Stone Harbor Emerging Markets Total Income Fund

Investments as of September 30, 2022

Shares/Principal

Currency

(Unaudited)

Market Value

Fixed Income

Amount

Security Description

Code

Interest Rate

Maturity Date

% of Fund

3,800,000

1MDB GLOBAL INVESTMENTS LTD

USD

4.4

3/9/2023

3,634,463

8.37%

10,000,000

ARGENTINE REPUBLIC GOVERNMENT INTERNATIONAL BOND

USD

1

7/9/2029

1,915,000

4.41%

462,000

AYDEM YENILENEBILIR ENERJI AS

USD

7.75

2/2/2027

335,470

0.77%

235,000

BANCO MERCANTIL DEL NORTE SA/GRAND CAYMAN

USD

6.75

9/27/2171

218,007

0.50%

9,200,000

BRAZIL NOTAS DO TESOURO NACIONAL SERIE F

BRL

10

1/1/2025

1,649,479

3.80%

7,495,000,000

COLOMBIAN TES

COP

7.25

10/18/2034

1,076,980

2.48%

348,000,000

DEVELOPMENT BANK OF KAZAKHSTAN JSC

KZT

10.95

5/6/2026

544,866

1.25%

385,000

DEVELOPMENT BANK OF THE REPUBLIC OF BELARUS JSC

USD

6.75

5/2/2024

73,150

0.17%

93,000

ECUADOR GOVERNMENT INTERNATIONAL BOND

USD

2.5

7/31/2035

30,591

0.07%

7,950,000

ECUADOR GOVERNMENT INTERNATIONAL BOND

USD

5.5

7/31/2030

3,728,053

8.58%

246,000

EGYPT GOVERNMENT INTERNATIONAL BOND

EUR

6.375

4/11/2031

139,834

0.32%

2,050,000

EGYPT GOVERNMENT INTERNATIONAL BOND

USD

7.903

2/21/2048

1,066,000

2.45%

1,725,000

EGYPT GOVERNMENT INTERNATIONAL BOND

USD

8.7002

3/1/2049

948,750

2.18%

491,000

EGYPT GOVERNMENT INTERNATIONAL BOND

USD

8.15

11/20/2059

263,299

0.61%

1,003,000

EGYPT GOVERNMENT INTERNATIONAL BOND

USD

7.625

5/29/2032

600,107

1.38%

375,000

EL SALVADOR GOVERNMENT INTERNATIONAL BOND

USD

8.25

4/10/2032

135,656

0.31%

832,000

GABON GOVERNMENT INTERNATIONAL BOND

USD

6.95

6/16/2025

690,560

1.59%

96,000

GABON GOVERNMENT INTERNATIONAL BOND

USD

7

11/24/2031

62,718

0.14%

379,000

GHANA GOVERNMENT INTERNATIONAL BOND

USD

7.625

5/16/2029

140,230

0.32%

1,775,000

GOL FINANCE SA

USD

7

1/31/2025

822,934

1.89%

857,000

GRAN TIERRA ENERGY INC

USD

7.75

5/23/2027

667,753

1.54%

657,000

GRAN TIERRA ENERGY INTERNATIONAL HOLDINGS LTD

USD

6.25

2/15/2025

539,274

1.24%

650,000

INDIKA ENERGY CAPITAL IV PTE LTD

USD

8.25

10/22/2025

599,625

1.38%

28,210,000,000

INDONESIA TREASURY BOND

IDR

8.375

4/15/2039

1,968,355

4.53%

105,000

LEBANON GOVERNMENT INTERNATIONAL BOND

USD

6.375

1/1/2025

6,123

0.01%

2,433,000

LEBANON GOVERNMENT INTERNATIONAL BOND

USD

6.1

10/4/2023

141,874

0.33%

3,509,000

LEBANON GOVERNMENT INTERNATIONAL BOND

USD

8.25

12/31/2022

202,425

0.47%

815,000

LEBANON GOVERNMENT INTERNATIONAL BOND

USD

7

12/3/2024

47,525

0.11%

212,000

LEBANON GOVERNMENT INTERNATIONAL BOND

