STATEMENT OF INVESTMENTS
BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc.

May 31, 2023 (Unaudited)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0%

     

Advertising - .3%

     

Clear Channel Outdoor Holdings, Inc., Sr. Scd. Notes

 

5.13

 

8/15/2027

 

298,000

c 

263,095

 

Outfront Media Capital LLC/Outfront Media Capital Corp., Gtd. Notes

 

5.00

 

8/15/2027

 

160,000

c 

143,542

 
 

406,637

 

Aerospace & Defense - 1.0%

     

Bombardier, Inc., Sr. Unscd. Notes

 

7.88

 

4/15/2027

 

250,000

c 

247,469

 

Rolls-Royce PLC, Gtd. Bonds

 

3.63

 

10/14/2025

 

210,000

c 

198,143

 

TransDigm, Inc., Gtd. Notes

 

4.88

 

5/1/2029

 

191,000

 

169,997

 

TransDigm, Inc., Gtd. Notes

 

5.50

 

11/15/2027

 

550,000

 

517,617

 
 

1,133,226

 

Airlines - .7%

     

Air Canada, Sr. Scd. Notes

 

3.88

 

8/15/2026

 

210,000

c 

195,169

 

American Airlines, Inc./Aadvantage Loyalty IP Ltd., Sr. Scd. Notes

 

5.75

 

4/20/2029

 

710,000

c 

680,970

 
 

876,139

 

Automobiles & Components - 2.5%

     

Clarios Global LP/Clarios US Finance Co., Sr. Scd. Bonds

EUR

4.38

 

5/15/2026

 

550,000

c 

564,747

 

Clarios Global LP/Clarios US Finance Co., Sr. Scd. Notes

 

6.75

 

5/15/2028

 

74,000

c 

74,073

 

Dealer Tire LLC/DT Issuer LLC, Sr. Unscd. Notes

 

8.00

 

2/1/2028

 

422,000

c 

386,765

 

Ford Motor Co., Sr. Unscd. Notes

 

5.29

 

12/8/2046

 

900,000

 

712,408

 

Ford Motor Credit Co. LLC, Sr. Unscd. Notes

 

3.63

 

6/17/2031

 

450,000

 

364,444

 

Grupo Antolin-Irausa SA, Sr. Scd. Bonds

EUR

3.50

 

4/30/2028

 

360,000

c 

281,869

 

IHO Verwaltungs GmbH, Sr. Scd. Notes

EUR

3.88

 

5/15/2027

 

420,000

c,d 

400,441

 

Standard Profil Automotive GmbH, Sr. Scd. Bonds

EUR

6.25

 

4/30/2026

 

294,000

c 

212,123

 
 

2,996,870

 

Banks - .9%

     

Citigroup, Inc., Jr. Sub. Notes

 

3.88

 

2/18/2026

 

113,000

e 

94,366

 

Freedom Mortgage Corp., Sr. Unscd. Notes

 

8.13

 

11/15/2024

 

260,000

c 

255,148

 

JPMorgan Chase & Co., Jr. Sub. Notes, Ser. HH

 

4.60

 

2/1/2025

 

164,000

e 

151,853

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Banks - .9% (continued)

     

Lloyds Banking Group PLC, Jr. Sub. Bonds

 

7.50

 

6/27/2024

 

200,000

e 

192,725

 

Societe Generale SA, Jr. Sub. Bonds

 

7.88

 

12/18/2023

 

400,000

c,e 

390,000

 
 

1,084,092

 

Building Materials - 1.2%

     

Eco Material Technologies, Inc., Sr. Scd. Notes

 

7.88

 

1/31/2027

 

381,000

c 

362,481

 

Emerald Debt Merger Sub LLC, Sr. Scd. Notes

 

6.63

 

12/15/2030

 

320,000

c 

317,840

 

PCF GmbH, Sr. Scd. Bonds

EUR

4.75

 

4/15/2026

 

210,000

c 

186,583

 

Standard Industries, Inc., Sr. Unscd. Notes

 

4.38

 

7/15/2030

 

546,000

c 

461,589

 

Standard Industries, Inc., Sr. Unscd. Notes

 

4.75

 

1/15/2028

 

121,000

c 

111,136

 
 

1,439,629

 

Chemicals - 2.0%

     

INEOS Quattro Finance 1 PLC, Sr. Unscd. Notes

EUR

3.75

 

7/15/2026

 

670,000

c 

634,739

 

Iris Holdings, Inc., Sr. Unscd. Notes

 

8.75

 

2/15/2026

 

234,000

c,d 

219,959

 

Italmatch Chemicals SPA, Sr. Scd. Notes

EUR

10.00

 

2/6/2028

 

283,000

c 

296,450

 

Olympus Water US Holding Corp., Sr. Scd. Notes

EUR

9.63

 

11/15/2028

 

410,000

c 

440,166

 

Olympus Water US Holding Corp., Sr. Scd. Notes

 

9.75

 

11/15/2028

 

240,000

c 

238,500

 

SCIH Salt Holdings, Inc., Sr. Scd. Notes

 

4.88

 

5/1/2028

 

120,000

c 

106,447

 

SCIH Salt Holdings, Inc., Sr. Unscd. Notes

 

6.63

 

5/1/2029

 

170,000

c 

141,002

 

WR Grace Holdings LLC, Sr. Scd. Notes

 

7.38

 

3/1/2031

 

110,000

c 

107,899

 

WR Grace Holdings LLC, Sr. Unscd. Notes

 

5.63

 

8/15/2029

 

210,000

c 

174,581

 
 

2,359,743

 

Collateralized Loan Obligations Debt - 29.3%

     

Carlyle Euro DAC CLO, Ser. 2022-5A, Cl. D, 3 Month EURIBOR +7.63%

EUR

10.89

 

10/25/2035

 

855,000

c,f 

897,205

 

Carlyle Global Market Strategies Euro DAC CLO, Ser. 2014-1A, Cl. ER, 3 Month EURIBOR +4.93%

EUR

8.11

 

7/15/2031

 

1,500,000

c,f 

1,359,998

 

Carlyle Global Market Strategies Euro DAC CLO, Ser. 2014-1A, Cl. FR, 3 Month EURIBOR +6.61%

EUR

9.79

 

7/15/2031

 

3,000,000

c,f 

2,479,704

 

Carlyle Global Market Strategies Euro DAC CLO, Ser. 2015-3A, Cl. ER, 3 Month EURIBOR +6.44%

EUR

9.62

 

7/15/2030

 

2,000,000

c,f 

1,646,483

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Collateralized Loan Obligations Debt - 29.3% (continued)

     

CIFC European Funding II DAC CLO, Ser. 2A, Cl. F, 3 Month EURIBOR +7.70%

EUR

10.88

 

4/15/2033

 

1,000,000

c,f 

871,174

 

CIFC Funding I Ltd. CLO, Ser. 2018-1A, Cl. E, 3 Month LIBOR +5.00%

 

10.26

 

4/18/2031

 

1,000,000

c,f 

858,485

 

CQS US Ltd. CLO, Ser. 2022-2A, Cl. E1, 3 Month TSFR +6.85%

 

11.90

 

7/20/2031

 

2,000,000

c,f 

1,819,296

 

Crown Point 9 Ltd. CLO, Ser. 2020-9A, Cl. ER, 3 Month LIBOR +6.76%

 

12.01

 

7/14/2034

 

2,375,000

c,f 

2,165,299

 

Dryden 91 Euro DAC CLO, Ser. 2021-91A, Cl. E, 3 Month EURIBOR +7.06%

EUR

10.24

 

4/18/2035

 

1,000,000

c,f 

967,632

 

Euro-Galaxy IV DAC CLO, Ser. 2015-4A, CI. FRR, 3 Month EURIBOR +8.88%

EUR

12.12

 

7/30/2034

 

1,750,000

c,f 

1,631,954

 

Fidelity Grand Harbour Designated Activity Co. CLO, Ser. 2022-1A, Cl. E, 3 Month EURIBOR +7.08%

EUR

10.26

 

10/15/2036

 

1,750,000

c,f 

1,767,597

 

Franklin Park Place I LLC CLO, Ser. 2022-1A, Cl. E, 3 Month TSFR +7.50%

 

12.49

 

4/14/2035

 

1,000,000

c,f 

902,362

 

GoldenTree Loan Management EUR 2 DAC CLO, Ser. 2A, Cl. E, 3 Month EURIBOR +5.25%

EUR

8.45

 

1/20/2032

 

1,000,000

c,f 

898,012

 

Hayfin Emerald IV DAC CLO, Ser. 4A, Cl. FR, 3 Month EURIBOR +8.68%

EUR

11.86

 

10/15/2034

 

740,000

c,f 

555,054

 

ICG Euro DAC CLO, Ser. 2021-1A, Cl. F, 3 Month EURIBOR +8.82%

EUR

12.00

 

10/15/2034

 

1,000,000

c,f 

877,997

 

