SCHEDULE OF INVESTMENTS

ROYCE VALUE TRUST 

MARCH 31, 2024 (UNAUDITED)

 

   SHARES   VALUE 
         
COMMON STOCKS – 100.3%          
           
Communication Services – 2.8%          
Diversified Telecommunication Services - 0.6%          
Cogent Communications Holdings 1   254   $16,594 
Globalstar 2   5,535,611    8,137,348 
IDT Corporation Cl. B   74,270    2,808,148 
Liberty Latin America Cl. C 1,2,3   83,228    581,764 
         11,543,854 
Entertainment - 0.2%          
IMAX Corporation 2   262,660    4,247,212 
Interactive Media & Services - 1.7%          
Cars.com 2   182,200    3,130,196 
QuinStreet 1,2   203,754    3,598,296 
Shutterstock   100,301    4,594,789 
TripAdvisor 2   32,499    903,147 
Yelp 2   35,349    1,392,751 
Ziff Davis 1,2   301,562    19,010,468 
         32,629,647 
Media - 0.3%          
AMC Networks Cl. A 2   34,620    419,941 
John Wiley & Sons Cl. A   60,094    2,291,384 
Scholastic Corporation   13,366    504,032 
TechTarget 1,2,3   30,000    992,400 
Thryv Holdings 2   75,479    1,677,898 
         5,885,655 
Wireless Telecommunication Services - 0.0%          
Gogo 2   79,190    695,288 
Total        55,001,656 
           
Consumer Discretionary – 9.8%          
Automobile Components - 1.6%          
Dorman Products 1,2,3   110,708    10,671,144 
Gentex Corporation 1   163,942    5,921,585 
LCI Industries 1   71,387    8,784,885 
Modine Manufacturing 2   51,222    4,875,822 
Patrick Industries 1,3   6,981    834,020 
Standard Motor Products   12,984    435,613 
         31,523,069 
Diversified Consumer Services - 0.7%          
Adtalem Global Education 2   10,330    530,962 
Perdoceo Education   84,734    1,487,929 
Stride 2   31,259    1,970,880 
Universal Technical Institute 2   639,032    10,186,170 
         14,175,941 
Hotels, Restaurants & Leisure - 0.5%          
Bloomin’ Brands 1   24,337    697,985 
Denny’s Corporation 2   377,845    3,385,491 
DraftKings Cl. A 2   19,000    862,790 
Lindblad Expeditions Holdings 2   373,700    3,486,621 
Monarch Casino & Resort   21,428    1,606,886 
         10,039,773 
Household Durables - 1.6%          
Cavco Industries 1,2,3   16,722    6,673,081 
Ethan Allen Interiors 1   38,963    1,346,951 
Helen of Troy 2   23,578    2,717,129 
Installed Building Products   22,761    5,888,953 
M/I Homes 2   12,110    1,650,472 
Meritage Homes   10,424    1,828,995 
Skyline Champion 2   51,791    4,402,753 
TopBuild Corp. 2   6,161    2,715,337 
Tri Pointe Homes 2   68,209    2,636,960 
Worthington Enterprises   11,294    702,826 
         30,563,457 
Leisure Products - 0.3%          
Brunswick Corporation 1   42,273    4,080,190 
Vista Outdoor 2   20,752    680,250 
YETI Holdings 2   60,263    2,323,139 
         7,083,579 
Specialty Retail - 4.2%          
Abercrombie & Fitch Cl. A 2   4,896    613,616 
Academy Sports and Outdoors   77,965    5,265,756 
Advance Auto Parts   167,024    14,212,072 
American Eagle Outfitters   94,852    2,446,233 
America’s Car-Mart 1,2,3   87,700    5,601,399 
Asbury Automotive Group 2   15,951    3,760,927 
AutoCanada 2   625,600    12,414,550 
Monro   38,519    1,214,889 
Murphy USA   17,808    7,465,114 
ODP Corporation (The) 2   42,368    2,247,622 
1-800-FLOWERS.COM Cl. A 2   76,000    823,080 
OneWater Marine Cl. A 2   150,201    4,228,158 
Signet Jewelers   91,167    9,123,082 
Valvoline 2   276,916    12,342,146 
         81,758,644 
Textiles, Apparel & Luxury Goods - 0.9%          
Carter’s   48,845    4,136,195 
G-III Apparel Group 2   48,507    1,407,188 
Movado Group   78,980    2,205,911 
Ralph Lauren Cl. A   14,350    2,694,356 
Steven Madden   163,760    6,923,773 
         17,367,423 
Total        192,511,886 
           
