Unassociated Document
 


 
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 811-05531




Barings Participation Investors

(Exact name of registrant as specified in charter)



1500 Main Street, Springfield, MA 01115

(Address of principal executive offices) (Zip code)



Janice M. Bishop, Vice President, Secretary and Chief Legal Officer
Independence Wharf, 470 Atlantic Avenue, Boston, MA  02210

(Name and address of agent for service)



Registrant's telephone number, including area code: 413-226-1000


___________________


Date of fiscal year end: 12/31

___________________


Date of reporting period: 03/31/18

___________________
 
 

 


 
 
ITEM 1. SCHEDULE OF INVESTMENTS
 
CONSOLIDATED SCHEDULE OF INVESTMENTS
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities - 82.31%: (A)
 
Principal Amount,
Shares, Units or
Ownership Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
   
Private Placement Investments - 72.52%: (C)
 
1A Smart Start, Inc.
 
A designer, distributor and lessor of ignition interlock devices ("IIDs"). IIDs are sophisticated breathalyzers wired to a vehicles ignition system.
 
10.13% Second Lien Term Loan due 12/22/2022
(LIBOR + 8.250%)
 
$
1,725,000
   
12/21/17
   
$
1,692,526
   
$
1,696,653
 
 
                             
 
                             
ABC Industries, Inc.
                             
A manufacturer of mine and tunneling ventilation products in the U.S.
                       
13% Senior Subordinated Note due 07/31/2019
 
$
109,335
   
08/01/12
     
106,135
     
109,335
 
Preferred Stock Series A (B)
 
125,000 shs.
   
08/01/12
     
125,000
     
225,763
 
Warrant, exercisable until 2022, to purchase
common stock at $.02 per share (B)
 
22,414 shs.
   
08/01/12
     
42,446
     
37,807
 
 
                 
273,581
     
372,905
 
 
                             
                               
Advanced Manufacturing Enterprises LLC
                             
A designer and manufacturer of large, custom gearing products for a number of critical customer applications.
 
Limited Liability Company Unit (B)
 
1,945 uts.
     
*
     
207,911
     
24,489
 
* 12/07/12, 07/11/13 and 06/30/15.
                               
 
                               
   
AFC - Dell Holding Corporation
 
A distributor and provider of inventory management services for "C-Parts" used by OEMs in their manufacturing and production facilities.
 
12.5% (1% PIK) Senior Subordinated Note
due 09/27/2020
 
$
1,218,447
   
03/27/15
     
1,205,713
     
1,218,447
 
Preferred Stock (B)
 
1,122 shs.
   
03/27/15
     
112,154
     
144,498
 
Common Stock (B)
 
346 shs.
   
03/27/15
     
346
     
 
 
                   
1,318,213
     
1,362,945
 
 
                               
   
Airxcel Holdings
 
A leading manufacturer of a broad range of climate control solutions, including air-conditioners, heat pumps, cooking appliances, furnaces, powered vents, and water heaters.
 
Limited Liability Company Unit
 
288 uts.
   
11/18/14
     
288,000
     
903,249
 
 
                               
 
                               
AM Conservation Holding Corp.
 
A supplier of energy efficiency ("EE") products, including lighting, shower heads and aerators, and weatherization products such as door seals and weather stripping.
 
11.5% (1.5% PIK) Senior Subordinated Note
due 04/30/2023
 
$
1,568,182
   
10/31/16
     
1,542,172
     
1,557,481
 
11.5% (1.25% PIK) Senior Subordinated Note
due 04/30/2023
 
$
206,039
   
10/06/17
     
202,183
     
204,166
 
Common Stock (B)
 
156,818 shs.
   
10/31/16
     
156,818
     
184,475
 
 
                   
1,901,173
     
1,946,122
 
 
                               
 
 
 
 
See Notes to Consolidated Financial Statements

8
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
   
AMS Holding LLC
 
A leading multi-channel direct marketer of high-value collectible coins and proprietary-branded jewelry and watches.
 
Limited Liability Company Unit Class A
Preferred (B)(F)
 
114 uts.
   
10/04/12
   
$
113,636
   
$
232,510
 
 
                           
                             
API Technologies Corp.
                           
A designer, developer and manufacturer of electronic systems, subsystems, modules and secure communications for technically demanding defense, aerospace and commercial applications in the U.S. and internationally.
 
12% (1% PIK) Senior Subordinated Note
due 04/22/2023
 
$
1,406,978
   
04/22/16
     
1,401,943
     
1,421,048
 
Limited Liability Company Unit (B)
 
0.40% int.
   
04/20/16
     
345,000
     
565,800
 
 
                 
1,746,943
     
1,986,848
 
 
                             
   
ARI Holding Corporation
 
A leading national supplier of products used primarily by specialty contractors.
 
11.5% (0.5% PIK) Senior Subordinated Note
due 02/01/2020
 
$
1,723,846
     
*
     
1,712,926
     
1,723,846
 
Limited Partnership Interest
 
524 uts.
   
08/01/14
     
523,950
     
984,031
 
* 05/21/13 and 08/01/14.
                   
2,236,876
     
2,707,877
 
 
                               
 
                               
ASC Holdings, Inc.
 
A manufacturer of capital equipment used by corrugated box manufacturers.
 
13% (1% PIK) Senior Subordinated Note
due 05/18/2021
 
$
758,089
   
11/19/15
     
748,373
     
727,862
 
Limited Liability Company Unit (B)
 
111,100 uts.
   
11/18/15
     
111,100
     
48,551
 
 
                   
859,473
     
776,413
 
 
                               
                                 
Aurora Parts & Accessories LLC
                               
A distributor of aftermarket over-the-road semi-trailer parts and accessories sold to customers across North America.
 
11% Senior Subordinated Note due 02/17/2022
 
$
1,515,400
   
08/17/15
     
1,495,326
     
1,475,715
 
Preferred Stock (B)
 
210 shs.
   
08/17/15
     
209,390
     
128,380
 
Common Stock (B)
 
210 shs.
   
08/17/15
     
210
     
 
 
                   
1,704,926
     
1,604,095
 
 
                               
   
Avantech Testing Services LLC
 
A manufacturer of custom Non-Destructive Testing ("NDT") systems and provider of NDT and inspections services primarily to the oil country tubular goods market.
 
15% (3.75% PIK) Senior Subordinated Note due
03/21/2021 (D)
 
$
6,777
   
07/31/14
     
6,650
     
 
Limited Liability Company Unit (B)(F)
 
45,504 uts.
     
*
     
     
 
Limited Liability Company Unit Class C
Preferred (B)(F)
 
78,358 uts.
   
09/29/17
     
484,578
     
 
* 07/31/14 and 10/14/15.
                   
491,228
     
 
 
                               
 



See Notes to Consolidated Financial Statements

9
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
     
Acquisition
Date
   
Cost
   
Fair Value
 
   
BCC Software, Inc.
 
A provider of software and data solutions which enhance mail processing to help direct mail marketers realize discounts from the U.S. Postal Service, avoid penalties associated with mailing errors, and improve the accuracy and efficiency of marketing campaigns.
 
12% (1% PIK) Senior Subordinated Note
due 04/11/2023
 
$
1,498,904
     
10/11/17
   
$
1,470,919
   
$
1,481,118
 
Preferred Stock Series A (B)
 
23 shs.
     
10/11/17
     
232,373
     
232,400
 
Common Stock Class A (B)
 
735 shs.
     
10/11/17
     
735
     
3,458
 
 
           
 
     
1,704,027
     
1,716,976
 
 
           
 
                 
   
BEI Precision Systems & Space Company, Inc.
 
A provider of advanced design, manufacturing, and testing for custom optical encoder-based positioning systems, precision accelerometers, and micro scanners.
 
12% (1% PIK) Senior Subordinated Note
due 04/28/2024
 
$
1,462,403
     
04/28/17
     
1,435,986
     
1,459,283
 
Limited Liability Company Unit (B)(F)
 
2,760 uts.
     
04/28/17
     
276,000
     
161,179
 
 
           
 
     
1,711,986
     
1,620,462
 
 
           
 
                 
   
Blue Wave Products, Inc.
 
A distributor of pool supplies.
           
 
                 
10% Senior Secured Term Note due 09/30/2018
 
$
39,716
     
10/12/12
     
39,633
     
39,716
 
13% (1% PIK) Senior Subordinated Note
due 09/30/2019
 
$
335,579
     
10/12/12
     
328,421
     
335,579
 
Common Stock (B)
 
51,064 shs.
     
10/12/12
     
51,064
     
369,886
 
Warrant, exercisable until 2022, to purchase
common stock at $.01 per share (B)
 
20,216 shs.
     
10/12/12
     
20,216
     
146,436
 
 
           
 
     
439,334
     
891,617
 
 
           
 
                 
   
BlueSpire Holding, Inc.
 
A marketing services firm that integrates strategy, technology, and content to deliver customized marketing solutions for clients in the senior living, financial services and healthcare end markets.
 
12.5% (1.5% PIK) Senior Subordinated Note
due 06/30/2021 (D)
 
$
1,585,908
     
06/30/15
     
1,561,276
     
 
Common Stock (B)
 
1,417 shs.
     
06/30/15
     
156,800
     
 
 
           
 
     
1,718,076
     
 
 
           
 
                 
   
CHG Alternative Education Holding Company
 
A leading provider of publicly-funded, for profit pre-K-12 education services targeting special needs children at therapeutic day schools and "at risk" youth through alternative education programs.
 
13.5% (1.5% PIK) Senior Subordinated Note
due 06/19/2020
 
$
794,786
     
01/19/11
     
789,043
     
794,786
 
14% (2% PIK) Senior Subordinated Note
due 06/19/2020
 
$
210,244
     
08/03/12
     
208,991
     
210,244
 
Common Stock (B)
 
375 shs.
     
01/19/11
     
37,500
     
37,655
 
Warrant, exercisable until 2021, to purchase common
           
 
                 
stock at $.01 per share (B)
 
295 shs.
     
01/19/11
     
29,250
     
29,599
 
 
           
 
     
1,064,784
     
1,072,284
 
 
           
 
                 
 
 


See Notes to Consolidated Financial Statements

10
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
   
Clarion Brands Holding Corp.
 
