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1
Bancroft
Fund
Ltd.
Schedule
of
Investments
June
30,
2025
(Unaudited)
Principal
Amount
Market
Value
CONVERTIBLE
CORPORATE
BONDS
84
.6
%
Automotive:
Parts
and
Accessories
0
.7
%
$
1,000,000‌
Rivian
Automotive
Inc.
,
4.625
%
,
03/15/29
...............
$
1,019,375‌
Business
Services
1
.7
%
1,600,000‌
Live
Nation
Entertainment
Inc.
,
2.875
%
,
01/15/30
...............
1,744,000‌
700,000‌
Mirion
Technologies
Inc.
,
0.250
%
,
06/01/30
...............
808,850‌
2,552,850‌
Communications
Equipment
2
.0
%
2,000,000‌
Lumentum
Holdings
Inc.
,
1.500
%
,
12/15/29
...............
3,072,000‌
Computer
Software
and
Services
17
.2
%
Akamai
Technologies
Inc.
2,875,000‌
1.125
%
,
02/15/29
...............
2,735,562‌
2,000,000‌
0.250
%
,
05/15/33
...............
2,075,000‌
375,000‌
Bitdeer
Technologies
Group
,
4.875
%
,
07/01/31
...............
362,625‌
2,000,000‌
Box
Inc.
,
1.500
%
,
09/15/29
...............
2,065,000‌
3,000,000‌
CSG
Systems
International
Inc.
,
3.875
%
,
09/15/28
...............
3,394,500‌
900,000‌
CyberArk
Software
Ltd.
,
Zero
Coupon
,
06/15/30
...........
927,000‌
1,900,000‌
Nutanix
Inc.
,
0.500
%
,
12/15/29
...............
2,157,820‌
1,100,000‌
Pagaya
Technologies
Ltd.
,
6.125
%
,
10/01/29
...............
1,953,050‌
840,000‌
PAR
Technology
Corp.
,
1.000
%
,
01/15/30
...............
841,575‌
3,500,000‌
Parsons
Corp.
,
2.625
%
,
03/01/29
...............
3,738,000‌
2,500,000‌
Progress
Software
Corp.
,
3.500
%
,
03/01/30
...............
2,903,750‌
900,000‌
Snowflake
Inc.
,
Zero
Coupon
,
10/01/29
...........
1,402,088‌
4,156,000‌
Veritone
Inc.
,
1.750
%
,
11/15/26
...............
1,745,520‌
26,301,490‌
Consumer
Services
2
.4
%
550,000‌
MakeMyTrip
Ltd.
,
Zero
Coupon
,
07/01/30
...........
587,535‌
2,140,000‌
Uber
Technologies
Inc.
,
Ser.
2028
,
0.875
%
,
12/01/28
...............
3,063,410‌
3,650,945‌
Principal
Amount
Market
Value
Diversified
Industrial
1
.3
%
$
750,000‌
Enovix
Corp.
,
3.000
%
,
05/01/28
...............
$
726,750‌
1,000,000‌
PureCycle
Technologies
Inc.
,
7.250
%
,
08/15/30
...............
1,258,000‌
1,984,750‌
Energy
and
Utilities
18
.5
%
Array
Technologies
Inc.
3,188,000‌
1.000
%
,
12/01/28
...............
2,536,664‌
800,000‌
2.875
%
,
07/01/31
...............
793,436‌
2,600,000‌
Bloom
Energy
Corp.
,
3.000
%
,
06/01/28
...............
3,851,900‌
2,000,000‌
CMS
Energy
Corp.
,
3.375
%
,
05/01/28
...............
2,131,000‌
900,000‌
FirstEnergy
Corp.
,
3.875
%
,
01/15/31
...............
912,600‌
2,000,000‌
Fluor
Corp.
,
1.125
%
,
08/15/29
...............
2,626,500‌
5,250,000‌
Nabors
Industries
Inc.
,
1.750
%
,
06/15/29
...............
3,031,875‌
3,500,000‌
Northern
Oil
&
Gas
Inc.
,
3.625
%
,
04/15/29
...............
3,661,875‌
3,000,000‌
PPL
Capital
Funding
Inc.
,
2.875
%
,
03/15/28
...............