Consumer Staples – 2.0%          
Beverages - 0.0%          
Celsius Holdings 2   10,000    829,200 
Consumer Staples Distribution & Retail - 0.1%          
PriceSmart   24,119    2,025,996 
Food Products - 1.3%          
Freshpet 1,2,3   28,000    3,244,080 
John B. Sanfilippo & Son   17,800    1,885,376 
Nomad Foods 1   486,865    9,523,079 
Seneca Foods Cl. A 2   183,460    10,438,874 
         25,091,409 
Household Products - 0.1%          
Central Garden & Pet 2   25,424    1,088,910 
Central Garden & Pet Cl. A 2   4,837    178,582 
WD-40 Company   1,799    455,705 
         1,723,197 
Personal Care Products - 0.4%          
Inter Parfums 1   53,678    7,542,296 
USANA Health Sciences 2   23,765    1,152,602 
         8,694,898 
Tobacco - 0.1%        
Universal Corporation   11,105    574,351 
Vector Group   52,251    572,671 
         1,147,022 
Total        39,511,722 
           
Energy – 2.2%          
Energy Equipment & Services - 1.2%          
Bristow Group 1,2   219,464    5,969,421 
Core Laboratories 1,3   120,426    2,056,876 
Helmerich & Payne   19,186    806,963 
Liberty Energy Cl. A   29,912    619,777 
Pason Systems   897,099    10,358,147 
Patterson-UTI Energy   23,275    277,904 
RPC   131,403    1,017,059 
Tidewater 2   10,000    920,000 
U.S. Silica Holdings 2   81,400    1,010,174 
         23,036,321 
Oil, Gas & Consumable Fuels - 1.0%          
California Resources   12,571    692,662 
CONSOL Energy 1   8,198    686,664 
CVR Energy   54,947    1,959,410 
Dorchester Minerals L.P. 1   279,148    9,412,870 
Matador Resources   16,636    1,110,786 
Northern Oil & Gas   25,598    1,015,729 
Par Pacific Holdings 2   20,451    757,914 
REX American Resources 2   30,221    1,774,275 
World Kinect 1   112,613    2,978,614 
         20,388,924 
Total        43,425,245 
           
Financials – 19.1%          
Banks - 4.2%          
Atlantic Union Bankshares   25,000    882,750 
Axos Financial 2   27,164    1,467,943 
Banc of California   38,582    586,832 
Bank of N.T. Butterfield & Son 1   241,503    7,725,681 
BankUnited 1   306,961    8,594,908 
Cathay General Bancorp   21,889    828,061 
Central Pacific Financial   51,596    1,019,021 
Customers Bancorp 2   27,769    1,473,423 
Dime Community Bancshares   56,831    1,094,565 
Eagle Bancorp   75,688    1,777,911 
First Bancorp   19,000    686,280 
First Bancshares (The)   102,569    2,661,666 
First Citizens BancShares Cl. A   6,087    9,952,245 
First Financial Bancorp   29,463    660,560 
Fulton Financial   117,954    1,874,289 
Hanmi Financial   183,173    2,916,114 
HBT Financial   40,400    769,216 
Hingham Institution for Savings   18,257    3,185,116 
Home BancShares   197,617    4,855,450 
Hope Bancorp   147,569    1,698,519 
Independent Bank Group   109,141    4,982,287 
OFG Bancorp   18,273    672,629 
Origin Bancorp   193,912    6,057,811 
Pathward Financial   7,575    382,386 
Preferred Bank   23,072    1,771,237 
S&T Bancorp   39,900    1,279,992 
TrustCo Bank Corp NY   15,835    445,914 
Valley National Bancorp   287,770    2,290,649 
Veritex Holdings   47,057    964,198 
WaFd   50,703    1,471,908 
Western Alliance Bancorp 1,3   96,484    6,193,308 
         81,222,869 
Capital Markets - 6.2%          
Ares Management Cl. A 1   34,800    4,627,704 
Artisan Partners Asset Management Cl. A 1   261,456    11,966,841 
Blue Owl Capital Cl. A   44,720    843,419 
Bolsa Mexicana de Valores   1,723,106    3,852,618 
BrightSphere Investment Group   50,005    1,142,114 
Donnelley Financial Solutions 1,2,3   35,500    2,201,355 
Evercore Cl. A   25,847    4,977,874 
GCM Grosvenor Cl. A   801,494    7,742,432 
Houlihan Lokey Cl. A 1   43,014    5,513,965 
Lazard 1   127,853    5,353,205 
MarketWise Cl. A   500,000    865,000 
Morningstar 1   21,056    6,493,039 
Onex Corporation   168,900    12,652,381 
SEI Investments 1   328,494    23,618,719 
Sprott   230,880    8,518,978 
Tel Aviv Stock Exchange   221,179    1,492,433 
TMX Group   498,421    13,147,231 
Tradeweb Markets Cl. A   53,466    5,569,553 
Virtu Financial Cl. A   65,000    1,333,800 
         121,912,661 
Consumer Finance - 0.8%          
Bread Financial Holdings 1,3   119,096    4,435,135 
Encore Capital Group 1,2,3   25,000    1,140,250 
Enova International 2   79,765    5,011,635 
FirstCash Holdings   7,490    955,275 
PRA Group 2   104,469    2,724,551 
PROG Holdings   36,150    1,245,006 
         15,511,852 
Financial Services - 1.9%          
Banco Latinoamericano de Comercio Exterior Cl. E   73,446    2,175,471 
Burford Capital   175,000    2,794,750 
Compass Diversified Holdings   99,872    2,403,919 
ECN Capital   888,800    1,371,372 
EVERTEC   28,507    1,137,429 
NewtekOne   336,358    3,699,938 
NMI Holdings Cl. A 2   135,850    4,393,389 
Payoneer Global 2   81,925    398,156 
Radian Group   89,258    2,987,465 
Repay Holdings Cl. A 2   746,449    8,210,939 
Shift4 Payments Cl. A 2   50,000    3,303,500 
Waterloo Investment Holdings 2,4   2,972,000    832,160 
WEX 2   10,370    2,463,186 
         36,171,674 
Insurance - 6.0%          
Ambac Financial Group 2   36,919    577,044 
American Equity Investment Life Holding Company 1,2   16,230    912,451 
Assured Guaranty   257,949    22,506,050 
Axis Capital Holdings   78,330    5,093,017 
Berkley (W.R.)   91,903    8,127,901 
E-L Financial   21,650    17,405,510 
Employers Holdings   27,587    1,252,174 
Erie Indemnity Cl. A   22,600    9,075,482 
First American Financial   20,000    1,221,000 
Genworth Financial Cl. A 2   438,438    2,819,156 
Hagerty Cl. A 2   485,700    4,444,155 
International General Insurance Holdings   568,316    7,694,999 
ProAssurance Corporation 1,2,3   298,675    3,840,960 
RenaissanceRe Holdings   33,697    7,919,806 
RLI Corp. 1   49,592    7,362,924 
Safety Insurance Group   40,945    3,365,270 
SiriusPoint 2   48,112    611,503 
Stewart Information Services 1   6,879    447,548 
White Mountains Insurance Group   7,449    13,365,741 
         118,042,691 
Total        372,861,747 
           
