OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS
 JUNE 30, 2024
 
(Unaudited)

   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Debt Investments
                   
 
Structured Finance - Debt Investments
                   
                         
   
Ares XXXVII CLO Ltd.
                   
   
CLO secured notes - Class ER(3)(17), 12.86% (SOFR + 7.53%, due October 15, 2030)
6/23/2022
 
 $                    7,300,000
 
 $              5,614,748
 
 $              6,402,830
   
                         
   
BlueMountain CLO 2015-4 Ltd.
                   
   
CLO secured notes - Class ER(3)(17), 11.54% (SOFR + 6.21%, due April 20, 2030)
1/19/2022
 
                          837,000
 
                    805,781
 
                    822,353
   
                         
   
BlueMountain CLO 2018-1 Ltd.
                   
   
CLO secured notes - Class F(3)(17), 13.80% (SOFR + 8.47%, due July 30, 2030)
11/18/2019
 
                       8,500,000
 
                 6,895,390
 
                 5,581,950
   
                         
   
BlueMountain Fuji US CLO II Ltd.
                   
   
CLO secured notes - Class D(3)(17), 11.74% (SOFR + 6.41%, due October 20, 2030)
11/09/2022
 
                       4,750,000
 
                 3,959,583
 
                 4,487,325
   
                         
   
Elevation CLO 2017-6, Ltd.
                   
   
CLO secured notes - Class F(3)(17), 13.99% (SOFR + 8.66%, due July 15, 2029)
8/03/2022
 
                       2,500,000
 
                 2,059,227
 
                 2,006,250
   
                         
   
Highbridge Loan Management 5-2015, Ltd.
                   
    CLO secured notes - Class ERR(3)(17), 11.59% (SOFR + 6.26%, due October 15, 2030)
 9/18/2023     3,750,000    3,305,415    3,607,125    
   
CLO secured notes - Class FRR(3)(17), 13.59% (SOFR + 8.26%, due October 15, 2030)
8/03/2021
 
                       4,375,000
 
                 3,875,461
 
                 3,504,375
   
                         
   
Highbridge Loan Management 2013-2, Ltd.
                   
   
CLO secured notes - Class ER(3)(17), 13.84% (SOFR + 8.51%, due October 20, 2029)
4/20/2022
 
                       2,500,000
 
                 2,213,482
 
                 1,894,500
   
                         
   
Longfellow Place CLO, Ltd.
                   
   
CLO secured notes - Class FRR(3)(6)(17), 14.09% (SOFR + 8.76%, due April 15, 2029)
3/26/2019
 
                       5,015,707
 
                 4,273,462
 
                    568,280
   
                         
   
Midocean Credit CLO VI
                   
   
CLO secured notes - Class F(3)(17), 13.60% (SOFR + 8.27%, due April 20, 2033)
3/12/2021
 
                       4,000,000
 
                 3,413,187
 
                 3,717,200
   
                         
   
Nassau 2017-II Ltd.
                   
   
CLO secured notes - Class E(3)(17), 11.84% (SOFR + 6.51%, due January 15, 2030)
1/07/2022
 
                       7,030,000
 
                 6,616,521
 
                 3,204,274
   
                         
   
Octagon Investment Partners 36, Ltd.
                   
   
CLO secured notes - Class F(3)(17), 13.34% (SOFR + 8.01%, due April 15, 2031)
9/08/2023
 
                          600,000
 
                    414,075
 
                    458,280
   
                         
   
OFSI BSL VIII, Ltd.
                   
   
CLO secured notes - Class E(3)(17), 11.98% (SOFR + 6.65%, due August 16, 2029)
7/12/2022
 
                       4,000,000
 
                 3,219,398
 
                 3,860,800
   
                         
   
OZLM IX, Ltd.
                   
   
CLO secured notes - Class ERR(3)(17), 13.93% (SOFR + 8.60%, due October 20, 2031)
6/16/2023
 
                       1,500,000
 
                    895,915
 
                 1,164,600
   
                         
   
Regatta XXVI Funding Ltd.
                   
   
CLO secured notes - Class E(3)(9)(17), 13.13% (SOFR + 7.90%, due January 25, 2037)
10/31/2023
 
                       9,500,000
 
                 9,318,008
 
                 9,825,850
   
                         
   
Rockford Tower CLO 2022-1, Ltd.
                   
   
CLO secured notes - Class E(3)(17), 12.66% (SOFR  + 7.34%, due July 20, 2035)
5/06/2022
 
                       3,750,000
 
                 3,718,488
 
                 3,681,000
   
                         
   
Sound Point CLO V-R, Ltd.
                   
   
CLO secured notes - Class F(3)(17), 13.69% (SOFR  + 8.36%, due July 18, 2031)
5/25/2022
 
                       1,250,000
 
                    874,337
 
                    349,000
   
                         
   
Voya CLO 2018-4, Ltd.
                   
   
CLO secured notes - Class F(3)(17), 14.59% (SOFR + 9.26%, due January 15, 2032)
1/03/2024
 
                       6,000,000
 
                 5,450,515
 
                 5,943,600
   
                         
   
Wind River 2023-1 CLO Ltd.
                   
   
CLO secured notes - Class E(3)(17), 13.84% (SOFR + 8.52%, due April 25, 2036)
3/13/2023
 
                     10,000,000
 
                 9,637,103
 
               10,323,000
   
                         
                         
 
Total Structured Finance - Debt Investments
         
 $                 76,560,096
 
 $                 71,402,592
 
5.07%
   
Total Collateralized Loan Obligation - Debt Investments
     
 $                 76,560,096
 
 $                 71,402,592
 
5.07%
                         
                         
Collateralized Loan Obligation - Equity Investments
                   
 
Structured Finance - Equity Investments
                   
                         
   
522 Funding CLO I Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 24.36%, maturity April 15, 2035)
3/03/2023
 
                     29,800,000
 
               13,018,477
 
                 9,859,610
   
                         
   
AIMCO CLO, Series 2015-A
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 13.92%, maturity October 17, 2034)
8/25/2021
 
                     13,548,313
 
                 7,739,882
 
                 6,638,673
   
                         
   
AIG CLO 2018-1, LLC
                   
   
CLO subordinated notes(5)(7), (Estimated yield 23.16%, maturity April 20, 2037)
4/25/2023
 
                     20,518,400
 
               13,824,001
 
               15,099,491
   
                         
   
Allegro CLO II-S, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity October 21, 2028)
2/06/2020
 
                     20,800,000
 
                 3,670,680
 
                             -
   
                         
   
ALM XVII, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity January 15, 2028)
3/04/2019
 
                       6,500,000
 
                             -
 
                        1,300
   
                         
   
AMMC CLO XII, Limited
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity November 10, 2030)
9/10/2021
 
                     24,350,000
 
                 2,526,744
 
                    365,250
   
                         
   
AMMC CLO 25, Limited
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 24.99%, maturity April 15, 2035)
4/27/2022
 
                     19,000,000
 
               13,722,108
 
               14,820,000
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
Anchorage Capital CLO 1-R, Ltd.
                   
