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CREDIT SUISSE ASSET MANAGEMENT INCOME FUND, INC.

Regulatory Filings May 16, 2014

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N-Q 1 d723369dnq.htm CREDIT SUISSE ASSET MANAGEMENT INCOME FUND,INC. Credit Suisse Asset Management Income Fund,Inc.

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: 811-05012

CREDIT SUISSE ASSET MANAGEMENT INCOME FUND, INC.

(Exact name of registrant as specified in charter)

c/o Credit Suisse Asset Management, LLC

One Madison Avenue

New York, New York 10010

(Address of principal executive offices) (Zip code)

John G. Popp

One Madison Avenue

New York, New York 10010

(Name and address of agent for service)

Registrant’s telephone number, including area code: (212) 325-2000

Date of fiscal year-end: December 31st

Date of reporting period: January 1, 2014 to March 31, 2014

Item 1: Schedule of Investments

Credit Suisse Asset Management Income Fund, Inc.

Schedule of Investments

March 31, 2014 (unaudited)

Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS (76.5%)
Aerospace & Defense (1.5%)
$ 650 AAR Corp., Global Company Guaranteed Notes (Callable 01/15/17 @ 103.63) (BB, Ba3) 01/15/22 7.250 $ 706,875
1,000 Ducommun, Inc., Global Company Guaranteed Notes (Callable 07/15/15 @ 104.88) (B-, B3) 07/15/18 9.750 1,125,000
1,200 The Milestone Aviation Group Ltd., Rule 144A, Senior Unsecured Notes (Callable 12/15/15 @ 104.31)‡ (NR, NR) 12/15/17 8.625 1,297,500
3,129,375
Airlines (0.4%)
500 Continental Airlines 2012-3, Class C Pass Thru Certificates (B+, B1) 04/29/18 6.125 526,875
200 United Continental Holdings, Inc., Company Guaranteed Notes§ (B, B2) 06/01/18 6.375 216,250
743,125
Auto Parts & Equipment (2.2%)
180 Lear Corp., Company Guaranteed Notes (Callable 03/15/15 @ 104.06) (BB, Ba2) 03/15/20 8.125 197,100
950 Lear Corp., Rule 144A, Company Guaranteed Notes (Callable 01/15/18 @ 102.38)‡§ (BB, Ba2) 01/15/23 4.750 931,000
500 Meritor, Inc., Company Guaranteed Notes (Callable 06/15/16 @ 105.06)§ (B-, B3) 06/15/21 6.750 531,250
1,000 Schaeffler Finance B.V., Rule 144A, Senior Secured Notes (Callable 02/15/15 @ 106.38)‡ (BB-, Ba2) 02/15/19 8.500 1,121,250
1,750 UCI International, Inc., Global Company Guaranteed Notes (Callable 02/15/15 @ 104.31) (CCC, Caa1) 02/15/19 8.625 1,706,250
4,486,850
Beverages (0.3%)
600 Beverages & More, Inc., Rule 144A, Senior Secured Notes (Callable 11/15/15 @ 105.00)‡ (CCC+, Caa2) 11/15/18 10.000 626,250
Brokerage (1.5%)
1,000 CCRE Finance Corp., Rule 144A, Company Guaranteed Notes (Callable 02/15/15 @ 105.81)‡§ (B, B1) 02/15/18 7.750 1,075,000
1,450 Jefferies Finance LLC, Rule 144A, Senior Unsecured Notes (Callable 04/01/16 @ 105.53)‡ (B, B1) 04/01/20 7.375 1,529,750
400 Jefferies Finance LLC, Rule 144A, Senior Unsecured Notes (Callable 04/15/17 @ 105.16)‡ (B, B1) 04/15/22 6.875 405,000
3,009,750
Building & Construction (0.2%)
500 K Hovnanian Enterprises, Inc., Global Senior Secured Notes (CCC+, Ba3) 11/01/21 2.000 352,500
Building Materials (2.8%)
1,750 Euramax International, Inc., Global Senior Secured Notes (Callable 04/01/14 @ 104.75) (B-, Caa2) 04/01/16 9.500 1,776,250
1,850 Headwaters, Inc., Global Secured Notes (Callable 04/01/15 @ 103.81) (B+, B2) 04/01/19 7.625 2,002,625
1,000 Headwaters, Inc., Rule 144A, Company Guaranteed Notes (Callable 01/15/16 @ 103.63)‡ (CCC+, Caa2) 01/15/19 7.250 1,047,500
750 RSI Home Products, Inc., Rule 144A, Secured Notes (Callable 03/01/15 @ 105.16)‡ (B+, B1) 03/01/18 6.875 808,125
5,634,500
Chemicals (2.2%)
150 Axalta Coating Systems Dutch Holding B B.V., Rule 144A, Company Guaranteed Notes (Callable 02/04/16 @ 105.53)‡§ (B-, Caa1) 05/01/21 7.375 163,875
500 Chemtura Corp., Company Guaranteed Notes (Callable 07/15/16 @ 104.31)§ (BB-, B1) 07/15/21 5.750 521,250
500 Ineos Finance PLC, Rule 144A, Senior Secured Notes (Callable 05/01/15 @ 105.63)‡ (BB-, Ba3) 05/01/20 7.500 550,625
750 Ineos Group Holdings S.A., Rule 144A, Company Guaranteed Notes (Callable 02/15/16 @ 102.94)‡§ (B-, B3) 02/15/19 5.875 767,812
350 Ineos Group Holdings S.A., Rule 144A, Company Guaranteed Notes (Callable 05/15/15 @ 103.25)‡§ (B-, B3) 08/15/18 6.125 364,438
1,494 Reichhold Industries, Inc., PIK, Rule 144A, Senior Secured Notes‡§ (CCC+, NR) 05/08/17 11.000 1,023,462
Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS
Chemicals
$ 1,000 Taminco Global Chemical Corp., Rule 144A, Secured Notes (Callable 03/31/15 @ 107.31)‡ (B-, Caa1) 03/31/20 9.750 $ 1,132,500
4,523,962
Consumer Products (2.2%)
1,595 Alphabet Holding Co., Inc., PIK, Global Senior Unsecured Notes (Callable 11/01/14 @ 102.00) (B-, Caa1) 11/01/17 8.500 1,650,825
