Doubleline Income Solutions Fund

As filed with the Securities and Exchange Commission on August 26, 2015

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT

INVESTMENT COMPANY

Investment Company Act file number 811-22791

DoubleLine Income Solutions Fund

(Exact name of registrant as specified in charter)

333 South Grand Avenue, Suite 1800

Los Angeles, CA 90071

(Address of principal executive offices) (Zip code)

Ronald R. Redell

c/o DoubleLine Capital LP

333 South Grand Avenue, Suite 1800

Los Angeles, CA 90071

(Name and address of agent for service)

(213) 633-8200

Registrant’s telephone number, including area code

Date of fiscal year end: September 30, 2015

Date of reporting period: June 30, 2015


Item 1. Schedule of Investments.


 

DoubleLine Income Solutions Fund

Schedule of Investments

June 30, 2015 (Unaudited)

 

 

Principal Amount $
/Shares

  

Security Description

   Rate     Maturity      Value $  

Bank Loans - 14.7%

  

    

7,790,475

   Albertson’s Holdings LLC, Guaranteed Senior Secured 1st Lien Term Loan, Tranche B4      5.50%      08/25/2021         7,838,815   

2,850,000

   Alfred Fueling Systems, Inc., Guaranteed Secured 2nd Lien Term Loan      8.50%      06/20/2022         2,835,750   

2,821,500

   Alfred Fueling Systems, Inc., Guaranteed Senior Secured 1st Lien Term Loan      4.75%      06/18/2021         2,837,963   

551,868

   Alinta Energy Finance Pty Ltd., Senior Secured 1st Lien Delayed-Draw Term Loan, Tranche B      6.38%  # &      08/13/2018         556,352   

8,304,087

   Alinta Energy Finance Pty Ltd., Senior Secured 1st Lien Term Loan, Tranche B      6.38%      08/13/2019         8,371,557   

8,000,000

   Allflex Holdings, Inc., Guaranteed Secured 2nd Lien Term Loan      8.00%      07/19/2021         8,062,520   

5,998,778

   American Renal Holdings, Inc., Secured 2nd Lien Delayed-Draw Term Loan      8.50%      02/20/2020         5,995,029   

2,119,455

   American Tire Distributors, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      5.25%      09/01/2021         2,141,985   

5,800,000

   Apollo Security Services Borrower LLC, Secured 2nd Lien Term Loan      9.75%      07/01/2022         5,727,500   

6,000,000

   Applied Systems, Inc., Secured 2nd Lien Term Loan, Tranche B      7.50%      01/24/2022         6,030,000   

5,993,721

   Avaya, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B7      6.25%      05/29/2020         5,809,624   

6,893,663

   BMC Software Finance, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      5.00%      09/10/2020         6,509,134   

8,591,842

   Candy Intermediate Holdings, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      7.50%      06/18/2018         8,570,362   

8,000,000

   Capital Automotive LP, Guaranteed Secured 2nd Lien Term Loan      6.00%      04/30/2020         8,142,480   

3,000,000

   Compuware Corporation, Senior Secured 1st Lient Term Loan, Tranche B2      6.25%      12/15/2021         2,937,195   

2,900,000

   CSM Bakery Supplies LLC, Secured 2nd Lien Term Loan      8.75%      07/02/2021         2,762,250   

3,701,400

   DI Purchaser, Inc., Senior Secured 1st Lien Term Loan, Tranche B      6.00%      12/15/2021         3,719,907   

1,442,750

   Douglas Dynamics LLC, Guarnateed Senior Secured 1st Lien Term Loan, Tranche B      5.25%      12/31/2021         1,453,571   

1,940,000

   Dynacast International LLC, Secured 2nd Lien Term Loan      9.50%      01/30/2023         1,944,850   

2,905,000

   Eden Financing, Senior Secured 1st Lien Term Loan, Tranche B      6.00%      04/28/2022         2,890,475   

5,255,088

   Emerald Expositions Holdings, Inc., Senior Secured 1st Lien Term Loan, Tranche B      4.75%      06/17/2020         5,255,088   

6,063,857

   EnergySolutions LLC, Senior Secured 1st Lien Term Loan, Tranche B      6.75%      05/29/2020         6,099,240   

1,935,000

   eResearch Technology, Inc., Senior Secured 1st Lien Term Loan, Tranche B      5.50%      05/08/2022         1,931,981   

1,571,222

   Filtration Group, Inc. Senior Secured 2nd Lien Term Loan, Tranche B      8.25%      11/19/2021         1,579,557   

5,944,444

   Four Seasons Holdings, Inc., Guaranteed Secured 2nd Lien Term Loan      6.25%      12/28/2020         5,966,736   

2,856,990

   Fram Group Holdings, Inc., Guaranteed Senior Secured 1st Lien Term Loan      7.00%      07/28/2017         2,747,182   

5,954,545

   Freescale Semiconductor, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B5      5.00%      01/15/2021         5,984,318   

5,700,000

   Healogics Inc., Secured 2nd Lien Term Loan      9.00%      07/01/2022         5,529,000   

5,000,000

   Jazz Acquisition, Inc., Secured 2nd Lien Term Loan      7.75%      06/17/2022         4,862,500   

5,840,595

   KIK Custom Products, Inc., Guaranteed Senior Secured 1st Lien Term Loan      5.50%      04/29/2019         5,862,498   

3,860,325

   Lattice Semiconductor Corporation, Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      5.25%      03/10/2021         3,874,801   

6,000,000

   Longview Power LLC, Senior Secured 1st Lien Term Loan, Tranche B      7.00%      04/13/2021         6,056,250   

6,850,000

   Mauser Holding GmbH, Guaranteed Secured 2nd Lien Term Loan      8.25%      07/29/2022         6,835,033   

6,000,000

   Mitchell International, Inc., Guaranteed Secured 2nd Lien Term Loan      8.50%      10/11/2021         6,007,500   

6,000,000

   Murray Energy Corporation, Guaranteed Senior Secured 1st Lien Term Loan, Tranche B2      7.50%      04/16/2020         5,579,040   

2,953,539

   National Financial Partners Corporation, Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      4.50%      07/01/2020         2,953,082   

3,770,000

   National Vision, Inc., Secured 2nd Lien Term Loan      6.75%      03/11/2022         3,694,600   

5,974,763

   North American Lifting, Guaranteed Senior Secured 1st Lien Term Loan      5.50%      11/27/2020         5,788,052   

3,880,000

   NVA Holdings, Inc., Secured 2nd Lien Term Loan      8.00%      08/12/2022         3,894,550   

3,095,000

   P2 Upstream Acquisition Company, Guaranteed Secured 2nd Lien Term Loan      9.00%      04/30/2021         2,888,656   

1,970,000

   P2 Upstream Acquisition Company, Guaranteed Senior Secured 1st Lien Term Loan      5.00%      10/30/2020         1,937,170   

2,910,000

   Packaging Coordinators, Inc., Secured 2nd Lien Term Loan      9.00%      08/01/2022         2,880,900   

2,118,988

   Packaging Coordinators, Inc., Senior Secured 1st Lien Term Loan, Tranche B      5.25%      07/30/2021         2,118,987   

7,830,151

   Performance Food Group, Inc., Guaranteed Senior Secured 2nd Lien Term Loan      6.25%      11/14/2019         7,869,302   