KKR 23 Ltd. CLO, Ser. 23, Cl. E, 3 Month LIBOR +6.00%

 

11.25

 

10/20/2031

 

1,000,000

c,f 

854,414

 

OZLM Funding II Ltd. CLO, Ser. 2012-2A, Cl. DR2, 3 Month LIBOR +5.90%

 

11.20

 

7/30/2031

 

2,250,000

c,f 

1,785,333

 

OZLM VI Ltd. CLO, Ser. 2014-6A, Cl. DS, 3 Month LIBOR +6.05%

 

11.31

 

4/17/2031

 

1,000,000

c,f 

781,529

 

OZLME III DAC CLO, Ser. 3A, Cl. F, 3 Month EURIBOR +6.45%

EUR

9.86

 

8/24/2030

 

1,000,000

c,f 

827,487

 

St. Paul's V DAC CLO, Ser. 5A, Cl. FR, 3 Month EURIBOR +6.60%

EUR

9.98

 

8/20/2030

 

4,000,000

c,f 

3,387,679

 

TIAA I Ltd. CLO, Ser. 2016-1A, CI. ER, 3 Month LIBOR +6.20%

 

11.45

 

7/20/2031

 

2,131,000

c,f 

1,697,431

 

Tikehau DAC CLO, Ser. 2015-1A, Cl. FRR, 3 Month EURIBOR +8.75%

EUR

12.02

 

8/4/2034

 

2,000,000

c,f 

1,830,898

 

Trinitas XI Ltd. CLO, Ser. 2019-11A, CI. ER, 3 Month LIBOR +7.27%

 

12.53

 

7/15/2034

 

750,000

c,f 

623,503

 

Venture 45 Ltd. CLO, Ser. 2022-45A, CI. D1, 3 Month TSFR +4.00%

 

9.05

 

7/20/2035

 

1,500,000

c,f 

1,268,721

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Collateralized Loan Obligations Debt - 29.3% (continued)

     

Vibrant III Ltd. CLO, Ser. 2015-3A, Cl. DRR, 3 Month LIBOR +6.35%

 

11.60

 

10/20/2031

 

1,000,000

c,f 

709,612

 

Wind River Ltd. CLO, Ser. 2016-1KRA, CI. FR2, 3 Month LIBOR +7.90%

 

13.16

 

10/15/2034

 

1,500,000

c,f 

1,113,490

 
 

34,578,349

 

Collateralized Loan Obligations Equity - .0%

     

Madison Park Funding X Ltd. CLO, Ser. 2012-10A, Cl. SUB

 

0.00

 

1/20/2029

 

3,000,000

c,g 

180

 

Commercial & Professional Services - 4.0%

     

Adtalem Global Education, Inc., Sr. Scd. Notes

 

5.50

 

3/1/2028

 

250,000

c 

233,931

 

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl, Sr. Scd. Bonds

GBP

4.88

 

6/1/2028

 

860,000

c 

832,752

 

APX Group, Inc., Gtd. Notes

 

5.75

 

7/15/2029

 

226,000

c 

193,377

 

APX Group, Inc., Sr. Scd. Notes

 

6.75

 

2/15/2027

 

198,000

c 

195,286

 

BCP V Modular Services Finance II PLC, Sr. Scd. Bonds

EUR

4.75

 

11/30/2028

 

420,000

c 

374,863

 

House of HR Group BV, Sr. Scd. Bonds

EUR

9.00

 

11/3/2029

 

470,000

c 

488,258

 

La Financiere Atalian SASU, Gtd. Bonds

EUR

5.13

 

5/15/2025

 

129,000

c 

96,453

 

La Financiere Atalian SASU, Gtd. Bonds

EUR

5.13

 

5/15/2025

 

129,000

 

96,453

 

Loxam SAS, Sr. Sub. Notes

EUR

5.75

 

7/15/2027

 

370,000

 

356,925

 

MPH Acquisition Holdings LLC, Sr. Scd. Notes

 

5.50

 

9/1/2028

 

340,000

c 

271,422

 

Neptune Bidco US, Inc., Sr. Scd. Notes

 

9.29

 

4/15/2029

 

307,000

c 

281,316

 

Prime Security Services Borrower LLC/Prime Finance, Inc., Scd. Notes

 

6.25

 

1/15/2028

 

346,000

c 

318,152

 

The Hertz Corp., Gtd. Notes

 

4.63

 

12/1/2026

 

390,000

c 

348,211

 

Verisure Midholding AB, Gtd. Notes

EUR

5.25

 

2/15/2029

 

740,000

c 

675,682

 
 

4,763,081

 

Consumer Discretionary - 5.0%

     

Ashton Woods USA LLC/Ashton Woods Finance Co., Sr. Unscd. Notes

 

4.63

 

4/1/2030

 

170,000

c 

140,599

 

Carnival Corp., Gtd. Bonds

EUR

7.63

 

3/1/2026

 

415,000

c 

415,259

 

Carnival Corp., Gtd. Notes

 

6.00

 

5/1/2029

 

540,000

c 

449,508

 

Carnival Corp., Gtd. Notes

 

7.63

 

3/1/2026

 

193,000

c 

183,166

 

CCM Merger, Inc., Sr. Unscd. Notes

 

6.38

 

5/1/2026

 

439,000

c 

424,834

 

Churchill Downs, Inc., Gtd. Notes

 

4.75

 

1/15/2028

 

260,000

c 

240,859

 

Everi Holdings, Inc., Gtd. Notes

 

5.00

 

7/15/2029

 

271,000

c 

240,602

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Consumer Discretionary - 5.0% (continued)

     

Hilton Domestic Operating Co., Inc., Gtd. Notes

 

3.63

 

2/15/2032

 

190,000

c 

157,275

 

Hilton Domestic Operating Co., Inc., Gtd. Notes

 

4.00

 

5/1/2031

 

100,000

c 

86,408

 

International Game Technology PLC, Sr. Scd. Notes

 

5.25

 

1/15/2029

 

220,000

c 

208,366

 

Jacobs Entertainment, Inc., Sr. Unscd. Notes

 

6.75

 

2/15/2029

 

54,000

 

47,464

 

KB Home, Gtd. Notes

 

4.00

 

6/15/2031

 

324,000

 

275,495

 

NCL Corp. Ltd., Gtd. Notes

 

5.88

 

3/15/2026

 

228,000

c 

207,080

 

NCL Corp. Ltd., Sr. Scd. Notes

 

5.88

 

2/15/2027

 

214,000

c 

204,014

 

NCL Corp. Ltd., Sr. Unscd. Notes

 

3.63

 

12/15/2024

 

630,000

c 

603,008

 

Nobel Bidco BV, Sr. Scd. Bonds

EUR

3.13

 

6/15/2028

 

720,000

c 

607,696

 

Pinewood Finance Co. Ltd., Sr. Scd. Bonds

GBP

3.63

 

11/15/2027

 

240,000

c 

266,282

 

Raptor Acquisition Corp./Raptor Co-Issuer LLC, Sr. Scd. Notes

 

4.88

 

11/1/2026

 

59,000

c 

55,369

 

Royal Caribbean Cruises Ltd., Sr. Unscd. Notes

 

5.50

 

8/31/2026

 

579,000

c 

544,934

 

Scientific Games Holdings LP/Scientific Games US Finco, Inc., Sr. Unscd. Notes

 

6.63

 

3/1/2030

 

450,000

c 

396,076

 

Taylor Morrison Communities, Inc., Sr. Unscd. Notes

 

5.13

 

8/1/2030

 

138,000

c 

128,527

 
 

5,882,821

 

Consumer Staples - .3%

     

Kronos Acquisition Holdings, Inc./KIK Custom Products, Inc., Sr. Scd. Notes

 

5.00

 

12/31/2026

 

200,000

c 

182,786

 

Newell Brands, Inc., Sr. Unscd. Notes

 

4.70

 

4/1/2026

 

152,000

 

141,171

 
 

323,957

 

Diversified Financials - 5.6%

     

Advisor Group Holdings, Inc., Sr. Unscd. Notes

 

10.75

 

8/1/2027

 

300,000

c 

289,128

 

Ally Financial, Inc., Jr. Sub. Notes, Ser. B

 

4.70

 

5/15/2026

 

661,000

e 

469,789

 

Blackstone Secured Lending Fund, Sr. Unscd. Notes

 

2.85

 

9/30/2028

 

360,000

 

294,107

 

Compass Group Diversified Holdings LLC, Gtd. Notes

 

5.25

 

4/15/2029

 

215,000

c 

190,133

 

Encore Capital Group, Inc., Sr. Scd. Bonds

EUR

4.88

 

10/15/2025

 

350,000

c 

343,868

 

Encore Capital Group, Inc., Sr. Scd. Notes

GBP

4.25

 

6/1/2028

 

525,000

c 

498,059

 

Garfunkelux Holdco 3 SA, Sr. Scd. Bonds

GBP

7.75

 

11/1/2025

 

375,000

c 

335,423

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Diversified Financials - 5.6% (continued)

