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: 811-05410

 

Voya Prime Rate Trust

(Exact name of registrant as specified in charter)

 

7337 E. Doubletree Ranch Rd., Suite 100, Scottsdale, AZ 85258
(Address of principal executive offices) (Zip code)

 

C T Corporation System, 101 Federal Street, Boston, MA 02110

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: 1-800-992-0180

 

Date of fiscal year end: February 28

 

Date of reporting period: November 30, 2017

 

 

 

 

 

 

Item 1. Schedule of Investments

 

The schedules of investments as of the close of the reporting period are set forth below for:

 

Voya Prime Rate Trust

 

The schedules are not audited.

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited)

 

Principal
Amount†
     Borrower/Tranche
Description
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: 142.9%          
      Aerospace & Defense: 2.0%
2,000,000     American Airlines, Inc. 2017 Incremental Term Loan, 3.250%, (US0003M + 2.000%), 12/14/23  $2,002,084    0.2 
4,164,416     Avolon TLB Borrower 1 (Luxembourg) S.a.r.l. Term Loan B2, 3.533%, (US0003M + 2.750%), 04/03/22   4,169,634    0.5 
1,517,375     Geo Group, Inc. (The) 2017 Term Loan B, 3.570%, (US0003M + 2.250%), 03/22/24   1,522,592    0.2 
4,945,000     MacDonald, Dettwiler and Associates Ltd. Term Loan B, 4.100%, (US0003M + 2.750%), 10/04/24   4,972,375    0.6 
2,324,751     TransDigm, Inc. 2016 Extended Term Loan F, 4.274%, (US0003M + 3.000%), 06/09/23   2,330,402    0.3 
1,276,800     TransDigm, Inc. 2017 Term Loan G, 4.346%, (US0003M + 3.000%), 08/22/24   1,284,281    0.2 
          16,281,368    2.0 
                 
      Auto Components: 0.4%
3,581,250     Broadstreet Partners, Inc. 2017 Term Loan B, 5.100%, (US0003M + 3.750%), 11/08/23   3,605,889    0.4 
                 
      Automotive: 5.7%
3,130,375     American Axle and Manufacturing, Inc. Term Loan B, 3.600%, (US0001M + 2.250%), 04/06/24   3,142,145    0.4 
1,919,541     BBB Industries U.S. Holdings, Inc. 2014 First Lien Term Loan, 5.850%, (US0001M + 4.500%), 11/03/21   1,947,735    0.2 
1,755,000     Belron S.A. USD Term Loan B, 3.892%, (US0003M + 2.500%), 11/07/24   1,771,453    0.2 
2,319,188     Bright Bidco B.V. Term Loan B, 5.836%, (US0003M + 4.500%), 06/30/24   2,347,454    0.3 
2,918,025     Dealer Tire, LLC 2016 Term Loan B, 5.125%, (US0003M + 3.750%), 12/22/21   2,946,598    0.4 
4,288,754     Dynacast International LLC Term Loan B, 4.583%, (US0003M + 3.250%), 01/28/22   4,342,363    0.5 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Automotive: (continued)
1,626,040     Federal-Mogul Holdings Corporation New Term Loan C, 5.025%, (US0003M + 3.750%), 04/15/21  $1,639,590    0.2 
EUR  1,194,000     Gates Global LLC 2017 EUR Repriced Term Loan B, 3.250%, (EUR003M + 3.250%), 04/01/24   1,432,201    0.2 
8,355,283     Gates Global LLC 2017 USD Term Loan B, 4.583%, (US0003M + 3.250%), 04/01/24   8,403,151    1.0 
1,934,754     KAR Auction Services, Inc. Term Loan B5, 3.875%, (US0003M + 2.500%), 03/09/23   1,948,862    0.2 
1,649,363     Key Safety Systems, Inc. New First Lien Term Loan, 5.890%, (US0003M + 4.500%), 08/29/21   1,646,787    0.2 
4,533,631     Midas Intermediate Holdco II, LLC Incremental Term Loan B, 4.083%, (US0003M + 2.750%), 08/18/21   4,544,966    0.5 
2,976,930     NN, Inc. 2016 Term Loan B, 5.100%, (US0003M + 3.750%), 10/19/22   2,983,131    0.4 
291,000     NN, Inc. 2017 Term Loan, 4.600%, (US0003M + 3.250%), 03/22/21   292,091    0.0 
1,555,988     Superior Industries International, Inc. First Lien Term Loan, 5.813%, (US0003M + 4.500%), 05/22/24   1,571,548    0.2 
2,732,603     TI Group Automotive Systems, L.L.C. 2015 USD Term Loan B, 4.100%, (US0003M + 2.750%), 06/30/22   2,749,682    0.3 
2,992,500     Truck Hero, Inc. First Lien Term Loan, 5.326%, (US0003M + 4.000%), 04/21/24   2,995,307    0.4 
1,025,000     Truck Hero, Inc. Second Lien Term Loan, 9.576%, (US0003M + 8.250%), 04/21/25   1,035,250    0.1 
          47,740,314    5.7 
                 