USD

7

3/23/2032

12,031

0.03%

356,000

MC BRAZIL DOWNSTREAM TRADING SARL

USD

7.25

6/30/2031

263,440

0.61%

610,000

MONG DUONG FINANCE HOLDINGS BV

USD

5.125

5/7/2029

473,513

1.09%

1,016,000

MOZAMBIQUE INTERNATIONAL BOND

USD

5

9/15/2031

690,118

1.59%

583,000

NIGERIA GOVERNMENT INTERNATIONAL BOND

USD

7.696

2/23/2038

343,970

0.79%

434,000

NIGERIA GOVERNMENT INTERNATIONAL BOND

USD

8.747

1/21/2031

303,800

0.70%

1,281,000

NIGERIA GOVERNMENT INTERNATIONAL BOND

USD

8.375

3/24/2029

909,510

2.09%

2,970,000

NIGERIA GOVERNMENT INTERNATIONAL BOND

USD

7.625

11/28/2047

1,648,350

3.79%

1,514,000

PAKISTAN GOVERNMENT INTERNATIONAL BOND

USD

6

4/8/2026

575,487

1.32%

1,001,000

PAPUA NEW GUINEA GOVERNMENT INTERNATIONAL BOND

USD

8.375

10/4/2028

804,741

1.85%

1,119,000

PAPUA NEW GUINEA GOVERNMENT INTERNATIONAL BOND

USD

8.375

10/4/2028

899,606

2.07%

2,000,000

PETROLEOS DE VENEZUELA SA

USD

9.75

5/17/2035

45,000

0.10%

2,550,000

PETROLEOS DE VENEZUELA SA

USD

6

11/15/2026

54,825

0.13%

200,000

PETROLEOS DEL PERU SA

USD

4.75

6/19/2032

141,000

0.32%

200,000

PETROLEOS DEL PERU SA

USD

5.625

6/19/2047

118,830

0.27%

43,400,000

PETROLEOS MEXICANOS

MXN

7.19

9/12/2024

1,943,243

4.47%

30,590,000

PETROLEOS MEXICANOS

MXN

7.47

11/12/2026

1,264,299

2.91%

2,123,000

PETROLEOS MEXICANOS

USD

7.69

1/23/2050

1,292,270

2.97%

10,344,390

POINSETTIA FINANCE LTD

USD

6.625

6/17/2031

9,368,138

21.57%

615,000

PROVINCIA DE ENTRE RIOS ARGENTINA

USD

5.75

8/8/2028

391,217

0.90%

339,000

REPUBLIC OF ANGOLA VIA AVENIR II BV

USD

6.60929

12/7/2023

330,525

0.76%

3,559,385

REPUBLIC OF ANGOLA VIA AVENIR II BV

USD

10.44671

7/1/2023

3,541,588

8.15%

1,234,286

REPUBLIC OF ANGOLA VIA AVENIR ISSUER II IRELAND DAC

USD

6.927

2/19/2027

1,110,857

2.56%

702,000

REPUBLIC OF KENYA GOVERNMENT INTERNATIONAL BOND

USD

8.25

2/28/2048

421,200

0.97%

9,500,000

REPUBLIC OF SOUTH AFRICA GOVERNMENT BOND

ZAR

8.5

1/31/2037

405,190

0.93%

15,700,000

REPUBLIC OF SOUTH AFRICA GOVERNMENT BOND

ZAR

6.5

2/28/2041

524,219

1.21%

4,500,000

REPUBLIC OF SOUTH AFRICA GOVERNMENT BOND

ZAR

8.75

2/28/2048

187,787

0.43%

138,790,000

RUSSIAN FEDERAL BOND ‐ OFZ

RUB

7.7

3/16/2039

726,227

1.67%

400,000

RUSSIAN FOREIGN BOND ‐ EUROBOND

USD

5.1

3/28/2035

172,000

0.40%

265,000

SENEGAL GOVERNMENT INTERNATIONAL BOND

USD

6.25

5/23/2033

197,889

0.46%

1,068,000

SIXSIGMA NETWORKS MEXICO SA DE CV

USD

7.5

5/2/2025

887,975

2.04%

640,000

THETA CAPITAL PTE LTD

USD

8.125

1/22/2025

494,120

1.14%

1,050,000

THETA CAPITAL PTE LTD