5,481,705

   PGX Holdings, Inc., Senior Secured 1st Lien Term Loan      6.25%      09/29/2020         5,511,416   

6,000,000

   PharMEDium Healthcare Corporation, Secured 2nd Lien Term Loan      7.75%      01/28/2022         6,030,000   

5,210,857

   Polyconcept Finance BV, Senior Secured 1st Lien Term Loan, Tranche A1      6.00%      06/28/2019         5,220,627   

4,500,000

   Rack Merger Sub, Inc., Guaranteed Secured 2nd Lien Term Loan, Tranche B      8.25%      10/03/2022         4,511,250   

5,696,203

   RCS Capital Corporation, Guaranteed Senior Secured 1st Lien Term Loan      6.50%      04/29/2019         5,753,165   

4,638,375

   Riverbed Technology, Inc., Senior Secured 1st Lien Term Loan, Tranche B      6.00%      04/25/2022         4,692,296   

2,685,000

   Sabre Industries, Inc., Guarnateed Senior Secured 1st Lien Term Loan      5.75%      02/25/2022         2,693,391   

7,960,000

   Scientific Games International, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B2      6.00%      10/01/2021         7,966,010   

7,580,000

   Sedgwick, Inc., Guaranteed Senior Secured 2nd Lien Term Loan      6.75%      02/28/2022         7,456,825   

5,850,000

   Solenis International LP, Guaranteed Secured 2nd Lien Term Loan      7.75%      07/29/2022         5,676,343   

4,740,000

   SourceHOV LLC, Senior Secured 1st Lien Term Loan, Tranche B      7.75%      10/31/2019         4,376,584   

2,910,000

   Surgery Center Holdings, Inc. Secured 2nd Lien Term Loan      8.50%      11/03/2021         2,910,000   

2,039,750

   Surgery Center Holdings, Inc., Senior Secured 1st Lien Term Loan      5.25%      11/03/2020         2,043,575   

7,497,298

   TCH-2 Holdings LLC, Senior Secured 1st Lien Term Loan      5.50%      05/06/2021         7,492,613   

970,000

   Tekni-Plex, Inc., Senior Secured 2nd Lien Term Loan      8.75%      06/01/2023         974,244   

4,726,250

   TPF II Power LLC, Senior Secured 1st Lien Term Loan, Tranche B      4.50%      10/01/2021         4,773,512   

3,410,496

   Transtar Holding Company, Secured 2nd Lien Term Loan      10.00%      10/09/2019         3,342,286   

2,360,000

   Transtar Holding Company, Senior Secured 1st Lien Term Loan      5.75%      10/09/2018         2,355,575   

6,756,050

   Travelport Finance Luxembourg S.A.R.L., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      5.75%      09/02/2021         6,780,777   

4,850,000

   TTM Technologies, Inc., Guaranteed Senior Secured 1st Lien Term Loan, Tranche B      6.00%      05/31/2021         4,789,375   

5,820,000

   TWCC Holding Corporation, Secured 2nd Lien Term Loan      7.00%      06/26/2020         5,446,560   

6,190,000

   U.S. Renal Care, Inc., Guaranteed Secured 2nd Lien Term Loan, Tranche B1      8.50%      01/03/2020         6,255,769   


5,985,000

   Veresen Midstream LP, Senior Secured 1st Lien Term Loan, Tranche B      5.25%      03/31/2022         6,046,077   

2,888,175

   Wand Intermediate LP, Senior Secured 1st Lien Term Loan      4.75%      09/17/2021         2,902,616   

2,910,000

   Wand Intermediate LP, Senior Secured 2nd Lien Term Loan      8.25%      09/19/2022         2,928,187   

289,141

   WASH Multifamily Laundry Systems LLC, Senior Secured 2nd Lien Term Loan      8.00%      05/15/2023         292,755   

1,650,859

   WASH Multifamily Laundry Systems LLC, Senior Secured 2nd Lien Term Loan      8.00%      05/15/2023         1,671,495   

6,000,000

   WNA Holdings, Inc., Secured 2nd Lien Term Loan      8.50%      12/07/2020         5,981,250   
          

 

 

 

Total Bank Loans (Cost $330,299,811)

                  330,207,915   
          

 

 

 

Collateralized Loan Obligations - 7.8%

  

    

2,000,000

   Adams Mill Ltd., Series 2014-1A-D2      4.53%  # ^      07/15/2026         2,002,953   

6,000,000

   Adams Mill Ltd., Series 2014-1A-E2      6.52%  # ^      07/15/2026         5,923,834   

2,750,000

   Apidos Ltd., Series 2012-11A-D      4.52%  #^      01/17/2023         2,753,476   

1,000,000

   Apidos Ltd., Series 2014-18A-E      6.28%  #^      07/22/2026         885,120   

3,602,857

   ARES Ltd., Series 2007-12A-E      6.03%  # ^      11/25/2020         3,611,662   

3,500,000

   ARES Ltd., Series 2012-3A-E      6.02%  # ^      01/17/2024         3,434,433   

1,650,000

   ARES Ltd., Series 2014-1A-D      5.08%  #^      04/17/2026         1,509,336   

3,000,000

   Avalon Capital Ltd., Series 2012-1AR-ER      5.87%  #^      04/17/2023         2,991,807   

500,000

   Birchwood Park Ltd., Series 2014-1A-E2      6.68%  # ^      07/15/2026         500,979   

740,000

   BlueMountain Ltd., Series 2012-1A-E      5.78%  # ^      07/20/2023         740,902   

2,250,000

   BlueMountain Ltd., Series 2012-2A-D      4.27%  # ^      11/20/2024         2,255,533   

7,000,000

   BlueMountain Ltd., Series 2012-2A-E      5.27%  # ^      11/20/2024         6,895,970   

1,500,000

   BlueMountain Ltd., Series 2015-2A-F      7.08%  #^      07/18/2027         1,369,837   

4,500,000

   Brookside Mill Ltd., Series 2013-1A-D      3.32%  # ^      04/17/2025         4,251,679   

6,500,000

   Canyon Capital Ltd., Series 2012-1A-D      4.58%  #^      01/15/2024         6,498,686   

3,000,000

   Carlyle Global Market Strategies Ltd., Series 2014-3A-C2      4.48%  # ^      07/27/2026         3,010,551   

4,500,000

   Carlyle Global Market Strategies Ltd., Series 2014-3A-D2      6.53%  # ^      07/27/2026         4,497,625   

3,000,000

   Cent Ltd., Series 2013-17A-D      6.28%  # ^      01/30/2025         3,001,790   

3,450,000

   Cent Ltd., Series 2013-18A-D      3.73%  #^      07/23/2025         3,389,396   

8,500,000

   Cent Ltd., Series 2013-18A-E      4.88%  #^      07/23/2025         7,788,498   

6,250,000

   Central Park Ltd., Series 2011-1A-F      5.58%  #^      07/23/2022         5,926,528   

1,500,000

   Dryden Senior Loan Fund, Series 2012-25A-E      5.78%  # ^      01/15/2025         1,475,292   

