      880,649       328,042  
Trinidad Drilling Ltd., 6.625%, 2/15/2025 (n)      945,000       874,125  
    

 

 

 
             $ 2,311,665  
Oils - 0.5%  
CITGO Holding, Inc., 10.75%, 2/15/2020 (n)    $ 645,000     $ 688,538  
CITGO Petroleum Corp., 6.25%, 8/15/2022 (n)      1,230,000       1,242,300  
Marathon Petroleum Corp., 4.75%, 9/15/2044      200,000       194,021  
Neste Oyj, 1.5%, 6/07/2024    EUR 100,000       120,971  
Phillips 66, 4.875%, 11/15/2044    $ 150,000       163,208  
    

 

 

 
             $ 2,409,038  
Other Banks & Diversified Financials - 1.1%  
Arion Banki, 2.5%, 4/26/2019    EUR 100,000     $ 123,386  
Bank of Iceland, 1.75%, 9/07/2020    EUR 300,000       369,074  
BBVA Bancomer S.A. de C.V., 6.75%, 9/30/2022 (n)    $ 1,004,000       1,140,795  
Belfius Bank S.A., 3.125%, 5/11/2026    EUR 200,000       258,052  
Capital One Financial Corp., 2.35%, 8/17/2018    $ 806,000       809,983  
Citizens Bank N.A., 2.55%, 5/13/2021      250,000       252,168  
Deutsche Bank AG, 1.875%, 2/28/2020    GBP 200,000       261,324  
Groupe BPCE S.A., 12.5% to 9/30/2019, FLR to 8/29/2049 (n)      953,000       1,141,055  
ING Groep N.V., 3.95%, 3/29/2027      249,000       261,254  

 

12


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Other Banks & Diversified Financials - continued  
Intesa Sanpaolo S.p.A., 5.25%, 1/28/2022    GBP 100,000     $ 145,469  
U.S. Bancorp, 0.85%, 6/07/2024    EUR 150,000       179,530  
    

 

 

 
             $ 4,942,090  
Personal Computers & Peripherals - 0.0%  
Equifax, Inc., 2.3%, 6/01/2021    $ 160,000     $ 160,536  
Pharmaceuticals - 0.7%  
Celgene Corp., 2.875%, 8/15/2020    $ 524,000     $ 537,332  
Endo Finance Co., 5.75%, 1/15/2022 (z)      680,000       608,600  
Gilead Sciences, Inc., 2.35%, 2/01/2020      52,000       52,634  
Mallinckrodt International Finance S.A., 5.75%, 8/01/2022 (n)      1,335,000       1,314,975  
Valeant Pharmaceuticals International, Inc., 7%, 10/01/2020 (n)      890,000       887,775  
    

 

 

 
             $ 3,401,316  
Precious Metals & Minerals - 0.4%  
Eldorado Gold Corp., 6.125%, 12/15/2020 (n)    $ 1,980,000     $ 2,014,650  
Printing & Publishing - 0.5%  
Nielsen Finance LLC, 5%, 4/15/2022 (n)    $ 1,165,000     $ 1,205,775  
Outdoor Americas Capital LLC/Outfront Media Capital Corp., 5.625%, 2/15/2024      875,000       908,906  
    

 

 

 
             $ 2,114,681  
Real Estate - Apartment - 0.1%  
Vonovia SE, REIT, 2.125%, 7/09/2022    EUR 225,000     $ 288,120  
Real Estate - Healthcare - 0.6%  
MPT Operating Partnership LP, REIT, 6.375%, 2/15/2022    $ 1,390,000     $ 1,440,388  
MPT Operating Partnership LP, REIT, 5.25%, 8/01/2026      1,375,000       1,426,563  
    

 

 

 
             $ 2,866,951  
Real Estate - Office - 0.1%  
Boston Properties, Inc., REIT, 3.125%, 9/01/2023    $ 250,000     $ 257,470  
Merlin Properties SOCIMI S.A., REIT, 2.225%, 4/25/2023    EUR 250,000       315,609  
    

 

 

 
             $ 573,079  
Real Estate - Other - 1.1%  
CyrusOne LP/CyrusOne Finance Corp., REIT, 5.375%, 3/15/2027 (z)    $ 320,000     $ 338,400  
CyrusOne LP/CyrusOne Finance Corp., REIT, 5%, 3/15/2024 (n)      1,455,000       1,520,475  
DuPont Fabros Technology LP, REIT, 5.875%, 9/15/2021      1,050,000       1,084,829  
Felcor Lodging LP, REIT, 5.625%, 3/01/2023      1,240,000       1,286,500  
Starwood Property Trust, Inc., 5%, 12/15/2021      865,000       896,356  
    

 

 