USD

6.75

10/31/2026

659,728

1.52%

1,296,000

TULLOW OIL PLC

USD

7

3/1/2025

829,440

1.91%

252,000

TULLOW OIL PLC

USD

10.25

5/15/2026

211,365

0.49%

1,375,000

TUNISIAN REPUBLIC

USD

5.75

1/30/2025

815,375

1.88%

1,030,000

TUNISIAN REPUBLIC

EUR

5.625

2/17/2024

668,005

1.54%

863,000

VEDANTA RESOURCES FINANCE II PLC

USD

8.95

3/11/2025

584,683

1.35%

1,475,000

VENEZUELA GOVERNMENT INTERNATIONAL BOND

USD

9

5/7/2023

103,250

0.24%

400,000

WANDA PROPERTIES INTERNATIONAL CO LTD

USD

7.25

1/29/2024

280,200

0.65%

200,000

WANDA PROPERTIES OVERSEAS LTD

USD

6.875

7/23/2023

157,000

0.36%

85,000

ZAMBIA GOVERNMENT INTERNATIONAL BOND

USD

5.375

9/20/2023

38,994

0.09%

594,000

ZAMBIA GOVERNMENT INTERNATIONAL BOND

USD

8.97

7/30/2027

277,250

0.64%

625,000

ZAMBIA GOVERNMENT INTERNATIONAL BOND

USD

8.97

7/30/2027

291,719

0.67%

Fixed Income Total

57,709,073

132.85%

Credit Linked Notes

124,845,083

Republic of Iraq CLN

JPY

3.21291

1/1/2028

671,971

1.55%

246,102,752

Republic of Iraq CLN

JPY

2.535824

1/1/2028

1,325,313

3.05%

Credit Linked Notes Total

1,997,283

4.60%

Short‐Term Investments

DREYFUS GOVT CASH MGMT‐I

USD

2.770715

613,791

1.41%

613,791

Short‐Term Investments Total

613,791

1.41%

Total Investments

60,320,147

138.86%

Other Assets and Liabilities

(16,879,517)

‐38.86%

Total Net Assets

43,440,630

100.00%

Forward Foreign Currency Contracts

Value

Unrealized Appreciation

Contract to Buy/Sell

Delivery Date

Currency

Units of Currency

(Depreciation)

Sell

11/08/2022

MXN

(37,000,000)

(1,823,965)

(6,944)

Reverse Repurchase Contracts

Interest Rate

Counterparty

Acquisition Date

Value

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(227,986)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(512,935)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(494,706)

JP MORGAN CHASE BANK

3.45

2022‐09‐22

(1,886,444)

JP MORGAN CHASE BANK

3.4

2022‐09‐22

(1,081,194)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(261,256)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(552,856)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(510,294)

JP MORGAN CHASE BANK

4.05

2022‐09‐22

(932,250)

JP MORGAN CHASE BANK

4.2

2022‐09‐22

(135,364)

JP MORGAN CHASE BANK

3.3

2022‐09‐22

(783,903)

CREDIT SUISSE FIRST BOSTON

4

2022‐09‐22

(215,859)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(456,260)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(321,981)

CREDIT SUISSE FIRST BOSTON

3.75

2022‐09‐22

(987,602)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(444,502)