   
CLO subordinated notes(5)(7)(10), (Estimated yield 14.55%, maturity April 13, 2031)
8/13/2020
 
 $                  12,150,000
 
 $              1,552,364
 
 $              1,065,555
   
                         
   
Anchorage Capital CLO 4-R, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10)(11), (Estimated yield 0.00%, maturity January 28, 2031)
5/20/2019
 
                       9,000,000
 
                    839,851
 
                    242,100
   
                         
   
Anchorage Capital CLO 5-R, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity January 15, 2030)
7/16/2019
 
                     27,316,000
 
                    792,280
 
                      88,810
   
                         
   
Anchorage Capital CLO 17, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 13.80%, maturity July 15, 2034)
6/04/2021
 
                     27,500,000
 
               19,754,708
 
               13,200,000
   
                         
   
Anchorage Capital CLO 25, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.29%, maturity April 20, 2035)
4/24/2023
 
                     10,000,000
 
                 6,482,372
 
                 5,300,000
   
                         
   
Apex Credit CLO 2015-II, Ltd. (fka: JFIN CLO 2015-II Ltd.)
               
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity October 17, 2026)
11/22/2016
 
                       5,750,000
 
                 2,124,917
 
                    472,075
   
                         
   
Apex Credit CLO 2018 Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity April 25, 2031)
3/14/2018
 
                     12,420,000
 
                 3,128,579
 
                    614,005
   
                         
   
Apex Credit CLO 2019 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 9.92%, maturity April 18, 2032)
5/13/2019
 
                     17,500,000
 
               11,333,931
 
                 6,010,847
   
                         
   
Apex Credit CLO 2019-II Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.94%, maturity October 25, 2032)
10/27/2020
 
                       4,500,000
 
                 2,171,666
 
                 1,689,014
   
                         
   
Apidos CLO XVIII-R
                   
   
CLO subordinated notes(5)(7), (Estimated yield 35.50%, maturity October 22, 2030)
6/24/2022
 
                       7,500,000
 
                 2,701,826
 
                 3,300,000
   
                         
   
Apidos CLO XXIII
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.70%, maturity April 15, 2033)
4/01/2022
 
                       5,000,000
 
                 3,033,388
 
                 2,928,400
   
                         
   
Apidos CLO XXIV
                   
   
CLO subordinated notes(5)(7), (Estimated yield 27.42%, maturity October 20, 2030)
2/10/2022
 
                       5,000,000
 
                 1,329,339
 
                 1,300,000
   
                         
   
Apidos CLO XXXIV
                   
   
CLO subordinated notes(5)(7), (Estimated yield 15.69%, maturity January 20, 2035)
1/13/2022
 
                       9,950,000
 
                 6,851,512
 
                 6,766,000
   
                         
   
Ares XXVII CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 13.60%, maturity October 28, 2034)
3/06/2019
 
                     27,871,690
 
               12,325,056
 
                 8,722,968
   
                         
   
Ares XXXIV CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.73%, maturity April 17, 2033)
8/30/2021
 
                     26,500,000
 
                 9,018,258
 
                 7,179,630
   
                         
   
Ares XXXVR CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.77%, maturity July 15, 2030)
9/13/2022
 
                       7,000,000
 
                 2,162,135
 
                 1,536,377
   
                         
   
Ares XXXVII CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 24.38%, maturity October 15, 2030)
2/12/2019
 
                     33,500,000
 
                 7,259,258
 
                 4,117,809
   
                         
   
Ares XL CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 16.96%, maturity January 15, 2029)
11/30/2017
 
                     41,274,000
 
                 5,288,901
 
                 3,284,784
   
                         
   
Ares XLII CLO Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity January 22, 2028)
6/23/2021
 
                     21,910,000
 
                 4,750,215
 
                 1,954,372
   
                         
   
Ares XLIV CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 28.36%, maturity April 15, 2034)
12/15/2023
 
                   111,500,000
 
               31,038,365
 
               30,935,512
   
                         
   
ARES XLVI CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(10), (Estimated yield 20.46%, maturity January 15, 2030)
1/25/2022
 
                       6,400,000
 
                    819,019
 
                    528,820
   
                         
   
Ares XLIX CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.49%, maturity July 22, 2030)
8/19/2022
 
                       7,600,000
 
                 2,316,312
 
                 2,006,659
   
                         
   
Ares LVII CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.07%, maturity January 25, 2035)
8/22/2022
 
                     21,200,000
 
               12,647,259
 
               11,683,986
   
                         
   
Ares LXI CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 14.42%, maturity April 20, 2037)
8/25/2021
 
                     13,000,000
 
               10,188,377
 
                 7,540,000
   
                         
   
Ares LXVII CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 25.35%, maturity January 25, 2036)
10/31/2022
 
                       9,180,000
 
                 7,543,753
 
                 8,347,861
   
                         
   
Ares LXIV CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 26.97%, maturity April 15, 2035)
6/08/2023
 
                       7,200,000
 
                 4,733,502
 
                 5,329,395
   
                         
   
Atlas Senior Loan Funding XVII, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 16.49%, maturity October 20, 2034)
9/20/2021
 
                       6,000,000
 
                 4,412,192
 
                 3,180,000
   
                         
   
Atlas Senior Loan Fund XVIII, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 15.16%, maturity January 18, 2035)
4/21/2022
 
                       6,000,000
 
                 3,762,230
 
                 2,580,000
   
                         
   
Atrium XV
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 15.78%, maturity January 23, 2048)
9/17/2019
 
                     21,000,000
 
               12,585,609
 
               11,130,000
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
Battalion CLO VII Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity July 17, 2028)
7/03/2018
 
 $                  26,900,000
 
 $              2,748,141
 
 $                     8,070
   
                         
   
BlueMountain Fuji US CLO II Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 9.28%, maturity October 20, 2030)
2/13/2020
 
                     27,980,000
 
               10,078,341
 
                 4,616,700
   
                         
   
BlueMountain CLO 2015-4 Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity April 20, 2030)
7/22/2020
 
                       9,644,700
 
                 2,377,206
 
                 1,157,364
   
                         
   
BlueMountain CLO 2016-3 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.39%, maturity November 15, 2030)
8/18/2020
 
                       9,897,500
 
                 3,403,030
 
                 2,771,300
   
                         
   
BlueMountain CLO 2018-1 Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 30, 2030)
1/14/2020
 
                       9,000,000
 
                 1,026,116
 
                    585,000
   
                         
   
BlueMountain CLO 2018-3 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 30.07%, maturity October 25, 2030)
6/11/2020
 
                     23,825,000
 
                 6,175,567
 
                 5,003,250
   
                         
   
BlueMountain CLO XXXI Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 24.00%, maturity April 19, 2034)
4/16/2024
 
                     16,782,602
 
                 9,654,857
 
                 9,398,257
   
                         
   
BlueMountain CLO XXXIV Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 15.72%, maturity April 20, 2035)
3/23/2022
 