     

Garfunkelux Holdco 3 SA, Sr. Scd. Bonds

GBP

7.75

 

11/1/2025

 

500,000

 

447,231

 

Icahn Enterprises LP/Icahn Enterprises Finance Corp., Gtd. Notes

 

4.75

 

9/15/2024

 

204,000

 

191,115

 

Intrum AB, Sr. Unscd. Bonds

EUR

3.13

 

7/15/2024

 

343,933

c 

351,501

 

Intrum AB, Sr. Unscd. Notes

EUR

4.88

 

8/15/2025

 

520,000

c 

487,781

 

Jane Street Group/JSG Finance, Inc., Sr. Scd. Notes

 

4.50

 

11/15/2029

 

80,000

c 

68,313

 

Nationstar Mortgage Holdings, Inc., Gtd. Notes

 

5.75

 

11/15/2031

 

540,000

c 

439,031

 

Navient Corp., Sr. Unscd. Notes

 

6.75

 

6/25/2025

 

290,000

 

280,920

 

Navient Corp., Sr. Unscd. Notes

 

6.75

 

6/15/2026

 

465,000

 

441,285

 

NFP Corp., Sr. Unscd. Notes

 

6.88

 

8/15/2028

 

130,000

c 

107,941

 

OneMain Finance Corp., Gtd. Notes

 

6.63

 

1/15/2028

 

330,000

 

299,085

 

PennyMac Financial Services, Inc., Gtd. Notes

 

5.38

 

10/15/2025

 

780,000

c 

725,772

 

PennyMac Financial Services, Inc., Gtd. Notes

 

5.75

 

9/15/2031

 

399,000

c 

321,651

 
 

6,582,133

 

Electronic Components - .5%

     

Energizer Gamma Acquisition BV, Gtd. Bonds

EUR

3.50

 

6/30/2029

 

240,000

c 

205,677

 

Sensata Technologies, Inc., Gtd. Notes

 

4.38

 

2/15/2030

 

370,000

c 

330,914

 

TTM Technologies, Inc., Gtd. Notes

 

4.00

 

3/1/2029

 

129,000

c 

109,477

 
 

646,068

 

Energy - 4.5%

     

Aethon United BR LP/Aethon United Finance Corp., Sr. Unscd. Notes

 

8.25

 

2/15/2026

 

287,000

c 

278,082

 

Antero Midstream Partners LP/Antero Midstream Finance Corp., Gtd. Notes

 

5.75

 

3/1/2027

 

330,000

c 

316,653

 

Apache Corp., Sr. Unscd. Notes

 

5.10

 

9/1/2040

 

500,000

 

412,010

 

Blue Racer Midstream LLC/Blue Racer Finance Corp., Sr. Unscd. Notes

 

6.63

 

7/15/2026

 

290,000

c 

287,755

 

Chesapeake Energy Corp., Gtd. Notes

 

5.88

 

2/1/2029

 

35,000

c 

33,011

 

Comstock Resources, Inc., Gtd. Notes

 

6.75

 

3/1/2029

 

340,000

c 

297,570

 

CQP Holdco LP/Bip-V Chinook Holdco LLC, Sr. Scd. Notes

 

5.50

 

6/15/2031

 

310,000

c 

276,684

 

CVR Energy, Inc., Gtd. Bonds

 

5.25

 

2/15/2025

 

698,000

c 

664,960

 

EQM Midstream Partners LP, Sr. Unscd. Notes

 

4.75

 

1/15/2031

 

125,000

c 

107,476

 

EQM Midstream Partners LP, Sr. Unscd. Notes

 

5.50

 

7/15/2028

 

239,000

 

224,416

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Energy - 4.5% (continued)

     

EQM Midstream Partners LP, Sr. Unscd. Notes

 

7.50

 

6/1/2027

 

69,000

c 

69,504

 

New Fortress Energy, Inc., Sr. Scd. Notes

 

6.50

 

9/30/2026

 

77,000

c 

68,316

 

New Fortress Energy, Inc., Sr. Scd. Notes

 

6.75

 

9/15/2025

 

360,000

c 

331,806

 

Northern Oil & Gas, Inc., Sr. Unscd. Notes

 

8.75

 

6/15/2031

 

150,000

 

147,698

 

PDC Energy, Inc., Gtd. Notes

 

5.75

 

5/15/2026

 

170,000

 

169,635

 

Rockcliff Energy II LLC, Sr. Unscd. Notes

 

5.50

 

10/15/2029

 

568,000

c 

522,571

 

Venture Global Calcasieu Pass LLC, Sr. Scd. Notes

 

3.88

 

11/1/2033

 

743,000

c 

609,455

 

Venture Global Calcasieu Pass LLC, Sr. Scd. Notes

 

4.13

 

8/15/2031

 

160,000

c 

138,116

 

Venture Global LNG, Inc., Sr. Scd. Notes

 

8.13

 

6/1/2028

 

99,000

c 

99,608

 

Western Midstream Operating LP, Sr. Unscd. Notes

 

4.30

 

2/1/2030

 

250,000

 

222,576

 
 

5,277,902

 

Environmental Control - .6%

     

Covanta Holding Corp., Gtd. Notes

 

4.88

 

12/1/2029

 

312,000

c 

271,086

 

Covanta Holding Corp., Gtd. Notes

 

5.00

 

9/1/2030

 

155,000

 

133,685

 

Waste Pro USA, Inc., Sr. Unscd. Notes

 

5.50

 

2/15/2026

 

300,000

c 

276,467

 
 

681,238

 

Food Products - .6%

     

Boparan Finance PLC, Sr. Scd. Bonds

GBP

7.63

 

11/30/2025

 

172,000

c 

142,812

 

Chobani LLC/Chobani Finance Corp., Gtd. Notes

 

7.50

 

4/15/2025

 

190,000

c 

189,006

 

Pilgrim's Pride Corp., Gtd. Notes

 

6.25

 

7/1/2033

 

196,000

 

191,124

 

Post Holdings, Inc., Gtd. Notes

 

4.63

 

4/15/2030

 

195,000

c 

170,936

 
 

693,878

 

Health Care - 4.1%

     

CHEPLAPHARM Arzneimittel GmbH, Sr. Scd. Notes

 

5.50

 

1/15/2028

 

235,000

c 

210,642

 

Cidron Aida Finco Sarl, Sr. Scd. Bonds

GBP

6.25

 

4/1/2028

 

273,000

c 

298,705

 

Community Health Systems, Inc., Sr. Scd. Notes

 

5.25

 

5/15/2030

 

411,000

c 

309,079

 

Community Health Systems, Inc., Sr. Scd. Notes

 

5.63

 

3/15/2027

 

350,000

c 

299,940

 

HealthEquity, Inc., Gtd. Notes

 

4.50

 

10/1/2029

 

298,000

c 

264,987

 

Jazz Securities DAC, Sr. Scd. Notes

 

4.38

 

1/15/2029

 

280,000

c 

251,127

 

Legacy LifePoint Health LLC, Sr. Scd. Notes

 

6.75

 

4/15/2025

 

440,000

c 

392,915

 

LifePoint Health, Inc., Gtd. Notes

 

5.38

 

1/15/2029

 

135,000

c 

67,338

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Health Care - 4.1% (continued)

     

Medline Borrower LP, Sr. Scd. Notes

 

3.88

 

4/1/2029

 

107,000

c 

92,399

 

Medline Borrower LP, Sr. Unscd. Notes

 

5.25

 

10/1/2029

 

964,000

c 

825,837

 

Option Care Health, Inc., Gtd. Notes

 

4.38

 

10/31/2029

 

334,000

c 

288,437

 

Organon & Co./Organon Foreign Debt Co-Issuer BV, Sr. Unscd. Notes

 

5.13

 

4/30/2031

 

450,000

c 

382,397

 

Prime Healthcare Services, Inc., Sr. Scd. Notes

 

7.25

 

11/1/2025

 

100,000

c 

93,892

 

Tenet Healthcare Corp., Gtd. Notes

 

6.13

 

10/1/2028

 

870,000

 

825,421

 

Tenet Healthcare Corp., Sr. Scd. Notes

 

6.75

 

5/15/2031

 

250,000

c 

250,065

 
 

4,853,181

 

Industrial - .2%

     

Dycom Industries, Inc., Gtd. Notes

 

4.50

 

4/15/2029

 

310,000

c 

280,315

 

Information Technology - 1.5%

     

AthenaHealth Group, Inc., Sr. Unscd. Notes

 

6.50

 

2/15/2030

 

919,000

c 

757,791

 

Black Knight InfoServ LLC, Gtd. Notes

 

3.63

 

9/1/2028

 

270,000

c 

243,000

 

Central Parent, Inc./CDK Global, Inc., Sr. Scd. Notes

 

7.25

 

6/15/2029

 

290,000

c 

284,110

 

Elastic NV, Sr. Unscd. Notes

 

4.13

 

7/15/2029

 

235,000

c 

203,506

 