A portfolio of six over-the-counter (OTC) pharmaceutical brands whose products are used to treat tinnitus or ringing of the ear, excessive sweating, urinary tract infections, muscle pain, and skin conditions.
 
12.5% (1.5% PIK) Senior Subordinated Note
due 04/01/2021
 
$
2,061,665
     
*
   
$
2,036,963
   
$
2,062,880
 
Limited Liability Company Unit (B)
 
1,853 uts.
   
07/18/16
     
189,267
     
181,462
 
* 10/01/14 and 07/18/16.
                   
2,226,230
     
2,244,342
 
 
                               
 
                               
Clough, Harbour and Associates
 
An engineering service firm that is located in Albany, NY.
 
Preferred Stock (B)
 
147 shs.
   
12/02/08
     
146,594
     
1,311,014
 
 
                               
 
                               
Clubessential LLC
 
A leading SaaS platform for private clubs and resorts.
 
7% (5% PIK) Senior Subordinated Note due 01/12/24
 
$
1,742,729
   
01/16/18
     
1,708,984
     
1,713,111
 
 
                               
 
                               
Compass Chemical International LLC
 
A manufacturer and supplier of standard and specialty formulated chemicals, primarily phosphoric acid derivatives called phosphonates.
 
Limited Liability Company Unit (B)(F)
 
230 uts.
   
03/04/15
     
147,305
     
221,612
 
 
                               
 
                               
CORA Health Services, Inc.
 
A provider of outpatient rehabilitation therapy services.
 
12.75% (1.75% PIK) Senior Subordinated Note
due 06/30/2023
 
$
781,809
   
06/30/16
     
769,372
     
797,445
 
Preferred Stock Series A (B)
 
758 shs.
   
06/30/16
     
72,033
     
89,564
 
Common Stock Class A (B)
 
3,791 shs.
   
06/30/16
     
3,791
     
23,926
 
 
                   
845,196
     
910,935
 
 
                               
   
CTM Holding, Inc.
 
A leading owner and operator of coin-operated children's rides, penny presses and candy kiosks in the U.S.
 
15% (3% PIK) Senior Subordinated Note
due 11/22/2019
 
$
1,346,250
   
11/22/13
     
1,337,529
     
1,346,250
 
Common Stock (B)
 
90 shs.
     
*
     
514,284
     
582,502
 
* 11/22/13 and 09/16/16.
                   
1,851,813
     
1,928,752
 
 
                               
 
                               
Del Real LLC
                               
A manufacturer and distributor of fully-prepared fresh refrigerated Hispanic entrees as well as side dishes that are typically sold on a heat-and-serve basis at retail grocers.
 
11% Senior Subordinated Note due 04/06/2023
 
$
1,420,588
   
10/07/16
     
1,396,973
     
1,403,895
 
Limited Liability Company Unit (B)(F)
 
304,412 uts.
   
10/07/16
     
304,412
     
337,897
 
 
                   
1,701,385
     
1,741,792
 
 
                               



 
See Notes to Consolidated Financial Statements

11
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
     
Acquisition
Date
   
Cost
   
Fair Value
 
                           
DPL Holding Corporation
         
 
             
A distributor and manufacturer of aftermarket undercarriage parts for medium and heavy duty trucks and trailers.
 
14% (2% PIK) Senior Subordinated Note due
11/04/2020
 
$
1,439,412
     
05/04/12
   
$
1,430,797
   
$
1,438,470
 
Preferred Stock (B)
 
25 shs.
     
05/04/12
     
252,434
     
250,284
 
Common Stock (B)
 
25 shs.
     
05/04/12
     
28,048
     
 
 
           
 
     
1,711,279
     
1,688,754
 
 
           
 
                 
                                 
Dunn Paper
           
 
                 
A provider of specialty paper for niche product applications.
 
10.63% Second Lien Term Loan due 08/26/2023
(LIBOR + 8.750%)
 
$
1,725,000
     
09/28/16
     
1,697,849
     
1,716,375
 
 
           
 
                 
 
           
 
                 
Eagle Family Foods, Inc.
           
 
                 
A producer of low-cost branded and private label canned milk.
 
11.35% Last Out Term Loan due 12/31/2021
(LIBOR + 9.050%)
 
$
1,725,000
     
12/22/15
     
1,708,828
     
1,719,624
 
11.35% Second Last Out Term Loan due 12/31/2021
(LIBOR + 9.050%)
 
$
177,404
     
09/07/17
     
175,858
     
176,851
 
 
           
 
     
1,884,686
     
1,896,475
 
 
           
 
                 
                                 
ECG Consulting Group
           
 
                 
A healthcare management consulting company who provides strategic, financial, operational, and technology related consulting services to healthcare providers.
 
11.75% (0.75% PIK) Senior Subordinated Note due
11/21/2020
 
$
1,326,719
     
11/21/14
     
1,311,119
     
1,326,719
 
Limited Liability Company Unit (B)(F)
 
230 uts.
     
11/19/14
     
71,875
     
175,617
 
 
           
 
     
1,382,994
     
1,502,336
 
 
           
 
                 
                                 
Elite Sportwear Holding, LLC
           
 
                 
A designer and manufacturer of gymnastics, competitive cheerleading and swimwear apparel in the U.S. and internationally.
 
11.5% (1% PIK) Senior Subordinated Note due
10/13/2021
 
$
1,588,640
     
10/14/16
     
1,567,693
     
1,438,053
 
Limited Liability Company Unit (B)(F)
 
101 uts.
     
10/14/16
     
159,722
     
68,320
 
 
           
 
     
1,727,415
     
1,506,373
 
 
           
 
                 
                                 
English Color & Supply LLC
           
 
                 
A distributor of aftermarket automotive paint and related products to collision repair shops, auto dealerships and fleet customers through a network of stores in the Southern U.S.
 
11.5% (0.5% PIK) Senior Subordinated Note due
12/31/2023
 
$
1,332,289
     
06/30/17
     
1,308,016
     
1,317,959
 
Limited Liability Company Unit (B)(F)
 
397,695 uts.
     
06/30/17
     
397,695
     
429,511
 
 
           
 
     
1,705,711
     
1,747,470
 
 
           
 
                 
 

 

See Notes to Consolidated Financial Statements

12
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership Percentage
     
Acquisition
Date
   
Cost
   
Fair Value
 
                           
ERG Holding Company LLC
         
 
             
A provider of inpatient and outpatient clinical trial services to pharmaceutical companies and contract research organizations.
 
13.5% (1.5% PIK) Senior Subordinated Note due
10/04/2019
 
$
987,658
     
04/04/14
   
$
981,083
   
$
987,658
 
14% (2% PIK) Senior Subordinated Note due
10/04/2019
 
$
260,936
     
07/01/16
     
258,310
     
263,545
 
Common Stock (B)
 
0.31% int.
     
04/04/14
     
77,533
     
191,889
 
 
           
 
     
1,316,926
     
1,443,092
 
 
           
 
                 
                                 
F F C Holding Corporation
           
 
                 
A leading U.S. manufacturer of private label frozen novelty and ice cream products.
                 
Limited Liability Company Unit Preferred (B)
 
171 uts.
     
09/27/10
     
58,345
     
89,191
 
Limited Liability Company Unit Common (B)
 
171 uts.
     
09/27/10
     
17,073
     
164,196
 
 
           
 
     
75,418
     
253,387
 
 
           
 
                 
                                 
F G I Equity LLC
           
 
                 
A manufacturer of a broad range of filters and related products that are used in commercial, light industrial, healthcare, gas turbine, nuclear, laboratory, clean room, hotel, educational system, and food processing settings.
 
Limited Liability Company Unit Preferred (B)
 
80,559 uts.
     
04/15/14
     
     
80,559
 
Limited Liability Company Unit Class B-1 (B)
 
65,789 uts.
     
12/15/10
     
65,789
     
390,027
 
Limited Liability Company Unit Class B-2 (B)
 
8,248 uts.
     
12/15/10
     
8,248
     
48,898
 
Limited Liability Company Unit Class B-3 (B)
 
6,522 uts.
     
08/30/12
     
15,000
     
40,360
 
Limited Liability Company Unit Class C (B)
 
1,575 uts.
     
12/20/10
     
16,009
     
63,697
 
 
           
 
     
105,046
     
623,541
 
 
           
 
                 
                                 
GD Dental Services LLC
           
 
                 
A provider of convenient "onestop" general, specialty, and cosmetic dental services with 21 offices located throughout South and Central Florida.
 
Limited Liability Company Unit Preferred (B)
 
76 uts.
     
10/05/12
     
75,920
     
4,390
 
Limited Liability Company Unit Common (B)
 
767 uts.
     
10/05/12
     
767
     
 
 
           
 
     
76,687
     
4,390
 
 
           
 
                 
gloProfessional Holdings, Inc.
           
 
                 
A marketer and distributor of premium mineral-based cosmetics, cosmeceuticals and professional hair care products to the professional spa and physician's office channels.
 
14% (2% PIK) Senior Subordinated Note due
03/27/2019
 
$
1,250,828
     
03/27/13
     
1,245,674
     
1,125,745
 
Common Stock (B)
 
1,181 shs.
     
03/27/13
     
118,110
     
21,769
 
 
           
 
     
1,363,784
     
1,147,514
 
 
           
 
                 
                                 
Glynlyon Holding Companies, Inc.
           
 
                 
A technology-enabled curriculum provider of K-12 and support services predominantly to small and medium public school districts.
 
Common Stock (B)
 
$ 147 shs.
     
01/15/16
     
103,205
     
230,223
 
 
           
 
                 



 
See Notes to Consolidated Financial Statements

13
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
GlynnDevins Acquisition Corporation
                       
A marketing communications agency that services senior living facilities.
 
Preferred Stock Series A (B)
 
342 shs.
   
06/19/15
   
$
70,683
   
$
85,969
 
Common Stock (B)
 
342 shs.
   
06/19/15
     
2,945
     
79,571
 
 
               
73,628
     
165,540
 
 
                           
                             
Grakon Parent
                           
The leading designer and manufacturer of highly-engineered and customized LED and incandescent lighting systems for transportation-based markets.
 
Common Stock (B)
 
175 shs.
   
10/31/14
     
174,831
     
234,860
 
 
                           
 
                           
GraphPad Software, Inc.
                           