                     10,700,000
 
                 9,825,212
 
                 7,490,000
   
                         
   
Carlyle Global Market Strategies CLO 2013-2, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10)(11), (Estimated yield 0.00%, maturity January 18, 2029)
3/19/2013
 
                     16,098,067
 
                 1,167,135
 
                        9,659
   
                         
   
Carlyle Global Market Strategies CLO 2013-4, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity January 15, 2031)
9/29/2021
 
                     14,500,000
 
                 3,409,719
 
                 1,740,000
   
                         
   
Carlyle Global Market Strategies CLO 2014-5, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 15, 2031)
3/27/2019
 
                       7,134,333
 
                 1,911,098
 
                    784,777
   
                         
   
Carlyle US CLO 2020-1, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.19%, maturity July 20, 2034)
8/04/2023
 
                     23,500,000
 
               12,672,348
 
               12,220,000
   
                         
   
Carlyle US CLO 2020-2, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 17.85%, maturity January 25, 2035)
10/21/2020
 
                     14,558,333
 
                 9,936,099
 
                 8,007,083
   
                         
   
Carlyle US CLO 2021-8, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 16.22%, maturity October 20, 2034)
8/24/2021
 
                     42,537,500
 
               30,269,487
 
               25,097,125
   
                         
   
Carlyle US CLO 2022-3, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.31%, maturity April 20, 2037)
4/26/2024
 
                     27,370,000
 
               23,186,410
 
               22,169,700
   
                         
   
Cathedral Lake CLO 2013, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10)(11), (Estimated yield 0.00%, maturity October 15, 2029)
5/31/2018
 
                     21,350,000
 
                 2,765,917
 
                      78,995
   
                         
   
Catskill Park CLO, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity April 20, 2029)
2/10/2022
 
                       7,942,500
 
                 2,461,436
 
                 1,032,525
   
                         
   
CBAM 2019-10, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.93%, maturity April 20, 2032)
1/30/2024
 
                     15,000,000
 
                 6,566,584
 
                 6,300,000
   
                         
   
CBAM 2021-14, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 10.44%, maturity April 20, 2034)
3/24/2022
 
                     20,050,000
 
               13,867,003
 
                 8,621,500
   
                         
   
Cedar Funding IV CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.89%, maturity July 23, 2034)
2/10/2022
 
                     42,847,225
 
               19,582,910
 
               17,995,835
   
                         
   
Cedar Funding VIII CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.54%, maturity October 17, 2034)
1/28/2022
 
                     59,507,500
 
               26,753,376
 
               24,993,150
   
                         
   
Cedar Funding XII CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 17.64%, maturity October 25, 2034)
3/23/2022
 
                     32,008,575
 
               23,220,652
 
               19,205,145
   
                         
   
Cedar Funding XV CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.94%, maturity April 20, 2035)
2/16/2022
 
                     34,235,000
 
               25,645,694
 
               23,279,800
   
                         
   
CIFC Funding 2014-III, Ltd.
                   
   
CLO income notes(4)(5)(7)(11), (Estimated yield 0.00%, maturity October 22, 2031)
3/06/2018
 
                     18,225,000
 
                 4,755,175
 
                 2,916,000
   
                         
   
CIFC Funding 2021-VII, Ltd.
                   
   
CLO income notes(5)(7), (Estimated yield 17.79%, maturity January 23, 2035)
10/18/2021
 
                     27,435,000
 
               23,100,782
 
               20,301,900
   
                         
   
Columbia Cent CLO 28 Limited
                   
   
CLO subordinated notes(4)(5)(7)(8), (Estimated yield 0.00%, maturity November 07, 2030)
1/14/2022
 
                     40,000,000
 
                 9,220,962
 
                        4,000
   
                         
   
Columbia Cent CLO 32 Limited
                   
   
CLO subordinated notes(5)(7), (Estimated yield 30.83%, maturity July 24, 2034)
10/04/2023
 
                     17,687,500
 
               10,878,155
 
                 9,905,000
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
Crestline Denali CLO XVI, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity January 20, 2030)
6/10/2021
 
 $                  22,000,000
 
 $              8,571,399
 
 $              5,060,000
   
                         
   
Dryden 38 Senior Loan Fund
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 15, 2030)
9/23/2021
 
                     13,100,000
 
                 4,590,542
 
                 1,572,000
   
                         
   
Dryden 53 CLO, LLC
                   
   
CLO subordinated notes(5)(7), (Estimated yield 8.93%, maturity January 15, 2031)
2/10/2022
 
                       9,640,783
 
                 2,220,437
 
                 1,397,914
   
                         
   
Dryden 75 CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 14.03%, maturity April 14, 2034)
8/17/2022
 
                       2,120,000
 
                 1,602,736
 
                 1,072,313
   
                         
   
Dryden 78 CLO, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 30.07%, maturity April 17, 2037)
7/25/2023
 
                     19,913,726
 
               12,159,544
 
               10,576,180
   
                         
   
Dryden 86 CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 12.10%, maturity July 17, 2030)
3/23/2022
 
                     35,350,000
 
               23,368,041
 
               14,493,500
   
                         
   
Dryden 106 CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 16.07%, maturity October 15, 2035)
10/18/2022
 
                     29,477,500
 
               23,232,697
 
               21,122,425
   
                         
   
Dryden 108 CLO. Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 25.02%, maturity July 18, 2035)
6/15/2023
 
                     18,600,000
 
               12,957,439
 
               13,578,000
   
                         
   
Elevation CLO 2020-11, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 6.93%, maturity April 15, 2033)
2/21/2020
 
                     26,947,368
 
               16,923,234
 
               11,048,421
   
                         
   
Elevation CLO 2021-12, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 9.89%, maturity April 20, 2037)
2/11/2021
 
                     44,245,037
 
               23,445,403
 
               15,928,213
   
                         
   
Elevation CLO 2021-14, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 5.90%, maturity October 20, 2034)
9/21/2021
 
                     32,000,000
 
               24,043,059
 
               13,600,000
   
                         
   
Elm CLO 2014-1 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 25.47%, maturity April 17, 2034)
6/13/2024
 
                     37,275,000
 
                 9,884,935
 
                 9,762,323
   
                         
   
Elmwood CLO 14 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 19.20%, maturity April 20, 2035)
7/24/2023
 
                     26,200,000
 
               20,545,481
 
               20,436,000
   
                         
   
Elmwood CLO 16 Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 16.75%, maturity April 20, 2037)
3/18/2024
 
                     30,700,000
 
               22,557,774
 
               21,797,000
   
                         
   
Elmwood CLO 27 Ltd.
                   