SS&C Technologies, Inc., Gtd. Notes

 

5.50

 

9/30/2027

 

260,000

c 

248,414

 
 

1,736,821

 

Insurance - 1.0%

     

Acrisure LLC/Acrisure Finance, Inc., Sr. Scd. Notes

 

4.25

 

2/15/2029

 

610,000

c 

514,156

 

Acrisure LLC/Acrisure Finance, Inc., Sr. Unscd. Notes

 

7.00

 

11/15/2025

 

110,000

c 

104,372

 

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, Sr. Scd. Notes

 

6.75

 

4/15/2028

 

180,000

c 

176,802

 

AssuredPartners, Inc., Sr. Unscd. Notes

 

5.63

 

1/15/2029

 

165,000

c 

142,942

 

Global Atlantic Financial Co., Gtd. Notes

 

3.13

 

6/15/2031

 

260,000

c 

194,943

 
 

1,133,215

 

Internet Software & Services - 1.4%

     

Arches Buyer, Inc., Sr. Scd. Notes

 

4.25

 

6/1/2028

 

149,000

c 

126,379

 

Match Group Holdings II LLC, Sr. Unscd. Notes

 

3.63

 

10/1/2031

 

530,000

c 

432,334

 

United Group BV, Sr. Scd. Bonds

EUR

3.13

 

2/15/2026

 

1,180,000

c 

1,111,522

 
 

1,670,235

 

Materials - 3.3%

     

ARD Finance SA, Sr. Scd. Notes

 

6.50

 

6/30/2027

 

400,000

c,d 

311,352

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Materials - 3.3% (continued)

     

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., Gtd. Notes

GBP

4.75

 

7/15/2027

 

380,000

c 

383,658

 

Ball Corp., Gtd. Notes

 

3.13

 

9/15/2031

 

352,000

 

290,373

 

Clydesdale Acquisition Holdings, Inc., Gtd. Notes

 

8.75

 

4/15/2030

 

308,000

c 

266,730

 

Clydesdale Acquisition Holdings, Inc., Sr. Scd. Notes

 

6.63

 

4/15/2029

 

120,000

c 

113,770

 

Graham Packaging Co., Inc., Gtd. Notes

 

7.13

 

8/15/2028

 

170,000

c 

144,311

 

Kleopatra Finco Sarl, Sr. Scd. Bonds

EUR

4.25

 

3/1/2026

 

640,000

c 

591,052

 

LABL, Inc., Sr. Scd. Notes

 

6.75

 

7/15/2026

 

158,000

c 

152,104

 

LABL, Inc., Sr. Unscd. Notes

 

8.25

 

11/1/2029

 

108,000

c 

87,868

 

LABL, Inc., Sr. Unscd. Notes

 

10.50

 

7/15/2027

 

396,000

c 

369,457

 

Mauser Packaging Solutions Holding Co., Scd. Notes

 

9.25

 

4/15/2027

 

206,000

c 

188,209

 

Mauser Packaging Solutions Holding Co., Sr. Scd. Notes

 

7.88

 

8/15/2026

 

307,000

c 

304,614

 

Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC, Sr. Scd. Notes

 

4.00

 

10/15/2027

 

280,000

c 

247,083

 

Trivium Packaging Finance BV, Sr. Scd. Notes

 

5.50

 

8/15/2026

 

420,000

c 

399,715

 
 

3,850,296

 

Media - 4.4%

     

Altice Financing SA, Sr. Scd. Bonds

 

5.75

 

8/15/2029

 

610,000

c 

465,705

 

Altice Finco SA, Scd. Notes

EUR

4.75

 

1/15/2028

 

860,000

c 

616,294

 

CCO Holdings LLC/CCO Holdings Capital Corp., Sr. Unscd. Notes

 

4.50

 

5/1/2032

 

213,000

 

166,914

 

CCO Holdings LLC/CCO Holdings Capital Corp., Sr. Unscd. Notes

 

4.75

 

3/1/2030

 

588,000

c 

496,606

 

CCO Holdings LLC/CCO Holdings Capital Corp., Sr. Unscd. Notes

 

5.13

 

5/1/2027

 

420,000

c 

389,618

 

CCO Holdings LLC/CCO Holdings Capital Corp., Sr. Unscd. Notes

 

5.38

 

6/1/2029

 

320,000

c 

288,444

 

CSC Holdings LLC, Gtd. Notes

 

5.38

 

2/1/2028

 

220,000

c 

173,386

 

CSC Holdings LLC, Gtd. Notes

 

5.50

 

4/15/2027

 

380,000

c 

310,569

 

CSC Holdings LLC, Sr. Unscd. Notes

 

5.75

 

1/15/2030

 

200,000

c 

88,309

 

CSC Holdings LLC, Sr. Unscd. Notes

 

7.50

 

4/1/2028

 

200,000

c 

108,619

 

DIRECTV Financing LLC/DIRECTV Financing Co-Obligor, Inc., Sr. Scd. Notes

 

5.88

 

8/15/2027

 

250,000

c 

220,486

 

DISH Network Corp., Sr. Scd. Notes

 

11.75

 

11/15/2027

 

748,000

c 

716,750

 

Gray Escrow II, Inc., Gtd. Notes

 

5.38

 

11/15/2031

 

317,000

c 

202,013

 

Summer BidCo BV, Sr. Unscd. Bonds

EUR

9.00

 

11/15/2025

 

715,167

c,d 

669,430

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Media - 4.4% (continued)

     

Ziggo Bond Co. BV, Gtd. Notes

 

5.13

 

2/28/2030

 

330,000

c 

253,438

 
 

5,166,581

 

Metals & Mining - .8%

     

FMG Resources August 2006 Pty Ltd., Gtd. Notes

 

4.38

 

4/1/2031

 

390,000

c 

329,957

 

Novelis Corp., Gtd. Notes

 

3.25

 

11/15/2026

 

400,000

c 

361,675

 

Taseko Mines Ltd., Sr. Scd. Notes

 

7.00

 

2/15/2026

 

246,000

c 

220,742

 
 

912,374

 

Real Estate - 2.0%

     

Diversified Healthcare Trust, Sr. Unscd. Notes

 

4.75

 

2/15/2028

 

60,000

 

40,892

 

Diversified Healthcare Trust, Sr. Unscd. Notes

 

4.75

 

5/1/2024

 

230,000

 

210,102

 

Ladder Capital Finance Holdings LLP/Ladder Capital Finance Corp., Gtd. Notes

 

5.25

 

10/1/2025

 

290,000

c 

271,946

 

Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer, Sr. Scd. Notes

 

4.88

 

5/15/2029

 

390,000

c 

335,872

 

Rithm Capital Corp., Sr. Unscd. Notes

 

6.25

 

10/15/2025

 

740,000

c 

668,602

 

RLJ Lodging Trust LP, Sr. Scd. Notes

 

4.00

 

9/15/2029

 

380,000

c 

318,261

 

SBA Communications Corp., Sr. Unscd. Notes

 

3.13

 

2/1/2029

 

220,000

 

185,531

 

Starwood Property Trust, Inc., Sr. Unscd. Notes

 

3.75

 

12/31/2024

 

320,000

c 

300,622

 
 

2,331,828

 

Retailing - 3.1%

     

1011778 BC ULC/New Red Finance, Inc., Sr. Scd. Notes

 

3.88

 

1/15/2028

 

353,000

c 

324,076

 

B&M European Value Retail SA, Sr. Scd. Notes

GBP

3.63

 

7/15/2025

 

320,000

 

378,597

 

eG Global Finance PLC, Sr. Scd. Notes

EUR

4.38

 

2/7/2025

 

370,000

c 

381,524

 

Macy's Retail Holdings LLC, Gtd. Notes

 

4.50

 

12/15/2034

 

515,000

 

356,478

 

Macy's Retail Holdings LLC, Gtd. Notes

 

5.88

 

4/1/2029

 

190,000

c 

168,205

 

PetSmart, Inc./Petsmart Finance Corp., Gtd. Notes

 

7.75

 

2/15/2029

 

250,000

c 

243,120

 

Shiba Bidco SPA, Sr. Scd. Bonds

EUR

4.50

 

10/31/2028

 

291,000

c 

267,862

 

SRS Distribution, Inc., Gtd. Notes

 

6.00

 

12/1/2029

 

288,000

c 

236,830

 

SRS Distribution, Inc., Sr. Scd. Notes

 

4.63

 

7/1/2028

 

73,000

c 

64,506

 

Staples, Inc., Sr. Scd. Notes

 

7.50

 

4/15/2026

 

295,000

c 

242,798

 

Staples, Inc., Sr. Unscd. Notes

 

10.75

 

4/15/2027

 

170,000

c 

104,443

 

The Very Group Funding PLC, Sr. Scd. Bonds

GBP

6.50

 

8/1/2026

 

358,000

c 

344,150

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Retailing - 3.1% (continued)

     

White Cap Buyer LLC, Sr. Unscd. Notes

 

6.88

 