Health Care – 10.7%          
Biotechnology - 1.1%          
Alkermes 2   16,846    456,021 
ARS Pharmaceuticals 2   50,000    511,000 
Avid Bioservices 2   198,000    1,326,600 
Catalyst Pharmaceuticals 2   483,601    7,708,600 
Dynavax Technologies 2   141,079    1,750,790 
Halozyme Therapeutics 2   43,076    1,752,332 
Ironwood Pharmaceuticals Cl. A 2   578,312    5,037,098 
PureTech Health 2   50,000    140,414 
United Therapeutics 2   10,000    2,297,200 
Vir Biotechnology 2   102,900    1,042,377 
         22,022,432 
Health Care Equipment & Supplies - 4.4%          
Alphatec Holdings 2   289,310    3,989,585 
Embecta Corp.   87,301    1,158,484 
Enovis 2   442,729    27,648,426 
Envista Holdings 2   58,959    1,260,544 
Haemonetics Corporation 2   300,406    25,639,652 
Insulet Corporation 2   1,054    180,656 
Integer Holdings 1,2,3   45,700    5,332,276 
OraSure Technologies 2   99,036    609,071 
RxSight 2   34,386    1,773,630 
Surmodics 1,2   161,000    4,723,740 
TransMedics Group 2   150,000    11,091,000 
UFP Technologies 2   5,990    1,510,678 
Varex Imaging 2   21,172    383,213 
         85,300,955 
Health Care Providers & Services - 1.4%          
Addus HomeCare 1,2,3   8,094    836,434 
AMN Healthcare Services 1,2   17,253    1,078,485 
Astrana Health 2   11,940    501,361 
Cross Country Healthcare 2   127,100    2,379,312 
Hims & Hers Health Cl. A 2   56,000    866,320 
Pediatrix Medical Group 2   137,840    1,382,535 
Premier Cl. A   38,432    849,347 
Privia Health Group 2   292,400    5,728,116 
Select Medical Holdings   95,900    2,891,385 
Surgery Partners 2   153,874    4,590,061 
U.S. Physical Therapy   62,300    7,031,801 
         28,135,157 
Health Care Technology - 0.3%          
Simulations Plus 1   68,626    2,823,960 
Veradigm 2,5   279,135    2,149,339 
         4,973,299 
Life Sciences Tools & Services - 2.6%        
Azenta 1,2   228,104    13,750,109 
BioLife Solutions 2   44,889    832,691 
Bio-Rad Laboratories Cl. A 2   12,205    4,221,343 
Bio-Techne 1   135,473    9,535,945 
Charles River Laboratories International 2   8,329    2,256,743 
Medpace Holdings 2   5,189    2,097,134 
Mesa Laboratories 1   87,644    9,617,176 
Revvity   30,110    3,161,550 
Stevanato Group   186,656    5,991,658 
         51,464,349 
Pharmaceuticals - 0.9%          
Collegium Pharmaceutical 2   45,965    1,784,362 
Corcept Therapeutics 2   267,800    6,745,882 
Harmony Biosciences Holdings 1,2,3   94,605    3,176,836 
Innoviva 2   60,825    926,973 
Intra-Cellular Therapies 2   7,000    484,400 
Ligand Pharmaceuticals 2   13,693    1,000,958 
Prestige Consumer Healthcare 2   56,300    4,085,128 
         18,204,539 
Total        210,100,731 
           