2,000,000

   Flatiron Ltd., Series 2012-1X-D      5.78%      10/25/2024         1,958,405   

1,985,000

   Galaxy Ltd., Series 2012-14A-D      4.67%  # ^      11/15/2024         1,990,447   

2,750,000

   Galaxy Ltd., Series 2012-14X-E      5.66%      11/15/2024         2,731,301   

3,000,000

   Galaxy Ltd., Series 2014-18A-D2      4.58%  #^      10/15/2026         3,011,225   

5,000,000

   Galaxy Ltd., Series 2014-18A-E2      6.58%  #^      10/15/2026         5,024,867   

10,000,000

   Goldentree Loan Opportunities Ltd., Series 2015-10A-E1      6.28%  #^      07/20/2027         10,000,000   

2,000,000

   Halcyon Loan Advisors Funding Ltd., Series 2012-1A-D      5.77%  # ^      08/15/2023         1,939,726   

1,000,000

   Halcyon Loan Advisors Funding Ltd., Series 2014-2A-C      3.76%  # ^      04/28/2025         921,927   

1,000,000

   Halcyon Loan Advisors Funding Ltd., Series 2014-2A-D      5.26%  # ^      04/28/2025         875,000   

1,000,000

   Halcyon Loan Advisors Funding Ltd., Series 2014-2A-E      6.01%  # ^      04/28/2025         844,641   

3,500,000

   LCM LP, Series 14A-E      4.93%  # ^      07/15/2025         3,225,023   

3,500,000

   LCM LP, Series 14A-F      5.40%  # ^      07/15/2025         2,993,335   

2,500,000

   Madison Park Funding Ltd., Series 2014-13X-E      5.28%      01/19/2025         2,368,985   

9,500,000

   Magnetite Ltd., Series 2012-7A-D      5.53%  #^      01/15/2025         9,244,824   

9,500,000

   Marea Ltd., Series 2012-1A-E      6.38%  # ^      10/15/2023         9,512,044   

5,250,000

   North End Ltd., Series 2013-1A-D      3.78%  # ^      07/17/2025         5,083,357   

2,000,000

   Octagon Investment Partners Ltd., Series 2013-1A-D      3.62%  # ^      07/17/2025         1,928,802   

9,500,000

   Octagon Investment Partners Ltd., Series 2013-1A-E      4.77%  # ^      07/17/2025         8,660,802   

2,000,000

   Octagon Investment Partners Ltd., Series 2014-1A-D      6.88%  # ^      11/14/2026         2,028,079   

1,000,000

   Venture Ltd., Series 2012-10A-D      4.48%  # ^      07/20/2022         1,002,519   

3,000,000

   Venture Ltd., Series 2012-12A-E      5.59%  # ^      02/28/2024         2,849,165   

4,000,000

   Venture Ltd., Series 2013-14A-D      4.04%  #^      08/28/2025         3,957,352   

7,000,000

   WhiteHorse Ltd., Series 2012-1A-B1L      4.53%  #^      02/03/2025         6,956,718   

1,250,000

   WhiteHorse Ltd., Series 2012-1A-B2L      5.53%  # ^      02/03/2025         1,172,021   

1,600,000

   WhiteHorse Ltd., Series 2012-1A-B3L      6.78%  # ^      02/03/2025         1,420,583   

3,250,000

   WhiteHorse Ltd., Series 2013-1A-B1L      3.96%  # ^      11/24/2025         3,148,205   

2,500,000

   Wind River Ltd., Series 2013-2A-D      3.88%  #^      01/18/2026         2,424,382   

2,500,000

   Wind River Ltd., Series 2013-2A-E      5.03%  #^      01/18/2026         2,255,867   
          

 

 

 

Total Collateralized Loan Obligations (Cost $175,270,611)

          174,245,489   
          

 

 

 

Foreign Corporate Bonds - 69.0%

  

    

26,900,000

   Aeropuertos Dominicanos      9.75%      11/13/2019         27,572,500   

24,000,000

   AES Andres Dominicana Ltd.      9.50%       11/12/2020         25,440,000   

19,000,000

   AES El Salvador Trust      6.75%       03/28/2023         18,192,500   

8,000,000

   AES El Salvador Trust      6.75%      03/28/2023         7,660,000   

24,850,000

   Ajecorp B.V.      6.50%       05/14/2022         18,264,750   

10,800,000

   Altice Finance S.A.      7.75%      07/15/2025         10,395,000   

6,352,941

   Ardagh Packaging Finance      7.00%      11/15/2020         6,511,765   

2,200,000

   Ardagh Packaging Finance      6.00%      06/30/2021         2,216,500   

102,606

   Autopistas del Nordeste Ltd.      9.39%         04/15/2024         102,094   

27,000,000

   Avianca Holdings S.A.      8.38%      05/10/2020         27,337,500   

13,000,000

   Avianca Holdings S.A.      8.38%       05/10/2020         13,162,500   

3,000,000

   Axtel S.A.B. de C.V.      9.00%      01/31/2020         3,015,000   


1,310,000

   Banco Continental SAECA      8.88%        10/15/2017         1,383,032   

15,700,000

   Banco de Reservas de la Republica Dominicana      7.00%        02/01/2023         15,811,392   

12,265,000

   Banco de Reservas de la Republica Dominicana      7.00%  ^      02/01/2023         12,352,020   

40,000,000

   Banco do Brasil S.A.      9.25%  #†      04/15/2023         38,200,000   

6,350,000

   Banco do Brasil S.A.      9.00%  #†^      06/18/2024         5,760,720   

2,350,000

   Banco Regional SAECA      8.13%  ^      01/24/2019         2,535,062   

3,460,000

   Banco Regional SAECA      8.13%        01/24/2019         3,732,475   

10,000,000

   Bantrab Senior Trust      9.00%  ^      11/14/2020         10,540,290   

22,700,000

   BR Malls International Finance Ltd.      8.50%  †      01/21/2016         22,983,750   

25,600,000

   Braskem America Finance Company      7.13%        07/22/2041         22,305,280   

8,700,000

   Braskem Finance Ltd.      7.38%  †      10/04/2015         7,830,000   

5,231,000

   C10 Capital Ltd.      6.72%  #†      12/31/2016         5,102,840   

7,320,000

   C5 Capital Ltd.      4.56%  #†      12/29/2049         6,514,800   

6,100,000

   Camposol S.A.      9.88%        02/02/2017         6,175,640   

9,400,000

   Camposol S.A.      9.88%  ^      02/02/2017         9,516,560   

5,310,000

   Cencosud S.A.      6.63%        02/12/2045         5,016,872   

9,772,000

   Cencosud S.A.      6.63%  ^      02/12/2045         9,232,556   

18,230,000

   CFG Investment SAC      9.75%        07/30/2019         17,883,630   

22,000,000

   CIMPOR Financial Operations B.V.      5.75%        07/17/2024         17,930,000   

32,000,000

   Colombia Telecomunicaciones S.A.      8.50%  #†^      03/30/2020         33,254,400   

30,900,000

   Compania Minera Ares S.A.C.      7.75%        01/23/2021         31,865,625   

7,000,000

   Concordia Healthcare Corporation      7.00%  ^      04/15/2023         7,017,500   

28,000,000

   CorpGroup Banking S.A.      6.75%        03/15/2023         28,227,388   

21,860,000

   Corporacion Azucarera del Peru S.A.      6.38%        08/02/2022         19,676,514   