      Beverage & Tobacco: 0.1%
835,000     Refresco Group BV USD Term Loan B, 4.237%, (US0003M + 2.750%), 09/26/24   841,263    0.1 
                 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Brokers, Dealers & Invetesment Houses: 0.2%
2,012,789     Capital Automotive L.P. 2017 Second Lien Term Loan, 7.350%, (US0003M + 6.000%), 03/24/25  $2,053,045    0.2 
                 
      Building & Development: 4.0%
4,412,825     American Builders & Contractors Supply Co., Inc. 2017 Term Loan B, 3.850%, (US0003M + 2.500%), 10/31/23   4,436,266    0.5 
2,081,654     Capital Automotive L.P. 2017 First Lien Term Loan, 3.850%, (US0003M + 2.500%), 03/24/24   2,090,761    0.2 
1,353,356     Clark Equipment Company 2017 Term Loan B, 3.833%, (US0003M + 2.500%), 05/18/24   1,361,815    0.2 
5,216,653     Forterra Finance, LLC 2017 Term Loan B, 4.350%, (US0003M + 3.000%), 10/25/23   4,724,738    0.6 
1,355,000     Core & Main LP 2017 Term Loan B, 4.455%, (US0003M + 3.000%), 08/01/24   1,364,316    0.2 
1,910,563     Henry Company LLC Term Loan B, 5.850%, (US0003M + 4.500%), 10/05/23   1,929,668    0.2 
758,100     Installed Building Products, Inc. Term Loan B, 4.350%, (US0003M + 3.000%), 04/15/24   760,232    0.1 
1,746,671     MX Holdings US, Inc. Term Loan B1B, 4.100%, (US0003M + 2.750%), 08/14/23   1,759,770    0.2 
2,594,646     NCI Building Systems, Inc. New Term Loan, 4.333%, (US0003M + 3.000%), 06/24/22   2,608,268    0.3 
3,416,644     Quikrete Holdings, Inc Term Loan, 4.100%, (US0003M + 2.750%), 11/15/23   3,430,406    0.4 
2,040,000     Werner Co. 2017 Term Loan, 5.242%, (US0003M + 4.000%), 07/24/24   2,047,650    0.2 
2,282,779     Wilsonart LLC 2017 Term Loan B, 4.590%, (US0003M + 3.250%), 12/19/23   2,301,612    0.3 
EUR  1,748,392     Xella International GmbH 2017 EUR Term Loan B, 4.000%, (EUR003M + 4.000%), 02/02/24   2,097,559    0.3 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Building & Development: (continued)
2,866,334     Zekelman Industries, Inc. Term Loan B, 4.073%, (US0003M + 2.750%), 06/14/21  $2,887,115    0.3 
          33,800,176    4.0 
                 