Industrials – 25.9%          
Aerospace & Defense - 1.4%          
HEICO Corporation 1   31,030    5,926,730 
HEICO Corporation Cl. A 1   36,533    5,623,890 
Leonardo DRS 2   404,123    8,927,077 
Magellan Aerospace   943,092    5,549,034 
National Presto Industries   10,343    866,743 
         26,893,474 
Air Freight & Logistics - 0.2%          
Forward Air 1,2   84,684    2,634,519 
Hub Group Cl. A   46,194    1,996,505 
         4,631,024 
Building Products - 2.3%          
Advanced Drainage Systems   51,788    8,919,965 
American Woodmark 2   18,917    1,923,102 
Apogee Enterprises   8,473    501,602 
AZZ 1,3   20,000    1,546,200 
Carlisle Companies   13,700    5,368,345 
CSW Industrials   45,000    10,557,000 
Gibraltar Industries 2   13,247    1,066,781 
Insteel Industries   13,432    513,371 
Janus International Group 2   283,300    4,286,329 
Simpson Manufacturing 1   22,600    4,637,068 
UFP Industries   41,841    5,146,861 
         44,466,624 
Commercial Services & Supplies - 2.1%          
ACV Auctions Cl. A 2   128,800    2,417,576 
Brady Corporation Cl. A 1   277,209    16,432,949 
CompX International Cl. A 1   183,197    6,283,657 
Driven Brands Holdings 2   260,648    4,115,632 
Healthcare Services Group 2   335,089    4,181,911 
Montrose Environmental Group 2   25,188    986,614 
RB Global 1   55,137    4,199,785 
Vestis   96,651    1,862,465 
VSE Corporation   11,500    920,000 
         41,400,589 
Construction & Engineering - 4.8%          
APi Group 1,2,3   492,120    19,325,552 
Arcosa 1   207,434    17,810,283 
Badger Infrastructure Solutions   25,000    926,507 
Bowman Consulting Group 2   25,205    876,882 
Comfort Systems USA 1   13,283    4,220,142 
EMCOR Group   17,753    6,217,101 
IES Holdings 1,2   198,398    24,133,133 
MasTec 2   78,980    7,364,885 
Northwest Pipe 2   24,028    833,291 
Valmont Industries 1   31,492    7,188,994 
WillScot Mobile Mini Holdings Corp. 2   103,175    4,797,637 
         93,694,407 
Electrical Equipment - 2.2%          
Allient   20,000    713,600 
Atkore   26,500    5,044,540 
Encore Wire   18,270    4,800,991 
LSI Industries   496,657    7,509,454 
nVent Electric   37,098    2,797,189 
Powell Industries   65,493    9,319,654 
Preformed Line Products   41,020    5,278,043 
Vertiv Holdings Cl. A   84,713    6,918,511 
         42,381,982 
Ground Transportation - 0.4%          
ArcBest Corporation   6,094    868,395 
Landstar System 1   32,726    6,308,264 
         7,176,659 
Machinery - 5.7%          
Atmus Filtration Technologies 2   93,890    3,027,952 
Chart Industries 2   2,590    426,625 
Douglas Dynamics   48,121    1,160,679 
Enpro   50,893    8,589,212 
Esab 1   142,188    15,721,727 
ESCO Technologies 1   114,932    12,303,471 
Helios Technologies 1   44,900    2,006,581 
John Bean Technologies 1   126,262    13,243,621 
Kadant 1   40,914    13,423,883 
Lincoln Electric Holdings 1   17,670    4,513,625 
Lindsay Corporation 1   60,900    7,165,494 
Miller Industries   62,935    3,153,044 
Mueller Industries 1   51,445    2,774,429 
RBC Bearings 2   5,200    1,405,820 
Standex International   7,406    1,349,521 
Tennant Company 1   80,500    9,789,605 
Titan International 2   108,222    1,348,446 
Wabash National   41,312    1,236,881 
Watts Water Technologies Cl. A 1   46,400    9,862,320 
         112,502,936 
Marine Transportation - 0.3%          
Kirby Corporation 2   49,845    4,751,226 
Matson   8,586    965,066 
         5,716,292 
Passenger Airlines - 0.1%          
Sun Country Airlines Holdings 2   88,126    1,329,821 
Professional Services - 2.3%          
CBIZ 1,2   104,465    8,200,503 
Dun & Bradstreet Holdings   379,603    3,811,214 
Exponent   24,412    2,018,628 
Forrester Research 1,2,3   298,585    6,437,493 
Heidrick & Struggles International   17,490    588,713 
Jacobs Solutions 1   22,500    3,458,925 
KBR 1   171,796    10,936,533 
Korn Ferry 1   126,346    8,308,513 
Paylocity Holding 2   3,000    515,580 
Resources Connection   97,142    1,278,389 
Verra Mobility Cl. A 2   18,282    456,502 
         46,010,993 
Trading Companies & Distributors - 4.1%          
Air Lease Cl. A 1   508,255    26,144,637 
Applied Industrial Technologies   30,658    6,056,488 
Boise Cascade 1   24,417    3,744,835 
Core & Main Cl. A 1,2,3   51,208    2,931,658 
Distribution Solutions Group 2   96,456    3,422,259 
FTAI Aviation   167,410    11,266,693 
GMS 2   6,826    664,443 
Hudson Technologies 2   122,522    1,348,967 
MSC Industrial Direct Cl. A   20,892    2,027,360 
Teqnion 2   191,300    3,949,673 
Transcat 2   130,431    14,533,926 
WESCO International   22,028    3,772,956 
         79,863,895 
Total        506,068,696 
           