 
             $ 5,126,560  
Real Estate - Retail - 0.1%  
Simon International Finance S.C.A., REIT, 1.25%, 5/13/2025    EUR 200,000     $ 241,554  
Restaurants - 0.2%  
KFC Holding Co./Pizza Hut Holdings LLC/Taco Bell of America LLC, 5.25%, 6/01/2026 (n)    $ 1,040,000     $ 1,095,900  
Retailers - 1.2%  
Best Buy Co., Inc., 5.5%, 3/15/2021    $ 347,000     $ 377,553  
Dollar Tree, Inc., 5.75%, 3/01/2023      1,270,000       1,339,850  
Hanesbrands, Inc., 4.625%, 5/15/2024 (n)      300,000       312,000  
Hanesbrands, Inc., 4.875%, 5/15/2026 (n)      1,280,000       1,331,200  

 

13


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Retailers - continued  
Home Depot, Inc., 3%, 4/01/2026    $ 310,000     $ 314,960  
Home Depot, Inc., 4.875%, 2/15/2044      200,000       235,102  
Kering S.A., 1.25%, 5/10/2026    EUR 200,000       243,362  
Sally Beauty Holdings, Inc., 5.625%, 12/01/2025    $ 1,295,000       1,322,532  
    

 

 

 
             $ 5,476,559  
Specialty Chemicals - 0.9%  
A Schulman, Inc., 6.875%, 6/01/2023    $ 1,230,000     $ 1,269,975  
Ecolab, Inc., 2.625%, 7/08/2025    EUR 100,000       132,937  
Koppers, Inc., 6%, 2/15/2025 (n)    $ 1,235,000       1,309,100  
Univar USA, Inc., 6.75%, 7/15/2023 (n)      1,430,000       1,487,200  
    

 

 

 
             $ 4,199,212  
Specialty Stores - 0.5%  
Argos Merger Sub, Inc., 7.125%, 3/15/2023 (n)    $ 1,065,000     $ 867,975  
Group 1 Automotive, Inc., 5%, 6/01/2022      1,455,000       1,487,738  
    

 

 

 
             $ 2,355,713  
Supermarkets - 0.5%  
Albertsons Cos. LLC/Safeway Co., 6.625%, 6/15/2024    $ 1,870,000     $ 1,784,915  
Loblaw Cos. Ltd., 4.86%, 9/12/2023    CAD 262,000       233,176  
William Morrison Supermarkets PLC, 3.5%, 7/27/2026    GBP 100,000       139,739  
    

 

 

 
             $ 2,157,830  
Supranational - 0.1%  
International Bank for Reconstruction and Development, 2.8%, 1/13/2021    AUD 170,000     $ 136,708  
International Bank for Reconstruction and Development, 4.25%, 6/24/2025    AUD 210,000       181,472  
International Finance Corp., 3.25%, 7/22/2019    AUD 305,000       247,499  
    

 

 

 
             $ 565,679  
Telecommunications - Wireless - 3.4%  
Altice Luxembourg S.A., 7.75%, 5/15/2022 (n)    $ 415,000     $ 440,419  
Altice Luxembourg S.A., 7.625%, 2/15/2025 (n)      1,340,000       1,450,148  
America Movil S.A.B. de C.V., 1.5%, 3/10/2024    EUR 140,000       172,826  
American Tower Corp., REIT, 3.5%, 1/31/2023    $ 465,000       482,986  
American Tower Corp., REIT, 1.375%, 4/04/2025    EUR 100,000       119,554  
Crown Castle International Corp., 3.7%, 6/15/2026    $ 157,000       159,269  
Digicel Group Ltd., 6%, 4/15/2021 (n)      967,000       937,990  
Digicel Group Ltd., 7.125%, 4/01/2022 (n)      640,000       568,800  
Digicel Group Ltd., 6.75%, 3/01/2023 (n)      1,150,000       1,102,563  
SBA Tower Trust, 2.898%, 10/15/2044 (n)      220,000       221,186  
SFR Group S.A., 7.375%, 5/01/2026 (n)      1,200,000       1,296,024  
Sprint Capital Corp., 6.875%, 11/15/2028      1,625,000       1,787,500  
Sprint Corp., 7.875%, 9/15/2023      980,000       1,119,777  
Sprint Corp., 7.125%, 6/15/2024      1,655,000       1,820,500  
Sprint Nextel Corp., 6%, 11/15/2022      615,000       654,206  
T-Mobile USA, Inc., 6.125%, 1/15/2022      135,000       140,738  
T-Mobile USA, Inc., 6.5%, 1/15/2024      615,000       656,513  
T-Mobile USA, Inc., 5.125%, 4/15/2025      815,000       855,995  
T-Mobile USA, Inc., 6.5%, 1/15/2026      775,000       858,313  
T-Mobile USA, Inc., 5.375%, 4/15/2027      695,000       745,596  
    