   
CLO subordinated notes(5)(7)(9), (Estimated yield 13.80%, maturity April 18, 2037)
3/26/2024
 
                     44,412,500
 
               36,160,578
 
               35,085,875
   
                         
   
Elmwood CLO V Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 17.71%, maturity October 20, 2034)
1/25/2022
 
                     10,400,000
 
               10,226,463
 
               10,400,000
   
                         
   
Elmwood CLO XII Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 21.06%, maturity January 20, 2035)
7/24/2023
 
                     10,750,000
 
                 8,083,186
 
                 8,170,000
   
                         
   
Franklin Park Place CLO I
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 25.24%, maturity April 14, 2035)
5/30/2024
 
                     29,000,000
 
               15,094,035
 
               14,790,000
   
                         
   
Highbridge Loan Management 3-2014, Ltd.
                   
   
CLO subordinated notes(4)(5)(7(8), (Estimated yield 0.00%, maturity July 18, 2029)
6/19/2020
 
                     25,500,000
 
                 5,253,294
 
                    892,500
   
                         
   
Highbridge Loan Management 5-2015, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 28.34%, maturity October 15, 2030)
8/03/2021
 
                     23,125,000
 
                 3,839,034
 
                 2,402,688
   
                         
   
HPS Loan Management 10-2016, Ltd.
                   
   
CLO income notes(5)(7), (Estimated yield 13.30%, maturity January 20, 2028)
10/21/2021
 
                     24,460,380
 
               11,341,926
 
                 8,071,925
   
                         
   
HPS Loan Management 2021-16, Ltd.
                   
   
CLO income notes(5)(7)(8), (Estimated yield 13.16%, maturity January 23, 2035)
11/12/2021
 
                     32,364,000
 
               25,056,688
 
               19,839,132
   
                         
   
ICG US CLO 2014-1, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.63%, maturity October 20, 2034)
3/01/2023
 
                     28,687,500
 
                 5,196,452
 
                 4,016,250
   
                         
   
ICG US CLO 2018-2, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 11.37%, maturity July 22, 2031)
5/24/2022
 
                     17,950,000
 
                 6,086,205
 
                 3,051,500
   
                         
   
Kings Park CLO, Ltd.
                   
   
CLO income notes(5)(7), (Estimated yield 20.09%, maturity January 21, 2035)
12/07/2021
 
                     30,552,500
 
               22,115,621
 
               20,775,700
   
                         
   
KVK CLO 2013-1, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity January 14, 2028)
9/22/2020
 
                       3,950,000
 
                    394,534
 
                    173,800
   
                         
   
LCM 35 Ltd.
                   
   
CLO income notes(5)(7), (Estimated yield 16.39%, maturity October 15, 2034)
10/28/2021
 
                     28,000,000
 
               19,117,011
 
               10,983,995
   
                         
   
LCM 40 Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 32.53%, maturity January 15, 2036)
4/20/2023
 
                     17,000,000
 
               12,866,126
 
               15,140,822
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
Longfellow Place CLO, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity April 15, 2029)
1/11/2018
 
 $                  19,640,000
 
 $              5,309,310
 
 $                     1,964
   
                         
   
Madison Park Funding XI, Ltd.
                   
   
CLO subordinated notes(5)(7)(10), (Estimated yield 27.88%, maturity July 23, 2047)
1/21/2022
 
                     19,000,000
 
                    370,981
 
                 1,993,100
   
                         
   
Madison Park Funding XIII, Ltd.
                   
   
CLO subordinated notes(5)(7)(10)(11), (Estimated yield 6.96%, maturity April 19, 2030)
9/17/2019
 
                     21,500,000
 
                 1,781,698
 
                 1,831,800
   
                         
   
Madison Park Funding XV, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity January 27, 2026)
3/07/2019
 
                     34,300,000
 
                             -
 
                      13,720
   
                         
   
Marble Point CLO XVI Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 27.63%, maturity November 16, 2034)
4/17/2024
 
                     15,250,000
 
                 8,340,007
 
                 7,930,000
   
                         
   
Madison Park Funding XXI, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 17.98%, maturity October 15, 2032)
1/26/2022
 
                       7,000,000
 
                 4,537,995
 
                 3,780,000
   
                         
   
Madison Park Funding XXIV, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 8.35%, maturity October 20, 2029)
3/28/2019
 
                       3,568,750
 
                 1,511,508
 
                 1,213,375
   
                         
   
Madison Park Funding XXVIII, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 24.27%, maturity July 15, 2030)
2/01/2022
 
                       4,267,000
 
                 2,216,595
 
                 1,759,884
   
                         
   
Madison Park Funding XXX, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 32.44%, maturity April 15, 2047)
2/23/2018
 
                     17,550,000
 
                 8,801,823
 
                 8,599,500
   
                         
   
Madison Park Fund XLI, Ltd. (fka: Atrium XII CLO)
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity April 22, 2027)
10/08/2015
 
                     39,075,000
 
                    684,515
 
                 1,117,545
   
                         
   
Marble Point CLO XVII Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.24%, maturity April 20, 2033)
5/09/2023
 
                     12,000,000
 
                 5,576,562
 
                 6,000,000
   
                         
   
Marble Point CLO XVIII Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 14.11%, maturity October 15, 2034)
1/25/2022
 
                     25,500,000
 
               18,726,531
 
               13,515,000
   
                         
   
Marble Point CLO XXIV Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.94%, maturity April 20, 2035)
1/24/2023
 
                     21,690,000
 
               15,371,641
 
               13,447,800
   
                         
   
Mariner CLO 8, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 26.22%, maturity April 20, 2033)
11/08/2023
 
                       9,700,000
 
                 5,358,507
 
                 5,480,500
   
                         
   
Medalist Partners Corporate Finance CLO VI Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 32.49%, maturity April 17, 2033)
9/20/2023
 
                     14,826,000
 
                 5,287,200
 
                 6,301,050
   
                         
   
Midocean Credit CLO II
                   
   
CLO income notes(4)(5)(7), (Estimated yield 0.00%, maturity January 29, 2030)
6/17/2021
 
                     13,600,000
 
                 3,256,849
 
                        1,360
   
                         
   
Midocean Credit CLO III
                   
   
CLO income notes(4)(5)(7), (Estimated yield 0.00%, maturity April 21, 2031)
4/24/2019
 
                     16,650,000
 
                 5,610,318
 
                      83,250
   
                         
   
Midocean Credit CLO VI
                   
   
CLO income notes(5)(7), (Estimated yield 0.59%, maturity April 20, 2033)
11/08/2016
 
                     29,700,000
 
               18,316,297
 
                 7,722,000
   
                         
   
Milford Park CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 23.63%, maturity July 20, 2035)
5/12/2022
 
                     32,960,000
 
               27,239,702
 
               29,334,400
   
                         
   
MP CLO VIII, Ltd.
                   
   
CLO income notes(5)(7), (Estimated yield 9.09%, maturity April 28, 2034)
11/10/2021
 
                     11,000,000
 
                 4,125,266
 
                 2,640,000
   
                         
   
Nassau 2017-II Ltd.
                   