A provider of data analysis, statistics and graphing software solution for scientific research applications, with a focus on the life sciences and academic end-markets.
 
7.66% Term Loan due 12/21/2022 (LIBOR + 6.000%)
 
$
2,465,000
   
12/19/17
     
2,417,979
     
2,425,044
 
 
                             
 
                             
GTI Holding Company
                             
A designer, developer, and marketer of precision specialty hand tools and handheld test instruments.
 
12% Senior Subordinated Note due 05/22/2023
 
$
727,865
   
02/05/14
     
705,100
     
727,865
 
Common Stock (B)
 
1,046 shs.
     
*
     
104,636
     
136,533
 
Warrant, exercisable until 2027, to purchase
common stock at $.01 per share (B)
 
397 shs.
   
02/05/14
     
36,816
     
51,820
 
* 02/05/14 and 11/22/17.
                   
846,552
     
916,218
 
 
                               
 
                               
Handi Quilter Holding Company (Premier Needle Arts)
 
A designer and manufacturer of long-arm quilting machines and related components for the consumer quilting market.
 
12% (1% PIK) Senior Subordinated Note due
06/19/2021
 
$
1,725,000
     
*
     
1,703,391
     
1,725,000
 
Limited Liability Company Unit Preferred (B)
 
372 uts.
     
**
 
   
371,644
     
453,479
 
Limited Liability Company Unit Common Class A (B)
 
3,594 uts.
   
12/19/14
     
     
30,541
 
* 12/19/14 and 02/21/17.
                   
2,075,035
     
2,209,020
 
* *12/19/14 and 04/29/16.
                               
 
                               
                                 
Happy Floors Acquisition, Inc.
                               
A wholesale importer and value-added distributor of premium European flooring tile to residential and commercial end markets.
 
12.5% (1% PIK) Senior Subordinated Note due
07/01/2022
 
$
1,603,279
   
07/01/16
     
1,578,847
     
1,614,703
 
Common Stock (B)
 
150 shs.
   
07/01/16
     
149,500
     
195,455
 
 
                   
1,728,347
     
1,810,158
 
 
                               

 

 
See Notes to Consolidated Financial Statements

14
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
Hartland Controls Holding Corporation
                       
A manufacturer and distributor of electronic and electromechanical components.
 
14% (2% PIK) Senior Subordinated Note due
08/14/2020
 
$
1,134,316
   
02/14/14
   
$
1,125,509
   
$
1,134,316
 
12% Senior Subordinated Note due 08/14/2020
 
$
431,250
   
06/22/15
     
429,205
     
435,563
 
Common Stock (B)
 
821 shs.
   
02/14/14
     
822
     
279,417
 
 
                 
1,555,536
     
1,849,296
 
 
                             
                               
HHI Group, LLC
                             
A developer, marketer, and distributor of hobby-grade radio control products.
 
14% (2% PIK) Senior Subordinated Note due
11/26/2020
 
$
1,659,144
   
01/17/14
     
1,646,551
     
1,659,144
 
Limited Liability Company Unit (B)(F)
 
102 uts.
   
01/17/14
     
101,563
     
38,959
 
 
                 
1,748,114
     
1,698,103
 
 
                             
                               
Hollandia Produce LLC
                             
A hydroponic greenhouse producer of branded root vegetables.
 
14.25% (2.75% PIK) Senior Subordinated Note due
12/11/2020
 
$
1,411,671
     
*
     
1,394,952
     
1,129,336
 
* 12/30/15 and 12/23/16.
                               
 
                               
                                 
HOP Entertainment LLC
                               
A provider of post production equipment and services to producers of television shows and motion pictures.
 
Limited Liability Company Unit Class F (B)(F)
 
47 uts.
   
10/14/11
     
     
 
Limited Liability Company Unit Class G (B)(F)
 
114 uts.
   
10/14/11
     
     
 
Limited Liability Company Unit Class H (B)(F)
 
47 uts.
   
10/14/11
     
     
 
Limited Liability Company Unit Class I (B)(F)
 
47 uts.
   
10/14/11
     
     
 
 
                   
     
 
 
                               
                                 
Hospitality Mints Holding Company
                               
A manufacturer of individually-wrapped imprinted promotional mints.
 
12% Senior Subordinated Note due 10/01/2019
 
$
1,098,837
   
08/19/08
     
1,097,523
     
988,953
 
Common Stock (B)
 
251 shs.
   
08/19/08
     
251,163
     
 
Warrant, exercisable until 2018, to purchase
common stock at $.01 per share (B)
 
65 shs.
   
08/19/08
     
60,233
     
 
 
                   
1,408,919
     
988,953
 
 
                               
                                 
Impact Confections
                               
An independent manufacturer and marketer of confectionery products including Warheads® brand sour candies, Melster® brand classic candies, and co-manufactured/private label classic candies.
 
15% (15% PIK) Senior Subordinated Note due
11/10/2020
 
$
1,213,848
   
11/10/14
     
1,202,516
     
 
Common Stock (B)
 
2,300 shs.
   
11/10/14
     
230,000
     
 
 
                   
1,432,516
     
 
 
                               

 


See Notes to Consolidated Financial Statements

15
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
     
Acquisition
Date
   
Cost
   
Fair Value
 
                           
JMH Investors LLC
         
 
             
A developer and manufacturer of custom formulations for a wide variety of foods.
             
Limited Liability Company Unit (B)(F)
 
1,038,805 uts.
     
12/05/12
   
$
232,207
   
$
 
Limited Liability Company Unit Class A-1 (B)(F)
 
159,048 uts.
     
10/31/16
     
159,048
     
243,694
 
Limited Liability Company Unit Class A-2 (B)(F)
 
1,032,609 uts.
     
10/31/16
     
     
107,278
 
 
         
 
     
391,255
     
350,972
 
 
         
 
                 
                               
K P I Holdings, Inc.
         
 
                 
The largest player in the U.S. non-automotive, non-ferrous die casting segment.
                 
Limited Liability Company Unit Class C Preferred (B)
 
40 uts.
     
06/30/15
     
     
92,266
 
Common Stock (B)
 
353 shs.
     
07/15/08
     
285,619
     
446,690
 
 
         
 
     
285,619
     
538,956
 
 
         
 
                 
                               
Manhattan Beachwear Holding Company
         
 
                 
A designer and distributor of women's swimwear.
         
 
                 
12.5% Senior Subordinated Note due 04/30/2019 (D)
 
$
419,971
     
01/15/10
     
404,121
     
377,974
 
15% (2.5% PIK) Senior Subordinated Note due
04/30/2019 (D)
 
$
115,253
     
10/05/10
     
114,604
     
103,727
 
Common Stock (B)
 
35 shs.
     
10/05/10
     
35,400
     
13,742
 
Common Stock Class B (B)
 
118 shs.
     
01/15/10
     
117,647
     
45,670
 
Warrant, exercisable until 2019, to purchase
common stock at $.01 per share (B)
 
104 shs.
     
10/05/10
     
94,579
     
40,418
 
 
           
 
     
766,351
     
581,531
 
 
           
 
                 
                                 
Master Cutlery LLC
           
 
                 
A designer and marketer of a wide assortment of knives and swords.
 
13% Senior Subordinated Note due 04/17/2020
 
$
868,102
     
04/17/15
     
863,322
     
651,077
 
Limited Liability Company Unit
 
5 uts.
     
04/17/15
     
678,329
     
 
 
           
 
     
1,541,651
     
651,077
 
 
           
 
                 
                                 
Merex Holding Corporation
           
 
                 
A provider of after-market spare parts and components, as well as maintenance, repair and overhaul services for "out of production" or "legacy" aerospace and defense systems that are no longer effectively supported by the original equipment manufacturers.
 
16% Senior Subordinated Note due 10/30/2019 (D)
 
$
454,295
     
09/22/11
     
449,013
     
340,721
 
15% PIK Senior Subordinated Note due
04/30/2022 (D)
 
$
23,839
     
08/18/15
     
23,839
     
 
14% PIK Senior Subordinated Note due 06/30/2019
 
$
64,149
     
*
     
64,149
     
63,917
 
Common Stock Class A (B)
 
83,080 shs.
     
**
     
170,705
     
 
* 10/21/16, 01/27/17 and 10/13/17.
           
 
     
707,706
     
404,638
 
** 08/18/15, 10/20/16 and 01/27/17.
           
 
                 
 
           
 
                 


 

See Notes to Consolidated Financial Statements

16
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
MES Partners, Inc.
                       
An industrial service business offering an array of cleaning and environmental services to the Gulf Coast region of the U.S.
 
12% (1% PIK) Senior Subordinated Note due
09/30/2021
 
$
1,120,538
   
09/30/14
   
$
1,107,449
   
$
1,119,273
 
12% Senior Subordinated Note due 09/30/2021
 
$
301,038
   
02/28/18
     
295,142
     
300,699
 
Common Stock Class B (B)
 
259,252 shs.
     
*
     
244,163
     
160,736
 
* 09/30/14 and 02/28/18.
                   
1,646,754
     
1,580,708
 
 
                               
 
                               
MeTEOR Education LLC
                               
A leading provider of classroom and common area design services, furnishings, equipment and instructional support to K-12 schools.
 
12% Senior Subordinated Note due 6/20/23
 
$
915,819
   
03/09/18
     
897,644
     
919,342
 
Limited Liability Company Unit (B)(F)
 
182 uts.
   
03/09/18
     
183,164
     
164,794
 
 
                   
1,080,808
     
1,084,136
 
 
                               
                                 
Midwest Industrial Rubber, Inc.
                               
A supplier of industrial maintenance, repair, and operations ("MRO") products, specializing in the fabrication and distribution of lightweight conveyor belting and related conveyor components and accessories.
 
12% (1% PIK) Senior Subordinated Note due
12/02/2022
 
$
1,574,427
   
12/02/16
     
1,548,401
     
1,583,365
 
Preferred Stock (B)
 
1,711 shs.
   
12/02/16
     
171,116
     
159,908
 
Common Stock (B)
 
242 shs.
   
12/02/16
     
242
     
 
 
                   
1,719,759
     
1,743,273
 
 
                               
                                 
MNX Holding Company
                               
An international third party logistics company providing customized logistics services to customers across the globe.
 