 

 

 
             $ 15,590,903  
Telephone Services - 0.6%  
Chorus Ltd. Co., 1.125%, 10/18/2023    EUR 150,000     $ 180,228  
Level 3 Financing, Inc., 5.375%, 1/15/2024    $ 470,000       480,434  

 

14


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued  
Telephone Services - continued  
Level 3 Financing, Inc., 5.375%, 5/01/2025    $ 1,645,000     $ 1,690,238  
TELUS Corp., 5.05%, 7/23/2020    CAD 265,000       229,359  
    

 

 

 
             $ 2,580,259  
Tobacco - 0.4%  
B.A.T. Capital Corp., 3.557%, 8/15/2027 (n)    $ 326,000     $ 330,637  
Imperial Brands Finance PLC, 1.375%, 1/27/2025    EUR 150,000       179,670  
Imperial Tobacco Finance PLC, 4.25%, 7/21/2025 (n)    $ 455,000       483,203  
Reynolds American, Inc., 8.125%, 6/23/2019      92,000       101,791  
Reynolds American, Inc., 3.25%, 6/12/2020      41,000       42,224  
Reynolds American, Inc., 4.45%, 6/12/2025      415,000       449,426  
Reynolds American, Inc., 5.7%, 8/15/2035      118,000       138,223  
    

 

 

 
             $ 1,725,174  
Transportation - Services - 0.7%  
Autostrade per L’Italia S.p.A., 1.75%, 6/26/2026    EUR 250,000     $ 308,061  
Compagnie Financial et Indus Unternehmensanleihe, 0.75%, 9/09/2028    EUR 200,000       226,917  
Delhi International Airport, 6.125%, 10/31/2026 (n)    $ 521,000       561,378  
ERAC USA Finance LLC, 6.375%, 10/15/2017 (n)      400,000       402,031  
ERAC USA Finance LLC, 7%, 10/15/2037 (n)      250,000       328,790  
Heathrow Funding Ltd., 4.625%, 10/31/2046    GBP 100,000       173,313  
Navios Maritime Holding, Inc., 7.375%, 1/15/2022 (n)    $ 555,000       450,938  
Navios South American Logistics, Inc./Navios Logistics Finance (U.S.), Inc., 7.25%, 5/01/2022      365,000       356,331  
Syncreon Group BV/Syncre, 8.625%, 11/01/2021 (n)      670,000       542,700  
    

 

 

 
             $ 3,350,459  
U.S. Treasury Obligations - 14.3%  
U.S. Treasury Bonds, 5.25%, 2/15/2029    $ 3,824,000     $ 5,013,623  
U.S. Treasury Bonds, 5.375%, 2/15/2031      286,200       390,764  
U.S. Treasury Bonds, 4.5%, 2/15/2036      1,857,000       2,444,059  
U.S. Treasury Bonds, 4.75%, 2/15/2037 (f)      1,885,200       2,562,694  
U.S. Treasury Bonds, 3.125%, 2/15/2043 (f)      2,920,000       3,158,391  
U.S. Treasury Bonds, 3.625%, 2/15/2044      771,000       908,455  
U.S. Treasury Notes, 0.75%, 10/31/2018      14,000,000       13,915,781  
U.S. Treasury Notes, 0.875%, 11/30/2017      20,000,000       19,989,827  
U.S. Treasury Notes, 0.875%, 5/15/2019      9,000,000       8,933,203  
U.S. Treasury Notes, 1.75%, 5/15/2022      4,692,000       4,705,746  
U.S. Treasury Notes, 2.25%, 11/15/2025      4,519,000       4,588,727  
    

 

 

 
             $ 66,611,270  
Utilities - Electric Power - 2.8%  
American Electric Power Co., Inc., 1.65%, 12/15/2017    $ 185,000     $ 185,023  
Calpine Corp., 5.5%, 2/01/2024      1,765,000       1,637,038  
Calpine Corp., 5.75%, 1/15/2025      820,000       752,104  
Covanta Holding Corp., 6.375%, 10/01/2022      310,000       318,525  
Covanta Holding Corp., 5.875%, 3/01/2024      755,000       755,000  
Covanta Holding Corp., 5.875%, 7/01/2025      830,000       823,775  
Dominion Resources, Inc., 2.5%, 12/01/2019      250,000       252,929  
Duke Energy Florida LLC, 3.2%, 1/15/2027      310,000       319,369  
EDP Finance B.V., 5.25%, 1/14/2021 (n)      200,000       216,140  
EDP Finance B.V., 2%, 4/22/2025    EUR 100,000       123,521  
Emera U.S. Finance LP, 2.7%, 6/15/2021    $ 98,000       98,935  
Emera U.S. Finance LP, 3.55%, 6/15/2026      112,000       114,420  
Enel Americas S.A., 4%, 10/25/2026      345,000       349,923  
Enel Finance International N.V., 4.75%, 5/25/2047 (n)      442,000       474,252  