   
CLO income notes(4)(5)(7), (Estimated yield 0.00%, maturity January 15, 2030)
9/17/2019
 
                     24,400,000
 
                 8,200,260
 
                        2,440
   
                         
   
Neuberger Berman CLO XIV, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 11.94%, maturity January 28, 2030)
1/26/2022
 
                       7,800,000
 
                 2,030,037
 
                 1,248,000
   
                         
   
Neuberger Berman CLO XVII, Ltd.
                   
   
CLO subordinated notes(5)(7)(9)(11), (Estimated yield 27.03%, maturity July 22, 2038)
6/13/2024
 
                     73,756,250
 
               16,442,632
 
               16,226,375
   
                         
   
Nyack Park CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 19.46%, maturity October 20, 2034)
9/02/2021
 
                     30,000,000
 
               24,314,468
 
               23,100,000
   
                         
   
Oaktree CLO 2018-1 Ltd.
                   
   
CLO subordinated notes(5)(7)(10), (Estimated yield 29.01%, maturity October 20, 2030)
8/25/2022
 
                     11,750,000
 
                             -
 
                    952,925
   
                         
   
Oaktree CLO 2019-1 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.15%, maturity April 22, 2030)
6/12/2024
 
                       5,000,000
 
                 2,356,870
 
                 2,300,000
   
                         
   
Oaktree CLO 2019-3, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.55%, maturity October 20, 2034)
2/21/2024
 
                     10,000,000
 
                 6,165,039
 
                 6,350,000
   
                         
   
Oaktree CLO 2022-1, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.33%, maturity May 15, 2033)
5/01/2024
 
                     28,500,000
 
               22,299,015
 
               21,945,000
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
OCP CLO 2015-9, Ltd
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.24%, maturity January 15, 2033)
4/12/2023
 
 $                  10,000,000
 
 $              3,963,535
 
 $              3,800,000
   
                         
   
OCP CLO 2015-10, Ltd.
                   
   
CLO preference shares(5)(7)(11), (Estimated yield 25.89%, maturity January 26, 2034)
7/06/2023
 
                     24,750,000
 
               11,339,048
 
               10,890,000
   
                         
   
OCP CLO 2016-11, Ltd.
                   
   
CLO preference shares(5)(7)(11), (Estimated yield 19.32%, maturity April 26, 2036)
5/31/2024
 
                     28,500,000
 
               13,940,725
 
               13,395,000
   
                         
   
OCP CLO 2020-18, Ltd.
                   
   
CLO preference shares(5)(7), (Estimated yield 25.94%, maturity July 20, 2032)
8/16/2022
 
                     27,840,000
 
               11,897,964
 
               10,300,800
   
                         
   
Octagon Investment Partners XXII, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(11), (Estimated yield 0.00%, maturity January 22, 2030)
6/07/2018
 
                     32,055,000
 
                 6,721,595
 
                 1,763,025
   
                         
   
Octagon Investment Partners 36, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 15.60%, maturity April 15, 2031)
8/24/2021
 
                     10,250,000
 
                 2,727,209
 
                 1,227,182
   
                         
   
Octagon Investment Partners 38,  Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.08%, maturity July 20, 2030)
9/13/2022
 
                     10,000,000
 
                 3,378,978
 
                 2,100,000
   
                         
   
Octagon Investment Partners 40, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 14.32%, maturity January 20, 2035)
2/14/2019
 
                       7,000,000
 
                 3,955,105
 
                 2,520,000
   
                         
   
Octagon Investment Partners 41, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 26.50%, maturity October 15, 2033)
1/25/2024
 
                     17,000,000
 
                 7,420,319
 
                 6,659,509
   
                         
   
Octagon Investment Partners 42, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 22.76%, maturity July 15, 2034)
8/16/2023
 
                     11,100,000
 
                 5,645,324
 
                 4,964,055
   
                         
   
Octagon Investment Partners 47, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.00%, maturity July 20, 2034)
10/19/2023
 
                     10,000,000
 
                 5,462,467
 
                 4,900,000
   
                         
   
Octagon Investment Partners 48, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 16.25%, maturity October 20, 2034)
7/25/2022
 
                     10,250,000
 
                 7,511,937
 
                 6,355,000
   
                         
   
Octagon 52, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 19.48%, maturity July 23, 2037)
6/05/2024
 
                     31,926,829
 
               21,944,148
 
               22,348,780
   
                         
   
Octagon 57, Ltd.
                   
   
CLO income notes(5)(7)(8)(11), (Estimated yield 18.14%, maturity October 15, 2034)
10/13/2021
 
                     31,725,000
 
               22,911,947
 
               16,841,154
   
                         
   
Octagon 60, Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 15.98%, maturity October 20, 2035)
9/08/2022
 
                     35,750,000
 
               30,264,215
 
               27,885,000
   
                         
   
OFSI BSL VIII, Ltd.
                   
   
CLO preferred shares(4)(5)(7), (Estimated yield 0.00%, maturity August 16, 2029)
4/26/2019
 
                       8,500,000
 
                 2,998,887
 
                    595,000
   
                         
   
OFSI BSL X, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 22.98%, maturity April 20, 2034)
8/01/2023
 
                     24,700,000
 
               14,187,481
 
               12,844,000
   
                         
   
Onex CLO Subsidiary 2023-1, Ltd.
                   
   
CLO subordinated notes(5)(7)(9), (Estimated yield 17.60%, maturity April 23, 2037)
3/12/2024
 
                     35,600,000
 
               30,259,494
 
               28,540,164
   
                         
   
OZLM VII, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity July 17, 2029)
1/29/2020
 
                     21,891,673
 
                 2,032,047
 
                    464,103
   
                         
   
OZLM IX, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 55.07%, maturity October 20, 2031)
6/24/2022
 
                     13,000,000
 
                 1,643,555
 
                 1,430,000
   
                         
   
OZLM XXIII, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.36%, maturity April 15, 2034)
5/10/2024
 
                     30,255,000
 
               11,551,910
 
               11,884,985
   
                         
   
OZLM XIV, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 14.35%, maturity July 15, 2034)
12/07/2015
 
                     31,810,472
 
               13,081,509
 
                 8,782,772
   
                         
   
OZLM XIX, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 21.53%, maturity January 15, 2035)
4/29/2022
 
                     42,795,000
 
               19,233,091
 
               15,437,369
   
                         
   
Peace Park CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 19.02%, maturity October 20, 2034)
3/15/2024
 
                     18,750,000
 
               14,019,794
 
               13,687,500
   
                         
   
Regatta VI Funding Ltd.
                   
   
CLO income notes(5)(7), (Estimated yield 7.28%, maturity April 20, 2034)
10/21/2021
 
                     22,000,000
 
               10,401,296
 
                 7,260,000
   
                         
   
Regatta XVIII Funding Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.18%, maturity January 15, 2034)
2/18/2021
 
                     28,886,856
 
               20,940,011
 
               20,220,799
   
                         
   
Regatta XXII Funding Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 23.35%, maturity July 20, 2035)
5/06/2022
 
                     38,823,000
 
               29,870,815
 
               33,776,010
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
Regatta XXIII Funding Ltd.
                   