10/15/2028

 

418,000

c 

361,945

 

Yum! Brands, Inc., Sr. Unscd. Notes

 

5.38

 

4/1/2032

 

175,000

 

165,973

 
 

3,640,507

 

Technology Hardware & Equipment - .6%

     

Ahead DB Holdings LLC, Gtd. Notes

 

6.63

 

5/1/2028

 

157,000

c 

127,720

 

Presidio Holdings, Inc., Gtd. Notes

 

8.25

 

2/1/2028

 

131,000

c 

120,665

 

Presidio Holdings, Inc., Sr. Scd. Notes

 

4.88

 

2/1/2027

 

40,000

c 

37,432

 

Seagate HDD Cayman, Gtd. Notes

 

8.25

 

12/15/2029

 

80,000

c 

81,883

 

Virtusa Corp., Sr. Unscd. Notes

 

7.13

 

12/15/2028

 

150,000

c 

119,771

 

Western Digital Corp., Gtd. Notes

 

4.75

 

2/15/2026

 

261,000

 

248,923

 
 

736,394

 

Telecommunication Services - 4.9%

     

Altice France Holding SA, Sr. Scd. Notes

EUR

8.00

 

5/15/2027

 

170,000

c 

104,149

 

Altice France Holding SA, Sr. Scd. Notes

 

10.50

 

5/15/2027

 

659,000

c 

394,431

 

Altice France SA, Sr. Scd. Notes

 

5.50

 

1/15/2028

 

400,000

c 

303,750

 

Altice France SA, Sr. Scd. Notes

 

5.50

 

10/15/2029

 

200,000

c 

145,320

 

CommScope, Inc., Gtd. Notes

 

7.13

 

7/1/2028

 

75,000

c 

50,519

 

CommScope, Inc., Gtd. Notes

 

8.25

 

3/1/2027

 

354,000

c 

278,184

 

Connect Finco Sarl/Connect US Finco LLC, Sr. Scd. Notes

 

6.75

 

10/1/2026

 

715,000

c 

690,253

 

Eolo SPA, Sr. Scd. Bonds

EUR

4.88

 

10/21/2028

 

240,000

c 

193,524

 

Frontier Communications Holdings LLC, Sr. Scd. Notes

 

5.88

 

10/15/2027

 

190,000

c 

169,522

 

Frontier Communications Holdings LLC, Sr. Scd. Notes

 

8.75

 

5/15/2030

 

170,000

c 

159,117

 

Iliad Holding SASU, Sr. Scd. Notes

 

6.50

 

10/15/2026

 

400,000

c 

376,984

 

Level 3 Financing, Inc., Gtd. Notes

 

4.63

 

9/15/2027

 

142,000

c 

88,882

 

Level 3 Financing, Inc., Sr. Scd. Notes

 

10.50

 

5/15/2030

 

221,000

c 

210,218

 

Lorca Telecom Bondco SA, Sr. Scd. Bonds

EUR

4.00

 

9/18/2027

 

450,000

c 

439,571

 

Lumen Technologies, Inc., Sr. Scd. Notes

 

4.00

 

2/15/2027

 

370,000

c 

242,450

 

PLT VII Finance Sarl, Sr. Scd. Notes

EUR

4.63

 

1/5/2026

 

530,000

c 

544,194

 

TalkTalk Telecom Group Ltd., Gtd. Notes

GBP

3.88

 

2/20/2025

 

290,000

 

279,623

 

Telecom Italia Capital SA, Gtd. Notes

 

6.00

 

9/30/2034

 

200,000

 

168,523

 

ViaSat, Inc., Sr. Unscd. Notes

 

5.63

 

9/15/2025

 

800,000

c 

769,640

 

Zayo Group Holdings, Inc., Sr. Scd. Notes

 

4.00

 

3/1/2027

 

315,000

c 

220,396

 
 

5,829,250

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

a,b 

Value ($)

 

Bonds and Notes - 89.0% (continued)

     

Transportation - .1%

     

First Student Bidco, Inc./First Transit Parent, Inc., Sr. Scd. Notes

 

4.00

 

7/31/2029

 

211,000

c 

175,335

 

Utilities - 2.6%

     

Calpine Corp., Sr. Unscd. Notes

 

4.63

 

2/1/2029

 

155,000

c 

131,248

 

Calpine Corp., Sr. Unscd. Notes

 

5.00

 

2/1/2031

 

1,060,000

c 

856,801

 

Energia Group Ni Financeco PLC/Energia Group ROI Holdings DAC, Sr. Scd. Notes

GBP

4.75

 

9/15/2024

 

450,000

c 

553,620

 

NRG Energy, Inc., Gtd. Notes

 

5.25

 

6/15/2029

 

250,000

c 

225,725

 

NRG Energy, Inc., Jr. Sub. Bonds

 

10.25

 

3/15/2028

 

180,000

c,e 

170,712

 

PG&E Corp., Sr. Scd. Notes

 

5.00

 

7/1/2028

 

228,000

 

210,519

 

Pike Corp., Gtd. Notes

 

5.50

 

9/1/2028

 

185,000

c 

165,386

 

Solaris Midstream Holdings LLC, Gtd. Notes

 

7.63

 

4/1/2026

 

260,000

c 

252,439

 

UGI International LLC, Gtd. Notes

EUR

2.50

 

12/1/2029

 

330,000

c 

285,232

 

Vistra Corp., Jr. Sub. Notes

 

7.00

 

12/15/2026

 

272,000

c,e 

239,503

 
 

3,091,185

 

Total Bonds and Notes
(cost $116,993,159)

 

105,133,460

 
      

 

  

Floating Rate Loan Interests - 45.5%

     

Advertising - .2%

     

CB Poly US Holdings, Inc., Initial Term Loan, 1 Month Term SOFR +5.50%

 

10.65

 

5/20/2029

 

131,810

f 

122,485

 

Clear Channel Outdoor Holdings, Term Loan B, 1-3 Month Term SOFR +3.50%

 

8.79

 

8/21/2026

 

142,535

f 

134,428

 
 

256,913

 

Automobiles & Components - .1%

     

Burgess Point Purchaser, Initial Term Loan, 1 Month Term SOFR +5.35%

 

10.50

 

7/25/2029

 

123,331

f 

116,625

 

Building Materials - 2.2%

     

BME Group Holding BV, Facility Term Loan B, 3 Month EURIBOR +3.50%

EUR

6.74

 

10/31/2026

 

1,000,000

f 

1,032,969

 

Cornerstone Building, New Term Loan B, 1 Month Term SOFR +3.35%

 

8.41

 

4/12/2028

 

431,391

f 

393,732

 

LSF10 XL Bidco SCA, Facility Term Loan B-4, 3 Month EURIBOR +3.93%

EUR

6.94

 

4/9/2028

 

1,280,206

f 

1,231,742

 
 

2,658,443

 


          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Commercial & Professional Services - 9.1%

     

Albion Financing 3 Sarl, 2023 & 2026 Term Loan, 3 Month EURIBOR +5.25%

EUR

8.46

 

8/17/2026

 

1,000,000

f 

1,070,241

 

American Auto Auction, First Lien Tranche Term Loan B, 3 Month Term SOFR +5.00%

 

10.05

 

12/30/2027

 

582,625

f 

541,841

 

AVS Group GmbH, Facility Term Loan B-2, 3 Month EURIBOR +3.75%

EUR

6.93

 

9/10/2026

 

1,000,000

f 

1,039,174

 

CIBT Global, Inc., First Lien Term Loan, 3 Month LIBOR +1.00%

 

6.16

 

6/1/2024

 

1,066,088

f 

796,367

 

Electro Rent Corp., Extended Term Loan, 3 Month Term SOFR +5.50%

 

10.27

 

11/1/2024

 

216,313

f 

204,416

 

Element Materials Technology, Delayed Draw Term Loan B, 3 Month Term SOFR +4.35%

 

9.25

 

6/24/2029

 

25,214

f,h 

24,048

 

Element Materials Technology, USD Initial Term Loan B, 3 Month Term SOFR +4.35%

 

9.25

 

6/24/2029

 

54,630

f 

52,104

 

Galaxy US Opco, Inc., Initial Term Loan, 1 Month Term SOFR +4.75%

 

9.90

 

5/2/2029

 

139,649

f 

125,335

 

Indigocyan Holdco 3 Ltd., Facility Term Loan B, 3 Month SONIA +4.87%

GBP

9.30

 

12/31/2024

 

2,000,000

f 

2,411,198

 

Indy US Bidco LLC, 2021 Refinancing Term Loan, 1 Month EURIBOR +3.75%

EUR

6.95

 

3/5/2028

 

1,000,000

f 

935,287

 

Minerva Bidco Ltd., Term Loan B, 3 Month SONIA +4.62%

GBP

9.11

 

7/31/2025

 

1,000,000

f 

1,198,341

 

Modulaire Group Holdings, Facility Term Loan B, 3 Month EURIBOR +4.50%

EUR

7.52

 