1,125 NBTY, Inc., Global Company Guaranteed Notes (Callable 10/01/14 @ 104.50) (B, B3) 10/01/18 9.000 1,215,000
750 Ontex IV S.A., Rule 144A, Senior Secured Notes (Callable 04/15/14 @ 103.75)‡€ (B, B1) 04/15/18 7.500 1,083,563
400 Prestige Brands, Inc., Global Company Guaranteed Notes (Callable 02/01/16 @ 104.06) (B+, B2) 02/01/20 8.125 450,500
4,399,888
Consumer/Commercial/Lease Financing (0.2%)
500 JLC Finance Corp., Rule 144A, Senior Unsecured Notes (Callable 06/01/16 @ 105.16)‡ (B, B2) 06/01/20 6.875 510,000
Diversified Capital Goods (1.5%)
750 Anixter, Inc., Global Company Guaranteed Notes (BB, Ba3) 05/01/19 5.625 802,500
1,550 Belden, Inc., Rule 144A, Company Guaranteed Notes (Callable 09/01/17 @ 102.75)‡ (B+, Ba2) 09/01/22 5.500 1,577,125
4 FCC Holdings, Inc., Rule 144A, Senior Unsecured Notes (Callable 12/15/14 @ 100.00)‡^ (CCC+, Ca) 12/15/15 13.000 3,976
509 Mueller Water Products, Inc., Global Company Guaranteed Notes (Callable 09/01/15 @ 104.38) (NR, B1) 09/01/20 8.750 571,353
2,954,954
Electronics (0.3%)
500 CPI International, Inc., Global Company Guaranteed Notes (Callable 02/15/15 @ 104.00) (CCC+, Caa1) 02/15/18 8.000 518,750
Energy - Exploration & Production (5.6%)
1,450 Bonanza Creek Energy, Inc., Global Company Guaranteed Notes (Callable 04/15/17 @ 103.38) (B-, B3) 04/15/21 6.750 1,555,125
1,975 EPL Oil & Gas, Inc., Global Company Guaranteed Notes (Callable 02/15/15 @ 104.13) (B-, B3) 02/15/18 8.250 2,147,812
1,000 Harkand Finance, Inc., Secured Notes (Callable 03/28/16 @ 104.50) (NR, NR) 03/28/19 7.500 1,005,000
600 Memorial Production Finance Corp., Rule 144A, Company Guaranteed Notes (Callable 05/01/17 @ 103.81)‡ (B-, Caa1) 05/01/21 7.625 636,000
550 Oasis Petroleum, Inc., Global Company Guaranteed Notes (Callable 02/01/15 @ 103.63) (B+, B2) 02/01/19 7.250 591,250
895 Oasis Petroleum, Inc., Rule 144A, Company Guaranteed Notes (Callable 09/15/17 @ 103.44)‡ (B+, B2) 03/15/22 6.875 973,313
1,050 PDC Energy, Inc., Global Company Guaranteed Notes (Callable 10/15/17 @ 103.88) (B-, B3) 10/15/22 7.750 1,155,000
1,200 Stone Energy Corp., Global Company Guaranteed Notes (Callable 11/15/17 @ 103.75) (B-, B3) 11/15/22 7.500 1,305,000
1,124 W&T Offshore, Inc., Global Company Guaranteed Notes (Callable 06/15/15 @ 104.25) (B, B3) 06/15/19 8.500 1,219,540
650 Whiting Petroleum Corp., Company Guaranteed Notes (Callable 12/15/20 @ 100.00) (BB+, Ba2) 03/15/21 5.750 700,375
11,288,415
Environmental (0.9%)
1,800 EnergySolutions LLC, Global Company Guaranteed Notes (Callable 08/15/14 @ 105.38) (B+, Caa2) 08/15/18 10.750 1,923,750
Food - Wholesale (0.6%)
346 Big Heart Pet Brands, Global Company Guaranteed Notes (Callable 02/15/15 @ 101.91) (CCC+, Caa1) 02/15/19 7.625 360,921
600 Smithfield Foods, Inc., Rule 144A, Senior Unsecured Notes (Callable 08/01/16 @ 104.41)‡ (BB-, B2) 08/01/21 5.875 624,000
Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS
Food - Wholesale
$ 210 Wells Enterprises, Inc., Rule 144A, Senior Secured Notes (Callable 02/01/16 @ 105.06)‡ (B+, B3) 02/01/20 6.750 $ 217,875
1,202,796
Forestry & Paper (0.0%)
1,000 Stone & Webster, Inc.* 1 (NR, NR) 10/23/19 0.000 1,000
Gaming (1.6%)
925 Affinity Gaming Finance Corp., Global Company Guaranteed Notes (Callable 05/15/15 @ 104.50) (B, NR) 05/15/18 9.000 994,375
605 Choctaw Resort Development Enterprise, Rule 144A, Senior Notes (Callable 11/15/14 @ 100.00)‡ (B, Caa1) 11/15/19 7.250 601,975
600 Churchill Downs, Inc., Rule 144A, Company Guaranteed Notes (Callable 12/15/16 @ 104.03)‡ (BB, B1) 12/15/21 5.375 613,500
750 Safari Holding Verwaltungs GmbH, Rule 144A, Senior Secured Notes (Callable 02/15/17 @ 104.13)‡€ (B, B2) 02/15/21 8.250 1,117,674
3,327,524
Gas Distribution (1.8%)
1,500 Energy Transfer Equity LP, Senior Secured Notes (BB, Ba2) 10/15/20 7.500 1,723,125
350 Genesis Energy LP, Global Company Guaranteed Notes (Callable 02/15/17 @ 102.88)§ (B, B1) 02/15/21 5.750 364,000
1,500 Holly Energy Finance Corp., Global Company Guaranteed Notes (Callable 03/01/16 @ 103.25) (BB-, B1) 03/01/20 6.500 1,601,250
3,688,375
Health Facilities (2.8%)
500 MPT Finance Corp., Company Guaranteed Notes (Callable 02/15/17 @ 103.19) (BB, Ba1) 02/15/22 6.375 537,500
1,360 MPT Finance Corp., Global Company Guaranteed Notes (Callable 05/01/16 @ 103.44) (BB, Ba1) 05/01/21 6.875 1,468,800
550 Service Corp. International, Senior Unsecured Notes (BB-, B1) 11/15/21 8.000 639,375
698 Symbion, Inc., Global Company Guaranteed Notes (CCC+, Caa2) 08/23/15 11.000 699,047
1,175 Symbion, Inc., Global Senior Secured Notes (Callable 06/15/14 @ 104.00) (B, B2) 06/15/16 8.000 1,239,625