JP MORGAN CHASE BANK

4.2

2022‐09‐22

(459,200)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(552,035)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(756,703)

CREDIT SUISSE FIRST BOSTON

4

2022‐09‐22

(134,553)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(894,129)

JP MORGAN CHASE BANK

4.2

2022‐09‐22

(281,168)

JP MORGAN CHASE BANK

4.2

2022‐09‐22

(731,644)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(237,449)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(574,249)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(238,431)

CREDIT SUISSE FIRST BOSTON

4

2022‐09‐22

(172,119)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(255,853)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(221,212)

JP MORGAN CHASE BANK

3.4

2022‐09‐22

(778,460)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(361,908)

CREDIT SUISSE FIRST BOSTON

3.75

2022‐09‐22

(1,096,278)

CREDIT SUISSE FIRST BOSTON

3.85

2022‐09‐22

(518,629)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(105,784)

CREDIT SUISSE FIRST BOSTON

4.25

2022‐09‐22

(250,874)

CREDIT SUISSE FIRST BOSTON

3.75

2022‐09‐22

(1,507,556)

JP MORGAN CHASE BANK

3.4

2022‐09‐22

(403,737)

Credit Default Swap Contracts ‐ Sell Protection

Upfront

Reference

Maturity

Contract

Fixed Deal

Notional

Market

Premiums

Unrealized Appreciation

Index

Date

Counterparty

Currency

Pay Rate

Amount

Value

(Received)/Paid

(Depreciation)

ARGEN CDS USD 4Y 06/25

06/20/2025

BARCLAYS

USD

5

4,000,000

(2,674,660)

(986,934)

(1,687,726)

ARGEN CDS USD 5Y 12/25

12/22/2025

GOLDMAN SACHS

USD

5

2,250,000

(1,585,671)

(454,781)

(1,130,890)

ARGEN CDS USD 5Y 12/25

12/22/2025

BARCLAYS

USD

5

9,100,000

(6,413,159)

(1,842,380)

(4,570,778)

ESKOM CDS USD 5Y 12/25

12/22/2025

BARCLAYS

USD

1

6,100,000

(889,508)

(673,042)

(216,466)

TURKEY CDS DEAL 1 06/20/27

06/21/2027

BARCLAYS

USD

1

3,059,000

(715,249)

(677,260)

(37,989)

Centrally Cleared Credit Default Swap Contracts ‐ Sell Protection

Upfront

Reference

Maturity

Contract

Fixed Deal

Notional

Market

Premiums

Unrealized Appreciation

Index

Date

Counterparty

Currency

Pay Rate

Amount

Value

Received/(Paid)

(Depreciation)

ARGEN CDS USD 4Y 06/25

06/20/2025

ICE

USD

5

4,000,000

(2,674,660)

(979,741)

(1,694,919)

Key to abbreviations:

BRL

Brazilian Real

COP

Colombian Peso

EUR

Euro

IDR

Indonesian Rupiah

JPY

Japanese Yen

KZT

Kazakhstan Tenge

MXN

Mexican Peso

RUB

Russian Ruble

USD

U.S. Dollar

ZAR

South African Rand

Interest rate may be fixed or variable depending on terms of the security. Interest rate disclosed is that which is in effect as of the date of this holdings report.

Market value and unrealized appreciation (depreciation) are stated in US Dollars unless otherwise noted.

The portfolio is actively managed and holdings are subject to change. There is no guarantee the Fund continues to invest in the securities referenced. The portfolio data is for informational purposes only. It does not constitute a recommendation or an offer for a particular security or fund, nor should it be taken as a solicitation or recommendation to buy or sell securities or other investments. An investment in the Fund involves risk, including loss of principal.

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Disclaimer

Virtus Stone Harbor Emerging Markets Total Income Fund published this content on 28 October 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 25 November 2022 18:30:04 UTC.