12/31/2028

 

1,000,000

f 

1,015,081

 

Neptune Bidco US, Inc., Dollar Term Loan B, 3 Month Term SOFR +5.10%

 

9.99

 

4/11/2029

 

493,189

f 

443,049

 

Praesidiad Ltd., Facility Term Loan B, 3 Month EURIBOR +4.00%

EUR

6.85

 

10/4/2024

 

1,000,000

f 

664,503

 

RLG Holdings LLC, First Lien Closing Date Initial Term Loan, 1 Month LIBOR +4.25%

 

9.40

 

7/8/2028

 

215,497

f 

198,257

 
 

10,719,242

 

Consumer Discretionary - 2.7%

     

Ammega Group BV, Facility Term Loan B, 3 Month EURIBOR +3.75%

EUR

6.77

 

9/11/2025

 

1,150,000

f 

1,223,310

 

Carnival Corp., 2021 Advance Incremental Term Loan B, 1 Month LIBOR +3.25%

 

8.40

 

10/18/2028

 

243,644

f 

237,045

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Consumer Discretionary - 2.7% (continued)

     

Scientific Games Holdings, Term Loan B-2, 3 Month Term SOFR +3.50%

 

8.42

 

4/4/2029

 

284,088

f 

274,613

 

Stage Entertainment BV, Facility Term Loan B-2, 3 Month EURIBOR +3.25%

EUR

6.56

 

5/2/2026

 

1,000,000

f 

1,027,256

 

Tecta America Corp., First Lien Initial Term Loan, 1 Month Term SOFR +4.00%

 

9.27

 

4/9/2028

 

439,222

f 

432,634

 
 

3,194,858

 

Consumer Staples - .6%

     

Hunter Douglas, Inc., Tranche Term Loan B-1, 3 Month Term SOFR +3.50%

 

8.67

 

2/25/2029

 

264,334

f 

243,947

 

Kronos Acquisition Holdings, Inc., Tranche Term Loan B-1, 1-3 Month LIBOR +3.75%

 

8.90

 

12/22/2026

 

446,308

f 

428,375

 
 

672,322

 

Diversified Financials - 1.4%

     

BHN Merger Sub, Inc., First Lien Term Loan, 3 Month Term SOFR +3.00%

 

8.26

 

6/15/2025

 

288,564

f 

281,783

 

BHN Merger Sub, Inc., Second Lien Term Loan, 3 Month LIBOR +7.00%

 

12.25

 

6/15/2026

 

175,000

f 

166,863

 

Edelman Financial Center, 2021 Refinancing Term Loan, 1 Month LIBOR +3.75%

 

8.90

 

4/7/2028

 

329,162

f 

316,483

 

Hudson River Trading LLC, Term Loan, 1 Month Term SOFR +3.11%

 

8.10

 

3/18/2028

 

269,313

f 

254,977

 

Russell Investments US, 2025 New Term Loan, 1 Month LIBOR +3.60%

 

8.58

 

5/30/2025

 

424,332

f 

403,010

 

Tegra118 Wealth Solution, Initial Term Loan, 3 Month Term SOFR +4.00%

 

9.13

 

2/18/2027

 

184,825

f 

176,970

 
 

1,600,086

 

Electronic Components - 1.2%

     

ADB Safegate BVBA, Facility Term Loan B, 3 Month EURIBOR +4.75%

EUR

7.53

 

10/2/2024

 

1,000,000

f 

958,894

 

Roper Industrial Product, Initial Dollar Term Loan, 3 Month Term SOFR +4.50%

 

9.40

 

11/22/2029

 

461,538

f 

457,283

 
 

1,416,177

 

Energy - .8%

     

Freeport LNG Investments, Initial Term Loan B, 3 Month LIBOR +3.50%

 

8.75

 

12/21/2028

 

618,907

f 

593,476

 


          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Energy - .8% (continued)

     

Gulf Finance LLC, Term Loan B, 1 Month LIBOR +6.75%

 

11.89

 

8/25/2026

 

350,000

f 

338,187

 
 

931,663

 

Environmental Control - .0%

     

Packers Holdings LLC, Initial Term Loan, 3 Month Term SOFR +3.25%

 

8.42

 

3/9/2028

 

129,092

f 

59,189

 

Financials - .1%

     

Jump Financial LLC, Term Loan, 3 Month Term SOFR +4.76%

 

9.66

 

8/6/2028

 

159,595

f 

146,428

 

Food Products - 1.6%

     

Biscuit Holding SASU, Facility Term Loan B, 6 Month EURIBOR +4.00%

EUR

7.27

 

2/14/2027

 

1,000,000

f 

906,930

 

ZF Invest SAS, Term Loan B, 3 Month EURIBOR +3.98%

EUR

7.05

 

7/12/2028

 

1,000,000

f 

1,004,937

 
 

1,911,867

 

Food Service - .8%

     

Telfer Investments, Facility Term Loan B-1, 6 Month EURIBOR +4.75%

EUR

7.19

 

7/1/2026

 

1,000,000

f 

981,811

 

Health Care - 10.2%

     

Aenova Holding GmbH, Facility Term Loan B-2, 6 Month EURIBOR +4.50%

EUR

7.33

 

3/31/2026

 

1,000,000

f 

1,029,388

 

Auris Luxembourg III SA, Facility Term Loan B-1, 6 Month EURIBOR +4.00%

EUR

7.78

 

2/21/2026

 

2,000,000

f 

2,025,565

 

Chrome Bidco SASU, Facility Term Loan B, 1 Month EURIBOR +3.20%

EUR

3.25

 

6/1/2028

 

1,000,000

f 

988,813

 

Community Care Health Network LLC, Term Loan, 3 Month LIBOR +4.75%

 

5.75

 

2/16/2025

 

29,210

f 

25,121

 

Diaverum Holding Sarl, Facility Term Loan B, 1 Month EURIBOR +3.25%

EUR

6.41

 

7/31/2024

 

1,000,000

f 

1,064,806

 

eResearchTechnology, Inc., First Lien Initial Term Loan, 1 Month LIBOR +4.61%

 

9.77

 

2/4/2027

 

154,603

f 

143,092

 

Financiere Verdi I SASU, Facility Term Loan B, 3 Month SONIA +4.50%

GBP

8.96

 

4/15/2028

 

1,000,000

f 

1,094,676

 

Gainwell Acquisition Corp., Term Loan B, 3 Month LIBOR +4.00%

 

8.90

 

10/1/2027

 

559,861

f 

530,992

 

HomeVi, Senior Facility Term Loan B-1, 3 Month EURIBOR +3.25%

EUR

6.49

 

10/31/2026

 

1,000,000

f 

941,637

 

Inovie SASU, Senior Facility Term Loan B, 3 Month EURIBOR +4.00%

EUR

7.02

 

3/3/2028

 

2,000,000

f 

1,933,063

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Health Care - 10.2% (continued)

     

LifePoint Health, Inc., First Lien Term Loan B, 3 Month LIBOR +3.75%

 

9.02

 

11/16/2025

 

320,000

f 

281,667

 

Radiology Partners, Inc., Replacement Term Loan B, 1 Month Term SOFR +4.36%

 

9.52

 

7/9/2025

 

240,000

f 

174,060

 

Sirona BidCo SASU, Facility Term Loan B, 3 Month EURIBOR +4.25%

EUR

7.00

 

12/16/2028

 

1,000,000

f 

1,039,062

 

Sotera Health Holdings LLC, Initial Term Loan, 6 Month Term SOFR +3.75%

 

8.82

 

12/13/2026

 

335,000

f 

332,906

 

WCG Purchaser Corp., First Lien Initial Term Loan, 3 Month LIBOR +4.00%

 

8.95

 

1/8/2027

 

478,510

f 

455,482

 
 

12,060,330

 

Industrial - 1.9%

     

Assystem Technologies Services, Term Loan B, 3 Month EURIBOR +4.75%

EUR

4.75

 

9/28/2024

 

1,000,000

f 

1,004,499

 

KP Germany Erste GmbH, Facility Term Loan B, 6 Month EURIBOR +4.75%

EUR

7.98

 

2/9/2026

 

1,000,000

f 

972,699

 

VAC Germany Holding GmbH, Term Loan B, 3 Month LIBOR +4.00%

 

9.16

 

3/8/2025

 

332,741

f 

296,140

 
 

2,273,338

 

Information Technology - 5.5%

     

Ascend Learning LLC, Initial Term Loan, 1 Month Term SOFR +3.60%

 

8.58

 

12/10/2028

 

195,222

f 

175,639

 

Camelia Bidco Ltd., Facility Term Loan B-1, 3 Month SONIA +4.75%

GBP

9.21

 

10/5/2024

 

2,000,000

f 

2,409,531

 

CT Technologies, 2021 Reprice Term Loan, 1 Month LIBOR +4.25%

 

9.40

 

12/16/2025

 

168,887

f 

158,618

 

Finastra USA, Inc., First Lien Dollar Term Loan, 6 Month LIBOR +3.50%

 