      Business Equipment & Services: 12.8%
2,723,345     Acosta Holdco, Inc. 2015 Term Loan, 4.600%, (US0003M + 3.250%), 09/26/21   2,379,940    0.3 
2,949,520     Advantage Sales & Marketing, Inc. 2014 First Lien Term Loan, 4.628%, (US0001M + 3.250%), 07/23/21   2,864,722    0.3 
1,400,000     Advantage Sales & Marketing, Inc. 2014 Second Lien Term Loan, 7.878%, (US0003M + 6.500%), 07/25/22   1,253,000    0.2 
4,676,500     AlixPartners, LLP 2017 Term Loan B, 4.083%, (US0003M + 3.000%), 04/04/24   4,704,059    0.6 
1,920,000     Allflex Holdings III, Inc. New First Lien Term Loan, 4.706%, (US0003M + 3.250%), 07/20/20   1,933,599    0.2 
1,050,000     Almonde, Inc. USD Second Lien Term Loan, 8.729%, (US0003M + 7.250%), 06/13/25   1,050,525    0.1 
655,727     TriMark USA, LLC 2017 First Lien Term Loan, 4.880%, (US0003M + 3.500%), 09/26/24   661,738    0.1 
29,274     TriMark USA, LLC Delayed Draw Term Loan, 4.987%, (US0003M + 4.000%), 09/26/24   29,542    0.0 
1,481,250     Array Canada Inc. Term Loan B, 6.333%, (US0003M + 5.000%), 02/10/23   1,487,730    0.2 
1,905,000     Ascend Learning, LLC 2017 Term Loan B, 4.600%, (US0003M + 3.250%), 07/12/24   1,916,906    0.2 
805,000     Big Ass Fans, LLC Term Loan, 5.737%, (US0003M + 4.250%), 05/03/24   810,367    0.1 
1,237,531     Camelot UK Holdco Limited 2017 Repriced Term Loan, 4.452%, (US0003M + 3.250%), 10/03/23   1,242,172    0.1 
1,296,750     Colorado Buyer Inc Term Loan B, 4.380%, (US0003M + 3.000%), 05/01/24   1,305,827    0.2 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Business Equipment & Services: (continued)
1,806,750     DTI Holdco, Inc. 2016 Term Loan B, 6.630%, (US0003M + 5.250%), 09/30/23  $1,796,963    0.2 
195,000  (1)  Duravant LLC First Lien Delayed Draw Term Loan, 4.275%, (US0003M + 3.250%), 07/19/24   195,366    0.0 
83,511  (1)  Duravant LLC Second Lien Delayed Draw Term Loan, 7.410%, (US0003M + 7.250%), 07/18/25   84,137    0.0 
1,500,000     Duravant LLC USD First Lien Term Loan, 4.559%, (US0003M + 3.750%), 07/19/24   1,502,812    0.2 
2,913,944     EIG Investors Corp. 2017 Term Loan, 5.458%, (US0003M + 4.000%), 02/09/23   2,939,805    0.4 
597,000     Element Materials Technology Group US Holdings Inc 2017 USD Term Loan B, 4.833%, (US0003M + 3.500%), 06/28/24   601,229    0.1 
701,489     Engineered Machinery Holdings, Inc. USD Second Lien Term Loan, 8.559%, (US0003M + 7.250%), 07/18/25   706,751    0.1 
EUR  1,079,575     Equinix, Inc. 2017 EUR Term Loan B2, 2.500%, (EUR003M + 2.500%), 01/05/24   1,296,849    0.2 
1,671,600     EVO Payments International Term Loan B, 6.350%, (US0003M + 5.000%), 12/22/23   1,696,413    0.2 
1,729,565     First American Payment Systems, L.P. 2016 Term Loan, 6.992%, (US0003M + 5.750%), 01/03/24   1,740,915    0.2 
3,504,433     First Data Corporation 2022 USD Term Loan, 3.563%, (US0003M + 2.250%), 07/08/22   3,510,016    0.4 
EUR  1,482,447     Foncia Groupe 2016 EUR Term Loan B, 3.500%, (EUR003M + 3.500%), 09/07/23   1,780,530    0.2 
1,005,573     Garda World Security Corporation 2017 Term Loan, 5.247%, (US0003M + 3.000%), 05/24/24   1,010,182    0.1 
EUR  1,000,000     GTCR Valor Companies, Inc. EUR 2017 Term Loan B1, 4.250%, (EUR003M + 4.250%), 06/20/23   1,208,103    0.1 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Business Equipment & Services: (continued)
2,595,000     GTCR Valor Companies, Inc. USD 2017 Term Loan B1, 5.583%, (US0003M + 4.250%), 06/16/23  $2,631,086    0.3 