1,000 Tenet Healthcare Corp., Global Senior Unsecured Notes§ (CCC+, B3) 04/01/22 8.125 1,120,000
5,704,347
Health Services (1.3%)
1,523 MedAssets, Inc., Global Company Guaranteed Notes (Callable 11/15/14 @ 104.00) (B, B3) 11/15/18 8.000 1,637,225
1,000 STHI Holding Corp., Rule 144A, Secured Notes (Callable 03/15/15 @ 104.00)‡ (B, B2) 03/15/18 8.000 1,061,250
2,698,475
Household & Leisure Products (0.7%)
750 Activision Blizzard, Inc., Rule 144A, Company Guaranteed Notes (Callable 09/15/16 @ 104.22)‡ (BB+, Ba2) 09/15/21 5.625 804,375
550 Activision Blizzard, Inc., Rule 144A, Company Guaranteed Notes (Callable 09/15/18 @ 103.06)‡§ (BB+, Ba2) 09/15/23 6.125 600,188
1,404,563
Insurance Brokerage (0.8%)
1,100 A-S Merger Sub LLC, Rule 144A, Senior Unsecured Notes (Callable 12/15/15 @ 103.94)‡ (CCC+, Caa2) 12/15/20 7.875 1,182,500
300 Towergate Finance PLC, Rule 144A, Senior Secured Notes (Callable 05/15/14 @ 101.00)‡£# (NR, B1) 02/15/18 6.021 510,148
1,692,648
Investments & Misc. Financial Services (0.7%)
750 Cabot Financial Luxembourg S.A., Rule 144A, Senior Secured Notes (Callable 10/01/15 @ 107.78)‡£ (B+, B2) 10/01/19 10.375 1,431,665
Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS
Leisure (0.6%)
$ 1,250 Six Flags Entertainment Corp., Rule 144A, Company Guaranteed Notes (Callable 01/15/16 @ 103.94)‡§ (BB-, B3) 01/15/21 5.250 $ 1,262,500
Media - Cable (2.5%)
800 Altice Financing S.A., Rule 144A, Senior Secured Notes (Callable 12/15/16 @ 104.88)‡§ (BB-, B1) 01/15/22 6.500 846,000
150 Cablevision Systems Corp., Senior Unsecured Notes (B, B1) 04/15/18 7.750 171,937
600 Cablevision Systems Corp., Senior Unsecured Notes§ (B, B1) 04/15/20 8.000 702,750
1,000 DISH DBS Corp., Global Company Guaranteed Notes (BB-, Ba3) 06/01/21 6.750 1,122,500
500 Harron Finance Corp., Rule 144A, Senior Unsecured Notes (Callable 04/01/16 @ 104.56)‡ (B-, Caa1) 04/01/20 9.125 567,500
350 Unitymedia NRW GmbH, Rule 144A, Senior Secured Notes (Callable 03/15/15 @ 103.75)‡ (BB-, Ba3) 03/15/19 7.500 381,500
1,200 Virgin Media Finance PLC, Rule 144A, Company Guaranteed Notes (Callable 04/15/18 @ 103.19)‡§ (B, B2) 04/15/23 6.375 1,278,000
5,070,187
Media - Diversified (1.4%)
1,750 Block Communications, Inc., Rule 144A, Senior Unsecured Notes (Callable 02/01/16 @ 103.63)‡ (BB-, Ba3) 02/01/20 7.250 1,872,500
975 Netflix, Inc., Rule 144A, Senior Unsecured Notes‡§ (BB-, Ba3) 03/01/24 5.750 1,014,000
2,886,500
Media - Services (1.0%)
425 Clear Channel Worldwide Holdings, Inc., Global Company Guaranteed Notes (Callable 11/15/17 @ 103.25) (B, B1) 11/15/22 6.500 453,156
1,475 Clear Channel Worldwide Holdings, Inc., Series B, Global Company Guaranteed Notes (Callable 11/15/17 @ 103.25) (B, B1) 11/15/22 6.500 1,583,782
2,036,938
Medical Products (0.7%)
1,250 Polymer Group, Inc., Global Senior Secured Notes (Callable 02/01/15 @ 103.88) (B-, B1) 02/01/19 7.750 1,343,750
Metals & Mining - Excluding Steel (6.3%)
1,350 Boart Longyear Management Pty. Ltd., Rule 144A, Company Guaranteed Notes (Callable 04/01/16 @ 103.50)‡§ (CCC+, Caa2) 04/01/21 7.000 1,032,750
700 Boart Longyear Management Pty. Ltd., Rule 144A, Senior Secured Notes‡ (B, B2) 10/01/18 10.000 735,000
1,350 Calcipar S.A., Rule 144A, Senior Secured Notes (Callable 05/01/15 @ 103.44)‡ (BB, Ba3) 05/01/18 6.875 1,444,500
1,050 Eldorado Gold Corp., Rule 144A, Senior Unsecured Notes (Callable 12/15/16 @ 103.06)‡§ (BB, Ba3) 12/15/20 6.125 1,055,250
400 FMG Resources August 2006 Pty. Ltd., Rule 144A, Company Guaranteed Notes (Callable 11/01/15 @ 104.13)‡§ (BB-, Ba2) 11/01/19 8.250 441,500
1,100 Global Brass & Copper, Inc., Global Senior Secured Notes (Callable 06/01/16 @ 104.75) (B, B3) 06/01/19 9.500 1,276,000
1,841 KGHM International Ltd., Rule 144A, Company Guaranteed Notes (Callable 06/15/15 @ 103.88)‡ (BB-, B1) 06/15/19 7.750 1,951,460
700 Molycorp, Inc., Global Senior Secured Notes (Callable 06/01/16 @ 105.00)§ (CCC+, B3) 06/01/20 10.000 696,500
1,500 Noranda Aluminum Acquisition Corp., Global Company Guaranteed Notes (Callable 03/01/16 @ 105.50)§ (CCC+, Caa2) 06/01/19 11.000 1,391,250
1,700 Taseko Mines Ltd., Company Guaranteed Notes (Callable 04/15/15 @ 103.88) (B, B3) 04/15/19 7.750 1,742,500
1,500 Xinergy Corp., Rule 144A, Senior Secured Notes (Callable 05/15/15 @ 104.63)‡ (NR, NR) 05/15/19 9.250 1,080,000
12,846,710
Oil Field Equipment & Services (4.8%)
1,400 Calfrac Holdings LP, Rule 144A, Company Guaranteed Notes (Callable 12/01/15 @ 103.75)‡ (BB-, B1) 12/01/20 7.500 1,477,000
1,200 Pacific Drilling S.A., Reg S, Senior Unsecured Notes (NR, NR) 02/23/15 8.250 1,251,000
950 Parker Drilling Co., Rule 144A, Company Guaranteed Notes (Callable 01/15/18 @ 103.38)‡ (B+, B1) 07/15/22 6.750 983,250
Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS
Oil Field Equipment & Services
$ 586 Permian Holdings, Inc., Rule 144A, Senior Secured Notes (Callable 07/15/15 @ 107.88)‡ (B-, B3) 01/15/18 10.500 $ 599,185
1,600 Pioneer Energy Services Corp., Global Company Guaranteed Notes (Callable 03/15/15 @ 102.47) (B+, B2) 03/15/18 9.875 1,688,080
1,000 Shelf Drilling Holdings Ltd., Rule 144A, Senior Secured Notes (Callable 05/01/15 @ 104.31)‡§ (B+, B1) 11/01/18 8.625 1,087,500
1,500 Sidewinder Drilling, Inc., Rule 144A, Senior Unsecured Notes (Callable 11/15/16 @ 104.88)‡ (B-, B3) 11/15/19 9.750 1,492,500
1,000 Trinidad Drilling Ltd., Rule 144A, Company Guaranteed Notes (Callable 01/15/15 @ 103.94)‡ (BB, B1) 01/15/19 7.875 1,075,000
9,653,515
Oil Refining & Marketing (2.3%)
2,000 Coffeyville Finance, Inc., Global Secured Notes (Callable 11/01/17 @ 103.25)§ (B+, B2) 11/01/22 6.500 2,115,000
600 Northern Tier Finance Corp., Global Senior Secured Notes (Callable 11/15/2015 @ 105.34)§ (BB-, B1) 11/15/20 7.125 645,000
1,850 PBF Finance Corp., Global Senior Secured Notes (Callable 02/15/16 @ 104.13) (BB+, Ba3) 02/15/20 8.250 2,016,500
4,776,500
Packaging (1.3%)
1,000 Ardagh Holdings U.S.A., Inc., Rule 144A, Company Guaranteed Notes (Callable 01/31/17 @ 103.38)‡§ (CCC+, Caa1) 01/31/21 6.750 1,047,500
88 Ardagh Holdings U.S.A., Inc., Rule 144A, Senior Unsecured Notes (Callable 11/15/16 @ 103.50)‡ (NR, Caa1) 11/15/20 7.000 93,309
300 Ardagh Packaging Finance PLC, Rule 144A, Company Guaranteed Notes (Callable 10/15/15 @ 104.63)‡€ (CCC+, Caa1) 10/15/20 9.250 463,092
650 Reynolds Group Issuer LLC, Global Company Guaranteed Notes (Callable 02/15/16 @ 104.13)§ (CCC+, Caa2) 02/15/21 8.250 712,562
350 Reynolds Group Issuer LLC, Global Company Guaranteed Notes (Callable 10/15/14 @ 104.50) (CCC+, Caa2) 04/15/19 9.000 376,250
2,692,713
Pharmaceuticals (0.8%)
350 Capsugel Finance Co. S.C.A., Rule 144A, Company Guaranteed Notes (Callable 08/01/14 @ 107.41)‡€ (B-, B3) 08/01/19 9.875 532,435
750 Forest Laboratories, Inc., Rule 144A, Senior Unsecured Notes‡§ (BB+, Ba1) 02/15/21 4.875 794,063
400 inVentiv Health, Inc., Rule 144A, Company Guaranteed Notes (Callable 08/15/14 @ 105.00)‡ (CCC, Caa2) 08/15/18 11.000 372,000
1,698,498
Real Estate Development & Management (0.5%)
1,000 Rialto Corp., Rule 144A, Company Guaranteed Notes (Callable 12/01/15 @ 103.50)‡ (B, B2) 12/01/18 7.000 1,031,875
Real Estate Investment Trusts (1.0%)
1,850 CNL Lifestyle Properties, Inc., Global Company Guaranteed Notes (Callable 04/15/15 @ 103.63) (B, Ba3) 04/15/19 7.250 1,951,750
Restaurants (0.8%)
1,600 Seminole Hard Rock International LLC, Rule 144A, Company Guaranteed Notes (Callable 05/15/16 @ 104.41)‡ (BB-, B2) 05/15/21 5.875 1,620,000
Software/Services (4.9%)
1,850 Epicor Software Corp., Global Company Guaranteed Notes (Callable 05/01/15 @ 104.31) (CCC+, Caa1) 05/01/19 8.625 2,032,687
1,125 First Data Corp., Rule 144A, Senior Secured Notes (Callable 06/15/15 @ 103.69)‡ (B+, B1) 06/15/19 7.375 1,212,188
650 First Data Corp., Rule 144A, Senior Secured Notes (Callable 11/01/15 @ 105.06)‡ (B+, B1) 11/01/20 6.750 702,000
400 Infor U.S., Inc., Global Company Guaranteed Notes (Callable 04/01/15 @ 107.03) (B-, Caa1) 04/01/19 9.375 452,500
625 Infor U.S., Inc., Global Company Guaranteed Notes (Callable 04/01/15 @ 107.50)€ (B-, Caa1) 04/01/19 10.000 975,542
Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS
Software/Services
$ 1,500 NeuStar, Inc., Global Company Guaranteed Notes (Callable 01/15/18 @ 102.25) (BB-, Ba3) 01/15/23 4.500 $ 1,308,750
1,003 Serena Software, Inc., Global Company Guaranteed Notes (CCC+, Caa1) 03/15/16 10.375 1,010,523
400 SSI Co-Issuer LLC, Global Company Guaranteed Notes (Callable 06/01/14 @ 105.56) (CCC+, Caa1) 06/01/18 11.125 428,500
1,598 Syniverse Holdings, Inc., Global Company Guaranteed Notes (Callable 01/15/15 @ 104.56) (B-, Caa1) 01/15/19 9.125 1,745,815
9,868,505
Specialty Retail (0.7%)
1,350 Brown Shoe Co., Inc., Global Company Guaranteed Notes (Callable 05/15/14 @ 105.34) (B+, B3) 05/15/19 7.125 1,434,375
Steel Producers/Products (1.5%)
1,450 GrafTech International Ltd., Global Company Guaranteed Notes (Callable 11/15/16 @ 103.19)§ (BB+, Ba2) 11/15/20 6.375 1,500,750
550 JMC Steel Group, Inc., Rule 144A, Senior Notes (Callable 03/15/15 @ 104.13)‡ (B-, Caa1) 03/15/18 8.250 564,438
1,000 Tempel Steel Co., Rule 144A, Senior Secured Notes (Callable 08/15/14 @ 106.00)‡ (CCC+, Caa1) 08/15/16 12.000 945,000
3,010,188
Support-Services (5.4%)
600 CDL Acquisition Co., Inc., Rule 144A, Senior Secured Notes (Callable 04/15/16 @ 106.19)‡ (B+, B2) 10/15/18 8.250 643,500