14% (2% PIK) Senior Subordinated Note due
05/02/2020
 
$
1,342,840
   
11/02/12
     
1,334,765
     
1,342,840
 
Common Stock (B)
 
45 shs.
   
11/02/12
     
44,643
     
71,871
 
 
                   
1,379,408
     
1,414,711
 
 
                               
                                 
Money Mailer Equity LLC
                               
A leading provider of hyperlocal shared direct mail advertising as well as interactive and online advertising solutions through its nationwide production and distribution network.
 
12% (1% PIK) Senior Subordinated Note due
10/29/2021
 
$
1,756,918
   
04/29/16
     
1,732,210
     
1,625,761
 
 
                               
 
                               
Motion Controls Holdings
                               
A manufacturer of high performance mechanical motion control and linkage products.
 
14.25% (1.75% PIK) Senior Subordinated Note due
08/15/2020
 
$
285,428
   
11/30/10
     
283,873
     
285,428
 
Limited Liability Company Unit Class B-1 (B)(F)
 
75,000 uts.
   
11/30/10
     
     
41,932
 
Limited Liability Company Unit Class B-2 (B)(F)
 
6,801 uts.
   
11/30/10
     
     
3,802
 
 
                   
283,873
     
331,162
 
 
                               


 

See Notes to Consolidated Financial Statements

17

CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
New Mountain Learning, LLC
                       
A leading provider of blended learning solutions to the K-12 and post-secondary school market.
 
8.65% Term Loan due 3/16/2024 (LIBOR + 5.500%)
 
$
1,792,448
   
03/15/18
   
$
1,383,358
   
$
1,384,410
 
 
                             
 
                             
NSi Industries Holdings, Inc.
                             
A manufacturer and distributer of electrical components and accessories to small to mid-sized electrical wholesalers.
 
12.75% (1.75% PIK) Senior Subordinated Note due
05/17/2023
 
$
1,527,814
   
06/30/16
     
1,503,669
     
1,535,805
 
Common Stock (B)
 
207 shs.
   
05/17/16
     
207,000
     
258,516
 
 
                 
1,710,669
     
1,794,321
 
 
                             
                               
PANOS Brands LLC
                             
A marketer and distributor of branded consumer foods in the specialty, natural, better-for-you,"free from" healthy and gluten-free categories.
 
12% (1% PIK) Senior Subordinated Note due
08/17/2022
 
$
1,775,705
   
02/17/17
     
1,750,033
     
1,776,902
 
Common Stock Class B (B)
 
380,545 shs.
     
*
     
380,545
     
489,967
 
* 01/29/16 and 02/17/17.
                   
2,130,578
     
2,266,869
 
 
                               
 
                               
Pegasus Transtech Corporation
                               
A provider of end-to-end document, driver and logistics management solutions, which enable its customers (carriers, brokers, and drivers) to operate more efficiently, reduce manual overhead, enhance compliance, and shorten cash conversion cycles.
 
11.25% Term Loan due 11/16/2022
 
$
346,855
   
11/14/17
     
337,169
     
338,086
 
7.84% Term Loan due 11/17/2024 (LIBOR + 6.250%)
 
$
2,122,639
   
11/14/17
     
1,936,298
     
1,943,515
 
 
                   
2,273,467
     
2,281,601
 
 
                               
                                 
Petroplex Inv Holdings LLC
                               
A leading provider of acidizing services to E&P customers in the Permian Basin.
 
Limited Liability Company
 
0.40% int.
     
*
     
175,339
     
18,929
 
* 11/29/12 and 12/20/16.
                   
175,339
     
18,929
 
 
                               
 
                               
Polytex Holdings LLC
                               
A manufacturer of water based inks and related products serving primarily the wall covering market.
 
13.9% (1% PIK) Senior Subordinated Note due
01/31/2020
 
$
1,112,667
   
07/31/14
     
1,103,503
     
834,499
 
Limited Liability Company Unit
 
148,096 uts.
   
07/31/14
     
148,096
     
 
Limited Liability Company Unit Class F
 
36,976 uts.
     
*
     
24,802
     
 
* 09/28/17 and 02/15/18.
                   
1,276,401
     
834,499
 
 
                               
 
 
 
 
See Notes to Consolidated Financial Statements

18
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
     
Acquisition
Date
   
Cost
   
Fair Value
 
                           
Power Stop Holdings LLC
         
 
             
A supplier of performance upgrade aftermarket brake products.
     
 
             
Limited Liability Company Unit Preferred (B)(F)
 
1,149 uts.
     
05/29/15
   
$
114,900
   
$
116,220
 
Limited Liability Company Unit Common (B)(F)
 
1,149 uts.
     
05/29/15
     
     
173,920
 
 
         
 
     
114,900
     
290,140
 
 
         
 
                 
                               
PPC Event Services
         
 
                 
A special event equipment rental business.
         
 
                 
14% (2% PIK) Senior Subordinated Note due
05/20/2020
 
$
1,196,358
     
11/20/14
     
1,185,660
     
1,196,358
 
Limited Liability Company Unit (B)
 
3,450 uts.
     
11/20/14
     
172,500
     
406,473
 
Limited Liability Company Unit Series A-1 (B)
 
339 uts.
     
03/16/16
     
42,419
     
45,716
 
 
           
 
     
1,400,579
     
1,648,547
 
 
           
 
                 
                                 
Randy's Worldwide Automotive
           
 
                 
A designer and distributor of automotive aftermarket parts.
 
Common Stock (B)
 
118 shs.
     
05/12/15
     
118,476
     
317,186
 
 
           
 
                 
 
           
 
                 
ReelCraft Industries, Inc.
           
 
                 
A designer and manufacturer of heavy-duty reels for diversified industrial, mobile equipment OEM, auto aftermarket, government/military and other end markets.
 
10.5% (0.5% PIK) Senior Subordinated Note due
02/28/2023
 
$
1,434,146
     
11/13/17
     
1,434,146
     
1,420,606
 
Limited Liability Company Unit Class B
 
293,617 uts.
     
11/13/17
     
293,617
     
352,647
 
 
           
 
     
1,727,763
     
1,773,253
 
 
           
 
                 
                                 
Signature Systems Holding Company
           
 
                 
A seller and installer of a variety of modular surfaces, industrial matting and related products used for ground protection.
 
Common Stock (B)
 
76 shs.
     
03/15/13
     
75,509
     
135,211
 
Warrant, exercisable until 2023, to purchase
common stock A at $.01 per share (B)
 
31 shs.
     
03/15/13
     
28,316
     
55,241
 
 
           
 
     
103,825
     
190,452
 
 
           
 
                 
                                 
Smart Source Holdings LLC
           
 
                 
A short-term computer rental company.
           
 
                 
Limited Liability Company Unit (B)
 
328 uts.
     
*
     
261,262
     
491,723
 
Warrant, exercisable until 2020, to purchase
common stock at $.01 per share (B)
 
83 shs.
     
*
     
67,467
     
124,554
 
* 08/31/07 and 03/06/08.
           
 
     
328,729
     
616,277
 
 
           
 
                 
 
 
 
 
See Notes to Consolidated Financial Statements

19
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
Principal Amount,
Shares, Units or
Ownership
Percentage
     
Acquisition
Date
   
Cost
   
Fair Value
 
                         
SMB Machinery Holdings, Inc.
       
 
             
A reseller of used, rebuilt and refurbished packaging and processing equipment, primarily serving the bottling and food manufacturing industries.
 
14% (2% PIK) Senior Subordinated Note due
10/18/2019 (D)
 
$
738,694
     
10/18/13
   
$
726,147
   
$
 
Common Stock (B)
841 shs.
     
10/18/13
     
84,100
     
 
 
           
 
     
810,247
     
 
 
           
 
                 
                                 
Software Paradigms International Group, LLC
           
 
                 
An outsourced IT services provider focused on the retail industry.
 
12.5% (1.5% PIK) Senior Subordinated Note due
11/23/2021
 
$
1,725,000
     
05/23/16
     
1,699,558
     
1,730,504
 
 
           
 
                 
 
           
 
                 
SR Smith LLC
           
 
                 
A manufacturer of mine and tunneling ventilation products in the United States.
 
11% Senior Subordinated Note due 03/27/2022
 
$
867,652
     
03/27/17
     
858,548
     
867,098
 
Limited Liability Company Unit Series A (B)(F)
14 uts.
     
03/27/17
     
846,631
     
1,082,971
 
 
           
 
     
1,705,179
     
1,950,069
 
 
           
 
                 
 
           
 
                 
Strahman Holdings Inc.
           
 
                 
A manufacturer of industrial valves and wash down equipment for a variety of industries, including chemical, petrochemical, polymer, pharmaceutical, food processing, beverage and mining.
 
Preferred Stock Series A (B)
158,967 shs.
     
12/13/13
     
158,967
     
255,188
 
Preferred Stock Series A-2 (B)
26,543 shs.
     
09/10/15
     
29,994
     
42,609
 
 
           
 
     
188,961
     
297,797
 
 
           
 
                 
 
           
 
                 
Strategic Insight, Inc.
           
 
                 
A provider of largely proprietary data, market research, and business intelligence to the global asset management industry.
 
10.94% Second Lien Term Loan due 12/21/2024
(LIBOR + 9.250%)
 
$
1,725,000
     
12/28/17
     
1,687,604
     
1,692,260
 
 
           
 
                 
 
           
 
                 
Sunrise Windows Holding Company
           
 
                 
A manufacturer and marketer of premium vinyl windows exclusively selling to the residential remodeling and replacement market.
 
16% Senior Subordinated Note due 01/31/2019 (D)
 
$
1,428,470
     
*
     
1,358,229
     
999,929
 
Common Stock (B)
38 shs.
     
12/14/10
     
38,168
     
 
Warrant, exercisable until 2020, to purchase
common stock at $.01 per share (B)
37 shs.
     
12/14/10
     
37,249
     
 
* 12/14/10, 08/17/12 and 03/31/16.
           
 
     
1,433,646
     
999,929
 
 
           
 
                 

 


See Notes to Consolidated Financial Statements

20
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
Sunvair Aerospace Group Inc.
                       