Information Technology – 16.8%          
Communications Equipment - 0.4%          
Calix 1,2   24,259    804,428 
Digi International 2   38,250    1,221,322 
Extreme Networks 2   71,922    829,980 
Harmonic 2   181,836    2,443,876 
NetScout Systems 2   95,502    2,085,764 
         7,385,370 
Electronic Equipment, Instruments & Components - 6.9%          
Bel Fuse Cl. B   26,617    1,605,271 
Cognex Corporation 1   344,453    14,611,696 
Coherent Corp. 1,2   142,541    8,640,835 
Crane NXT   146,560    9,072,064 
CTS Corporation   20,837    974,963 
ePlus 2   5,836    458,359 
Fabrinet 1,2,3   76,944    14,543,955 
FARO Technologies 1,2,3   228,848    4,922,521 
Insight Enterprises 2   13,293    2,466,117 
IPG Photonics 2   51,100    4,634,259 
Kimball Electronics 2   109,972    2,380,894 
Littelfuse 1   23,935    5,800,647 
Luna Innovations 2   86,450    277,072 
Methode Electronics   18,843    229,508 
Mirion Technologies Cl. A 2   247,000    2,808,390 
NAPCO Security Technologies   138,000    5,542,080 
PAR Technology 1,2,3   379,239    17,202,281 
PC Connection   29,312    1,932,540 
Richardson Electronics   433,407    3,991,679 
Rogers Corporation 2   95,995    11,393,647 
Sanmina Corporation 2   20,884    1,298,567 
Teledyne Technologies 2   9,660    4,147,231 
Trimble 2   10,000    643,600 
TTM Technologies 1,2   289,270    4,527,076 
Vishay Precision Group 2   111,532    3,940,426 
Vontier Corporation   165,842    7,522,593 
         135,568,271 
IT Services - 0.9%        
Hackett Group (The) 1   405,798    9,860,891 
Kyndryl Holdings 2   303,664    6,607,729 
         16,468,620 
Semiconductors & Semiconductor Equipment - 6.3%          
Axcelis Technologies 2   18,066    2,014,720 
Camtek 2   48,773    4,085,714 
Cirrus Logic 1,2   82,617    7,647,030 
Cohu 1,2,3   85,006    2,833,250 
Diodes 1,2,3   92,301    6,507,221 
FormFactor 2   235,861    10,762,337 
Impinj 1,2,3   175,345    22,516,051 
indie Semiconductor Cl. A 2   62,000    438,960 
Kulicke & Soffa Industries 1   61,045    3,071,174 
MaxLinear 2   133,544    2,493,267 
MKS Instruments   165,839    22,056,587 
Onto Innovation 1,2,3   62,995    11,407,135 
Photronics 2   240,748    6,817,983 
Rambus 2   104,068    6,432,443 
Semtech Corporation 2   2,500    68,725 
Silicon Motion Technology ADR   67,983    5,230,612 
SiTime 2   23,580    2,198,363 
Ultra Clean Holdings 2   151,823    6,974,749 
         123,556,321 
Software - 2.3%          
Adeia 1   48,783    532,710 
Agilysys 1,2   69,787    5,880,253 
Alkami Technology 1,2   95,626    2,349,531 
Consensus Cloud Solutions 1,2,3   77,729    1,232,782 
Coveo Solutions 2   123,000    933,476 
CyberArk Software 2   3,500    929,705 
Descartes Systems Group (The) 2   10,000    915,300 
DoubleVerify Holdings 2   7,500    263,700 
InterDigital 1   13,105    1,395,158 
JFrog 2   221,000    9,772,620 
NextNav 2   69,000    454,020 
Progress Software   68,886    3,672,313 
PROS Holdings 2   159,020    5,777,197 
Q2 Holdings 2   54,417    2,860,157 
Sapiens International   106,143    3,413,559 
Sprout Social Cl. A 2   11,500    686,665 
Teradata Corporation 2   94,646    3,659,961 
         44,729,107 
Total        327,707,689 
           