1,250 CoreLogic, Inc., Global Company Guaranteed Notes (Callable 06/01/16 @ 103.63) (B+, B1) 06/01/21 7.250 1,359,375
1,000 DigitalGlobe, Inc., Company Guaranteed Notes (Callable 02/01/17 @ 102.63)§ (BB, B1) 02/01/21 5.250 992,500
500 Emdeon, Inc., Global Company Guaranteed Notes (Callable 12/31/15 @ 105.50)§ (CCC+, Caa1) 12/31/19 11.000 583,125
750 Garda World Security Corp., Rule 144A, Company Guaranteed Notes (Callable 11/15/16 @ 105.44)‡§ (B-, B3) 11/15/21 7.250 804,375
1,731 H&E Equipment Services, Inc., Global Company Guaranteed Notes (Callable 09/01/17 @ 103.50) (B+, B3) 09/01/22 7.000 1,912,755
500 Sabre GLBL, Inc., Rule 144A, Senior Secured Notes (Callable 05/15/15 @ 106.38)‡ (B, B1) 05/15/19 8.500 554,375
950 Safway Finance Corp., Rule 144A, Secured Notes (Callable 05/15/15 @ 103.50)‡ (B, B3) 05/15/18 7.000 1,016,500
575 The Geo Group, Inc., Global Company Guaranteed Notes (Callable 02/15/16 @ 103.31) (B+, B1) 02/15/21 6.625 619,562
1,095 The Geo Group, Inc., Global Company Guaranteed Notes (Callable 04/01/18 @ 102.56)§ (B+, B1) 04/01/23 5.125 1,078,575
1,200 United Rentals North America, Inc., Global Company Guaranteed Notes (Callable 05/15/16 @ 103.69) (BB-, B2) 05/15/20 7.375 1,330,500
10,895,142
Telecom - Integrated/Services (2.2%)
350 Hellas Telecommunications Luxembourg II S.C.A., Rule 144A, Subordinated Notes‡^ø 1 (NR, NR) 01/15/15 0.000 —
322 Hughes Satellite Systems Corp., Global Company Guaranteed Notes (B-, B3) 06/15/21 7.625 364,665
600 Intelsat Jackson Holdings S.A., Global Company Guaranteed Notes (Callable 04/01/15 @ 103.63) (B+, B3) 04/01/19 7.250 648,000
750 Intelsat Jackson Holdings S.A., Global Company Guaranteed Notes (Callable 04/01/16 @ 103.75) (B+, B3) 04/01/21 7.500 826,875
250 Intelsat Luxembourg S.A., Rule 144A, Company Guaranteed Notes (Callable 06/01/15 @ 103.38)‡ (B-, Caa2) 06/01/18 6.750 265,625
800 Intelsat Luxembourg S.A., Rule 144A, Company Guaranteed Notes (Callable 06/01/17 @ 103.88)‡§ (B-, Caa2) 06/01/21 7.750 845,000
400 Telesat LLC, Rule 144A, Senior Unsecured Notes (Callable 05/15/14 @ 103.00)‡ (B, B3) 05/15/17 6.000 415,000
950 Zayo Capital, Inc., Global Senior Secured Notes (Callable 07/01/15 @ 104.06) (B, B1) 01/01/20 8.125 1,046,187
4,411,352
Par (000) Ratings† (S&P/Moody’s) Maturity Value
CORPORATE BONDS
Telecom - Wireless (0.8%)
$ 800 Sprint Corp., Rule 144A, Company Guaranteed Notes‡ (BB-, B1) 06/15/24 7.125 $ 842,000
600 Wind Acquisition Finance S.A., Rule 144A, Secured Notes (Callable 07/15/14 @ 102.94)‡ (B+, B3) 07/15/17 11.750 772,572
1,614,572
Telecommunications Equipment (1.5%)
1,200 Avaya, Inc., Rule 144A, Senior Secured Notes (Callable 04/01/15 @ 103.50)‡§ (B, B1) 04/01/19 7.000 1,197,000
1,700 Brightstar Corp., Rule 144A, Company Guaranteed Notes (Callable 12/01/14 @ 104.75)‡ (BB+, Ba1) 12/01/16 9.500 1,861,500
3,058,500
Textiles & Apparel (0.3%)
150 IT Holding Finance S.A., Company Guaranteed Notes€ø (NR, NR) 11/15/25 9.875 2,036
500 Takko Luxembourg 2 S.C.A., Rule 144A, Senior Secured Notes (Callable 04/15/16 @ 104.94)‡€ (B-, B3) 04/15/19 9.875 647,433
649,469
Theaters & Entertainment (2.6%)
857 AMC Entertainment, Inc., Global Company Guaranteed Notes (Callable 12/01/15 @ 104.88) (B-, B3) 12/01/20 9.750 991,977
775 AMC Entertainment, Inc., Rule 144A, Company Guaranteed Notes (Callable 02/15/17 @ 104.41)‡§ (B-, B3) 02/15/22 5.875 790,500
650 Carmike Cinemas, Inc., Global Secured Notes (Callable 05/15/15 @ 105.53)§ (B, B2) 05/15/19 7.375 712,563
1,815 National CineMedia LLC, Global Senior Unsecured Notes (Callable 07/15/16 @ 103.94) (B, B2) 07/15/21 7.875 2,012,381
650 WMG Acquisition Corp., Rule 144A, Senior Secured Notes (Callable 01/15/16 @ 104.50)‡ (B+, B1) 01/15/21 6.000 680,875
5,188,296
Tobacco (0.3%)
650 Vector Group Ltd., Global Senior Secured Notes (Callable 02/15/16 @ 105.81) (B+, Ba3) 02/15/21 7.750 702,000
Transportation - Excluding Air/Rail (0.2%)
400 Navios Maritime Finance II U.S., Inc., Rule 144A, Senior Secured Notes (Callable 01/15/17 @ 105.53)‡ (BB-, B1) 01/15/22 7.375 410,000
TOTAL CORPORATE BONDS (Cost $149,334,781) 155,367,297
BANK LOANS (12.5%)
Beverages (0.2%)
500 Del Monte Foods, Inc.# (CCC+, Caa1) 08/18/21 8.250 498,750
Chemicals (2.0%)
1,000 Oxbow Carbon & Minerals Holdings, Inc.# (BB-, B2) 01/18/20 8.000 1,025,000
2,000 Ravago Holdings America, Inc.# (BB-, B2) 12/18/20 5.500 2,021,250
1,000 Royal Adhesives and Sealants LLC# (CCC+, Caa2) 01/31/19 9.750 1,027,500
4,073,750
Consumer Products (0.8%)
1,500 Ranpak Corp.# (B-, Caa1) 04/23/20 8.500 1,535,625
Diversified Capital Goods (0.5%)
434 Flint Group Holdings Sarl# (NR, NR) 06/30/18 7.334 438,242