18,100,000

   Cosan Overseas Ltd.      8.25%  †      11/05/2015         18,190,500   

15,000,000

   Credito Real S.A.B. de C.V.      7.50%  ^      03/13/2019         15,750,000   

11,800,000

   Credito Real S.A.B. de C.V.      7.50%        03/13/2019         12,390,000   

38,600,000

   Digicel Ltd.      8.25%        09/30/2020         38,793,000   

5,000,000

   Digicel Ltd.      7.13%  ^      04/01/2022         4,712,500   

5,000,000

   Digicel Ltd.      7.13%        04/01/2022         4,712,500   

6,100,000

   Ecopetrol S.A.      7.38%        09/18/2043         6,409,270   

3,870,000

   Ecopetrol S.A.      5.88%        05/28/2045         3,434,625   

24,298,000

   Evraz Group S.A.      9.50%        04/24/2018         25,141,384   

10,000,000

   Evraz, Inc. N.A.      7.50%  ^      11/15/2019         9,900,000   

5,000,000

   Far East Capital Ltd. S.A.      8.75%        05/02/2020         3,087,500   

15,782,000

   Far East Capital Ltd. S.A.      8.75%  ^      05/02/2020         9,745,385   

7,800,000

   Financiera Independencia S.A.B. de .C.V.      7.50%  ^      06/03/2019         7,987,200   

7,900,000

   Financiera Independencia S.A.B. de C.V      7.50%        06/03/2019         8,089,600   

8,400,000

   Freeport-McMoRan Copper & Gold, Inc.      5.40%        11/14/2034         7,247,503   

25,400,000

   Freeport-McMoRan Copper & Gold, Inc.      5.45%        03/15/2043         21,209,610   

21,000,000

   Gazprombank OJSC      7.88%  #†      04/25/2018         16,590,000   

10,235,000

   GeoPark Latin America Ltd.      7.50%        02/11/2020         8,915,709   

9,765,000

   GeoPark Latin America Ltd.      7.50%  ^      02/11/2020         8,506,291   

9,772,000

   GFL Environmental, Inc.      7.88%  ^      04/01/2020         10,065,160   

6,000,000

   Gol Finance      8.75%  †      04/05/2011         4,320,000   

13,000,000

   Gol LuxCo S.A.      8.88%  ^      01/24/2022         10,562,500   

6,000,000

   Gol LuxCo S.A.      8.88%        01/24/2022         4,875,000   

17,000,000

   Grupo Cementos de Chihuahua S.A.B de C.V.      8.13%        02/08/2020         18,428,000   

29,800,000

   Grupo Elektra S.A.B. de C.V.      7.25%        08/06/2018         30,843,000   

10,000,000

   Grupo Famsa S.A.B. de C.V.      7.25%  ^      06/01/2020         9,003,000   

5,800,000

   Grupo Idesa S.A. de C.V.      7.88%        12/18/2020         6,179,900   

14,700,000

   Grupo Idesa S.A. de C.V.      7.88%  ^      12/18/2020         15,662,850   

22,000,000

   Grupo Papelero Scribe, S.A.      8.88%        04/07/2020         22,275,000   

21,000,000

   Grupo Posadas S.A.B. de C.V      7.88%        11/30/2017         22,050,000   

26,000,000

   Grupo Posadas S.A.B. de C.V.      7.88%  ^      06/30/2022         26,390,000   

24,500,000

   GTL Trade Finance, Inc.      7.25%        04/16/2044         22,876,875   

7,902,000

   Inkia Energy Ltd.      8.38%  ^      04/04/2021         8,532,580   

19,000,000

   Inkia Energy Ltd.      8.38%        04/04/2021         20,516,200   

15,000,000

   Instituto Costarricense de Electricidad      6.38%  ^      05/15/2043         12,656,250   

11,800,000

   Instituto Costarricense de Electricidad      6.38%        05/15/2043         9,956,250   

10,000,000

   Intelsat S.A.      7.75%        06/01/2021         8,387,500   

7,000,000

   Latam Airlines Group S.A.      7.25%  ^      06/09/2020         7,220,458   

10,800,000

   LBC Tank Terminals Holding B.V.      6.88%  ^      05/15/2023         11,205,000   

8,525,000

   Lundin Mining Corporation      7.50%  ^      11/01/2020         9,207,000   

7,500,000

   Lundin Mining Corporation      7.88%  ^      11/01/2022         8,043,750   

23,000,000

   Magnesita Finance Ltd.      8.63%  †      04/05/2017         18,742,700   

24,000,000

   Marfrig Holdings B.V.      8.38%        05/09/2018         24,292,800   

12,650,000

   Marfrig Overseas Ltd.      9.50%        05/04/2020         12,987,755   

17,500,000

   Minerva Luxembourg S.A.      8.75%  #†^      04/03/2019         17,587,500   

13,168,000

   Minerva Luxembourg S.A.      8.75%  #†      04/03/2019         13,233,840   

990,000

   Minerva Luxembourg S.A.      12.25%        02/10/2022         1,094,445   

14,970,000

   Minerva Luxembourg S.A.      7.75%        01/31/2023         15,119,700   

15,000,000

   Nitrogenmuvek Zrt      7.88%  ^      05/21/2020         14,376,000   


15,000,000

   Nomos Bank      10.00%        04/26/2019         14,892,000   

29,000,000

   OAS Financial Ltd.      8.88%  #†^u      04/25/2018         6,061,000   

4,784,000

   OAS Financial Ltd.      8.88%  #†u      04/25/2018         999,856   

5,000,000

   Odebrecht Finance Ltd.      7.50%  †      09/14/2015         3,975,000   

28,000,000

   Odebrecht Finance Ltd.      7.13%        06/26/2042         21,560,000   

1,500,000

   Pacific Rubiales Energy Corporation      7.25%  ^      12/12/2021         1,237,500   

12,500,000

   Pacific Rubiales Energy Corporation      7.25%        12/12/2021         10,312,500   

14,200,000

   Pacific Rubiales Energy Corporation      5.13%        03/28/2023         10,224,000   

19,800,000

   Pacific Rubiales Energy Corporation      5.63%  ^      01/19/2025         14,379,750   

5,200,000

   Pacific Rubiales Energy Corporation      5.63%        01/19/2025         3,776,500   

15,000,000

   Pesquera Exalmar S.A.A.      7.38%        01/31/2020         12,487,500   

7,300,000

   Petra Diamonds PLC      8.25%  ^      05/31/2020         7,446,000   

17,200,000

   Petrobras Global Finance B.V.      6.75%        01/27/2041         15,143,396   

10,000,000

   Reliance Intermediate Holdings LP      6.50%  ^      04/01/2023         10,450,000   

550,000

   Rio Oil Finance Trust      6.25%        07/06/2024         541,750   

11,000,000

   RSHB Capital S.A.      8.50%  ^      10/16/2023         10,010,000   

500,000

   RSHB Capital S.A.      8.50%        10/16/2023         455,000   

7,500,000

   Sappi Papier Holding GmbH      7.50%        06/15/2032         7,125,000   

15,119,000

   Sappi Papier Holding GmbH      7.50%  ^      06/15/2032         14,363,050   

15,545,000

   Seven Generations Energy Ltd.      8.25%  ^      05/15/2020         16,570,970   

1,000,000

   Seven Generations Energy Ltd.      6.75%  ^      05/01/2023         1,002,500   

3,800,000

   Sixsigma Networks Mexico S.A. de C.V.      8.25%        11/07/2021         3,937,560   