Materials – 7.7%          
Chemicals - 3.6%          
AdvanSix 1   34,343    982,210 
Aspen Aerogels 2   47,200    830,720 
Bioceres Crop Solutions 2   22,870    289,534 
Element Solutions 1   584,507    14,600,985 
Hawkins 1   103,488    7,947,878 
Ingevity Corporation 2   159,637    7,614,685 
Innospec 1   122,800    15,833,832 
NewMarket Corporation   8,000    5,076,960 
Quaker Houghton   84,747    17,394,322 
         70,571,126 
Containers & Packaging - 0.2%          
Graphic Packaging Holding Company   32,747    955,557 
Silgan Holdings   61,669    2,994,647 
         3,950,204 
Metals & Mining - 3.3%          
Alamos Gold Cl. A   1,976,000    29,131,978 
Gold Fields ADR   536,500    8,524,985 
Haynes International 1   102,500    6,162,300 
IAMGOLD Corporation 2   500,000    1,665,000 
Major Drilling Group International 2   1,496,691    9,944,424 
Materion Corporation   25,000    3,293,750 
Olympic Steel   25,840    1,831,539 
Reliance 1   4,701    1,570,980 
Ryerson Holding   26,906    901,351 
Warrior Met Coal   13,716    832,561 
         63,858,868 
Paper & Forest Products - 0.6%          
Louisiana-Pacific   69,946    5,869,169 
Stella-Jones   70,375    4,104,407 
Sylvamo 1   41,263    2,547,578 
         12,521,154 
Total        150,901,352 
           
Real Estate – 3.2%          
Diversified REITs - 0.0%          
New York REIT 2,4   15,000    163,200 
Real Estate Management & Development - 3.2%          
Colliers International Group   62,871    7,684,722 
DigitalBridge Group Cl. A   199,865    3,851,399 
FirstService Corporation   104,130    17,264,754 
FRP Holdings 1,2   67,913    4,169,858 
Kennedy-Wilson Holdings 1   1,208,563    10,369,471 
Marcus & Millichap 1   279,095    9,536,676 
St. Joe Company (The) 1   78,800    4,568,036 
Tejon Ranch 1,2,3   313,818    4,835,935 
         62,280,851 
Total        62,444,051 
           
Utilities – 0.1%          
Electric Utilities - 0.1%          
Otter Tail   23,255    2,009,232 
Gas Utilities - 0.0%          
Chesapeake Utilities   4,708    505,168 
Total        2,514,400 
           
TOTAL COMMON STOCKS          
(Cost $1,433,952,071)        1,963,049,175 
           
INVESTMENT COMPANIES – 1.0%          
Diversified Investment Companies – 0.0%          
Closed-End Funds - 0.0%          
Eagle Point Credit   12,054    121,866 
Total        121,866 
           
Materials – 1.0%          
Metals & Mining - 1.0%          
VanEck Junior Gold Miners ETF   469,426    18,185,563 
Total        18,185,563 
           
TOTAL INVESTMENT COMPANIES          
(Cost $16,851,196)        18,307,429 
           
REPURCHASE AGREEMENT – 0.9%          
Fixed Income Clearing Corporation,          
4.75% dated 3/28/24, due 4/1/24,          
maturity value $18,188,056 (collateralized          
by obligations of U.S. Government          
Agencies, 4.00% due 12/15/25, valued at $18,542,083)          
(Cost $18,178,462)        18,178,462 
           
TOTAL INVESTMENTS – 102.2%          
(Cost $1,468,981,729)        1,999,535,066 
          
LIABILITIES LESS CASH         
AND OTHER ASSETS – (2.2)%        (43,049,595)
           
NET ASSETS – 100.0%       $1,956,485,471 

 

ADR – American Depository Receipt

1All or a portion of these securities were pledged as collateral in connection with the Fund’s revolving credit agreement as of March 31, 2024. Total market value of pledged securities as of March 31, 2024, was $75,760,130.

2Non-income producing.

3As of March 31, 2024, a portion of these securities, in the aggregate amount of $32,777,019, were rehypothecated by BNP Paribas Prime Brokerage International, Limited in connection with the Fund’s revolving credit agreement.
4Securities for which market quotations are not readily available represent 0.1% of net assets. These securities have been valued at their fair value under procedures approved by the Fund’s Board of Directors. These securities are defined as Level 3 securities due to the use of significant unobservable inputs in the determination of fair value.

5This security is defined as a Level 2 security due to fair value being based on quoted prices for similar securities and/or due to the application of fair value factors.

 

TAX INFORMATION: The cost of total investments for Federal income tax purposes was $1,474,287,729. As of March 31, 2024, net unrealized appreciation for all securities was $525,247,337, consisting of aggregate gross unrealized appreciation of $626,315,375 and aggregate gross unrealized depreciation of $101,068,038. The primary cause of the difference between book and tax basis cost is the timing of the recognition of losses on securities sold.