8.66

 

6/13/2024

 

179,498

f 

171,213

 

Finthrive Software Intermediate, Term Loan, 1 Month LIBOR +4.00%

 

9.15

 

12/17/2028

 

193,488

f 

162,983

 

Fintrax International Holdings, New Facility Term Loan B-1, 6 Month EURIBOR +5.25%

EUR

8.86

 

5/27/2026

 

598,086

f 

624,913

 

Fintrax International Holdings, New Facility Term Loan B-2, 6 Month EURIBOR +5.25%

EUR

8.86

 

5/27/2026

 

20,096

f 

20,997

 

Fintrax International Holdings, New Facility Term Loan B-3, 6 Month EURIBOR +5.25%

EUR

8.86

 

5/27/2026

 

231,101

f 

241,467

 


          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Information Technology - 5.5% (continued)

     

Fintrax International Holdings, New Facility Term Loan B-4, 6 Month EURIBOR +5.25%

EUR

8.86

 

5/27/2026

 

150,718

f 

157,478

 

Hyland Software, Inc., 2021-1 Incremental Facility Term Loan, 1 Month LIBOR +6.25%

 

11.40

 

7/10/2025

 

120,000

f 

114,793

 

Idera, Inc., First Lien Initial Term Loan, 1 Month LIBOR +3.75%

 

8.88

 

3/2/2028

 

259,338

f 

249,695

 

Mitchell International, Second Lien Initial Term Loan, 1 Month LIBOR +6.50%

 

11.65

 

10/15/2029

 

158,974

f 

136,421

 

Mitnick Corporate Purchaser, Initial Term Loan, 3 Month Term SOFR +4.75%

 

9.90

 

5/2/2029

 

299,495

f 

284,240

 

Polaris Newco LLC, First Lien Dollar Term Loan, 3 Month LIBOR +4.00%

 

9.16

 

6/4/2028

 

170,123

f 

152,984

 

Polaris Newco LLC, Sterling Term Loan, 1 Month SONIA +5.25%

GBP

9.71

 

6/4/2028

 

985,000

f 

1,058,853

 

Quest Software, Inc., First Lien Initial Term Loan, 1-3 Month Term SOFR +4.40%

 

9.45

 

2/1/2029

 

432,732

f 

367,920

 
 

6,487,745

 

Insurance - 1.4%

     

Amynta Agency Borrower, 2023 Refinancing Term Loan, 1 Month Term SOFR +5.10%

 

10.25

 

2/28/2028

 

404,401

f 

387,129

 

Asurion LLC, New Term Loan B-4, 1 Month LIBOR +5.25%

 

10.40

 

1/20/2029

 

414,791

f 

340,562

 

Asurion LLC, Second Lien Term Loan B-3, 1 Month LIBOR +5.25%

 

10.40

 

2/3/2028

 

1,068,450

f 

882,812

 
 

1,610,503

 

Internet Software & Services - 1.5%

     

Endure Digital, Inc., Initial Term Loan, 6 Month LIBOR +3.50%

 

8.79

 

2/10/2028

 

312,693

f 

286,066

 

ION Trading Finance Ltd., Initial Dollar Term Loan, 3 Month LIBOR +4.75%

 

9.91

 

4/1/2028

 

216,150

f 

207,662

 

Proofpoint, Inc., Initial Term Loan, 1 Month LIBOR +3.25%

 

8.40

 

8/31/2028

 

432,159

f 

418,233

 

THG Operations Holdings, Facility Term Loan B, 6 Month EURIBOR +4.50%

EUR

6.97

 

12/11/2026

 

1,000,000

f 

906,224

 
 

1,818,185

 

Materials - 1.1%

     

Berlin Packaging LLC, Tranche Term Loan B-5, 1-3 Month LIBOR +3.75%

 

8.85

 

3/11/2028

 

288,253

f 

279,493

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Materials - 1.1% (continued)

     

MAR Bidco Sarl, USD Facility Term Loan B, 3 Month LIBOR +4.30%

 

9.46

 

6/28/2028

 

178,994

f 

169,597

 

Mauser Packaging Solutions, Initial Term Loan, 1 Month Term SOFR +4.00%

 

8.80

 

8/10/2026

 

233,347

f 

228,681

 

Proampac PG Borrower LLC, 2020-1 Term Loan, 3 Month LIBOR +3.75%, 3 Month PRIME +2.75% & 3 Month Term SOFR +3.75%

 

9.01

 

11/3/2025

 

421,498

f 

413,279

 

Valcour Packaging LLC, Second Lien Initial Term Loan, 1 Month LIBOR +7.00%

 

12.09

 

9/30/2029

 

350,000

f 

215,250

 
 

1,306,300

 

Media - .4%

     

DIRECTV Financing LLC, Closing Date Term Loan, 1 Month LIBOR +5.00%

 

10.15

 

8/2/2027

 

449,639

f 

427,930

 

Retailing - .2%

     

New Look Corporate Ltd., Term Loan, 6 Month GBPLIBOR +0.00%

GBP

0.00

 

11/9/2029

 

24,012

f,i 

1,344

 

Staples, Inc., 2019 Refinancing New Term Loan B-1, 3 Month LIBOR +5.00%

 

10.30

 

4/12/2026

 

235,677

f 

201,327

 
 

202,671

 

Semiconductors & Semiconductor Equipment - .4%

     

Natel Engineering Co., Inc., Initial Term Loan, 1 Month LIBOR +6.25%

 

11.41

 

4/30/2026

 

487,886

f 

434,219

 

Technology Hardware & Equipment - .7%

     

Atlas CC Acquisition Corp., First Lien Term Loan B, 3 Month Term SOFR +4.51%

 

9.78

 

5/25/2028

 

204,088

f 

181,496

 

Atlas CC Acquisition Corp., First Lien Term Loan C, 3 Month Term SOFR +4.51%

 

9.78

 

5/25/2028

 

41,509

f 

36,914

 

Mcafee Corp., Tranche Term Loan B-1, 1 Month Term SOFR +3.85%

 

8.84

 

3/1/2029

 

444,080

f 

417,251

 

VeriFone Systems, Inc., First Lien Initial Term Loan, 3 Month LIBOR +4.00%

 

9.48

 

8/20/2025

 

259,321

f 

227,068

 
 

862,729

 

Telecommunication Services - .7%

     

CCI Buyer, Inc., First Lien Initial Term Loan, 3 Month Term SOFR +4.00%

 

8.90

 

12/17/2027

 

722,793

f 

688,988

 

Lumen Technologies, Inc., Term Loan B, 1 Month LIBOR +2.25%

 

7.34

 

3/15/2027

 

140,000

f 

97,018

 
 

786,006

 


          
 

Description

Coupon
Rate (%)

 

 Maturity Date

 

Principal Amount ($)

a,b 

Value ($)

 

Floating Rate Loan Interests - 45.5% (continued)

     

Transportation - .3%

     

OLA Netherlands BV, Term Loan, 1 Month Term SOFR +6.35%

 

11.43

 

12/3/2026

 

216,335

f 

205,338

 

WWEX UNI Topco Holdings, First Lien Initial Term Loan, 3 Month Term SOFR +4.26%

 

9.16

 

7/26/2028

 

131,416

f 

120,222

 
 

325,560

 

Utilities - .4%

     

Eastern Power LLC, Term Loan B, 3 Month LIBOR +3.75%

 

8.91

 

10/2/2025

 

447,421

f 

426,768

 

Total Floating Rate Loan Interests
(cost $56,787,789)

 

53,687,908

 

Description

    

Shares

 

Value ($)

 

Common Stocks - .0%

     

Information Technology - .0%

     

Skillsoft Corp.

     

17,443

j 

27,037

 

Media - .0%

     

Altice USA, Inc., Cl. A

     

2,000

j 

5,120

 

Total Common Stocks
(cost $223,725)

 

32,157

 

Description

1-Day
Yield (%)

   

Shares

 

Value ($)

 

Investment Companies - 2.5%

     

Registered Investment Companies - 2.5%

     

Dreyfus Institutional Preferred Government Plus Money Market Fund, Institutional Shares
(cost $2,974,119)

 

5.19

   

2,974,119

k 

2,974,119

 

Total Investments (cost $176,978,792)

 

137.0%

161,827,644

 

Liabilities, Less Cash and Receivables

 

(37.0%)

(43,726,063)

 

Net Assets

 

100.0%

118,101,581

 

EURIBOR—Euro Interbank Offered Rate

LIBOR—London Interbank Offered Rate

PRIME—Prime Lending Rate

SOFR—Secured Overnight Financing Rate

SONIA—Sterling Overnight Index Average

TSFR—Term SOFR (Secured Overnight Financing Rate) Reference Rates

EUR—Euro

GBP—British Pound

a Amount stated in U.S. Dollars unless otherwise noted above.

b Security, or portion thereof, has been pledged as collateral for the fund’s Revolving Credit and Security Agreement.

c Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At May 31, 2023, these securities were valued at $94,559,997 or 80.07% of net assets.

d Payment-in-kind security and interest may be paid in additional par.

e Security is a perpetual bond with no specified maturity date. Maturity date shown is next reset date of the bond.

f Variable rate security—interest rate resets periodically and rate shown is the interest rate in effect at period end. Security description also includes the reference rate and spread if published and available.

g Collateralized Loan Obligations equity positions are entitled to recurring distributions which are generally equal to the remaining


STATEMENT OF INVESTMENTS (Unaudited) (continued)

cash flow of payments made by underlying securities less contractual payments to debt holders and fund expenses. The effective yield is estimated based upon the current projection of the amount and timing of these recurring distributions in addition to the estimated amount of terminal principal payment. The estimated yield and investment cost may ultimately not be realized.

h Investment, or portion of investment, represents an unfunded floating note loan interest outstanding.

i The fund held Level 3 securities at May 31, 2023. These securities were valued at $1,344 or .0% of net assets.

j Non-income producing security.

k Investment in affiliated issuer. The investment objective of this investment company is publicly available and can be found within the investment company’s prospectus.