   
CLO income notes(5)(7)(11), (Estimated yield 15.20%, maturity January 20, 2035)
11/04/2021
 
 $                  25,829,333
 
 $            20,062,978
 
 $            17,822,240
   
                         
   
Regatta XXVI Funding Ltd.
                   
   
CLO subordinated notes(5)(7)(9), (Estimated yield 15.46%, maturity January 25, 2037)
10/31/2023
 
                     17,467,500
 
               17,223,551
 
               15,930,011
   
                         
   
Riserva CLO, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.99%, maturity January 18, 2034)
3/18/2022
 
                     13,600,000
 
                 5,050,470
 
                 4,488,000
   
                         
   
Rockford Tower CLO 2019-1, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.34%, maturity April 20, 2034)
9/13/2023
 
                     10,000,000
 
                 5,681,117
 
                 4,900,000
   
                         
   
Rockford Tower CLO 2022-1, Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 18.05%, maturity July 20, 2035)
5/06/2022
 
                     38,068,750
 
               29,815,922
 
               23,602,625
   
                         
   
Rockford Tower CLO 2022-3, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 35.23%, maturity January 20, 2035)
5/09/2023
 
                     21,000,000
 
               16,112,204
 
               21,000,000
   
                         
   
Rockland Park CLO, Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 16.51%, maturity April 20, 2034)
4/26/2021
 
                     28,750,000
 
               21,565,773
 
               18,112,500
   
                         
   
Romark CLO – V Ltd.
                   
   
CLO income notes(5)(7)(8), (Estimated yield 11.62%, maturity January 15, 2035)
11/18/2021
 
                     27,000,000
 
               19,005,318
 
               11,880,000
   
                         
   
Sculptor CLO XXIX, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 24.38%, maturity October 22, 2034)
9/20/2023
 
                     20,150,000
 
               10,638,044
 
               10,175,750
   
                         
   
Sculptor CLO XXXII, Ltd.
                   
   
CLO subordinated notes(5)(7)(9), (Estimated yield 22.48%, maturity April 30, 2037)
3/06/2024
 
                     12,000,000
 
                 8,608,414
 
                 8,400,000
   
                         
   
Shackleton 2013-IV-R CLO, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity April 13, 2031)
8/14/2018
 
                     24,500,000
 
                 3,943,704
 
                 1,722,628
   
                         
   
Shackleton 2014-V-R CLO, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 14.01%, maturity May 07, 2031)
9/17/2019
 
                     20,750,000
 
                 3,714,196
 
                 2,282,500
   
                         
   
Signal Peak CLO 4, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 20.28%, maturity October 26, 2034)
8/09/2023
 
                       7,056,061
 
                 2,136,118
 
                 1,693,455
   
                         
   
Signal Peak CLO 5, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 26.06%, maturity April 25, 2037)
5/20/2024
 
                     33,067,500
 
               10,345,412
 
                 9,589,575
   
                         
   
Signal Peak CLO 9, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 14.92%, maturity July 21, 2034)
7/19/2021
 
                     29,060,000
 
               21,588,500
 
               16,273,600
   
                         
   
Signal Peak CLO 10, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 18.24%, maturity January 24, 2035)
2/16/2023
 
                     10,000,000
 
                 6,698,884
 
                 5,350,000
   
                         
   
Sound Point CLO V-R, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 18, 2031)
5/04/2021
 
                     44,500,000
 
                 2,859,667
 
                    890,000
   
                         
   
Sound Point CLO XX, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 26, 2031)
7/07/2021
 
                     13,000,000
 
                 4,520,042
 
                    715,000
   
                         
   
Sound Point CLO XXIII, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 27.24%, maturity July 15, 2034)
5/09/2024
 
                     19,202,500
 
                 5,466,933
 
                 5,133,483
   
                         
   
Sound Point CLO XXIX, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 25.80%, maturity April 25, 2034)
8/09/2023
 
                     21,428,000
 
                 9,991,818
 
                 9,214,040
   
                         
   
Sound Point CLO XXX, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 23.55%, maturity July 25, 2034)
8/03/2023
 
                     21,151,500
 
               10,103,881
 
                 8,672,115
   
                         
   
Sound Point CLO XXXIII, Ltd
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 23.72%, maturity April 25, 2035)
6/01/2023
 
                     15,733,176
 
                 8,026,189
 
                 6,922,597
   
                         
   
Symphony CLO XVII, Ltd.
                   
   
CLO subordinated notes(5)(7)(10), (Estimated yield 25.42%, maturity April 15, 2028)
6/21/2023
 
                       7,750,000
 
                 1,047,426
 
                 1,933,625
   
                         
   
TCW CLO 2021-2, Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 20.09%, maturity July 25, 2034)
1/25/2024
 
                       5,625,000
 
                 3,181,203
 
                 3,093,750
   
                         
   
TCW CLO 2022-1, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 22.02%, maturity April 22, 2033)
1/25/2024
 
                     24,550,000
 
               12,798,597
 
               13,060,600
   
                         
   
Telos CLO 2013-3, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(11), (Estimated yield 0.00%, maturity July 17, 2026)
1/25/2013
 
                     14,332,210
 
                 6,266,409
 
                        1,433
   
                         
   
Telos CLO 2014-6, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity January 17, 2027)
11/08/2017
 
                     21,400,000
 
                 9,166,640
 
                        2,140
   
                         
   
THL Credit Wind River 2017-1 CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 6.90%, maturity April 18, 2036)
2/02/2017
 
                     14,200,000
 
                 8,078,122
 
                 4,544,000
   
                         
   
THL Credit Wind River 2018-3 CLO Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 16.00%, maturity January 20, 2031)
3/02/2022
 
                     25,400,000
 
               16,691,549
 
               10,668,000
   
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation - Equity Investments - (continued)
               
 
Structured Finance - Equity Investments (continued)
                   
   
Tralee CLO II, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 20, 2029)
6/06/2018
 
 $                    6,300,000
 
 $              1,683,974
 
 $                        630
   
                         
   
Tralee CLO IV, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(8), (Estimated yield 0.00%, maturity January 20, 2030)
12/21/2017
 
                     13,270,000
 
                 5,502,595
 
                        1,327
   
                         
   
Venture XV CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7)(11), (Estimated yield 0.00%, maturity July 15, 2032)
1/31/2018
 
                     15,992,521
 
                 3,077,010
 
                 1,439,327
   
                         
   
Venture XVII CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7)(11), (Estimated yield 0.00%, maturity April 15, 2027)
1/09/2017
 
                     17,000,000
 
                 6,377,579
 
                        1,700
   
                         
   
Venture XX CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7)(10)(11), (Estimated yield 0.00%, maturity April 15, 2027)
7/27/2018
 
                       7,200,000
 
                    532,119
 
                             -
   
                         
   
Venture XXI CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 15, 2027)
8/16/2017
 
                     30,000,000
 
               13,459,356
 
                        3,000
   
                         
   
Venture XXII CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity January 15, 2031)
2/09/2022
 