An aerospace maintenance, repair, and overhaul provider servicing landing gears on narrow body aircraft.
 
12% (1% PIK) Senior Subordinated Note due
07/31/2021
 
$
1,311,972
   
07/31/15
   
$
1,296,893
   
$
1,147,975
 
Common Stock (B)
 
68 shs.
     
*
     
104,986
     
4,885
 
* 07/31/15 and 11/08/17.
                   
1,401,879
     
1,152,860
 
 
                               
                                 
Team Drive-Away Holdings LLC
                               
An asset-light provider of over the road driveaway services for class 8 trucks and specialized equipment.
         
Limited Liability Company Unit (B)
 
95,800 uts.
   
10/15/15
     
95,800
     
184,032
 
 
                               
 
                               
Therma-Stor Holdings LLC
                               
A designer and manufacturer of dehumidifiers and water damage restoration equipment for residential and commercial applications.
 
10.5% (0.5% PIK) Senior Subordinated Note due
11/30/2023
 
$
1,367,920
   
11/30/17
     
1,367,920
     
1,354,684
 
Limited Liability Company Unit
 
359,375 uts.
   
11/30/17
     
342,851
     
273,628
 
 
                   
1,710,771
     
1,628,312
 
 
                               
                                 
Torrent Group Holdings, Inc.
                               
A contractor specializing in the sales and installation of engineered drywells for the retention and filtration of stormwater and nuisance water flow.
 
15% (7.5% PIK) Senior Subordinated Note due
12/05/2020
 
$
75,063
   
12/05/13
     
229,252
     
75,063
 
Warrant, exercisable until 2023, to purchase
common stock at $.01 per share (B)
 
28,079 shs.
   
12/05/13
     
     
21,340
 
 
                   
229,252
     
96,403
 
 
                               
                                 
Tristar Global Energy Solutions, Inc.
                               
A hydrocarbon and decontamination services provider serving refineries worldwide.
 
12.5% (1.5% PIK) Senior Subordinated Note due
07/31/2020
 
$
1,164,991
   
01/23/15
     
1,153,464
     
1,055,906
 
 
                               
 
                               
U.S. Retirement and Benefit Partners, Inc.
                               
A leading independent provider of outsourced benefit design and administration and retirement services, primarily to K-12 school districts, employee unions, and governmental agencies.
 
10.38% Second Lien Term Loan due 2/14/2023
(LIBOR + 8.500%)
 
$
1,725,000
   
03/05/18
     
1,345,546
     
1,347,328
 
 
                               
 
                               
Velocity Technology Solutions, Inc.
                               
A provider of outsourced hosting services for enterprise resource planning software applications and information technology infrastructure to mid and large-sized enterprises.
 
8.03% Lien Term Loan due 12/07/2023
(LIBOR + 6.000%)
 
$
2,100,000
   
12/07/17
     
2,080,066
     
2,088,014
 
 
                               

 


See Notes to Consolidated Financial Statements

21
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
Veritext Corporation
                       
A provider of stenographic staffing and other services used during the legal deposition process.
 
11.30% Second Lien Term Loan due 01/29/2023
(LIBOR + 9.000%)
 
$
2,012,500
     
*
   
$
1,984,017
   
$
1,994,258
 
* 01/21/16 and 02/23/17.
                               
 
                               
 
                               
VP Holding Company
                               
A provider of school transportation services for special-needs and homeless children in Massachusetts.
         
Common Stock (B)
 
3,632 shs.
   
03/31/14
     
363,158
     
720,667
 
 
                               
 
                               
Wellborn Forest Holding Company
                               
A manufacturer of semi-custom kitchen and bath cabinetry.
                 
8% Senior Subordinated Note due 09/30/2019 (D)
 
$
1,778,423
   
11/30/06
     
1,114,956
     
1,778,423
 
Common Stock (B)
 
101 shs.
   
11/30/06
     
101,250
     
14,033
 
Warrant, exercisable until 2019, to purchase
common stock at $.01 per share (B)
 
51 shs.
   
11/30/06
     
45,790
     
7,006
 
 
                   
1,261,996
     
1,799,462
 
 
                               
                                 
Westminster Acquisition LLC
                               
A manufacturer of premium, all-natural oyster cracker products sold under the Westminster and Olde Cape Cod brands.
 
12% (1% PIK) Senior Subordinated Note due
02/03/2021
 
$
380,203
   
08/03/15
     
375,948
     
384,005
 
Limited Liability Company Unit (B)(F)
 
370,241 uts.
   
08/03/15
     
370,241
     
445,221
 
 
                   
746,189
     
829,226
 
 
                               
                                 
Whitebridge Pet Brands Holdings, LLC
                               
A portfolio of natural treats and foods for dogs and cats.
                 
11.5% (0.5% PIK) Senior Subordinated Note due
08/18/2021
 
$
1,488,115
   
04/18/17
     
1,469,701
     
1,481,132
 
Limited Liability Company Unit Class A (B)(F)
 
123 uts.
   
04/18/17
     
148,096
     
136,401
 
Limited Liability Company Unit Class B (B)(F)
 
123 uts.
   
04/18/17
     
     
34,895
 
 
                   
1,617,797
     
1,652,428
 
 
                               
                                 
Wolf-Gordon, Inc.
                               
A designer and specialty distributor of wallcoverings and related building products, including textiles, paint, and writeable surfaces.
 
12.5% (1.5% PIK) Senior Subordinated Note due
07/22/2021
 
$
1,620,495
   
01/22/16
     
1,599,070
     
1,636,700
 
Common Stock (B)
 
157 shs.
   
01/22/16
     
156,818
     
186,034
 
 
                   
1,755,888
     
1,822,734
 
 
                               


 
 
See Notes to Consolidated Financial Statements

22
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Principal Amount,
Shares, Units or
Ownership
Percentage
   
Acquisition
Date
   
Cost
   
Fair Value
 
                         
WP Supply Holding Corporation
                       
A distributor of fresh fruits and vegetables to grocery wholesalers and foodservice distributors in the upper Midwest.
 
14.5% (2.5% PIK) Senior Subordinated Note due
06/12/2020
 
$
997,268
   
11/03/11
   
$
995,070
   
$
997,268
 
Common Stock (B)
 
1,500 shs.
   
11/03/11
     
150,000
     
135,414
 
 
                 
1,145,070
     
1,132,682
 
 
                             
                               
York Wall Holding Company
                             
A designer, manufacturer and marketer of wall covering products for both residential and commercial wall coverings.
 
14.5% (1.5% PIK) Senior Subordinated Note due
03/04/2021 (D)
 
$
1,946,834
   
03/04/15
     
1,549,582
     
1,750,985
 
Common Stock (B)
 
2,046 shs.
     
*
     
200,418
     
4,931
 
* 03/04/15 and 02/07/18.
                   
1,750,000
     
1,755,916
 
 
                               
                                 
                                 
Total Private Placement Investments (E)
                 
$
106,553,175
   
$
105,827,657
 
 
                               
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
See Notes to Consolidated Financial Statements

23
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Restricted Securities: (A) (Continued)
 
Interest
Rate
 
Maturity
Date
 
Principal
Amount
   
Cost
   
Market
Value
 
                           
Rule 144A Securities - 9.79%:
     
 
                 
Bonds - 9.79%
     
 
                 
Alliance Residential Company
 
7.500
%
05/01/25
 
$
500,000
   
$
520,107
   
$
525,000
 
Altice Financing S.A.
 
7.500
 
05/15/26
   
400,000
     
400,000
     
392,000
 
Amsted Industries
 
5.375
 
09/15/24
   
240,000
     
240,000
     
240,000
 
Avantor Inc.
 
6.000
 
10/01/24
   
406,000
     
406,000
     
403,970
 
Beacon Roofing Supply, Inc.
 
4.875
 
11/01/25
   
406,000
     
406,000
     
386,715
 
Boyne USA, Inc.
 
7.250
 
05/01/25
   
167,000
     
167,000
     
171,384
 
CITGO Petroleum Corporation
 
6.250
 
08/15/22
   
425,000
     
425,000
     
421,281
 
CVR Partners, LP.
 
9.250
 
06/15/23
   
500,000
     
489,978
     
532,350
 
Dell Inc.
 
4.420
 
06/15/21
   
600,000
     
619,691
     
615,460
 
EP Energy LLC / Everest Acquisition Finance Inc.
 
9.375
 
05/01/24
   
406,000
     
242,270
     
288,768
 
First Quantum Minerals Ltd.
 
7.500
 
04/01/25
   
500,000
     
484,518
     
492,500
 
Hertz Corporation
 
7.625
 
06/01/22
   
500,000
     
500,000
     
507,500
 
Hilcorp Energy Company
 
5.000
 
12/01/24
   
335,000
     
335,000
     
329,975
 
IAMGOLD Corporation
 
7.000
 
04/15/25
   
500,000
     
500,000
     
511,250
 
J.B. Poindexter Co., Inc.
 
9.000
 
04/01/22
   
401,000
     
401,000
     
413,531
 
JBS USA Lux S.A.
 
6.750
 
02/15/28
   
476,000
     
476,000
     
456,960
 
Jupiter Resources Inc.
 
8.500
 
10/01/22
   
500,000
     
470,827
     
230,000
 
LBC Tank Terminals Holding Netherlands B.V.
 
6.875
 
05/15/23
   
663,000
     
676,036
     
681,233
 
Moog Inc.
 
5.250
 
12/01/22
   
500,000
     
502,661
     
512,500
 
New Gold Inc.
 
6.250
 
11/15/22
   
500,000
     
502,096
     
510,625
 
OPE KAG Finance Sub
 
7.875
 
07/31/23
   
500,000
     
517,654
     
512,500
 
Penske Corporation
 
4.875
 
07/11/22
   
500,000
     
498,852
     
526,234
 
Prime Security Services Borrower
 
9.250
 
05/15/23
   
608,000
     
618,852
     
658,877
 
Sinclair Broadcast Group, Inc.
 
5.875
 
03/15/26
   
204,000
     
204,000
     
201,960
 
Sinclair Television Group, Inc.
 
5.125
 
02/15/27
   
500,000
     
500,000
     
463,750
 
Suncoke Energy
 
7.500
 
06/15/25
   
500,000
     
492,861
     
515,000
 
Teine Energy Ltd.
 