 

15


Portfolio of Investments (unaudited) – continued

 

Issuer    Shares/Par     Value ($)  
Bonds - continued                 
Utilities - Electric Power - continued                 
Engie Energia Chile S.A., 5.625%, 1/15/2021    $ 757,000     $ 827,614  
Engie Energia Chile S.A., 4.5%, 1/29/2025 (n)      512,000       535,992  
Exelon Corp., 3.497%, 6/01/2022      151,000       156,526  
FirstEnergy Corp., 3.9%, 7/15/2027      118,000       120,550  
Innogy Finance B.V., 4.75%, 1/31/2034    GBP 100,000       161,953  
NextEra Energy Capital Holdings, Inc., 3.55%, 5/01/2027    $ 377,000       391,110  
NRG Energy, Inc., 6.625%, 3/15/2023      1,985,000       2,054,475  
NRG Energy, Inc., 7.25%, 5/15/2026      750,000       804,375  
Pattern Energy Group, Inc., 5.875%, 2/01/2024 (n)      280,000       293,300  
PG&E Corp., 2.4%, 3/01/2019      166,000       167,144  
PPL Capital Funding, Inc., 3.1%, 5/15/2026      379,000       377,893  
PPL WEM Holdings PLC, 5.375%, 5/01/2021 (n)      250,000       272,462  
Virginia Electric & Power Co., 3.5%, 3/15/2027      475,000       497,915  
    

 

 

 
             $ 13,082,263  
Total Bonds            $ 552,815,957  
Floating Rate Loans (g)(r) - 0.4%                 
Computer Software - Systems - 0.1%                 
Sabre Global, Inc., Term Loan B, 3.48%, 2/22/2024    $ 329,743     $ 330,671  
Conglomerates - 0.0%                 
Entegris, Inc., Term Loan B, 3.48%, 4/30/2021    $ 123,575     $ 123,986  
Consumer Products - 0.1%                 
Spectrum Brands, Inc., Term Loan B, 3.31%, 6/23/2022    $ 311,109     $ 312,121  
Entertainment - 0.1%                 
Cedar Fair LP, Term Loan B, 3.48%, 4/13/2024    $ 317,611     $ 319,437  
Six Flags Theme Parks, Inc., Term Loan B, 3.24%, 6/30/2022      331,400       332,436  
    

 

 

 
             $ 651,873  
Medical & Health Technology & Services - 0.1%                 
DaVita HealthCare Partners, Inc., Term Loan B, 3.98%, 6/24/2021    $ 557,407     $ 560,393  
Utilities - Electric Power - 0.0%                 
Calpine Construction Finance Co. LP, Term Loan B1, 3.74%, 5/03/2020    $ 119,709     $ 119,522  
Total Floating Rate Loans            $ 2,098,566  
Common Stocks - 0.2%                 
Energy - Independent - 0.1%                 
Frontera Energy Corp. (a)      8,177     $ 227,648  
Oil Services - 0.1%                 
LTRI Holdings LP (a)(u)      615     $ 546,993  
Total Common Stocks            $ 774,641  
Investment Companies (h) - 0.7%                 
Money Market Funds - 0.7%                 
MFS Institutional Money Market Portfolio, 1.11% (v)      3,398,960     $ 3,398,960  

 

16


Portfolio of Investments (unaudited) – continued

 

Underlying/Expiration Date/Exercise Price    Put/Call     Counterparty    

Notional

Amount

   

Par

Amount

    Value ($)  
Purchased Options - 0.0%  
Markit Index Securities - 0.0%  
Markit CDX North America Investment Grade Index - October 2017 @ $70      Put       Goldman Sachs International     $ 27,005,032     $ 26,500,000     $ 14,518  
Other Assets, Less Liabilities - (20.0)%       (93,316,985
Net Assets - 100.0%     $ 465,785,657  

 