12,000,000

   Sixsigma Networks Mexico S.A. de C.V.      8.25%  ^      11/07/2021         12,434,400   

5,000,000

   Southern Copper Corporation      6.75%        04/16/2040         5,188,700   

13,923,000

   Teine Energy Ltd.      6.88%  ^      09/30/2022         13,505,310   

20,000,000

   Telefonica Celular del Paraguay S.A.      6.75%        12/13/2022         20,800,000   

21,000,000

   TV Azteca S.A.B. de C.V.      7.63%        09/18/2020         22,128,750   

12,000,000

   Unifin Financiera S.A.P.I. de C.V.      6.25%  ^      07/22/2019         11,925,000   

20,500,000

   Unifin Financiera S.A.P.I. de C.V.      6.25%        07/22/2019         20,371,875   

26,000,000

   Vedanta Resources PLC      8.25%        06/07/2021         26,586,820   

16,600,000

   Vedanta Resources PLC      7.13%  ^      05/31/2023         15,853,000   

12,000,000

   VimpelCom Holdings B.V.      7.50%        03/01/2022         11,790,000   

17,000,000

   VimpelCom Holdings B.V.      5.95%        02/13/2023         15,084,100   

25,000,000

   VTB Capital S.A.      9.50%  #†      12/06/2022         22,218,750   

17,000,000

   VTR Finance B.V.      6.88%        01/15/2024         17,413,950   
          

 

 

 

Total Foreign Corporate Bonds (Cost $1,646,492,044)

                  1,550,473,532   
          

 

 

 

Municipal Bonds - 1.4%

  

    

45,000,000

   Commonwealth of Puerto Rico      8.00%        07/01/2035         30,487,500   
          

 

 

 

Total Municipal Bonds (Cost $37,983,594)

          30,487,500   
          

 

 

 

Non-Agency Commercial Mortgage Backed Obligations - 12.7%

  

    

9,948,000

   Bear Stearns Commercial Mortgage Securities, Inc., Series 2007-T26-AJ      5.57%  #      01/12/2045         10,003,893   

10,000,000

   Citigroup Commercial Mortgage Trust, Series 2015-GC27-D      4.58%  # ^      02/10/2048         8,697,880   

99,759,681

   Citigroup Commerical Mortgage Trust, Series 2015-GC27-XA      1.60%  # I/O      02/10/2048         10,199,230   

3,438,112

   Commercial Mortgage Pass-Through Certificates, Series 2014-UBS4-E      3.75%  ^      08/10/2047         2,456,187   

3,929,315

   Commercial Mortgage Pass-Through Certificates, Series 2014-UBS4-F      3.75%  ^      08/10/2047         2,477,826   

7,367,549

   Commercial Mortgage Pass-Through Certificates, Series 2014-UBS4-G      3.75%  ^ ¥      08/10/2047         2,181,531   

14,000

   Commercial Mortgage Pass-Through Certificates, Series 2014-UBS4-V      0.00%  # ^ ¥      08/10/2047           

30,000,000

   Great Wolf Trust, Series 2015-WFMZ-M      7.17%  # ^      05/15/2032         30,057,294   

17,730,000

   GS Mortgage Securities Corporation, Series 2014-GC20-E      4.53%  # ^      04/10/2047         14,352,905   

65,010,362

   GS Mortgage Securities Corporation, Series 2014-GC20-XD      1.35%  # ^ I/O      04/10/2047         4,994,600   

4,100,000

   JP Morgan Chase Commercial Mortgage Securities Corporation, Series 2003-C1-F      5.83%  # ^      01/12/2037         4,111,107   

3,990,000

   JP Morgan Chase Commercial Mortgage Securities Corporation, Series 2014-FL6-FMS1      3.49%  # ^      11/15/2031         4,013,433   

3,649,000

   JP Morgan Chase Commercial Mortgage Securities Corporation, Series 2014-FL6-FMS2      4.14%  # ^      11/15/2031         3,671,496   

14,113,175

   JPMBB Commercial Mortgage Securities Trust, Series 2014-C19-E      4.00%  # ^      04/15/2047         11,033,680   

7,840,900

   JPMBB Commercial Mortgage Securities Trust, Series 2014-C19-F      3.75%  # ^      04/15/2047         4,602,608   

25,090,332

   JPMBB Commercial Mortgage Securities Trust, Series 2014-C19-NR      3.75%  # ^ ¥     04/15/2047         8,232,138   

12,000,000

   JPMBB Commercial Mortgage Securities Trust, Series 2014-C21      3.90%  #      08/15/2047         9,095,712   

55,727,164

   JPMBB Commercial Mortgage Securities Trust, Series 2014-C21      0.92%  # I/O      08/15/2047         2,800,680   

81,468,272

   JPMBB Commercial Mortgage Securities Trust, Series 2014-C26-XA      1.33%  # I/O      01/15/2048         5,884,983   

12,020,000

   JPMBB Commercial Mortgage Securities Trust, Series 2015-C27-E      2.81%  # ^      02/15/2048         7,614,664   

24,531,000

   JPMBB Commercial Mortgage Securities Trust, Series 2015-C27-XE      1.68%  # ^ I/O      02/15/2048         2,830,117   

19,000,000

   LB-UBS Commercial Mortgage Trust, Series 2007-C1-AJ      5.48%        02/15/2040         19,706,971   

14,068,000

   Merrill Lynch/Countrywide Commercial Mortgage Trust, Series 2006-1-B      5.75%  #      02/12/2039         13,666,126   

11,815,000

   Morgan Stanley Capital, Inc., Series 2007-IQ13-AJ      5.44%        03/15/2044         11,942,968   

25,305,000

   Wachovia Bank Commercial Mortgage Trust, Series 2007-C33-AJ      6.15%  #      02/15/2051         26,207,490   

3,937,000

   Wachovia Bank Commercial Mortgage Trust, Series 2007-C33-B      6.15%  #      02/15/2051         3,963,268   

4,870,000

   Wells Fargo Commercial Mortgage Trust, Series 2014-LC16-E      3.25%  ^      08/15/2050         3,611,546   

4,870,000

   Wells Fargo Commercial Mortgage Trust, Series 2014-LC16-XC      1.80%  # ^ I/O      08/15/2050         565,906   

12,175,807

   Wells Fargo Commercial Mortgage Trust, Series 2014-LC16-XD      1.80%  # ^ I/O      08/15/2050         1,224,789   

18,361,980

   Wells Fargo Commercial Mortgage Trust, Series 2015-C29-E      4.22%  #^      06/15/2048         12,945,380   

9,180,600

   Wells Fargo Commercial Mortgage Trust, Series 2015-C29-F      4.22%  #^      06/15/2048         5,219,997   


39,018,814

   Wells Fargo Commercial Mortgage Trust, Series 2015-C29-G      4.22%  #^¥      06/15/2048         12,450,123   

21,973,000

   WFRBS Commercial Mortgage Trust, Series 2014-LC14-E      3.50%  # ^      03/15/2047         16,910,444   

87,892,034

   WFRBS Commercial Mortgage Trust, Series 2014-LC14-XC      1.66%  # ^ I/O      03/15/2047         8,965,159   
          

 

 

 

Total Non-Agency Commercial Mortgage Backed Obligations (Cost $283,765,295)