6.875
 
09/30/22
   
500,000
     
506,250
     
510,000
 
Topaz Marine S.A.
 
9.125
 
07/26/22
   
500,000
     
500,000
     
518,500
 
Unitymedia KabelBW GmbH
 
6.125
 
01/15/25
   
500,000
     
500,000
     
524,375
 
UPCB Finance IV Limited
 
5.375
 
01/15/25
   
208,000
     
208,000
     
200,719
 
Valeant Pharmaceuticals International
 
7.000
 
03/15/24
   
173,000
     
173,000
     
180,353
 
Virgin Media Secured Finance PLC
 
5.250
 
01/15/26
   
500,000
     
501,860
     
481,250
 
VRX Escrow Corp.
 
6.125
 
04/15/25
   
182,000
     
182,000
     
157,066
 
Warrior Met Coal, Inc.
 
8.000
 
11/01/24
   
209,000
     
209,000
     
212,658
 
 
     
 
                       
Total Bonds
     
 
           
14,376,513
     
14,286,244
 
 
     
 
                       
Common Stock - 0.00%
     
 
                       
TherOX, Inc. (B)
     
 
   
2
     
     
 
Touchstone Health Partnership (B)
     
 
   
292
     
     
 
 
     
 
                       
Total Common Stock
     
 
           
     
 
 
     
 
                       
                                 
Total Rule 144A Securities
     
 
           
14,376,513
     
14,286,244
 
 
     
 
                       
 
 
 
 
See Notes to Consolidated Financial Statements

24
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Public Securities - 18.15%: (A)
 
LIBOR
Spread
 
Interest
Rate
 
Maturity
Date
 
Principal
Amount
   
Cost
   
Market
Value
 
                               
Bank Loans - 2.35%
         
 
                 
Big River Steel LLC.
 
5.000
%
7.300
%
08/23/23
 
$
118,770
   
$
117,698
   
$
120,255
 
Coronado Coal LLC
 
6.500
 
8.812
 
03/14/25
   
253,841
     
246,226
     
250,034
 
Coronado Coal LLC
 
6.500
 
8.812
 
03/21/25
   
69,229
     
67,153
     
68,191
 
Cunningham Lindsey U.S., Inc.
 
3.750
 
6.050
 
12/10/19
   
124,297
     
119,372
     
123,778
 
DigiCert, Inc.
 
8.000
 
6.520
 
10/31/24
   
205,369
     
204,401
     
207,552
 
Focus Financial Partners, LLC.
 
7.500
 
9.800
 
05/22/25
   
400,000
     
409,000
     
407,000
 
Gulf Finance, LLC
 
5.250
 
7.560
 
08/25/23
   
259,739
     
257,760
     
238,635
 
Higginbotham Insurance Agency, Inc.
 
7.250
 
9.130
 
05/10/22
   
198,238
     
196,317
     
196,751
 
Murray Energy Corporation
 
7.250
 
9.550
 
04/16/20
   
453,896
     
420,390
     
383,542
 
OCI Beaumont LLC
 
4.250
 
6.550
 
02/14/25
   
122,286
     
122,134
     
122,846
 
Prospect Medical Holdings, Inc.
 
5.500
 
7.190
 
02/13/24
   
256,082
     
251,035
     
256,082
 
PS Logistics LLC
 
5.250
 
7.339
 
03/01/25
   
500,000
     
505,000
     
503,750
 
Seadrill Partners Finco, LLC
 
6.000
 
8.300
 
02/21/21
   
488,520
     
311,546
     
408,730
 
Summit Midstream Holdings, LLC
 
6.000
 
7.880
 
05/13/22
   
129,654
     
128,612
     
130,951
 
 
         
 
                       
Total Bank Loans
         
 
           
3,356,644
     
3,418,097
 
 
         
 
                       
 
         
 
                       
 
 
 
 
Interest
Rate
 
Maturity
Date
 
Principal
Amount
   
Cost
   
Market
Value
 
                           
Bonds - 15.80%
     
 
                 
Air Lease Corp.
 
3.000
%
09/15/23
 
$
600,000
   
$
593,959
   
$
574,881
 
AMC Entertainment Holdings Inc.
 
6.125
 
05/15/27
   
500,000
     
486,877
     
492,550
 
Anchorage Capital Group, L.L.C.
 
8.970
 
01/15/29
   
500,000
     
517,188
     
512,733
 
Anglogold Holdings PLC
 
5.375
 
04/15/20
   
600,000
     
601,666
     
617,621
 
Anixter, Inc.
 
5.125
 
10/01/21
   
165,000
     
165,000
     
169,125
 
A. Schulman Inc.
 
6.875
 
06/01/23
   
500,000
     
505,075
     
527,500
 
Bank of America Corporation
 
4.000
 
04/01/24
   
500,000
     
498,787
     
510,929
 
Beazer Homes USA, Inc.
 
8.750
 
03/15/22
   
160,000
     
160,000
     
172,400
 
Brunswick Corporation
 
7.125
 
08/01/27
   
500,000
     
503,663
     
607,820
 
Bunge Limited Finance Corp.
 
3.250
 
08/15/26
   
600,000
     
601,894
     
564,101
 
Community Health Sysyems Inc.
 
5.125
 
08/01/21
   
372,000
     
367,081
     
345,960
 
Clearwater Paper Corporation
 
4.500
 
02/01/23
   
491,000
     
488,302
     
471,360
 
Crown Castle International Corp
 
5.250
 
01/15/23
   
600,000
     
658,078
     
637,591
 
CubeSmart, L.P.
 
4.000
 
11/15/25
   
500,000
     
506,046
     
498,197
 
CVR Refining LLC
 
6.500
 
11/01/22
   
350,000
     
342,886
     
357,000
 
CVS Health Corp
 
4.300
 
03/25/28
   
345,000
     
339,998
     
346,470
 
Discovery Communications
 
4.900
 
03/11/26
   
600,000
     
647,330
     
621,930
 
Dish DBS Corporation
 
7.750
 
07/01/26
   
500,000
     
541,140
     
468,875
 
Duke Realty Limited Partnership
 
3.875
 
10/15/22
   
500,000
     
498,684
     
509,639
 
Expedia Inc.
 
4.500
 
08/15/24
   
600,000
     
623,474
     
606,664
 
 
 
 
 
See Notes to Consolidated Financial Statements

25
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Corporate Public Securities (A) (Continued)
 
Interest
Rate
 
Maturity
Date
 
Principal
Amount
   
Cost
   
Market
Value
 
                                 
Ferrellgas Partners, L.P.
 
6.750
%
01/15/22
 
$
265,000
   
$
267,337
   
$
251,088
 
Ferrellgas Partners, L.P.
 
8.625
 
06/15/20
   
650,000
     
650,324
     
596,375
 
Ford Motor Credit Co. LLC
 
4.375
 
08/06/23
   
600,000
     
639,603
     
608,692
 
General Motors Financial Co. Inc.
 
4.000
 
01/15/25
   
500,000
     
507,464
     
492,938
 
Genesis Energy, L.P.
 
5.625
 
06/15/24
   
500,000
     
470,918
     
471,250
 
Hospital Corporation of America
 
5.375
 
02/01/25
   
100,000
     
101,369
     
100,250
 
Hospital Corporation of America
 
5.250
 
06/15/26
   
174,000
     
174,000
     
176,262
 
Hewlett Packard Enterprise Company
 
4.900
 
10/15/25
   
500,000
     
498,733
     
519,126
 
Hughes Satellite Systems Corporation
 
6.625
 
08/01/26
   
500,000
     
496,895
     
497,500
 
Laboratory Corporation of America Holdings
 
3.600
 
02/01/25
   
500,000
     
499,428
     
492,650
 
Laredo Petroleum, Inc.
 
5.625
 
01/15/22
   
500,000
     
479,163
     
496,250
 
Lazard Group LLC
 
4.250
 
11/14/20
   
500,000
     
499,326
     
513,909
 
LyondellBasell Industries N.V.
 
5.750
 
04/15/24
   
500,000
     
579,136
     
549,616
 
MPLX LP
 
4.875
 
12/01/24
   
500,000
     
500,000
     
524,284
 
NRG Energy, Inc.
 
7.250
 
05/15/26
   
500,000
     
502,858
     
528,900
 
Oasis Petroleum Inc.
 
6.875
 
03/15/22
   
500,000
     
478,431
     
507,120
 
PBF Holding Company LLC
 
6.997
 
11/15/23
   
33,000
     
33,000
     
34,155
 
Perry Ellis International, Inc.
 
7.875
 
04/01/19
   
125,000
     
124,739
     
124,844
 
Pitney Bowes Inc.
 
3.375
 
10/01/21
   
500,000
     
499,713
     
476,250
 
Reinsurance Group of America
 
3.950
 
09/15/26
   
500,000
     
502,811
     
494,890
 
SM Energy Company
 
6.750
 
09/15/26
   
750,000
     
744,395
     
742,500
 
Sprint Corporation
 
7.125
 
06/15/24
   
155,000
     
155,000
     
151,125
 
Steelcase, Inc.
 
6.375
 
02/15/21
   
500,000
     
503,034
     
538,127
 
Suburban Propane Partners, L.P.
 
5.750
 
03/01/25
   
500,000
     
500,000
     
480,000
 
Time Warner Cable, Inc.
 
5.000
 
02/01/20
   
500,000
     
497,700
     
513,538
 
Trinity Acquisition Plc
 
4.400
 
03/15/26
   
500,000
     
514,805
     
506,657
 
Tyson Foods, Inc.
 
4.500
 
06/15/22
   
500,000
     
507,930
     
518,140
 
William Lyon Homes
 
7.000
 
08/15/22
   
500,000
     
500,000
     
512,500
 
WPX Energy, Inc.
 
5.250
 
09/15/24
   
425,000
     
425,000
     
418,625
 
Xlit Ltd
 
4.450
 
03/31/25
   
600,000
     
612,271
     
603,888
 
 
     
 
                       
Total Bonds
     
 
           
23,112,511
     
23,054,795
 
 
     
 
                       
                                 
Total Corporate Public Securities
     
 
         
$
26,469,155
   
$
26,472,892
 
 
     
 
                       
 
 
 
 
See Notes to Consolidated Financial Statements

26
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Short-Term Security:
 
Interest
Rate/Yield^
 
Maturity
Date
 
Principal
Amount
   
Cost
   
Market
Value
 
                           
Commercial Paper - 2.74%
     
 
                 
Bemis Company, Inc.
 