(a) Non-income producing security.
(d) In default.
(f) All or a portion of the security has been segregated as collateral for open futures contracts.
(g) The rate shown represents a weighted average coupon rate on settled positions at period end, unless otherwise indicated.
(h) An affiliated issuer may be considered one in which the fund owns 5% or more of the outstanding voting securities, or a company which is under common control. At period end, the aggregate values of the fund’s investments in affiliated issuers and in unaffiliated issuers were $3,398,960 and $555,703,682, respectively.
(i) Interest only security for which the fund receives interest on notional principal (Par amount). Par amount shown is the notional principal and does not reflect the cost of the security.
(n) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate value of these securities was $168,943,188, representing 36.3% of net assets.
(p) Payment in kind security for which interest income may be received in additional securities and/or cash.
(r) Remaining maturities of floating rate loans may be less than stated maturities shown as a result of contractual or optional prepayments by the borrower. Such prepayments cannot be predicted with certainty. These loans may be subject to restrictions on resale. Floating rate loans generally have rates of interest which are determined periodically by reference to a base lending rate plus a premium.
(u) The security was valued using significant unobservable inputs and is considered level 3 under the fair value hierarchy.
(v) Affiliated issuer that is available only to investment companies managed by MFS. The rate quoted for the MFS Institutional Money Market Portfolio is the annualized seven-day yield of the fund at period end.
(z) Restricted securities are not registered under the Securities Act of 1933 and are subject to legal restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are subsequently registered. Disposal of these securities may involve time-consuming negotiations and prompt sale at an acceptable price may be difficult. The fund holds the following restricted securities:

 

Restricted Securities   

Acquisition

Date

   Cost      Value  
Ascend Learning LLC, 6.875%, 8/01/2025    6/28/17-7/06/17      $482,748        $494,000  
Bayview Financial Revolving Mortgage Loan Trust, FLR(LIBOR-1mo. + 1.6%), 2.833%, 12/28/2040    3/01/06      473,788        366,832  
CyrusOne LP/CyrusOne Finance Corp., REIT, 5.375%, 3/15/2027    6/22/17-6/23/17      333,402        338,400  
Endo Finance Co., 5.75%, 1/15/2022    8/15/17      607,430        608,600  
Liberty Mutual Group, Inc., 2.75%, 5/04/2026    4/26/16      112,152        129,782  
New Enterprise Stone & Lime Co., Inc., 10.125%, 4/01/2022    3/9/17-6/28/17      962,927        993,600  
Novelis Corp., 5.875%, 9/30/2026    3/12/17-6/14/17      1,508,119        1,516,838  
Republic of Indonesia, 2.875%, 7/08/2021    7/02/14      237,979        223,924  
Republic of Indonesia, 2.15%, 7/18/2024    7/11/17      184,228        195,994  
Seven Generations Energy, 6.75%, 5/01/2023    4/20/17-8/30/17      1,246,615        1,228,675  
TMS International Corp., 7.25%, 8/15/2025    8/09/17-8/25/17      861,874        868,600  
VeriSign, Inc., 4.75%, 7/15/2027    6/29/17      345,000        351,003  
WMG Acquisition Corp., 5%, 8/01/2023    5/11/17-5/12/17      214,791        216,825  
West Street Merger Sub, Inc., 6.375%, 9/01/2025    8/10/17-8/24/17      555,219        552,919  
Total Restricted Securities        $8,085,992  
% of Net assets        1.7%  

The following abbreviations are used in this report and are defined:

 

CDO   Collateralized Debt Obligation
CLO   Collateralized Loan Obligation
FLR   Floating rate. Interest rate resets periodically based on the parenthetically disclosed reference rate plus a spread (if any). The period-end rate reported may not be the current rate.
PLC   Public Limited Company
REIT   Real Estate Investment Trust

 

17


Portfolio of Investments (unaudited) – continued

 

Abbreviations indicate amounts shown in currencies other than the U.S. dollar. All amounts are stated in U.S. dollars unless otherwise indicated. A list of abbreviations is shown below:

 

AUD   Australian Dollar
CAD   Canadian Dollar
CHF   Swiss Franc
DKK   Danish Krone
EUR   Euro
GBP   British Pound
INR   Indian Rupee
HKD   Hong Kong Dollar
JPY   Japanese Yen
KRW   Korean Won
MXN   Mexican Peso
MYR   Malaysian Ringgit
NOK   Norwegian Krone
NZD   New Zealand Dollar
SEK   Swedish Krona
SGD   Singapore Dollar
ZAR   South African Rand

Derivative Contracts at 8/31/17

Forward Foreign Currency Exchange Contracts at 8/31/17

 

      Currency Purchased      Currency Sold        Counterparty    Settlement Date    Unrealized
Appreciation
 