EUR  1,278,407     ION Trading Technologies S.a.r.l. EUR 2017 Term Loan B, 3.750%, (EUR003M + 2.750%), 11/30/24   1,537,156    0.2 
1,976,440     IQOR US Inc. Second Lien Term Loan, 10.085%, (US0003M + 8.750%), 04/01/22   1,904,794    0.2 
3,032,191     IQOR US Inc. Term Loan B, 6.335%, (US0003M + 5.000%), 04/01/21   3,020,821    0.4 
6,047,519     KUEHG Corp.. 2017 First Lien Term Loan, 5.083%, (US0003M + 3.750%), 08/13/22   6,080,593    0.7 
1,846,703     Learning Care Group (US) No. 2 Inc. New Term Loan, 5.319%, (US0003M + 4.000%), 05/05/21   1,865,170    0.2 
1,160,000     LegalZoom.com, Inc. 2017 Term Loan B, 5.987%, (US0003M + 4.500%), 11/15/24   1,157,100    0.1 
EUR  1,745,625     Misys Europe SA EUR First Lien Term Loan, 4.250%, (EUR003M + 3.250%), 06/13/24   2,099,805    0.3 
577,553     ASP MCS Acquisition Corp. Term Loan B, 6.033%, (US0003M + 4.750%), 05/18/24   583,328    0.1 
440,000     NeuStar, Inc. Second Lien Term Loan, 9.397%, (US0003M + 8.000%), 08/08/25   446,417    0.1 
2,100,000     NeuStar, Inc. Term Loan B2, 5.147%, (US0003M + 3.750%), 08/08/24   2,124,610    0.3 
5,645,000     West Corporation 2017 Term Loan, 5.350%, (US0003M + 4.000%), 10/10/24   5,643,679    0.7 
4,460,000     Peak 10, Inc. 2017 First Lien Term Loan, 4.816%, (US0003M + 4.000%), 08/01/24   4,476,725    0.5 
900,000     Peak 10, Inc. 2017 Second Lien Term Loan, 8.627%, (US0003M + 7.750%), 08/01/25   910,125    0.1 
3,004,032     Pre-Paid Legal Services, Inc. First Lien Term Loan, 6.600%, (US0003M + 5.250%), 07/01/19   3,011,542    0.4 
2,000,000     Pre-Paid Legal Services, Inc. Second Lien Term Loan, 10.350%, (US0003M + 9.000%), 07/01/20   2,000,000    0.2 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Business Equipment & Services: (continued)
2,780,000     Red Ventures, LLC First Lien Term Loan, 5.335%, (US0003M + 4.000%), 11/08/24  $2,772,007    0.3 
1,180,000     Red Ventures, LLC Second Lien Term Loan, 9.487%, (US0003M + 8.000%), 11/08/25   1,181,107    0.1 
1,465,000     Sandvine Corporation Term Loan B, 7.073%, (US0003M + 5.750%), 09/21/22   1,415,556    0.2 
2,464,361     Solera Holdings, Inc. USD Term Loan B, 4.600%, (US0003M + 3.250%), 03/03/23   2,479,770    0.3 
3,301,855     Spin Holdco Inc. 2017 Term Loan B, 5.147%, (US0003M + 3.750%), 11/14/22   3,331,984    0.4 
3,970,000     Staples, Inc. 2017 Term Loan B, 5.310%, (US0003M + 4.000%), 09/12/24   3,806,238    0.5 
1,955,100     SurveyMonkey Inc. 2017 Term Loan, 5.840%, (US0003M + 4.500%), 04/13/24   1,977,095    0.2 
793,013     Switch, Ltd. Term Loan B, 4.100%, (US0003M + 2.750%), 06/27/24   801,190    0.1 
EUR  1,135,000     Techem GmbH 2017 EUR Term Loan B, 3.000%, (EUR003M + 3.250%), 07/31/24   1,360,221    0.2 
405,000     USS Ultimate Holdings, Inc. First Lien Term Loan, 5.100%, (US0003M + 3.750%), 08/25/24   409,303    0.0 
150,000     USS Ultimate Holdings, Inc. Second Lien Term Loan, 9.100%, (US0003M + 7.750%), 08/25/25   152,438    0.0 
EUR  4,255,000     Verisure Holding AB EUR Term Loan B1E, 4.487%, (EUR003M + 3.000%), 10/20/22   5,054,772    0.6 
138,393     WASH Multifamily Laundry LLC, Coinamatic Canada Inc. Canadian First Lien Term Loan, 4.600%, (US0003M + 3.250%), 05/14/22   138,998    0.0 
790,230     WASH Multifamily Laundry Systems, LLC 2015 First Lien Term Loan, 4.600%, (US0003M + 3.250%), 05/14/22   793,688    0.1 
          106,877,516    12.8 
                 