      

Forward Foreign Currency Exchange Contracts 

 

Counterparty/ Purchased
Currency

Purchased Currency
Amounts

Currency
Sold

Sold
Currency
Amounts

Settlement Date

Unrealized Appreciation (Depreciation) ($)

Barclays Capital, Inc. 

United States Dollar

14,355,163

Euro

13,250,000

6/26/2023

170,248

Euro

1,000,000

United States Dollar

1,074,358

6/26/2023

(3,798)

Citigroup Global Markets Inc. 

United States Dollar

45,315,112

Euro

41,825,000

6/26/2023

538,956

United States Dollar

14,412,846

British Pound

11,570,000

6/26/2023

12,079

Gross Unrealized Appreciation

  

721,283

Gross Unrealized Depreciation

  

(3,798)

See notes to financial statements.


STATEMENT OF INVESTMENTS
BNY Mellon Alcentra Global Credit Income 2024 Target Term Fund, Inc.

May 31, 2023 (Unaudited)

The following is a summary of the inputs used as of May 31, 2023 in valuing the fund’s investments:

       
 

Level 1-Unadjusted Quoted Prices

Level 2- Other Significant Observable Inputs

 

Level 3-Significant Unobservable Inputs

Total

 

Assets ($) 

  

Investments in Securities:

  

Collateralized Loan Obligations

-

34,578,529

 

-

34,578,529

 

Corporate Bonds

-

70,554,931

 

-

70,554,931

 

Equity Securities - Common Stocks

32,157

-

 

-

32,157

 

Floating Rate Loan Interests

-

53,686,564

 

1,344

53,687,908

 

Investment Companies

2,974,119

-

 

-

2,974,119

 

Other Financial Instruments:

  

Forward Foreign Currency Exchange Contracts††

-

721,283

 

-

721,283

 

Liabilities ($) 

  

Other Financial Instruments:

  

†† 

-

(3,798)

 

-

(3,798)

 

 See Statement of Investments for additional detailed categorizations, if any.

†† Amount shown represents unrealized appreciation (depreciation) at period end.


The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the SEC under authority of federal laws are also sources of authoritative GAAP for SEC registrants. The fund is an investment company and applies the accounting and reporting guidance of the FASB ASC Topic 946 Financial Services-Investment Companies. The fund’s financial statements are prepared in accordance with GAAP, which may require the use of management estimates and assumptions. Actual results could differ from those estimates.

The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price). GAAP establishes a fair value hierarchy that prioritizes the inputs of valuation techniques used to measure fair value. This hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements).

Additionally, GAAP provides guidance on determining whether the volume and activity in a market has decreased significantly and whether such a decrease in activity results in transactions that are not orderly. GAAP requires enhanced disclosures around valuation inputs and techniques used during annual and interim periods.

Various inputs are used in determining the value of the fund’s investments relating to fair value measurements. These inputs are summarized in the three broad levels listed below:

Level 1—unadjusted quoted prices in active markets for identical investments.

Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).

Level 3—significant unobservable inputs (including the fund’s own assumptions in determining the fair value of investments).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the fund’s investments are as follows:

The Company's Board of Directors (the "Board") has designated the Adviser as the fund’s valuation designee, effective September 8, 2022, to make all fair value determinations with respect to the fund’s portfolio investments, subject to the Board’s oversight and pursuant to Rule 2a-5 under the Act.


Registered investment companies that are not traded on an exchange are valued at their net asset value and are generally categorized within Level 1 of the fair value hierarchy.

Investments in debt securities, excluding short-term investments (other than U.S. Treasury Bills)options and forward foreign currency exchange contracts (“forward contracts”) are valued each business day by one or more independent pricing services (each, a “Service”) approved by the Board. Investments for which quoted bid prices are readily available and are representative of the bid side of the market in the judgment of a Service are valued at the mean between the quoted bid prices (as obtained by a Service from dealers in such securities) and asked prices (as calculated by a Service based upon its evaluation of the market for such securities). Securities are valued as determined by a Service, based on methods which include consideration of the following: yields or prices of securities of comparable quality, coupon, maturity and type; indications as to values from dealers; and general market conditions. The Services are engaged under the general supervision of the Board. These securities are generally categorized within Level 2 of the fair value hierarchy.U.S. Treasury Bills are valued at the mean price between quoted bid prices and asked prices by the Service. These securities are generally categorized within Level 2 of the fair value hierarchy.

When market quotations or official closing prices are not readily available, or are determined not to accurately reflect fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded (for example, a foreign exchange or market), but before the fund calculates its net asset value, the fund may value these investments at fair value as determined in accordance with the procedures approved by the Board. Certain factors may be considered when fair valuing investments such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. These securities are either categorized within Level 2 or 3 of the fair value hierarchy depending on the relevant inputs used.

For securities where observable inputs are limited, assumptions about market activity and risk are used and such securities are generally categorized within Level 3 of the fair value hierarchy.

Investments denominated in foreign currencies are translated to U.S. dollars at the prevailing rates of exchange.

Options, which are traded on an exchange, are valued at the last sales price on the securities exchange on which such securities are primarily traded or at the last sales price on the national securities market on each business day and are generally categorized within Level 1 of the fair value hierarchy. Options traded over-the-counter (“OTC”) are valued at the mean between the bid and asked price and are generally categorized within Level 2 of the fair value hierarchy. Investments in swap transactions are valued each business day by the Service. Swaps are valued by the Service by using a swap pricing


model which incorporates among other factors, default probabilities, recovery rates, credit curves of the underlying issuer and swap spreads on interest rates and are generally categorized within Level 2 of the fair value hierarchy. Forward contracts are valued at the forward rate and are generally categorized within Level 2 of the fair value hierarchy.

Floating Rate Loan Interests: Floating rate instruments are loans and other securities with interest rates that adjust or “float” periodically. Floating rate loans are made by banks and other financial institutions to their corporate clients. The rates of interest on the loans adjust periodically by reference to a base lending rate, plus a premium or credit spread. Floating rate loans reset on periodic set dates, typically 30 to 90 days, but not to exceed one year. The fund may invest in multiple series or tranches of a loan. A different series or tranche may have varying terms and carry different associated risks.

Derivatives: A derivative is a financial instrument whose performance is derived from the performance of another asset. Each type of derivative instrument that was held by the fund at May 31, 2023 is discussed below.

Forward Foreign Currency Exchange Contracts: The fund enters into forward contracts in order to hedge its exposure to changes in foreign currency exchange rates on its foreign portfolio holdings, to settle foreign currency transactions or as a part of its investment strategy. When executing forward contracts, the fund is obligated to buy or sell a foreign currency at a specified rate on a certain date in the future. With respect to sales of forward contracts, the fund incurs a loss if the value of the contract increases between the date the forward contract is opened and the date the forward contract is closed. The fund realizes a gain if the value of the contract decreases between those dates. With respect to purchases of forward contracts, the fund incurs a loss if the value of the contract decreases between the date the forward contract is opened and the date the forward contract is closed. The fund realizes a gain if the value of the contract increases between those dates. Any realized or unrealized gains or losses which occurred during the period are reflected in the Statement of Operations. The fund is exposed to foreign currency risk as a result of changes in value of underlying financial instruments. The fund is also exposed to credit risk associated with counterparty non-performance on these forward contracts, which is generally limited to the unrealized gain on each open contract. This risk may be mitigated by Master Agreements, if any, between the fund and the counterparty and the posting of collateral, if any, by the counterparty to the fund to cover the fund’s exposure to the counterparty.

At May 31, 2023, accumulated net unrealized depreciation on investments was $14,433,663, consisting of $2,589,289 gross unrealized appreciation and $17,022,952 gross unrealized depreciation.

At May 31, 2023, the cost of investments for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).


Additional investment related disclosures are hereby incorporated by reference to the annual and semi-annual reports previously filed with the SEC on Form N-CSR.



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