     AUD        1,508,396        USD        1,187,356        Citibank N.A.    10/13/2017      $11,185  
     AUD        927,382        USD        729,633        JPMorgan Chase Bank N.A.    10/13/2017      7,246  
     CHF        57,082        USD        58,974        Barclays Bank PLC    10/13/2017      701  
     DKK        31,438        USD        4,982        Goldman Sachs International    10/13/2017      61  
     EUR        405,774        USD        477,246        Brown Brothers Harriman    10/13/2017      6,795  
     EUR        191,749        USD        225,654        HSBC Bank    10/13/2017      3,081  
     KRW        44,218,500        USD        38,808        JPMorgan Chase Bank N.A.    11/15/2017      432  
     MXN        3,219,094        USD        177,540        JPMorgan Chase Bank N.A.    10/13/2017      1,409  
     MYR        444,000        USD        103,700        Barclays Bank PLC    10/25/2017      66  
     NOK        106,912        USD        13,471        JPMorgan Chase Bank N.A.    10/13/2017      322  
     SEK        21,035,119        USD        2,599,024        Goldman Sachs International    10/13/2017      54,007  
     USD        1,168,588        GBP        895,811        Citibank N.A.    10/13/2017      8,698  
     USD        9,076,461        GBP        6,952,106        Deutsche Bank AG    10/13/2017      74,922  
     USD        254,540        GBP        196,000        JPMorgan Chase Bank N.A.    10/13/2017      761  
     USD        89,915        NZD        125,000        JPMorgan Chase Bank N.A.    10/13/2017      229  
     ZAR        569,852        USD        42,638        Barclays Bank PLC    10/13/2017      900  
                      

 

 

 
                         $170,815  
                      

 

 

 
      Currency Purchased      Currency Sold        Counterparty    Settlement Date    Unrealized
(Depreciation)
 
     GBP        1,235,438        USD        1,604,828        Goldman Sachs International    10/13/2017      $(5,191
     HKD        9,708,000        USD        1,242,987        Citibank N.A.    10/13/2017      (1,096
     INR        150,464,000        USD        2,359,627        Barclays Bank PLC    9/5/2017      (5,915
     INR        150,464,000        USD        2,339,122        Barclays Bank PLC    11/1/2017      (1,205
     JPY        255,652,000        USD        2,337,820        Citibank N.A.    10/13/2017      (8,199
     JPY        257,066,000        USD        2,349,613        Goldman Sachs International    10/13/2017      (7,106
     NZD        121,494        USD        88,989        JPMorgan Chase Bank N.A.    10/13/2017      (1,818
     USD        2,351,000        INR        150,464,000        Barclays Bank PLC    9/5/2017      (2,712
     USD        2,328,310        CAD        2,954,956        Barclays Bank PLC    10/13/2017      (39,051
     USD        119,941        EUR        101,549        Brown Brothers Harriman    9/13/2017      (997
     USD        1,164,253        EUR        984,000        Citibank N.A.    10/13/2017      (9,543
     USD        2,910,913        CAD        3,698,559        Deutsche Bank AG    10/13/2017      (52,185
     USD        232,633        SEK        1,883,000        Deutsche Bank AG    10/13/2017      (4,858
     USD        2,668,077        AUD        3,372,148        Goldman Sachs International    10/13/2017      (11,364

 

18


Portfolio of Investments (unaudited) – continued

 

Forward Foreign Currency Exchange Contracts at 8/31/17 - continued

 

      Currency Purchased     

Currency Sold

       Counterparty    Settlement Date    Unrealized
(Depreciation)
 
     USD        111,476        EUR        94,532        Goldman Sachs International    10/13/2017      $(1,289
     USD        261,262        GBP        202,604        Goldman Sachs International    10/13/2017      (1,068
     USD        22,962,415        JPY        2,534,894,459        Goldman Sachs International    10/13/2017      (136,741
     USD        29,656,308        EUR        25,079,874        JPMorgan Chase Bank N.A.    10/13/2017      (261,036
     USD        49,182        SGD        66,859        JPMorgan Chase Bank N.A.    10/13/2017      (139
     USD        8,462,117        CAD        10,726,241        Merrill Lynch International    10/13/2017      (131,203
                      

 

 

 
                         $(682,716
                      

 

 

 

Futures Contracts at 8/31/17

 

Description    Long/Short      Currency      Contracts      Notional
Amount
     Expiration Date      Value/Unrealized
Appreciation
(Depreciation)
 
Asset Derivatives                  
Interest Rate Futures                  
Euro-Bund 10 yr      Long        EUR        37        $7,271,225        September - 2017        $5,198  
Euro-Buxl 30 yr      Long        EUR        11        2,204,405        September - 2017        11,759  
U.S. Treasury Ultra Bond 30 yr      Long        USD        8        1,352,500        December - 2017        7,690  
Long Gilt 10 yr      Long        GBP        35        5,761,410        December - 2017        10,294  
U.S. Treasury Note 5 yr      Short        USD        48        5,688,000        December - 2017        4,331  
                 

 

 

 
                    $39,272  
                 

 

 

 
Liability Derivatives                  
Interest Rate Futures                  
Euro-Bobl 5 yr      Long        EUR        38        $6,022,871        September - 2017        $(2,805
Government of Canada 10 yr      Short        CAD        12        1,328,529        December - 2017        (2,825
U.S. Treasury Bond 30 yr      Short        USD        4        624,375        December - 2017        (2,577
U.S. Treasury Ultra Note 10 yr      Short        USD        20        2,730,625        December - 2017        (8,354
U.S. Treasury Note 10 yr      Short        USD        379        48,127,078        December - 2017        (101,901
                 

 

 

 
                    $(118,462
                 

 

 

 

At August 31, 2017, the fund had cash collateral of $460,000 with other liquid securities with an aggregate value of $965,721 to cover any commitments for certain derivative contracts.