      Cable & Satellite Television: 5.0%
1,980,050     CSC Holdings LLC, 3.514%, (US0003M + 2.250%), 07/17/25   1,970,150    0.2 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Cable & Satellite Television: (continued)
EUR  995,000     Numericable Group SA EUR Term Loan B11, 3.000%, (EUR003M + 3.000%), 07/31/25  $1,168,662    0.1 
4,776,000     Numericable Group SA USD Term Loan B11, 4.130%, (US0003M + 2.750%), 07/31/25   4,678,092    0.6 
7,274,800     Radiate Holdco, LLC First Lien Term Loan, 4.350%, (US0003M + 3.000%), 02/01/24   7,227,063    0.9 
4,250,000     Telenet Financing USD LLC USD Term Loan AI, 4.000%, (US0003M + 2.750%), 06/30/25   4,260,625    0.5 
EUR  1,000,000     Telenet International Finance S.a.r.l. EUR Term Loan AH, 3.000%, (EUR003M + 3.000%), 03/31/26   1,193,690    0.1 
1,782,034     Telesat Canada Term Loan B4, 4.320%, (US0003M + 3.000%), 11/17/23   1,795,399    0.2 
3,500,000     UPC Financing Partnership USD Term Loan AR, 3.750%, (US0003M + 2.500%), 01/15/26   3,509,377    0.4 
4,125,000     Virgin Media Bristol LLC 2017 USD Term Loan, 3.987%, (US0003M + 2.500%), 01/31/26   4,127,945    0.5 
898,295     WaveDivision Holdings, LLC Term Loan B, 4.130%, (US0003M + 2.750%), 10/15/19   899,418    0.1 
8,940,000     WideOpenWest Finance LLC 2017 Term Loan B, 4.533%, (US0003M + 3.250%), 08/18/23   8,918,580    1.1 
EUR  2,000,000     Ziggo Secured Finance BV EUR Term Loan F, 3.000%, (EUR003M + 3.000%), 04/15/25   2,387,443    0.3 
          42,136,444    5.0 
                 