 

Valuation of Investments:

 

Royce Value Trust, Inc. (the “Fund”), is a diversified closed-end investment company that was incorporated under the laws of the State of Maryland on July 1, 1986. The Fund commenced operations on November 26, 1986. Royce & Associates, LP, the Fund’s investment adviser, is a majority-owned subsidiary of Franklin Resources, Inc. and primarily conducts business using the name Royce Investment Partners (“Royce”). Investment transactions are accounted for on the trade date. Portfolio securities held by the Fund are valued as of the close of trading on the New York Stock Exchange (“NYSE”) (generally 4:00 p.m. Eastern time) on the valuation date. Investments in money market funds are valued at net asset value per share. Values for non-U.S. dollar denominated equity securities are converted to U.S. dollars daily based upon prevailing foreign currency exchange rates as quoted by a major bank.

 

Portfolio securities that are listed on an exchange or Nasdaq, or traded on OTC Market Group Inc.’s OTC Link ATS or other alternative trading system, are valued: (i) on the basis of their last reported sales prices or official closing prices, as applicable, on a valuation date; or (ii) at their highest reported bid prices in the event such equity securities did not trade on a valuation date. Such inputs are generally referred to as “Level 1” inputs because they represent reliable quoted prices in active markets for identical securities.

 

If the value of a portfolio security held by the Fund cannot be determined solely by reference to Level 1 inputs, such portfolio security will be “fair valued.” The Fund’s Board of Directors has designated Royce as valuation designee to perform fair value determinations for such portfolio securities in accordance with Rule 2a-5 under the Investment Company Act of 1940 (“Rule 2a-5”). Pursuant to Rule 2a-5, fair values are determined in accordance with policies and procedures approved by the Fund’s Board of Directors and policies and procedures adopted by Royce in its capacity as valuation designee for the Fund. Fair valued securities are reported as either “Level 2” or “Level 3” securities.

 

As a general principle, the fair value of a security is the amount which the Fund might reasonably expect to receive for the security upon its current sale. However, in light of the judgment involved in fair valuations, no assurance can be given that a fair value assigned to a particular portfolio security will be the amount which the Fund might be able to receive upon its current sale. When a fair value pricing methodology is used, the fair value prices used by the Fund for such securities will likely differ from the quoted or published prices for the same securities.

 

Level 2 inputs are other significant observable inputs (e.g., dealer bid side quotes and quoted prices for securities with comparable characteristics). Examples of situations in which Level 2 inputs are used to fair value portfolio securities held by the Fund on a particular valuation date include: 

Over-the-counter equity securities other than those traded on OTC Market Group Inc.’s OTC Link ATS or other alternative trading system (collectively referred to herein as “Other OTC Equity Securities”) are fair valued at their highest bid price when Royce receives at least two bid side quotes from dealers who make markets in such securities;
Certain bonds and other fixed income securities may be fair valued by reference to other securities with comparable ratings, interest rates, and maturities in accordance with valuation methodologies maintained by certain independent pricing services; and

The Fund uses an independent pricing service to fair value certain non-U.S. equity securities when U.S. market volatility exceeds a certain threshold. This pricing service uses proprietary correlations it has developed between the movement of prices of non-U.S. equity securities and indices of U.S.-traded securities, futures contracts, and other indications to estimate the fair value of such non-U.S. securities.

 

Level 3 inputs are significant unobservable inputs. Examples of Level 3 inputs include (without limitation) the last trade price for a security before trading was suspended or terminated; discounts to last trade price for lack of marketability or otherwise; market price information regarding other securities; information received from the issuer and/or published documents, including SEC filings and financial statements; and other publicly available information. Pursuant to the above-referenced policies and procedures, Royce may use various techniques in making fair value determinations based upon Level 3 inputs, which techniques may include (without limitation): (i) workout valuation methods (e.g., earnings multiples, discounted cash flows, liquidation values, derivations of book value, firm or probable offers from qualified buyers for the issuer’s ongoing business, etc.); (ii) discount or premium from market, or compilation of other observable market information, for other similar freely traded securities; (iii) conversion from the readily available market price of a security into which an affected security is convertible or exchangeable; and (iv) pricing models or other formulas. In the case of restricted securities, fair value determinations generally start with the inherent or intrinsic worth of the relevant security, without regard to the restrictive feature, and are reduced for any diminution in value resulting from the restrictive feature. Due to the inherent uncertainty of such valuations, these fair values may differ significantly from the values that would have been used had an active market existed.

 

A security that is valued by reference to Level 1 or Level 2 inputs may drop to Level 3 on a particular valuation date for several reasons, including if: 

an equity security that is listed on an exchange or Nasdaq, or traded on OTC Market Group Inc.’s OTC Link ATS or other alternative trading system, has not traded and there are no bids;

Royce does not receive at least two bid side quotes for an Other OTC Equity Security;
the independent pricing services are unable to supply fair value prices; or
the Level 1 or Level 2 inputs become otherwise unreliable for any reason (e.g., a significant event occurs after the close of trading for a security but prior to the time the Fund prices its shares).