  

               286,692,131   
          

 

 

 

Non-Agency Residential Collateralized Mortgage Obligations - 4.5%

       

17,660,726

   PFCA Home Equity Investment Trust, Series 2002-IFC2-A      4.26%  #^      10/22/2033         16,216,492   

39,493,338

   PFCA Home Equity Investment Trust, Series 2003-IFC3-A      4.47%  #^      08/22/2034         38,456,776   

44,322,383

   PFCA Home Equity Investment Trust, Series 2003-IFC4-A      4.34%  #^      10/22/2034         42,279,307   

4,823,284

   Wachovia Mortgage Loan Trust, Series 2007-A-4A1      6.08%      03/20/2037         4,442,453   
          

 

 

 

Total Non-Agency Residential Collateralized Mortgage Obligations (Cost $101,299,437)

  

       101,395,028   
          

 

 

 

US Corporate Bonds - 25.1%

       

15,000,000

   Affinia Group, Inc.      7.75%         05/01/2021         15,750,000   

6,400,000

   Agricola Senior Trust      6.75%      06/18/2020         6,544,000   

11,840,000

   Ahern Rentals, Inc.      7.38%      05/15/2023         11,751,200   

7,000,000

   Alere, Inc.      6.50%         06/15/2020         7,280,000   

8,000,000

   American Eagle Energy Corporation      11.00%  ^u      09/01/2019         2,920,000   

16,313,000

   American Tire Distributors, Inc.      10.25%      03/01/2022         17,495,692   

12,698,000

   Argos Merger Sub, Inc.      7.13%      03/15/2023         13,332,900   

13,065,000

   BMC Software Finance, Inc.      8.13%      07/15/2021         10,631,644   

6,825,000

   Chemours Company      7.00%      05/15/2025         6,637,312   

475,000

   Cloud Peak Energy Resources LLC      6.38%         03/15/2024         342,000   

6,900,000

   Constellis Holdings LLC      9.75%      05/15/2020         6,675,750   

12,000,000

   Coveris Holdings S.A.      7.88%      11/01/2019         12,000,000   

15,000,000

   Crimson Merger Sub, Inc.      6.63%      05/15/2022         13,275,000   

10,000,000

   CrownRock LP      7.13%      04/15/2021         10,400,000   

10,755,000

   Energy Gulf Coast, Inc.      11.00%      03/15/2020         9,491,287   

1,130,000

   Energy Gulf Coast, Inc.      7.50%         12/15/2021         372,900   

2,250,000

   Energy Gulf Coast, Inc.      6.88%         03/15/2024         742,500   

11,710,000

   Energy Partners Ltd.      8.25%         02/15/2018         7,113,825   

15,025,000

   Expo Event Transco, Inc.      9.00%      06/15/2021         15,626,000   

14,987,000

   Gates Global LLC      6.00%      07/15/2022         13,638,170   

9,875,000

   Gray Television, Inc.      7.50%         10/01/2020         10,504,531   

8,682,000

   HD Supply, Inc.      7.50%         07/15/2020         9,224,625   

18,470,000

   Hexion Finance Corporation      6.63%         04/15/2020         17,038,575   

15,000,000

   Hillman Group, Inc.      6.38%      07/15/2022         14,250,000   

9,900,000

   Infor, Inc.      6.50%      05/15/2022         10,122,750   

4,875,000

   Italics Merger Sub, Inc.      7.13%      07/15/2023         4,826,250   

15,510,000

   KB Home      7.63%         05/15/2023         16,285,500   

2,435,000

   Kindred Escrow Corporation      8.00%      01/15/2020         2,611,537   

16,075,000

   Legacy Reserves LP      6.63%         12/01/2021         13,101,125   

15,350,000

   Memorial Production Partners LP      7.63%         05/01/2021         14,697,625   

8,484,000

   Midas Intermediate Holdco LLC      7.88%      10/01/2022         8,505,210   

9,770,000

   Murray Energy Corporation      11.25%      04/15/2021         8,231,225   

9,600,000

   Navient Corporation      5.88%         10/25/2024         9,048,000   

10,000,000

   Neiman Marcus Group Ltd.      8.00%      10/15/2021         10,600,000   

6,850,000

   Omega LLC      8.75%      07/15/2023         6,867,125   

14,500,000

   Onex York Acquisition Corporation      8.50%      10/01/2022         12,832,500   

9,750,000

   Plastipak Holdings, Inc.      6.50%      10/01/2021         9,969,375   

11,100,000

   Post Holdings, Inc.      6.00%      12/15/2022         10,725,375   

6,530,000

   RCN Telecom Services LLC      8.50%      08/15/2020         6,864,663   

7,225,000

   Regal Entertainment Group      5.75%         02/01/2025         7,080,500   

12,920,000

   Reynolds Group Issuer LLC      8.25%         02/15/2021         13,469,100   

14,200,000

   Sanchez Energy Corporation      7.75%         06/15/2021         14,200,000   

2,425,000

   Sandridge Energy, Inc.      8.75%      06/01/2020         2,240,094   

9,800,000

   Scientific Games International, Inc.      7.00%      01/01/2022         10,167,500   

15,500,000

   Select Medical Corporation      6.38%         06/01/2021         15,732,500   

15,000,000

   Signode Industrial Group, Inc.      6.38%      05/01/2022         14,625,000   

14,787,000

   Southern Graphics, Inc.      8.38%      10/15/2020         15,230,610   

15,000,000

   SUPERVALU, Inc.      6.75%         06/01/2021         15,225,000   

15,325,000

   TransDigm, Inc.      6.50%         07/15/2024         15,210,063   

19,790,000

   Triangle USA Petroleum Corporation      6.75%      07/15/2022         15,436,200   

11,000,000

   Ultra Petroleum Corporation      6.13%      10/01/2024         9,707,500   

4,900,000

   Univar, Inc.      6.75%      07/15/2023         4,961,250   

4,875,000

   Viking Cruises Ltd.      6.25%      05/15/2025         4,862,813   

10,000,000

   WCI Communities, Inc.      6.88%         08/15/2021         10,375,000   

17,750,000

   Woodside Homes Company LLC      6.75%      12/15/2021         16,862,500   
          

 

 

 

Total US Corporate Bonds (Cost $589,274,529)

  

       563,711,801   
          

 

 

 

US Government / Agency Mortgage Backed Obligations - 9.7%

       

20,872,457

   Federal Home Loan Mortgage Corporation, Series 3631-SJ      6.05%  #I/F I/O      02/15/2040         3,890,824   


33,034,300

   Federal Home Loan Mortgage Corporation, Series 3770-SP      6.31%  #I/F I/O      11/15/2040         4,037,601   

52,378,823

   Federal Home Loan Mortgage Corporation, Series 3980-SX      6.31%  #I/F I/O      01/15/2042         11,059,213   

11,418,271

   Federal Home Loan Mortgage Corporation, Series 4203-US      5.72%  #I/F      05/15/2033         10,230,902   

19,003,797

   Federal Home Loan Mortgage Corporation, Series 4212-NS      5.18%  #I/F      06/15/2043         16,354,107   

8,918,396

   Federal Home Loan Mortgage Corporation, Series 4236-SC      11.51%  #I/F      08/15/2043         9,583,686   