      Chemicals & Plastics: 5.8%
EUR  1,237,500     Allnex (Luxembourg) & Cy S.C.A. 2016 EUR Term Loan B1, 3.250%, (EUR003M + 3.250%), 09/13/23   1,483,324    0.2 
1,200,880     Allnex (Luxembourg) & Cy S.C.A. 2016 USD Term Loan B2, 4.712%, (US0003M + 3.250%), 09/13/23   1,206,884    0.1 
904,731     Allnex USA, Inc. USD Term Loan B3, 4.712%, (US0003M + 3.250%), 09/13/23   909,255    0.1 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Chemicals & Plastics: (continued)
801,990     Alpha 3 B.V. 2017 Term Loan B1, 4.333%, (US0003M + 3.000%), 01/31/24  $808,105    0.1 
2,410,000     Avantor, Inc. 2017 First Lien Term Loan, 5.487%, (US0003M + 4.000%), 09/07/24   2,416,025    0.3 
EUR  1,000,000     Avantor, Inc. EUR 2017 First Lien Term Loan, 5.737%, (EUR003M + 4.250%), 09/20/24   1,202,301    0.1 
1,178,276     Colouroz Investment 2 LLC USD Second Lien Term Loan B2, 8.615%, (US0003M + 7.250%), 09/06/22   1,001,535    0.1 
EUR  1,000,000     Diamond (BC) B.V. EUR Term Loan, 3.250%, (EUR003M + 3.750%), 09/06/24   1,193,969    0.1 
1,390,000     Diamond (BC) B.V. USD Term Loan, 4.423%, (US0003M + 3.000%), 09/06/24   1,391,749    0.2 
2,218,788     Emerald Performance Materials, LLC New First Lien Term Loan, 4.850%, (US0001M + 3.500%), 08/01/21   2,236,469    0.3 
366,752     Emerald Performance Materials, LLC New Second Lien Term Loan, 9.100%, (US0001M + 7.750%), 08/01/22   366,905    0.0 
695,000     Encapsys, LLC First Lien Term Loan, 4.584%, (US0003M + 3.250%), 11/07/24   700,212    0.1 
1,647,565     Flint Group US LLC, Colouroz Investment 1, GMBH USD First Lien Term Loan B2, 4.365%, (US0003M + 3.000%), 09/07/21   1,507,522    0.2 
272,361     Flint Group, Colouroz Investment 1, GMBH USD Term Loan C, 4.365%, (US0003M + 3.000%), 09/07/21   249,211    0.0 
3,230,000     H.B. Fuller Company 2017 Term Loan B, 3.533%, (US0003M + 2.250%), 10/12/24   3,246,150    0.4 
1,114,651     Huntsman International LLC Term Loan B, 4.350%, (US0003M + 3.000%), 11/03/23   1,123,011    0.1 
3,016,394     INEOS Styrolution Group GmbH USD 2017 First Lien Term Loan, 4.083%, (US0003M + 2.750%), 03/07/24   3,023,935    0.4 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Chemicals & Plastics: (continued)
2,830,000     Ineos US Finance LLC 2017 USD Term Loan B, 3.487%, (US0003M + 2.000%), 03/31/24  $2,838,402    0.3 
EUR  2,000,000     Klockner-Pentaplast of America, Inc. EUR 2017 Term Loan B1, 4.750%, (EUR003M + 4.750%), 06/30/22   2,396,865    0.3 
2,000,000     Klockner-Pentaplast of America, Inc. USD 2017 Term Loan B2, 5.583%, (US0003M + 4.250%), 06/30/22   2,018,750    0.2 
841,455     KMG Chemicals Inc. Term Loan B, 5.600%, (US0003M + 4.250%), 06/15/24   850,921    0.1 
2,347,418     Kraton Polymers, LLC 2017 USD Term Loan, 4.350%, (US0003M + 3.000%), 01/06/22   2,375,298    0.3 
2,661,148     MacDermid, Inc. USD Term Loan B6, 4.350%, (US0003M + 3.000%), 06/07/23   2,678,889    0.3 
EUR  825,000     Novacap S.A. EUR Term Loan B, 3.500%, (EUR003M + 3.500%), 06/22/23   989,728    0.1 
1,617,654     Orion Engineered Carbons GmbH 2017 USD Term Loan B, 3.833%, (US0003M + 2.500%), 07/31/24   1,624,732    0.2 
755,457     PQ Corporation 2017 USD Term Loan, 4.630%, (US0003M + 3.250%), 11/04/22   763,720    0.1 
1,575,568     Solenis International, LP USD First Lien Term Loan, 4.729%, (US0003M + 3.250%), 07/31/21   1,584,853    0.2 
530,000     Trinseo Materials Operating S.C.A. 2017 Term Loan, 3.850%, (US0003M + 2.500%), 08/16/24   534,505    0.1 
910,000     Tronox Blocked Borrower LLC Term Loan B, 4.323%, (US0003M + 3.000%), 09/22/24   919,327    0.1 
2,100,000     Tronox Finance LLC Term Loan B, 4.323%, (US0003M + 3.000%), 09/22/24   2,121,525    0.3 
2,105,000     Univar Inc. 2017 USD Term Loan B, 3.987%, (US0003M + 2.500%), 07/01/24   2,114,428    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Chemicals & Plastics: (continued)
785,000     Venator Materials Corporation Term Loan B, 4.380%, (US0003M + 3.000%), 08/08/24  $789,416    0.1 
          48,667,921    5.8 
                 