See attached supplemental information. For more information see notes to financial statements as disclosed in the most recent semiannual or annual report.

 

19


Supplemental Information

8/31/17 (unaudited)

The fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (FASB) Accounting Standards Codification Topic 946 Financial Services – Investment Companies.

(1) Investment Valuations

Equity securities, including restricted equity securities, are generally valued at the last sale or official closing price on their primary market or exchange as provided by a third-party pricing service. Equity securities, for which there were no sales reported that day, are generally valued at the last quoted daily bid quotation on their primary market or exchange as provided by a third-party pricing service. Debt instruments and floating rate loans, including restricted debt instruments, are generally valued at an evaluated or composite bid as provided by a third-party pricing service. Short-term instruments with a maturity at issuance of 60 days or less may be valued at amortized cost, which approximates market value. Exchange-traded options are generally valued at the last sale or official closing price on their primary exchange as provided by a third-party pricing service. Exchange-traded options for which there were no sales reported that day are generally valued at the last daily bid quotation on their primary exchange as provided by a third-party pricing service. Options not traded on an exchange are generally valued at a broker/dealer bid quotation. Foreign currency options are generally valued at valuations provided by a third-party pricing service. Futures contracts are generally valued at last posted settlement price on their primary exchange as provided by a third-party pricing service. Futures contracts for which there were no trades that day for a particular position are generally valued at the closing bid quotation on their primary exchange as provided by a third-party pricing service. Forward foreign currency exchange contracts are generally valued at the mean of bid and asked prices for the time period interpolated from rates provided by a third-party pricing service for proximate time periods. Open-end investment companies are generally valued at net asset value per share. Securities and other assets generally valued on the basis of information from a third-party pricing service may also be valued at a broker/dealer bid quotation. Values obtained from third-party pricing services can utilize both transaction data and market information such as yield, quality, coupon rate, maturity, type of issue, trading characteristics, and other market data. The values of foreign securities and other assets and liabilities expressed in foreign currencies are converted to U.S. dollars using the mean of bid and asked prices for rates provided by a third-party pricing service.

The Board of Trustees has delegated primary responsibility for determining or causing to be determined the value of the fund’s investments (including any fair valuation) to the adviser pursuant to valuation policies and procedures approved by the Board. If the adviser determines that reliable market quotations are not readily available, investments are valued at fair value as determined in good faith by the adviser in accordance with such procedures under the oversight of the Board of Trustees. Under the fund’s valuation policies and procedures, market quotations are not considered to be readily available for most types of debt instruments and floating rate loans and many types of derivatives. These investments are generally valued at fair value based on information from third-party pricing services. In addition, investments may be valued at fair value if the adviser determines that an investment’s value has been materially affected by events occurring after the close of the exchange or market on which the investment is principally traded (such as foreign exchange or market) and prior to the determination of the fund’s net asset value, or after the halting of trading of a specific security where trading does not resume prior to the close of the exchange or market on which the security is principally traded. The adviser generally relies on third-party pricing services or other information (such as the correlation with price movements of similar securities in the same or other markets; the type, cost and investment characteristics of the security; the business and financial condition of the issuer; and trading and other market data) to assist in determining whether to fair value and at what value to fair value an investment. The value of an investment for purposes of calculating the fund’s net asset value can differ depending on the source and method used to determine value. When fair valuation is used, the value of an investment used to determine the fund’s net asset value may differ from quoted or published prices for the same investment. There can be no assurance that the fund could obtain the fair value assigned to an investment if it were to sell the investment at the same time at which the fund determines its net asset value per share.

Various inputs are used in determining the value of the fund’s assets or liabilities. These inputs are categorized into three broad levels. In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, an investment’s level within the fair value hierarchy is based on the lowest level of input that is significant to the fair value measurement. The fund’s assessment of the significance of a particular input to the fair value measurement in its entirety requires judgment, and considers factors specific to the investment. Level 1 includes unadjusted quoted prices in active markets for identical assets or liabilities. Level 2 includes other significant observable market-based inputs (including quoted prices for similar securities, interest rates, prepayment speed, and credit risk).