                     18,500,000
 
                 5,401,030
 
                 1,110,000
   
                         
   
Venture XXIII CLO, Limited
                   
   
CLO subordinated notes(5)(7), (Estimated yield 11.98%, maturity July 19, 2034)
5/24/2022
 
                       4,125,000
 
                 1,356,876
 
                    783,750
   
                         
   
Venture XXV CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7)(8)(10), (Estimated yield 0.00%, maturity April 20, 2029)
9/25/2020
 
                     13,750,000
 
                 2,056,214
 
                    534,875
   
                         
   
Venture 37 CLO, Limited
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity July 15, 2032)
5/28/2019
 
                       8,500,000
 
                 4,147,376
 
                 2,550,000
   
                         
   
Venture 41 CLO, Limited
                   
   
CLO subordinated notes(5)(7), (Estimated yield 17.15%, maturity January 20, 2034)
4/06/2022
 
                       9,000,000
 
                 6,580,406
 
                 5,355,000
   
                         
   
Venture 42 CLO, Limited
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 16.18%, maturity April 15, 2034)
3/15/2021
 
                       7,000,000
 
                 4,911,808
 
                 3,710,000
   
                         
   
Venture 44 CLO, Limited
                   
   
CLO subordinated notes(5)(7), (Estimated yield 13.51%, maturity October 20, 2034)
8/16/2021
 
                     24,750,000
 
               17,859,611
 
               10,890,000
   
                         
   
Venture 47 CLO, Limited
                   
   
CLO subordinated notes(5)(7), (Estimated yield 25.87%, maturity April 20, 2036)
3/14/2023
 
                     13,000,000
 
               10,162,887
 
               10,790,000
   
                         
   
Venture 48 CLO, Limited
                   
   
CLO subordinated notes(5)(7), (Estimated yield 23.92%, maturity October 20, 2036)
8/24/2023
 
                     26,848,000
 
               22,919,788
 
               20,404,480
   
                         
   
Vibrant CLO III, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity October 20, 2031)
2/05/2019
 
                     31,810,000
 
                 8,391,061
 
                 4,453,400
   
                         
   
Vibrant CLO XIV, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 20.00%, maturity October 20, 2034)
8/17/2022
 
                     31,400,000
 
               20,768,702
 
               18,526,000
   
                         
   
Voya CLO 2018-4, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 34.06%, maturity January 15, 2032)
1/03/2024
 
                     17,136,000
 
                 4,651,545
 
                 4,965,212
   
                         
   
Voya CLO 2020-1, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 12.56%, maturity July 16, 2034)
3/08/2022
 
                     15,500,000
 
               10,717,689
 
                 8,525,000
   
                         
   
Voya CLO 2020-3, Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 17.14%, maturity October 20, 2034)
5/03/2022
 
                     10,500,000
 
                 8,363,074
 
                 7,245,000
   
                         
   
Wellfleet 2016-2 CLO, Ltd.
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity October 20, 2028)
9/28/2016
 
                     11,000,000
 
                 5,280,208
 
                        1,100
   
                         
   
West CLO 2014-1, Ltd.
                   
   
CLO subordinated notes(4)(5)(7)(10)(11), (Estimated yield 0.00%, maturity July 18, 2026)
11/16/2018
 
                     20,250,000
 
                             -
 
                             -
   
                         
   
Wind River 2021-2 CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 12.96%, maturity July 20, 2034)
5/14/2021
 
                     30,700,000
 
               21,068,514
 
               14,429,000
   
                         
   
Wind River 2021-4 CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(11), (Estimated yield 18.41%, maturity January 20, 2035)
8/15/2023
 
                       9,096,750
 
                 5,428,224
 
                 3,820,635
   
                         
   
Wind River 2023-1 CLO Ltd.
                   
   
CLO subordinated notes(5)(7)(8), (Estimated yield 10.45%, maturity April 25, 2036)
3/13/2023
 
                     42,300,000
 
               35,652,982
 
               26,649,000
   
                         
   
York CLO-5 Ltd.
                   
   
CLO subordinated notes(5)(7), (Estimated yield 28.87%, maturity July 22, 2037)
5/20/2021
 
                     32,625,000
 
               14,494,910
 
               19,901,250
   
                         
   
Zais CLO 7, Limited
                   
   
CLO subordinated notes(4)(5)(7), (Estimated yield 0.00%, maturity April 15, 2030)
6/29/2021
 
                       9,200,000
 
                 1,764,640
 
                           920
   
                         
   
Zais CLO 9, Limited
                   
   
CLO subordinated notes(4)(5)(7)(10), (Estimated yield 0.00%, maturity July 20, 2031)
6/19/2018
 
                     12,700,000
 
                 5,077,441
 
                    955,040
   
                         
   
Total Equity Investments
         
 $            2,032,655,084
 
 $            1,631,632,422
 
115.82%
                         
                         
   
(Continued on next page)
                   



OXFORD LANE CAPITAL CORP.
SCHEDULE OF INVESTMENTS - (continued)
 JUNE 30, 2024
(Unaudited)

                         
   
COMPANY/INVESTMENT(1)(13)(14)
 
ACQUISITION DATE(15)
 
PRINCIPAL AMOUNT/SHARES
COST
 
FAIR VALUE(2)
% of
Net Assets
Collateralized Loan Obligation Fee Notes - Equity Investments - Other CLO Equity Related Investments
       
 
Structured Finance - Equity Fee Note Investments
                   
   
AMMC CLO 25, Limited
                   
   
CLO subordinated fee notes(5)(7)(18),  (maturity April 15, 2035)
4/27/2022
 
 
 $                 939,416
 
 $                 781,842
   
           
           
   
Ares LXI CLO Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18),  (maturity October 20, 2034)
8/25/2021
 
 
                    303,008
 
                    269,422
   
           
           
   
BlueMountain Fuji US CLO II Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity October 20, 2030)
12/22/2021
 
 
                             -
 
                      59,666
   
           
           
   
Columbia Cent CLO 28 Limited
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity November 07, 2030)
12/22/2021
 
 
                             -
 
                             -
   
           
           
   
Highbridge Loan Management 3-2014, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18),  (maturity July 18, 2029)
4/06/2022
 
 
                             -
 
                      38,605
   
           
           
   
HPS Loan Management 2021-16, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity January 23, 2035)
11/12/2021
 
 
                    731,402
 
                    662,493
   
           
           
   
Octagon 57, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(11)(18), (maturity October 15, 2034)
10/13/2021
 
 
                    512,573
 
                    408,243
   
           
           
   
Octagon 60, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18),  (maturity October 20, 2035)
9/08/2022
 
 
                 1,017,505
 
                    935,685
   
           
           
   
Point AU Roche Park CLO, Ltd.
     
           
   
CLO subordinated M1 fee notes(5)(7)(18), (maturity July 20, 2034)
5/28/2021
 
 
                    115,010
 
                      80,987
   
   
CLO subordinated M2 fee notes(5)(7)(18), (maturity July 20, 2034)
5/28/2021
 
 
                    207,314
 
                    167,264
   
           
           
   
Rockland Park CLO, Ltd.
     