3,247,658‌
2,000,000‌
TXNM
Energy
Inc.
,
5.750
%
,
06/01/54
...............
2,601,244‌
2,450,000‌
WEC
Energy
Group
Inc.
,
4.375
%
,
06/01/29
...............
2,833,425‌
28,228,177‌
Financial
Services
11
.2
%
4,350,000‌
Cardlytics
Inc.
,
4.250
%
,
04/01/29
...............
1,751,962‌
2,500,000‌
Cleanspark
Inc.
,
Zero
Coupon
,
06/15/30
...........
2,459,155‌
1,600,000‌
Coinbase
Global
Inc.
,
0.250
%
,
04/01/30
...............
2,096,800‌
2,000,000‌
Galaxy
Digital
Holdings
LP
,
2.500
%
,
12/01/29
...............
2,460,005‌
1,500,000‌
Oddity
Finance
LLC
,
Zero
Coupon
,
06/15/30
...........
1,630,596‌
1,150,000‌
Riot
Platforms
Inc.
,
0.750
%
,
01/15/30
...............
1,196,000‌
1,500,000‌
SoFi
Technologies
Inc.
,
1.250
%
,
03/15/29
...............
3,058,350‌
2,000,000‌
Vertex
Inc.
,
0.750
%
,
05/01/29
...............
2,401,036‌
17,053,904‌
Health
Care
14
.5
%
1,000,000‌
Alnylam
Pharmaceuticals
Inc.
,
1.000
%
,
09/15/27
...............
1,301,500‌
2
Bancroft
Fund
Ltd.
Schedule
of
Investments
(Continued)
June
30,
2025
(Unaudited)
Principal
Amount
Market
Value
CONVERTIBLE
CORPORATE
BONDS
(Continued)
Health
Care
(Continued)
$
2,000,000‌
ANI
Pharmaceuticals
Inc.
,
2.250
%
,
09/01/29
...............
$
2,269,065‌
2,250,000‌
Bridgebio
Pharma
Inc.
,
1.750
%
,
03/01/31
...............
2,629,125‌
3,275,000‌
Evolent
Health
Inc.
,
3.500
%
,
12/01/29
...............
2,795,715‌
2,250,000‌
Exact
Sciences
Corp.
,
2.000
%
,
03/01/30
...............
2,283,750‌
2,400,000‌
Integer
Holdings
Corp.
,
1.875
%
,
03/15/30
...............
2,505,600‌
940,000‌
Invacare
Corp.,
Escrow
,
Zero
Coupon
,
05/08/28
(a)
.........
0‌
2,150,000‌
Jazz
Investments
I
Ltd.
,
3.125
%
,
09/15/30
...............
2,289,750‌
1,250,000‌
Pacira
BioSciences
Inc.
,
2.125
%
,
05/15/29
...............
1,226,510‌
3,400,000‌
Sarepta
Therapeutics
Inc.
,
1.250
%
,
09/15/27
...............
2,456,500‌
1,000,000‌
TransMedics
Group
Inc.
,
1.500
%
,
06/01/28
...............
1,605,838‌
21,363,353‌
Metals
and
Mining
2
.4
%
2,150,000‌
MP
Materials
Corp.
,
3.000
%
,
03/01/30
...............
3,731,325‌
Real
Estate
Investment
Trusts
4
.5
%
3,000,000‌
Digital
Realty
Trust
LP
,
1.875
%
,
11/15/29
...............
3,161,700‌
3,000,000‌
Redfin
Corp.
,
0.500
%
,
04/01/27
...............
2,707,796‌
1,000,000‌
Redwood
Trust
Inc.
,
7.750
%
,
06/15/27
...............
990,487‌
6,859,983‌
Retail
1
.9
%
2,300,000‌
Alibaba
Group
Holding
Ltd.
,
0.500
%
,
06/01/31
...............
2,941,296‌
Security
Software
0
.3
%
380,000‌
Cloudflare
Inc.
,
Zero
Coupon
,
06/15/30
...........
410,970‌
Semiconductors
5
.0
%
3,000,000‌
indie
Semiconductor
Inc.
,
3.500
%
,
12/15/29
...............
2,752,500‌
2,500,000‌
MKS
Inc.
,
1.250
%
,
06/01/30
...............