 

The table below shows the aggregate value of the various Level 1, Level 2, and Level 3 securities held by the Fund as of March 31, 2024. Any Level 2 or Level 3 securities held by the Fund are noted in its Schedule of Investments. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with owning those securities.

 

   Level 1   Level 2   Level 3   Total 
Common Stocks  $1,959,904,475   $2,149,340   $995,360   $1,963,049,175 
Investment Companies   18,307,429            18,307,429 
Repurchase Agreement       18,178,462        18,178,462 

 

Level 3 Reconciliation:

 

        Unrealized Gain (Loss)  
  Balance as of   Realized Currently Held Securities No Balance as of
  12/31/23 Sales Gain (Loss) Securities Longer Held 3/31/24
Common Stocks $995,360 $ – $ – $0 $ – $995,360

 

Repurchase Agreements:

 

The Fund may enter into repurchase agreements with institutions that the Fund’s investment adviser has determined are creditworthy. The Fund restricts repurchase agreements to maturities of no more than seven days. Securities pledged as collateral for repurchase agreements, which are held until maturity of the repurchase agreements, are marked-to-market daily and maintained at a value at least equal to the principal amount of the repurchase agreement (including accrued interest). Repurchase agreements could involve certain risks in the event of default or insolvency of the counter-party, including possible delays or restrictions upon the ability of the Fund to dispose of its underlying securities. The remaining contractual maturity of the repurchase agreement held by the Fund as of March 31, 2024, is next business day and continuous.

 

Borrowings:

 

The Fund is party to a revolving credit agreement (the “credit agreement”) with BNP Paribas Prime Brokerage International, Limited (BNPPI). The Fund pays a commitment fee of 0.50% per annum on the unused portion of the then-current maximum amount that may be borrowed by the Fund under the credit agreement. The credit agreement has a 179-day rolling term that resets daily. The Fund pledges eligible portfolio securities as collateral and has granted a security interest in such pledged securities to, and in favor of, BNPPI as security for the loan balance outstanding. The amount of eligible portfolio securities required to be pledged as collateral is determined by BNPPI in accordance with the credit agreement. In determining collateral requirements, the value of eligible securities pledged as collateral is subject to discount by BNPPI based upon a variety of factors set forth in the credit agreement. As of March 31, 2024, the market value of eligible securities pledged as collateral exceeded two times the loan balance outstanding.

 

If the Fund fails to meet certain requirements, or comply with other financial covenants set forth in the credit agreement, the Fund may be required to repay immediately, in part or in full, the loan balance outstanding under the credit agreement, which may necessitate the sale of portfolio securities at potentially inopportune times. BNPPI may terminate the credit agreement upon certain ratings downgrades of its corporate parent, which would result in the Fund’s entire loan balance becoming immediately due and payable. The occurrence of such ratings downgrades may necessitate the sale of portfolio securities at potentially inopportune times. BNPPI may also terminate the credit agreement upon sixty (60) calendar days’ prior written notice to the Fund in the event the Fund’s net asset value per share as of the close of business on the last business day of any calendar month declines by thirty-five percent (35%) or more from the Fund’s net asset value per share as of the close of business on the last business day of the immediately preceding calendar month.

 

The credit agreement also permits, subject to certain conditions, BNPPI to rehypothecate portfolio securities pledged by the Fund up to the amount of the loan balance outstanding. The Fund continues to receive payments in lieu of dividends and interest on rehypothecated securities. The Fund also has the right under the credit agreement to recall the rehypothecated securities from BNPPI on demand. If BNPPI fails to deliver the recalled security in a timely manner, the Fund is compensated by BNPPI for any fees or losses related to the failed delivery or, in the event a recalled security is not returned by BNPPI, the Fund, upon notice to BNPPI, may reduce the loan balance outstanding by the value of the recalled security failed to be returned. The Fund receives a portion of the fees earned by BNPPI in connection with the rehypothecation of portfolio securities.

 

The Fund and BNPPI have agreed that the current maximum amount the Fund may borrow under the credit agreement is $70,000,000. The Fund has the right to further reduce the maximum amount it can borrow under the credit agreement upon one (1) business day’s prior written notice to BNPPI. In addition, the Fund and BNPPI may agree to increase the maximum amount the Fund can borrow under the credit agreement, which amount may not exceed $150,000,000.

 

As of March 31, 2024, the Fund had outstanding borrowings of $35,000,000. During the three-month period ended March 31, 2024, the Fund had an average daily loan balance of $35,000,000. As of March 31, 2024, the aggregate value of rehypothecated securities was $32,777,019.

 

Other information regarding the Fund is available in the Fund’s most recent Report to Stockholders. This information is available through Royce Investment Partners (www.royceinvest.com) and on the Securities and Exchange Commission’s website (www.sec.gov).

 

 


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