611 Flint Group Holdings Sarl# (NR, NR) 12/31/18 7.334 604,047
1,042,289
Electronics (0.8%)
1,500 Fidji Luxembourg Sarl# (BB-, B1) 12/27/20 6.250 1,515,000
Energy - Exploration & Production (0.7%)
1,001 Delek Benelux B.V.€# (NR, NR) 02/08/17 5.367 1,385,141
Par (000) Ratings† (S&P/Moody’s) Maturity Value
BANK LOANS
Financial Services (0.5%)
$ 1,000 MergerMarket U.S.A., Inc.# (CCC+, Caa2) 01/07/22 7.500 $ 998,750
Gaming (0.5%)
1,000 Abercrombie & Kent U.S. Group Holdings, Inc.# (NR, NR) 12/09/18 5.000 950,000
Hotels (0.6%)
1,250 Four Seasons Holdings, Inc.# (B-, Caa1) 12/28/20 6.250 1,273,437
Investments & Misc. Financial Services (1.3%)
1,000 Ascensus, Inc.# (CCC+, Caa1) 12/11/20 9.000 1,030,000
750 ION Trading Technologies Sarl# (CCC+, Caa2) 05/22/21 8.250 761,561
856 StoneRiver Group LP# (CCC+, Caa1) 05/29/20 8.500 867,450
2,659,011
Machinery (0.6%)
1,250 CPM Acquisition Corp.# (B, Caa1) 03/01/18 10.250 1,271,875
Oil Field Equipment & Services (0.5%)
1,000 Shelf Drilling Holdings Ltd.# (B+, B2) 10/08/18 10.000 1,026,250
Printing & Publishing (0.1%)
1,209 Hibu PLC# (NR, NR) 07/31/14 1.500 284,194
Software/Services (1.0%)
1,000 Intralinks, Inc.# (NR, NR) 02/24/19 7.250 997,500
1,000 Wall Street Systems Holdings, Inc.# (B-, Caa2) 10/25/20 9.250 1,010,625
2,008,125
Specialty Retail (0.8%)
1,500 BJ’s Wholesale Club, Inc.# (CCC, Caa2) 03/31/20 8.500 1,539,750
Telecom - Integrated/Services (0.8%)
1,000 Coronado Guarantor LLC# (CCC+, Caa1) 05/25/21 8.750 1,016,250
633 LTS Buyer LLC# (CCC+, Caa1) 03/28/21 8.000 645,941
1,662,191
Telecom - Wireless (0.4%)
986 Maritime Telecommunications Network, Inc.# (B+, NR) 03/04/16 7.500 858,082
Theaters & Entertainment (0.4%)
1,000 CKX Entertainment, Inc.# (B+, B1) 06/21/17 9.000 890,000
TOTAL BANK LOANS (Cost $24,988,214) 25,472,220
ASSET BACKED SECURITIES (8.7%)
Collateralized Debt Obligations (8.7%)
1,000 Babson CLO Ltd., 2013-IA, Rule 144A‡# (BB, NR) 04/20/25 4.637 913,777
1,000 Carlyle Global Market Strategies CLO Ltd., 2012-4A, Rule 144A‡ 1 (NR, NR) 01/20/25 0.000 920,000
2,000 CIFC Funding Ltd., 2012-2X# (BB-, NR) 12/05/24 6.236 2,001,828
1,000 ECP CLO Ltd., 2013-5A, Rule 144A‡# (BB, NR) 01/20/25 4.436 898,143
1,000 Gale Force 4 CLO Ltd., 2007-4A, Rule 144A‡# (BBB, Ba1) 08/20/21 3.735 990,743
1,000 Greywolf CLO Ltd., 2014-1A, Rule 144A‡^# (BB, NR) 04/22/26 5.333 943,200
1,000 Halcyon Loan Advisors Funding Ltd., 2012-2A, Rule 144A‡# (BB, NR) 12/20/24 5.635 965,176
1,000 ING Investment Management CLO Ltd., 2012-1RA, Rule 144A‡# (B, NR) 03/14/22 7.235 1,000,494
1,000 Jamestown CLO III Ltd., 2013-3A, Rule 144A‡# (BB-, NR) 01/15/26 4.843 915,094
1,000 JFIN CLO Ltd., 2013-1A, Rule 144A‡# (BB, NR) 01/20/25 4.987 924,265
500 Ocean Trails CLO IV, 2013-4A, Rule 144A‡# (B, NR) 08/13/25 6.137 468,815
1,000 OFSI Fund VI Ltd., 2014-6A, Rule 144A‡# (BB, NR) 03/20/25 5.236 899,515
1,000 OZLM Funding V Ltd., 2013-5A, Rule 144A‡# (BB, NR) 01/17/26 5.028 926,130
1,000 Shackleton I CLO Ltd., 2012-1A, Rule 144A‡# (BBB, NR) 08/14/23 4.984 1,002,698
1,500 Shackleton I CLO Ltd., 2012-1A, Rule 144A‡# (BB, NR) 08/14/23 6.434 1,499,888
1,000 Shackleton II CLO Ltd., 2012-2A, Rule 144A‡# (BB, NR) 10/20/23 5.437 960,555
1,000 TICP CLO I Ltd., 2014-1A, Rule 144A‡^# (BB, NR) 04/26/26 4.734 901,250
556 Venture X CLO Ltd., 2012-12A, Rule 144A‡# (BB, NR) 02/28/24 5.533 534,291
TOTAL ASSET BACKED SECURITIES (Cost $17,238,707) 17,665,862
Par (000) Ratings† (S&P/Moody’s) Maturity Rate% Value
MUNICIPAL BOND (0.3%)
Puerto Rico (0.3%)
$ 600 Commonwealth of Puerto Rico (Callable 07/01/20 @ 100.00) (Cost $558,030) (BB+, Ba2) 07/01/35 8.000 $ 560,436
Number of Shares
COMMON STOCKS (0.3%)
Automakers (0.0%)
1,219 Safelite Realty Corp.^* —
Building & Construction (0.1%)
14,400 Ashton Woods U.S.A. LLC, Class B^* 241,056
Building Materials (0.0%)
372 Dayton Superior Corp.^* —
Chemicals (0.1%)
4,893 Huntsman Corp. 119,487
Gaming (0.0%)
36,250 Majestic Holdco LLC* 24,469
1,500 Progressive Gaming International Corp.* 2
24,471
Media - Broadcast (0.1%)
26,986 Cumulus Media, Inc., Class A§* 186,473
TOTAL COMMON STOCKS (Cost $375,436) 571,487
PREFERRED STOCK (0.0%)
Building Materials (0.0%)
413 Dayton Superior Corp.^* (Cost $156,000) —
SHORT-TERM INVESTMENTS (12.7%)
23,558,615 State Street Navigator Prime Portfolio, 0.16%§§ 23,558,615
Par (000) Maturity Rate%
$ 2,301 State Street Bank and Trust Co. Euro Time Deposit 04/01/14 0.010 2,301,000
TOTAL SHORT-TERM INVESTMENTS (Cost $25,859,615) 25,859,615
TOTAL INVESTMENTS AT VALUE (111.0%) (Cost $218,510,783) 225,496,917
LIABILITIES IN EXCESS OF OTHER ASSETS (-11.0%) (22,380,366 )
NET ASSETS (100.0%) $ 203,116,551