 

20


Supplemental Information (unaudited) – continued

 

Level 3 includes unobservable inputs, which may include the adviser’s own assumptions in determining the fair value of investments. Other financial instruments are derivative instruments not reflected in total investments, such as futures contracts and forward foreign currency exchange contracts. The following is a summary of the levels used as of August 31, 2017 in valuing the fund’s assets or liabilities:

 

Financial Instruments    Level 1      Level 2      Level 3      Total  
Equity Securities:            

United States

     $—        $—        $546,993        $546,993  

Colombia

     227,648                  227,648  
U.S. Treasury Bonds & U.S. Government Agency & Equivalents             66,611,270               66,611,270  
Non-U.S. Sovereign Debt             82,232,553               82,232,553  
U.S. Corporate Bonds             296,390,495               296,390,495  
Residential Mortgage-Backed Securities             14,641,422               14,641,422  
Commercial Mortgage-Backed Securities             2,171,135               2,171,135  
Asset-Backed Securities (including CDOs)             10,881,084               10,881,084  
Foreign Bonds             79,902,516               79,902,516  
Floating Rate Loans             2,098,566               2,098,566  
Mutual Funds      3,398,960                      3,398,960  
Total      $3,626,608        $554,929,041        $546,993        $559,102,642  
Other Financial Instruments                            
Futures Contracts - Assets      $39,272        $—        $—        $39,272  
Futures Contracts - Liabilities      (118,462                    (118,462
Forward Foreign Currency Exchange Contracts - Assets             170,815               170,815  
Forward Foreign Currency Exchange Contracts - Liabilities             (682,716             (682,716

For further information regarding security characteristics, see the Portfolio of Investments.

The following is a reconciliation of level 3 assets for which significant unobservable inputs were used to determine fair value. The fund’s policy is to recognize transfers between the levels as of the end of the period. The table presents the activity of level 3 securities held at the beginning and the end of the period.

 

     Equity Securities  
Balance as of 11/30/16      $—  

Received as part of a corporate action

     546,993  
Balance as of 8/31/17      $546,993  

At August 31, 2017, the fund held one level 3 security.

(2) Portfolio Securities

The cost and unrealized appreciation and depreciation in the value of the investments owned by the fund, as computed on a federal income tax basis, are as follows:

 

Aggregate cost      $552,627,694  
Gross unrealized appreciation      16,368,390  
Gross unrealized depreciation      (9,893,442
Net unrealized appreciation (depreciation)      $6,474,948  

The aggregate cost above includes prior fiscal year end tax adjustments, if applicable.

(3) Investments in Affiliated Issuers

An affiliated issuer may be considered one in which the fund owns 5% or more of the outstanding voting securities, or a company which is under common control. For the purposes of this report, the fund assumes the following to be an affiliated issuer:

 

Affiliated Issuer            Beginning
Shares/Par
Amount
     Acquisitions
Shares/Par
Amount
     Dispositions
Shares/Par
Amount
     Ending
Shares/Par
Amount
 
MFS Institutional Money Market Portfolio         9,305,595        135,611,694        (141,518,329      3,398,960  
Affiliated Issuer    Realized
Gain (Loss)
     Change in
Unrealized
Appreciation
(Depreciation)
     Capital Gain
Distributions
     Dividend
Income
     Ending
Value
 
MFS Institutional Money Market Portfolio      $1,615        $339        $—        $66,137        $3,398,960  

 

21


ITEM 2. CONTROLS AND PROCEDURES.

 

(a) Based upon their evaluation of 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 conducted within 90 days of the filing date of this Form N-Q, the registrant’s principal financial officer and principal executive officer have concluded that those disclosure controls and procedures provide reasonable assurance that the material information required to be disclosed by the registrant on this report is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission’s rules and forms.

 

(b) There were no changes in the registrant’s internal controls over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

ITEM 3. EXHIBITS.

File as exhibits as part of this Form a separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the Act (17 CFR 270.30a-2): Attached hereto.


Notice

A copy of the Amended and Restated Declaration of Trust, as amended, of the Registrant is on file with the Secretary of State of The Commonwealth of Massachusetts and notice is hereby given that this instrument is executed on behalf of the Registrant by an officer of the Registrant as an officer and not individually and the obligations of or arising out of this instrument are not binding upon any of the Trustees or shareholders individually, but are binding only upon the assets and property of the respective constituent series of the Registrant.


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: MFS CHARTER INCOME TRUST

 

By (Signature and Title)*    DAVID L. DILORENZO
  David L. DiLorenzo, President

Date: October 17, 2017

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)*    DAVID L. DILORENZO
 

David L. DiLorenzo, President

(Principal Executive Officer)

Date: October 17, 2017

 

By (Signature and Title)*    JAMES O. YOST
 

James O. Yost, Treasurer

(Principal Financial Officer

and Accounting Officer)

Date: October 17, 2017

 

* Print name and title of each signing officer under his or her signature.