           
   
CLO subordinated M1 fee notes(5)(7)(18), (maturity April 20, 2034)
4/26/2021
 
 
                    228,454
 
                    162,699
   
   
CLO subordinated M2 fee notes(5)(7)(18), (maturity April 20, 2034)
4/26/2021
 
 
                    425,138
 
                    352,974
   
           
           
   
Rockford Tower CLO 2021-3, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity October 20, 2034)
9/22/2021
 
 
                    333,398
 
                    282,060
   
           
           
   
Rockford Tower CLO 2022-1, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18),  (maturity July 20, 2035)
5/06/2022
 
 
                    406,146
 
                    367,884
   
           
           
   
Romark CLO – V Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18),  (maturity January 15, 2035)
11/18/2021
 
 
                    605,241
 
                      63,041
   
           
           
   
Sound Point CLO XXIII, Ltd.
     
           
   
CLO subordinated Y fee notes(5)(7)(11)(18), (maturity July 15, 2034)
5/09/2024
 
 
                    183,135
 
                    215,018
   
           
           
   
THL Credit Wind River 2017-1 CLO Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity April 18, 2029)
2/02/2017
 
 
                      71,576
 
                    416,088
   
           
           
   
Tralee CLO IV, Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity January 20, 2030)
3/16/2018
 
 
                             -
 
                             -
   
                         
   
Venture XXV CLO, Limited
                   
   
CLO subordinated fee notes(5)(7)(10)(18), (maturity April 20, 2029)
9/25/2020
 
 
                             -
 
                        3,118
   
           
           
   
Venture 42 CLO, Limited
     
           
   
CLO subordinated Y fee notes(5)(7)(18), (maturity April 15, 2034)
3/15/2021
 
 
                    234,438
 
                    191,033
   
           
           
   
Wind River 2021-2 CLO Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity July 20, 2034)
5/14/2021
 
 
                    431,647
 
                    361,231
   
           
           
   
Wind River 2023-1 CLO Ltd.
     
           
   
CLO subordinated fee notes(5)(7)(18), (maturity April 25, 2036)
3/13/2023
 
 
                 2,274,785
 
                 2,445,946
   
                         
                         
   
CLO other(8)(18)
 
Various(16)
     
                 2,241,593
 
                 2,310,859
   
                         
   
Total Other CLO Equity Related Investments
         
 $                 11,261,779
 
 $                 10,576,158
 
0.75%
                         
 
Total Structured Finance - Equity Investments
         
 $            2,043,916,863
 
 $            1,642,208,580
 
116.57%
   
Total Collateralized Loan Obligation - Equity Investments
     
 $            2,043,916,863
 
 $            1,642,208,580
 
116.57%
                         
                         
   
Total Investments
         
 $            2,120,476,959
 
 $            1,713,611,172
 
121.64%
                         
   
Cash Equivalents
                   
                         
                         
   
First American Government Obligations Fund, Class Z Shares, 5.20%(12)
 
                   111,951,834
 
 $               111,951,834
 
 $               111,951,834
   
                         
   
           Total Cash Equivalents
         
 $               111,951,834
 
 $               111,951,834
 
7.95%
                         
   
Total Investments and Cash Equivalents
         
 $            2,232,428,793
 
 $            1,825,563,006
 
129.59%
                         

           
                     
 
(1)     We do not "control" and are not an "affiliate" of any of our portfolio companies, each as defined in the Investment Company Act of 1940, as amended (the "1940 Act").
 
          In general, under the 1940 Act, we would be presumed to "control" a portfolio company if we owned more than 25% of its voting securities and would be an "affiliate" of a portfolio company if we owned 5% or more of its voting securities.
 
(2)     Fair value is determined in good faith by the Board of Directors of the Fund.
               
 
(3)     Cost value reflects accretion of original issue discount or market discount.
               
 
(4)     As of June 30, 2024, the effective yield has been estimated to be 0%. The aggregate projected amount of future recurring distributions and terminal principal payment is less than the amortized investment cost.
 
(5)     Cost value reflects accretion of effective yield less any cash distributions received or entitled to be received from CLO equity investments.
 
  (6)
 As of June 30, 2024, the investment includes interest income capitalized as additional investment principal ("PIK" Interest). The PIK interest rate for CLO debt positions represents the interest rate at payment date when PIK interest
   
 is received. Please refer to "Note 3. Summary of Significant Accounting Policies - Payment-In-Kind." in OXLC’s most recently filed Form N-CSR for the year ended March 31, 2024.
 
(7)     The CLO subordinated notes, preferred shares, preference shares and income notes are considered equity positions in the CLO funds. Equity investments are entitled to recurring distributions which are generally equal to
 
          the remaining cash flow of the payments made by the underlying fund's securities less contractual payments to debt holders and fund expenses.  The estimated yield indicated is based upon
 
          a current projection of the amount and timing of these recurring distributions and the estimated amount of repayment of principal upon termination.  Such projections are periodically
 
          reviewed and adjusted, and the estimated yield may not ultimately be realized.
               
  (8)
 Fair value includes the Fund’s interest in subordinated fee notes, and represents discounted cash flows associated with fees earned from CLO equity investments.
  (9)
 Investment has not made inaugural distribution for relevant period end. Please refer to “Note 3. Summary of Significant Accounting Policies — Investment Income.” in OXLC’s most recently filed Form N-CSR for the year ended March 31, 2024.
  (10)
 The CLO equity investment was optionally redeemed. Expected value of residual distributions, once received, is anticipated to be recognized as return of capital, pending any remaining amortized cost, and/or realized gain for any amounts
   
 received in excess of such amortized cost. See Note 2. Summary of Significant Accounting Policies — Securities Transactions” in OXLC’s most recently filed Form N-CSR for the year ended March 31, 2024.
  (11)
 Investment is co-invested with the Fund’s affiliates. See “Note 5. Related Party Transactions.” in OXLC’s most recently filed Form N-CSR for the year ended March 31, 2024.
  (12)
 Represents cash equivalents held in a money market fund as of June 30, 2024.
               
  (13)
 The fair value of the investment was determined using significant unobservable inputs. See “Note 3. Fair Value” in OXLC’s most recently filed Form N-CSR for the year ended March 31, 2024.
  (14)
 The Fund generally acquires its investments in transactions not subject to registration under the Securities Act of 1933, as amended (the “Securities Act”). These investments are generally subject to
   
 restrictions as “restricted securities” (within the meaning of the Securities Act).
               
  (15)
 Acquisition date represents the initial date of purchase.
               
  (16)
 Cost and fair value total represents multiple investments which were purchased within one year prior to June 30, 2024.
     
  (17)
 The principal balance outstanding for this debt investment, in whole or in part, is indexed to the 90-day Secured Overnight Financing Rate (“SOFR”).
  (18)
 Cost value reflects amortized cost.
                   
                         
                         

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