INVESTMENT ABBREVIATIONS

NR = Not Rated

PIK = Payment in Kind

Reg S = Regulation S

† Credit ratings given by the Standard & Poor’s Division of The McGraw-Hill Companies, Inc. (“S&P”) and Moody’s Investors Service, Inc. (“Moody’s”) are unaudited.

‡ Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At March 31, 2014, these securities amounted to a value of $84,858,298 or 41.8% of net assets.

§ Security or portion thereof is out on loan.

€ This security is denominated in Euro.

^ Not readily marketable security; security is valued at fair value as determined in good faith by, or under the direction of, the Board of Directors.

  • Non-income producing security.

1 Zero-coupon security.

£ This security is denominated in British Pound.

Variable rate obligations — The interest rate is the rate as of March 31, 2014.

ø Bond is currently in default.

§§ Represents security purchased with cash collateral received for securities on loan. The rate shown is the annualized one-day yield at March 31, 2014.

At March 31, 2014, Open Forward Foreign Currency Contracts were as follows:

Forward Foreign Currency to be Purchased (Local) — EUR 1,100,000 Forward Foreign Currency to be Sold (Local) — USD 1,487,236 Expiration Date — 04/16/14 Counterparty — Morgan Stanley Value on Settlement Date — $ 1,487,236 $ 1,516,028 $ 28,792
USD 8,326,312 EUR 6,100,000 04/16/14 Morgan Stanley (8,326,312 ) (8,407,066 ) (80,754 )
USD 1,963,560 GBP 1,200,000 04/16/14 Morgan Stanley (1,963,560 ) (2,000,367 ) (36,807 )
$ (88,769 )

Currency Abbreviations:

EUR = Euro

GBP = British Pound

USD = United States Dollar

SECURITY VALUATION — The net asset value of the Fund is determined daily as of the close of regular trading on the New York Stock Exchange, Inc. (the “Exchange”) on each day the Exchange is open for business. The valuations for fixed income securities (which may include, but are not limited to, corporate, government, municipal, mortgage-backed, collateralized mortgage obligations and asset-backed securities) and certain derivative instruments are typically the prices supplied by independent third party pricing services, which may use market prices or broker/dealer quotations or a variety of valuation techniques and methodologies. The independent third party pricing services use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar securities. Short-term fixed income securities that will mature in 60 days or less may be valued at amortized cost. Structured note agreements are valued in accordance with a dealer-supplied valuation based on changes in the value of the underlying index. Futures contracts are valued daily at the settlement price established by the board of trade or exchange on which they are traded. Forward contracts are valued at the London closing spot rates and the London closing forward point rates on a daily basis. The currency forward contract pricing model derives the differential in point rates to the expiration date of the forward and calculates its present value. The forward is valued at the net of the present value and the spot rate and are generally categorized as Level 2. Equity securities for which market quotations are available are valued at the last reported sales price or official closing price on the primary market or exchange on which they trade. The Fund may utilize a service provided by an independent third party which has been approved by the Board of Directors to fair value certain securities. When fair value pricing is employed, the prices of securities used by the Fund to calculate its net asset value may differ from quoted or published prices for the same securities. If independent third party pricing services are unable to supply prices for a portfolio investment, or if the prices supplied are deemed by the investment adviser to be unreliable, the market price may be determined by the investment adviser using quotations from one or more broker/dealers or at the transaction price if the security has recently been purchased and no value has yet been obtained from a pricing service or pricing broker. When reliable prices are not readily available, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded, but before the Fund calculates its net asset value, the Fund values these securities as determined in accordance with procedures approved by the Fund’s Board of Directors.

The Fund uses valuation techniques to measure fair value that are consistent with the market approach and/or income approach, depending on the type of security and the particular circumstance. The market approach uses prices and other relevant information generated by market transactions involving identical or comparable securities. The income approach uses valuation techniques to discount estimated future cash flows to present value.

Accounting principles generally accepted in the United States of America (“GAAP”) established a disclosure hierarchy that categorizes the inputs to valuation techniques used to value assets and liabilities at measurement date. These inputs are summarized in the three broad levels listed below:

• Level 1–quoted prices in active markets for identical investments

• Level 2–other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)

• Level 3–significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)

The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

The following is a summary of the inputs used as of March 31, 2014 in valuing the Fund’s assets and liabilities carried at fair value:

Level 1 Level 2 Total
Investments in Securities
Corporate Bonds $ — $ 155,363,321 $ 3,976 $ 155,367,297
Bank Loans — 18,501,497 6,970,723 25,472,220
Asset Backed Securities — 15,821,412 1,844,450 17,665,862
Municipal Bonds — 560,436 — 560,436
Common Stocks 305,962 24,469 241,056 571,487
Preferred Stocks — — 0 0
Short-term Investments — 25,859,615 — 25,859,615
Other Financial Instruments*
Forward Foreign Currency Contracts — (88,769 ) — (88,769 )
$ 305,962 $ 216,041,981 $ 9,060,205 $ 225,408,148
  • Other financial instruments include unrealized appreciation/(depreciation) on forward foreign currency contracts.

The following is a reconciliation of investments as of March 31, 2014 in which significant unobservable inputs (Level 3) were used in determining value. Transfers in or out of Level 3 represent the end of the period value of any security or instrument where a change in the level has occurred from the beginning to the end of the period.

Balance as of December 31, 2013 Corporate Bonds — $ 3,943 $ 6,992,382 Asset Backed — $ — Common Stocks — $ 214,704 Preferred Stock — $ 0 Total — $ 7,211,029
Accrued discounts/premiums 4 31,726 — — — 31,730
Purchases — (4,120 ) 1,844,450 — — 1,840,330
Sales — (13,698 ) — — — (13,698 )
Realized gain/(loss) (850,050 ) 1,469 — — — (848,581 )
Change in Unrealized appreciation/(depreciation) 850,079 (37,036 ) — 26,352 0 839,395
Transfers Into Level 3 — — — — — —
Transfers Out of Level 3 — — — — — —
Balance as of March 31, 2014 $ 3,976 $ 6,970,723 $ 1,844,450 $ 241,056 $ — $ 9,060,205
Net change in unrealized appreciation/(depreciation) from investments still held as of March 31, 2014 $ 114 $ (37,062 ) $ — $ 26,352 $ 0 $ (10,596 )

The Fund follows Financial Accounting Standards Board (“FASB”) amendments to authoritative guidance which require the Fund to disclose details of transfers in and out of Level 1 and Level 2 measurements and Level 2 and Level 3 measurements and the reasons for the transfers. For the quarter ended March 31, 2014, there were no transfers in and out of Level 1, Level 2 and Level 3. All transfers are assumed to occur at the end of the reporting period.

Federal Income Tax Cost - At March 31, 2014, the cost of investments (excluding foreign currency related transactions) and net unrealized appreciation/(depreciation) for income tax purposes were as follows:

Cost of investments $
Unrealized appreciation $ 9,569,274
Unrealized depreciation (2,583,140 )
Net unrealized appreciation/(depreciation) $ 6,986,134

Other information regarding the Fund is available in the most recent Report to Shareholders. This information is also available on the Fund’s website at www.credit-suisse.com/us/funds as well as on the website of the Securities and Exchange Commission at www.sec.gov.

Item 2: Controls and Procedures

(a) As of a date within 90 days from the filing date of this report, the principal executive officer and principal financial officer concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the “Act”)), were effective based on their evaluation of the disclosure controls and procedures required by Rule 30a-3(b) under the Act and Rules 13a-15(b) or 15d-15(b) under the Securities and Exchange Act of 1934.

(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

Item 3: Exhibits

  1. The certifications of the registrant as required by Rule 30a-2(a) under the Act are exhibits to this report.

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.

CREDIT SUISSE ASSET MANAGEMENT INCOME FUND, INC.

/s/John G. Popp

Name: John G. Popp

Title: Chief Executive Officer and President

Date: May 16, 2014

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.

/s/John G. Popp

Name: John G. Popp

Title: Chief Executive Officer and President

Date: May 16, 2014

/s/Bruce S. Rosenberg

Name: Bruce S. Rosenberg

Title: Chief Financial Officer

Date: May 16, 2014

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