10,155,489

   Federal National Mortgage Association, Series 2006-83-SH      6.37%  #I/F I/O      09/25/2036         2,144,286   

18,437,311

   Federal National Mortgage Association, Series 2007-22-S      6.56%  #I/F I/O      03/25/2037         3,648,301   

41,249,158

   Federal National Mortgage Association, Series 2010-123-SK      5.86%  #I/F I/O      11/25/2040         8,160,300   

2,490,665

   Federal National Mortgage Association, Series 2012-140-SC      7.55%  #I/F      12/25/2042         2,476,107   

52,323,781

   Federal National Mortgage Association, Series 2012-52-PS      6.39%  #I/F I/O      05/25/2042         11,013,685   

3,172,047

   Federal National Mortgage Association, Series 2013-111-US      11.23%  #I/F      11/25/2043         3,239,358   

25,225,233

   Federal National Mortgage Association, Series 2013-55-US      5.72%  #I/F      06/25/2043         21,608,956   

50,767,854

   Federal National Mortgage Association, Series 2013-58-KS      5.64%  #I/F      06/25/2043         45,623,649   

26,081,240

   Federal National Mortgage Association, Series 2013-58-SC      5.72%  #I/F      06/25/2043         23,687,921   

41,225,096

   Federal National Mortgage Association, Series 2013-64-SH      5.72%  #I/F      06/25/2043         36,737,394   

4,002,082

   Federal National Mortgage Association, Series 2013-82-SB      11.24%  #I/F      08/25/2043         4,201,324   
          

 

 

 

Total US Government / Agency Mortgage Backed Obligations (Cost $225,778,819)

          217,697,614   
          

 

 

 

Short Term Investments - 0.6%

  

    

4,186,963

   BlackRock Institutional Liquidity Funds FedFund Portfolio      0.01%  ¿         4,186,963   

4,186,964

   Fidelity Institutional Government Portfolio      0.01%  ¿         4,186,964   

4,186,963

   Morgan Stanley Institutional Liquidity Fund Government Portfolio      0.04%  ¿         4,186,963   
          

 

 

 

Total Short Term Investments (Cost $12,560,890)

          12,560,890   
          

 

 

 

Total Investments - 145.4% (Cost $3,402,725,030) ‡

              3,267,471,900   

Liabilities in Excess of Other Assets - (45.4)%

          (1,019,925,954)   
          

 

 

 

NET ASSETS - 100.0%

            $ 2,247,545,946   
          

 

 

 

 

  # Variable rate security. Rate disclosed as of June 30, 2015.  

 

  & Unfunded or partially unfunded loan commitment  

 

  ^ Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. These securities are determined to be liquid by the Adviser, unless otherwise noted, under procedures established by the Fund’s Board of Trustees. At June 30, 2015, the value of these securities amounted to $1,284,960,392 or 57.2% of net assets.  

 

  Perpetual Maturity  

 

  u Issuer is in default of interest payments  

 

  ¥ Illiquid security. At June 30, 2015, the value of these securities amounted to $22,863,792 or 1.0% of net assets.  

 

 

  I/O Interest only security  

 

  I/F Inverse floating rate security whose interest rate moves in the opposite direction of reference interest rates  

 

  ¿ Seven-day yield as of June 30, 2015  

 

  All securities have been segregated for the benefit of the counterparty as collateral for line of credit.  

The cost basis of investments for federal income tax purposes at June 30, 2015 was as follows+:

 

Tax Cost of Investments

   $  3,403,692,321   
  

 

 

 

Gross Tax Unrealized Appreciation

     49,497,767   

Gross Tax Unrealized Depreciation

     (185,718,188)   
  

 

 

 

Net Tax Unrealized Appreciation (Depreciation)

   $ (136,220,421)   
  

 

 

 

 

  + Because tax adjustments are calculated annually, the above table reflects the tax adjustments outstanding at the Fund’s previous fiscal year end. For the previous fiscal year’s federal income tax information, please refer to the Notes to Financial Statements section in the Fund’s most recent annual report.  


SECURITY TYPE BREAKDOWN as a % of Net Assets:

 

Foreign Corporate Bonds

     69.0%   

US Corporate Bonds

     25.1%   

Bank Loans

     14.7%   

Non-Agency Commercial Mortgage Backed Obligations

     12.7%   

US Government / Agency Mortgage Backed Obligations

     9.7%   

Collateralized Loan Obligations

     7.7%   

Non-Agency Residential Collateralized Mortgage Obligations

     4.5%   

Municipal Bonds

     1.4%   

Short Term Investments

     0.6%   

Other Assets and Liabilities

     (45.4)%   
  

 

 

 
                 100.0%   
  

 

 

 


COUNTRY BREAKDOWN as a % of Net Assets:

 

United States

     74.6%   

Brazil

     14.6%   

Mexico

     12.7%   

Peru

     5.9%   

Colombia

     5.7%   

Russia

     5.6%   

Canada

     3.8%   

Chile

     3.8%   

Dominican Republic

     3.5%   

India

     2.4%   

Jamaica

     2.1%   

Luxembourg

     1.5%   

Paraguay

     1.3%   

Indonesia

     1.2%   

El Salvador

     1.1%   

Costa Rica

     1.0%   

South Africa

     0.9%   

China

     0.8%   

Hungary

     0.6%   

Belgium

     0.5%   

Guatemala

     0.5%   

Australia

     0.4%   

Ireland

     0.4%   

United Kingdom

     0.3%   

Netherlands

     0.2%   

Other Assets and Liabilities

     (45.4)%   
  

 

 

 
             100.0%   
  

 

 

 


INVESTMENT BREAKDOWN as a % of Net Assets:

 

Oil & Gas

     12.8%   

Non-Agency Commercial Mortgage Backed Obligations

     12.7%   

US Government / Agency Mortgage Backed Obligations

     9.7%   

Building and Development

     9.1%   

Collateralized Loan Obligation

     7.7%   

Telecommunications

     7.6%   

Banking

     7.2%   

Consumer Products

     7.1%   

Mining

     6.2%   

Utilities

     5.4%   

Finance

     4.8%   

Transportation

     4.7%   

Chemicals/Plastics

     4.7%   

Non-Agency Residential Collateralized Mortgage Obligations

     4.5%   

Healthcare

     3.6%   

Automotive

     3.4%   

Hotels/Motels/Inns and Casinos

     3.4%   

Retailers (other than Food/Drug)

     3.2%   

Media

     3.1%   

Business Equipment and Services

     2.7%   

Containers and Glass Products

     2.4%   

Electronics/Electric

     2.4%   

Pulp & Paper

     1.9%   

Food/Drug Retailers

     1.6%   

Construction

     1.5%   

Technology

     1.4%   

Municipal Bonds

     1.4%   

Insurance

     1.2%   

Beverage and Tobacco

     1.1%   

Industrial Equipment

     1.1%   

Real Estate

     1.0%   

Food Products

     1.0%   

Aerospace and Defense

     1.0%   

Financial Intermediaries

     0.8%   

Leisure

     0.7%   

Environmental Control

     0.7%   

Short Term Investments

     0.6%   

Other Assets and Liabilities

     (45.4)%   
  

 

 

 
                 100.0%   
  

 

 

 


 

Summary of Fair Value Disclosure

June 30, 2015 (Unaudited)

 

Security Valuation. The Fund has adopted accounting principles generally accepted in the United States of America (“US GAAP”) fair value accounting standards which establish a definition of fair value and set out a hierarchy for measuring fair value. These standards require additional disclosures about the various inputs and valuation techniques used to develop the measurements of fair value and a discussion of changes in valuation techniques and related inputs during the period. These inputs are summarized in the three broad levels listed below:

Level 1—Unadjusted quoted market prices in active markets for identical securities

Level 2—Quoted prices for identical or similar assets in markets that are not active, or inputs derived from observable market data

Level 3—Significant unobservable inputs (including the reporting entity’s estimates and assumptions)

Assets and liabilities may be transferred between levels. The Fund uses end of period timing recognition to account for any transfers.