2.350
%
04/04/18
 
$
1,000,000
   
$
999,804
   
$
999,804
 
CRH Finance America, Inc.
 
2.350
 
04/10/18
   
1,000,000
     
999,413
     
999,413
 
Lam Research Corporation
 
2.350
 
04/10/18
   
1,000,000
     
998,694
     
998,694
 
Molex Electronic Technologies LLC
 
3.120
 
04/16/18
   
1,000,000
     
999,220
     
999,220
 
 
     
 
                       
Total Short-Term Security
     
 
         
$
3,997,131
   
$
3,997,131
 
 
     
 
                       
                                 
Total Investments
 
103.20
%
 
         
$
151,395,974
   
$
150,583,924
 
 
     
 
                       
                                 
Other Assets
 
8.43
 
 
                   
12,298,537
 
                                 
Liabilities
 
(11.63
)
 
                   
(16,961,991
)
 
     
 
                       
Total Net Assets
 
100.00
%
 
                 
$
145,920,470
 
 
     
 
                       
 
 
 
 
(A)
In each of the convertible note, warrant, and common stock investments, the issuer has agreed to provide certain registration rights.
(B)
Non-income producing security.
(C)
Security valued at fair value using methods determined in good faith by or under the direction of the Board of Trustees.
(D)
Defaulted security; interest not accrued.
(E)
Illiquid security. As of March 31, 2018, the values of these securities amounted to $105,827,657 or 72.52% of net assets.
(F)
Held in PI Subsidiary Trust
^
Effective yield at purchase
PIK - Payment-in-kind
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
See Notes to Consolidated Financial Statements

27
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Industry Classification:
 
Fair Value/
Market Value
 
       
AEROSPACE & DEFENSE - 3.54%
     
API Technologies Corp.
 
$
1,986,848
 
BEI Precision Systems & Space
Company, Inc.
   
1,620,462
 
Merex Holding Corporation
   
404,638
 
Sunvair Aerospace Group Inc.
   
1,152,860
 
 
   
5,164,808
 
 
       
AUTOMOTIVE - 5.42%
       
Aurora Parts & Accessories LLC
   
1,604,095
 
DPL Holding Corporation
   
1,688,754
 
English Color & Supply LLC
   
1,747,470
 
Ford Motor Credit Co. LLC
   
608,692
 
General Motors Financial Co. Inc.
   
492,938
 
Grakon Parent
   
234,860
 
J.B. Poindexter Co., Inc.
   
413,531
 
Moog Inc.
   
512,500
 
Power Stop Holdings LLC
   
290,140
 
Randy's Worldwide Automotive
   
317,186
 
 
   
7,910,166
 
 
       
BANKING - 0.35%
       
Bank of America Corporation
   
510,929
 
 
       
BROKERAGE, ASSET MANAGERS & EXCHANGES - 0.49%
 
Higginbotham Insurance Agency, Inc.
   
196,751
 
Lazard Group LLC
   
513,909
 
 
   
710,660
 
 
       
BUILDING MATERIALS - 7.96%
       
ARI Holding Corporation
   
2,707,877
 
Beacon Roofing Supply, Inc.
   
386,715
 
Happy Floors Acquisition, Inc.
   
1,810,158
 
NSi Industries Holdings, Inc.
   
1,794,321
 
Signature Systems Holding Company
   
190,452
 
Sunrise Windows Holding Company
   
999,929
 
Torrent Group Holdings, Inc.
   
96,403
 
Wellborn Forest Holding Company
   
1,799,462
 
Wolf-Gordon, Inc.
   
1,822,734
 
 
   
11,608,051
 
 
       
CABLE & SATELLITE - 1.52%
       
Hughes Satellite Systems Corporation
   
497,500
 
Time Warner Cable, Inc.
   
513,538
 
   
Fair Value/
Market Value
 
         
Unitymedia KabelBW GmbH
 
$
524,375
 
UPCB Finance IV Limited
   
200,719
 
Virgin Media Secured Finance PLC
   
481,250
 
 
   
2,217,382
 
 
       
CHEMICALS - 2.38%
       
A. Schulman Inc.
   
527,500
 
Compass Chemical International LLC
   
221,612
 
CVR Partners, LP.
   
532,350
 
LBC Tank Terminals Holding
Netherlands B.V.
   
681,233
 
LyondellBasell Industries N.V.
   
549,616
 
OCI Beaumont LLC
   
122,846
 
Polytex Holdings LLC
   
834,499
 
 
   
3,469,656
 
 
       
CONSUMER CYCLICAL SERVICES - 3.40%
 
CHG Alternative Education
Holding Company
   
1,072,284
 
MeTEOR Education LLC
   
1,084,136
 
PPC Event Services
   
1,648,547
 
Prime Security Services Borrower
   
658,877
 
PS Logistics LLC
   
503,750
 
 
   
4,967,594
 
 
       
CONSUMER PRODUCTS - 10.12%
       
AMS Holding LLC
   
232,510
 
Blue Wave Products, Inc.
   
891,617
 
Elite Sportwear Holding, LLC
   
1,506,373
 
gloProfessional Holdings, Inc.
   
1,147,514
 
GTI Holding Company
   
916,218
 
Handi Quilter Holding Company
   
2,209,020
 
HHI Group, LLC
   
1,698,103
 
Manhattan Beachwear Holding Company
   
581,531
 
Master Cutlery LLC
   
651,077
 
New Mountain Learning, LLC
   
1,384,410
 
Perry Ellis International, Inc.
   
124,844
 
Whitebridge Pet Brands Holdings, LLC
   
1,652,428
 
York Wall Holding Company
   
1,755,916
 
 
   
14,751,561
 
 
       
DIVERSIFIED MANUFACTURING - 5.95% 
 
ABC Industries, Inc.
   
372,905
 
Advanced Manufacturing Enterprises LLC
   
24,489
 
 
 
 
See Notes to Consolidated Financial Statements

28
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Industry Classification: (Continued)
 
Fair Value/
Market Value
 
         
Airxcel Holdings
 
$
903,249
 
Amsted Industries
   
240,000
 
F G I Equity LLC
   
623,541
 
K P I Holdings, Inc.
   
538,956
 
Motion Controls Holdings
   
331,162
 
Reelcraft Industries, Inc.
   
1,773,253
 
SR Smith LLC
   
1,950,069
 
Strahman Holdings Inc.
   
297,797
 
Therma-Stor Holdings LLC
   
1,628,312
 
 
   
8,683,733
 
 
       
ELECTRIC - 1.70%
       
AM Conservation Holding Corp.
   
1,946,122
 
NRG Energy, Inc.
   
528,900
 
 
   
2,475,022
 
 
       
FINANCE COMPANIES - 0.39%
       
Air Lease Corp.
   
574,881
 
 
       
FINANCIAL OTHER - 3.48%
       
Anchorage Capital Group, L.L.C.
   
512,733
 
CRH Finance America, Inc.
   
999,413
 
Cunningham Lindsey U.S., Inc.
   
123,778
 
Focus Financial Partners, LLC.
   
407,000
 
Strategic Insight, Inc.
   
1,692,260
 
U.S. Retirement and Benefit Partners, Inc.
   
1,347,328
 
 
   
5,082,512
 
 
       
FOOD & BEVERAGE - 8.31%
       
Bunge Limited Finance Corp.
   
564,101
 
Del Real LLC
   
1,741,792
 
Eagle Family Foods, Inc.
   
1,896,475
 
F F C Holding Corporation
   
253,387
 
Hollandia Produce LLC
   
1,129,336
 
Hospitality Mints Holding Company
   
988,953
 
Impact Confections
   
 
JBS USA Lux S.A.
   
456,960
 
JMH Investors LLC
   
350,972
 
PANOS Brands LLC
   
2,266,869
 
Tyson Foods, Inc.
   
518,140
 
Westminster Acquisition LLC
   
829,226
 
WP Supply Holding Corporation
   
1,132,682
 
 
   
12,128,893
 
 
       
   
Fair Value/
Market Value
 
       
GAMING - 1.32%
     
CTM Holding, Inc.
 
$
1,928,752
 
 
       
HEALTHCARE - 3.10%
       
Avantor Inc.
   
403,970
 
CORA Health Services, Inc.
   
910,935
 
Community Health Sysyems Inc.
   
345,960
 
ECG Consulting Group
   
1,502,336
 
GD Dental Services LLC
   
4,390
 
Hospital Corporation of America
   
276,512
 
Laboratory Corporation of America Holdings
   
492,650
 
Prospect Medical Holdings, Inc.
   
256,082
 
TherOX, Inc.
   
 
Touchstone Health Partnership
   
 
Valeant Pharmaceuticals International
   
180,353
 
VRX Escrow Corp.
   
157,066
 
 
   
4,530,254
 
 
       
HEALTH INSURANCE - 0.34%
       
Reinsurance Group of America
   
494,890
 
 
       
HOME CONSTRUCTION - 0.47%
       
Beazer Homes USA, Inc.
   
172,400
 
William Lyon Homes
   
512,500
 
 
   
684,900
 
 
       
INDEPENDENT - 1.35%
       
Jupiter Resources Inc.
   
230,000
 
Laredo Petroleum, Inc.
   
496,250
 
Oasis Petroleum Inc.
   
507,120
 
SM Energy Company
   
742,500
 
 
   
1,975,870
 
 
       
INDUSTRIAL OTHER - 6.87%
       
AFC - Dell Holding Corporation
   
1,362,945
 
Brunswick Corporation
   
607,820
 
Clough, Harbour and Associates
   
1,311,014
 
Hartland Controls Holding Corporation
   
1,849,296
 
Lam Research Corporation
   
998,694
 
Midwest Industrial Rubber, Inc.
   
1,743,273
 
Molex Electronic Technologies LLC
   
999,220
 
Smart Source Holdings LLC
   
616,277
 
SMB Machinery Holdings, Inc.
   
 
Steelcase, Inc.
   