2,476,250‌
Principal
Amount
Market
Value
$
1,750,000‌
OSI
Systems
Inc.
,
2.250
%
,
08/01/29
...............
$
2,378,250‌
7,607,000‌
Telecommunications
1
.0
%
1,250,000‌
Applied
Digital
Corp.
,
2.750
%
,
06/01/30
...............
1,626,949‌
TOTAL
CONVERTIBLE
CORPORATE
BONDS
.......................
129,154,367‌
CORPORATE
BONDS
0
.7
%
Health
Care
0
.7
%
1,000,000‌
ITRACHEALTH
Corp.
8.00
6/30/27
CVT(PP)
,
8.000
%
,
06/30/27
...............
1,000,000‌
Shares
CONVERTIBLE
PREFERRED
STOCKS
0
.1
%
Business
Services
0.0
%
809,253‌
Amerivon
Holdings
LLC
,
4.000
%
(a)
....................
0‌
272,728‌
Amerivon
Holdings
LLC,
common
equity
units
(a)
..........................
3‌
3‌
Health
Care
0
.1
%
28,911‌
Invacare
Holdings
Corp.
,
Ser.
A
,
9.000
%
(a)
....................
173,466‌
TOTAL
CONVERTIBLE
PREFERRED
STOCKS
......................
173,469‌
MANDATORY
CONVERTIBLE
SECURITIES
(b)
12
.4
%
Aerospace
and
Defense
1
.1
%
25,050‌
The
Boeing
Co.
,
6.000
%
,
10/15/27
...............
1,703,400‌
Computer
Software
and
Services
2
.2
%
57,000‌
Hewlett
Packard
Enterprise
Co.
,
7.625
%
,
09/01/27
...............
3,356,160‌
Diversified
Industrial
1
.3
%
33,600‌
Chart
Industries
Inc.
,
Ser.
B
,
6.750
%
,
12/15/25
...............
2,029,440‌
Energy
and
Utilities
1
.3
%
44,000‌
NextEra
Energy
Inc.
,
7.234
%
,
11/01/27
...............
1,947,000‌
Financial
Services
3
.1
%
47,000‌
Ares
Management
Corp.
,
Ser.
B
,
6.750
%
,
10/01/27
...............
2,491,000‌
18,000‌
KKR
&
Co.
Inc.
,
Ser.
D
,
6.250
%
,
03/01/28
...............
964,800‌
3
Bancroft
Fund
Ltd.
Schedule
of
Investments
(Continued)
June
30,
2025
(Unaudited)
Shares
Market
Value
MANDATORY
CONVERTIBLE
SECURITIES(b)
(Continued)
Financial
Services
(Continued)
10,600‌
Shift4
Payments
Inc.
,
6.000
%
,
05/01/28
...............
$
1,221,120‌
4,676,920‌
Health
Care
1
.6
%
30,000‌
BrightSpring
Health
Services
Inc.
,
6.750
%
,
02/01/27
...............
2,476,500‌
Semiconductors
1
.8
%
41,500‌
Microchip
Technology
Inc.
,
7.500
%
,
03/15/28
...............
2,765,560‌
TOTAL
MANDATORY
CONVERTIBLE
SECURITIES
...................
18,954,980‌
COMMON
STOCKS
0.0
%
Health
Care
0.0
%
12,938‌
Invacare
Holdings
Corp.
(a)
..........
0‌
Principal
Amount
U.S.
GOVERNMENT
OBLIGATIONS
2
.2
%
$
3,440,000‌
U.S.
Treasury
Bills,
4.229
%
to
4.308
%
††
,
08/07/25
to
09/25/25
......................
3,407,286‌
TOTAL
INVESTMENTS
100
.0
%
.....
(Cost
$
143,276,865
)
.............
$
152,690,102‌
(a)
Security
is
valued
using
significant
unobservable
inputs
and
is
classified
as
Level
3
in
the
fair
value
hierarchy.
(b)
Mandatory
convertible
securities
are
required
to
be
converted
on
the
dates
listed;
they
generally
may
be
converted
prior
to
these
dates
at
the
option
of
the
holder.
Non-income
producing
security.
††
Represents
annualized
yields
at
dates
of
purchase.