Market values for domestic and foreign fixed income securities are normally determined on the basis of valuations provided by independent pricing services. Vendors typically value such securities based on one or more inputs described in the following table which is not intended to be a complete list. The table provides examples of inputs that are commonly relevant for valuing particular classes of fixed income securities in which the Fund is authorized to invest. However, these classifications are not exclusive, and any of the inputs may be used to value any other class of fixed-income securities. Securities that use similar valuation techniques and inputs as described in the following table are categorized as Level 2 of the fair value hierarchy. To the extent the significant inputs are unobservable, the values would be categorized as Level 3.

 

Fixed-income class

  

Examples of Standard Inputs

All   

 

Benchmark yields, transactions, bids, offers, quotations from dealers and trading systems, new issues, spreads and other relationships observed in the markets among comparable securities; and proprietary pricing models such as yield measures calculated using factors such as cash flows, financial or collateral performance and other reference data (collectively referred to as “standard inputs”)

Corporate bonds and notes; convertible securities    Standard inputs and underlying equity of the issuer
US bonds and notes of government and government agencies    Standard inputs
Residential and commercial mortgage-backed obligations; asset-backed obligations (including collateralized loan obligations)    Standard inputs and cash flows, prepayment information, default rates, delinquency and loss assumptions, collateral characteristics, credit enhancements and specific deal information, trustee reports
Bank loans    Quotations from dealers and trading systems

Investments in registered open-end management investment companies will be valued based upon the net asset value (“NAV”) of such investments and are categorized as Level 1 of the fair value hierarchy. Investments in private investment funds typically will be valued based upon the NAVs of such investments and are categorized as Level 2 of the fair value hierarchy. As of June 30, 2015, the Fund did not hold any investments in private investment funds.

Securities may be fair valued in accordance with the fair valuation procedures approved by the Board of Trustees (the “Board”). The Valuation Committee is generally responsible for overseeing the day to day valuation processes and reports periodically to the Board. The Valuation Committee and the Pricing Group are authorized to make all necessary determinations of the fair values of portfolio securities and other assets for which market quotations are not readily available or if it is deemed that the prices obtained from brokers and dealers or independent pricing services are deemed to be unreliable indicators of market value.

The following is a summary of the fair valuations according to the inputs used to value the Fund’s investments as of June 30, 20151:

 

Category       

 

  

 

 

 

Investments in Securities

  

Level 1

  

Money Market Funds

   $ 12,560,890   

 

  

 

 

 

Total Level 1

     12,560,890   

Level 2

  

Foreign Corporate Bonds

     1,550,473,532   

US Corporate Bonds

     563,711,801   

Bank Loans

     330,207,915   

Non-Agency Commercial Mortgage Backed Obligations

     263,978,031   

US Government / Agency Mortgage Backed Obligations

     217,697,614   

Collateralized Loan Obligations

     174,245,489   

Non-Agency Residential Collateralized Mortgage Obligations

     101,395,028   

Municipal Bonds

     30,487,500   

 

  

 

 

 

Total Level 2

     3,232,196,910   

Level 3

  

Non-Agency Commercial Mortgage Backed Obligations

     22,714,100   

 

  

 

 

 

Total Level 3

     22,714,100   

 

  

 

 

 

Total

   $ 3,267,471,900   

 

  

 

 

 

See the Schedule of Investments for further disaggregation of investment categories.

1 There were no transfers into and out of Level 1 during the period ended June 30, 2015.


The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining fair value:

 

DoubleLine Income Solutions Fund   Balance as
of 9/30/2014
    Net
Realized
Gain
(Loss)
    Net Change in
Unrealized
Appreciation
(Depreciation)4
    Net Accretion
(Amortization)
    Purchases 1     Sales 2     Transfers
Into
Level 3 3
     Transfers
Out of
Level 3 3
    Balance as
of 6/30/2015
   

Net Change in

Unrealized
Appreciation
(Depreciation)
on securities
held at
6/30/20154

 

Investments in Securities

  

Non-Agency Commercial Mortgage Backed

Obligations

  $ 11,304,539      $ -      $ 103,151      $ 5,581      $ 4,220,395      $ -      $ 7,080,434       $ -      $ 22,714,100      $ (890,870)   
 

 

 

 

Total

  $ 11,304,539      $ -      $ 103,151      $ 5,581      $ 4,220,395      $ -      $ 7,080,434       $ -      $ 22,714,100      $ (890,870)   
 

 

 

 

1 Purchases include all purchases of securities and payups.

2 Sales include all sales of securities, maturities, and paydowns.

3 Transfers between Level 2 and Level 3 were due to a change in observable and/or unobservable inputs.

4 Any difference between net change in unrealized appreciation (depreciation) and net change in unrealized appreciation (depreciation) on securities held at June 30, 2015 may be due to a security that was not held or categorized as Level 3 at either period end.

The following is a summary of quantitative information about Level 3 Fair Value Measurements:

 

DoubleLine Income Solutions Fund    Fair Value
as of
6/30/2015 *
     Valuation
Techniques
   Unobservable
Input
   Input Values  

Impact to valuation from an

increase to input

Non-Agency Commercial Mortgage Backed Obligations

   $ 22,714,100       Market Comparables    Yields    9.21% - 15.81%   Increase in yields would result in the decrease in the fair value of the security

* Level 3 securities are typically valued by pricing vendors. The appropriateness of fair values for these securities is monitored on an ongoing basis by the Adviser, which may include back testing, results of vendor due diligence, unchanged price review and consideration of market and/or sector events.


Item 2. Controls and Procedures.

 

(a) The Registrant’s principal executive and principal financial officers have concluded that the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the “1940 Act”)) (17 CFR 270.30a-3(c)) are effective as of a date within 90 days of the filing date of this Form N-Q based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rule 13a-15(b) or Rule 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(d)).

 

(b) There were no changes in the Registrant’s internal controls over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) (17 CFR 270.30a-3(d)) 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.

Separate certifications for each principal executive officer and principal financial officer of the Registrant as required by Rule 30a-2(a) under the 1940 Act (17 CFR 270.30a-2(a)). Filed herewith.


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)  DoubleLine Income Solutions Fund

By (Signature and Title)        /s/ Ronald R. Redell                                                                                 

Ronald R. Redell, President and Chief Executive Officer

Date                      8/26/15                                                  

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

By (Signature and Title)      /s/ Ronald R. Redell                                                                                 

Ronald R. Redell, President and Chief Executive Officer

Date                      8/26/15                                                                                           

By (Signature and Title)          /s/ Susan Nichols                                                                                      

Susan Nichols, Treasurer and Principal Financial and Accounting Officer

Date                      8/26/15