538,127
 
 
   
10,026,666
 
 
       
 

 
See Notes to Consolidated Financial Statements

29
 
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Industry Classification: (Continued)
 
Fair Value/
Market Value
 
       
MEDIA & ENTERTAINMENT - 2.89%
     
AMC Entertainment Holdings Inc.
 
$
492,550
 
BlueSpire Holding, Inc.
   
 
Boyne USA, Inc.
   
171,384
 
Discovery Communications
   
621,930
 
Dish DBS Corporation
   
468,875
 
GlynnDevins Acquisition Corporation
   
165,540
 
HOP Entertainment LLC
   
 
Money Mailer Equity LLC
   
1,625,761
 
Sinclair Broadcast Group, Inc.
   
201,960
 
Sinclair Television Group, Inc.
   
463,750
 
 
   
4,211,750
 
 
       
METALS & MINING - 2.88%
       
Alliance Residential Company
   
525,000
 
Anglogold Holdings PLC
   
617,621
 
Big River Steel LLC.
   
120,255
 
Coronado Coal LLC
   
318,225
 
First Quantum Minerals Ltd.
   
492,500
 
IAMGOLD Corporation
   
511,250
 
Murray Energy Corporation
   
383,542
 
New Gold Inc.
   
510,625
 
Suncoke Energy
   
515,000
 
Warrior Met Coal, Inc.
   
212,658
 
 
   
4,206,676
 
 
       
MIDSTREAM - 1.57%
       
CVR Refining LLC
   
357,000
 
Ferrellgas Partners, L.P.
   
847,463
 
Genesis Energy, L.P.
   
471,250
 
Suburban Propane Partners, L.P.
   
480,000
 
Summit Midstream Holdings, LLC
   
130,951
 
 
   
2,286,664
 
 
       
OIL FIELD SERVICES - 1.87%
       
EP Energy LLC / Everest Acquisition
Finance Inc.
   
288,768
 
Gulf Finance, LLC
   
238,635
 
Hilcorp Energy Company
   
329,975
 
Petroplex Inv Holdings LLC
   
18,929
 
Seadrill Partners Finco, LLC
   
408,730
 
Teine Energy Ltd.
   
510,000
 
Topaz Marine S.A.
   
518,500
 
WPX Energy, Inc.
   
418,625
 
 
   
2,732,162
 
 
       
   
Fair Value/
Market Value
 
       
OTHER - REITS - 0.69%
     
Duke Realty Limited Partnership
 
$
509,639
 
CubeSmart, L.P.
   
498,197
 
 
   
1,007,836
 
 
       
PACKAGING - 1.22%
       
ASC Holdings, Inc.
   
776,413
 
Bemis Company, Inc.
   
999,804
 
 
   
1,776,217
 
 
       
PAPER - 1.50%
       
Clearwater Paper Corporation
   
471,360
 
Dunn Paper
   
1,716,375
 
 
   
2,187,735
 
 
       
PHARMACEUTICALS - 2.76%
       
Clarion Brands Holding Corp.
   
2,244,342
 
CVS Health Corp
   
346,470
 
ERG Holding Company LLC
   
1,443,092
 
 
   
4,033,904
 
 
       
PROPERTY & CASUALTY - 0.76%
       
Trinity Acquisition Plc
   
506,657
 
Xlit Ltd
   
603,888
 
 
   
1,110,545
 
 
       
REFINING - 2.48%
       
CITGO Petroleum Corporation
   
421,281
 
MES Partners, Inc.
   
1,580,708
 
MPLX LP
   
524,284
 
PBF Holding Company LLC
   
34,155
 
Tristar Global Energy Solutions, Inc.
   
1,055,906
 
 
   
3,616,334
 
 
       
TECHNOLOGY - 11.10%
       
1A Smart Start, Inc.
   
1,696,653
 
Anixter, Inc.
   
169,125
 
BCC Software, Inc.
   
1,716,976
 
Clubessential LLC
   
1,713,111
 
Dell Inc.
   
615,460
 
DigiCert, Inc.
   
207,552
 
Expedia Inc.
   
606,664
 
Glynlyon Holding Companies, Inc.
   
230,223
 
GraphPad Software, Inc.
   
2,425,044
 

 


See Notes to Consolidated Financial Statements

30
 
Barings Participation Investors
CONSOLIDATED SCHEDULE OF INVESTMENTS (CONTINUED)
March 31, 2018
(Unaudited)
 
 
Industry Classification: (Continued)
 
Fair Value/
Market Value
 
         
Hewlett Packard Enterprise Company
 
$
519,126
 
Pitney Bowes Inc.
   
476,250
 
Software Paradigms International
Group, LLC
   
1,730,504
 
Velocity Technology Solutions, Inc.
   
2,088,014
 
Veritext Corporation
   
1,994,258
 
 
   
16,188,960
 
 
       
TELECOMMUNICATIONS - 0.27%
       
Altice Financing S.A.
   
392,000
 
 
       
TRANSPORTATION SERVICES - 4.21%
       
Hertz Corporation
   
507,500
 
MNX Holding Company
   
1,414,711
 
OPE KAG Finance Sub
   
512,500
 
Penske Corporation
   
526,234
 
Pegasus Transtech Corporation
   
2,281,601
 
Team Drive-Away Holdings LLC
   
184,032
 
VP Holding Company
   
720,667
 
 
   
6,147,245
 
 
       
WIRELESS - 0.54%
       
Crown Castle International Corp
   
637,591
 
Sprint Corporation
   
151,125
 
 
   
788,716
 
 
       
Total Investments - 103.20%
(Cost - $151,395,974)
 
$
150,583,924
 
 
       
 
 
 











 









See Notes to Consolidated Financial Statements

31
 
 
Fair Value Hierarchy
 
The Trust categorizes its investments measured at fair value in three levels, based on the inputs and assumptions used to determine fair value. These levels are as follows:
 
Level 1 – quoted prices in active markets for identical securities
 
Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
 
Level 3 – significant unobservable inputs (including the Trust's own assumptions in determining the fair value of investments)
 
 
The following table summarizes the levels in the fair value hierarchy into which the Trust's financial instruments are categorized as of March 31, 2018.
 
The fair values of the Trust's investments disaggregated into the three levels of the fair value hierarchy based upon the lowest level of significant input used in the valuation as of March 31, 2018 are as follows:
 
Assets:
 
Total
   
Level 1
   
Level 2
   
Level 3
 
Restricted Securities
                       
Corporate Bonds
 
$
82,419,449
   
$
   
$
14,286,244
   
$
68,133,205
 
Bank Loans
   
18,522,417
     
     
     
18,522,417
 
Common Stock - U.S.
   
6,091,393
     
     
     
6,091,393
 
Preferred Stock
   
2,925,577
     
     
     
2,925,577
 
Partnerships and LLCs
   
10,155,065
     
     
     
10,155,065
 
Public Securities
                               
Bank Loans
   
3,418,097
     
     
1,741,166
     
1,676,931
 
Corporate Bonds
   
23,054,795
     
     
23,054,795
     
 
Common Stock—U.S.
   
     
     
     
 
Preferred Stock
   
     
     
     
 
Short-term Securities
   
3,997,131
     
     
3,997,131
     
 
Total
 
$
150,583,924
   
$
   
$
43,079,336
   
$
107,504,588
 
See information disaggregated by security type and industry classification in the Consolidated Schedule of Investments.
 
 
 
 
Following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value:
 
Assets:
 
Beginning
balance at
12/31/2017
   
Included in
earnings
   
Purchases
   
Sales
   
Prepayments
   
Transfers
into
Level 3
   
Transfers
out of
Level 3
   
Ending
balance at
3/31/2018
 
Restricted Securities
                                               
Corporate Bonds
 
$
68,182,386
   
$
(1,560,926
)
 
$
3,193,009
   
$
(36,550
)
 
$
(1,644,714
)
 
$
   
$
   
$
68,133,205
 
Bank Loans
   
15,737,992
     
55,774
     
2,728,651
     
     
     
     
     
18,522,417
 
Common Stock - U.S.
   
6,911,240
     
(180,558
)
   
41,537
     
(680,826
)
   
     
     
     
6,091,393
 
Preferred Stock
   
2,525,813
     
399,764
     
     
     
     
     
     
2,925,577
 
Partnerships and LLCs
   
14,061,127
     
(368,512
)
   
193,692
     
(3,731,242
)
   
     
     
     
10,155,065
 
Public Securities
                                                               
Bank Loans
   
523,461
     
7,334
     
818,379
     
     
(6,192
)
   
333,949
     
     
1,676,931
 
Total
 
$
107,942,019
   
$
(1,647,124
)
 
$
6,975,268
   
$
(4,448,618
)
 
$
(1,650,906
)
 
$
333,949
   
$
   
$
107,504,588
 
 
 
 
 

ITEM 2. CONTROLS AND PROCEDURES.

(a) The principal executive officer and principal financial officer of the Registrant evaluated the effectiveness of the Registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the "Act") as of a date within 90 days of the filing date of this report and based on that evaluation have concluded that such disclosure controls and procedures are effective to provide reasonable assurance that material information required to be disclosed by the Registrant on Form N-Q is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission's rules and forms.

(b) There have been changes in the Registrant's internal controls over financial reporting (as defined in Rule 30a-3(d) under the Act)("internal controls") that occurred during the Registrant's last fiscal quarter.  The Registrant's investment adviser, Barings LLC, who maintains the Registrant's internal controls, revised its internal controls to oversee State Street Bank & Trust who now provides certain administrative and accounting services to the Registrant.

 
 
ITEM 3. EXHIBITS.

Certifications pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) are attached hereto as an exhibit.
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

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)  Barings Participation Investors
             


By (Signature and Title)*
/s/ Robert M. Shettle                                                    
Robert M. Shettle, President


Date    May 30, 2018                                  
 

 
 
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/ Robert M. Shettle                                                     
Robert M. Shettle, President

 
Date    May 30, 2018                                  

 

 
By (Signature and Title)*
/s/ James M. Roy                                                           
James M. Roy, Vice President and
Chief Financial Officer

 
Date    May 30, 2018                                  
 
 
 
 
 
 
 
 
 

 
* PRINT THE NAME AND TITLE OF EACH SIGNING OFFICER UNDER HIS OR HER SIGNATURE.