      Clothing/Textiles: 0.6%
4,863,063     Varsity Brands, Inc. First Lien Term Loan, 4.743%, (US0003M + 3.500%), 12/11/21   4,900,294    0.6 
539,053     Vince, LLC Term Loan B, 8.397%, (US0003M + 7.000%), 11/27/19   471,671    0.0 
          5,371,965    0.6 
                 
      Conglomerates: 0.4%
2,497,725     Jason Incorporated First Lien Term Loan, 5.833%, (US0003M + 4.500%), 06/30/21   2,430,080    0.3 
599,932     Jason Incorporated Second Lien Term Loan, 9.333%, (US0003M + 8.000%), 06/30/22   540,314    0.1 
          2,970,394    0.4 
                 
      Containers & Glass Products: 5.5%
2,369,063     Albea Beauty Holdings S.A USD First Lien Term Loan, 5.406%, (US0003M + 3.750%), 03/09/24   2,389,792    0.3 
630,000     Berlin Packaging LLC 2014 Second Lien Term Loan, 8.000%, (US0003M + 6.750%), 10/01/22   636,300    0.1 
796,000     Berry Plastics Group, Inc. Term Loan N, 3.496%, (US0001M + 2.250%), 01/19/24   799,068    0.1 
1,256,850     BWAY Holding Company 2017 Term Loan B, 4.598%, (US0003M + 3.250%), 04/03/24   1,264,181    0.1 
900,000     Consolidated Container Company LLC 2017 First Lien Term Loan, 4.850%, (US0003M + 3.500%), 05/22/24   906,469    0.1 
2,716,350     Flex Acquisition Company, Inc. First Lien Term Loan, 4.335%, (US0003M + 3.000%), 12/29/23   2,734,685    0.3 
EUR  2,781,818     Horizon Holdings III SAS EUR Term Loan B4, 2.750%, (EUR006M + 3.000%), 10/29/22   3,313,127    0.4 
2,099,794     Husky Injection Molding Systems Ltd. New Term Loan B, 4.600%, (US0003M + 3.250%), 06/30/21   2,117,512    0.3 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Containers & Glass Products: (continued)
2,133,875     Milacron LLC Amended Term Loan B, 4.100%, (US0003M + 2.750%), 09/28/23  $2,140,543    0.3 
5,601,824     Berlin Packaging LLC 2017 Term Loan B, 4.549%, (US0003M + 3.250%), 10/01/21   5,645,938    0.7 
975,000     Plastipak Holdings, Inc. Term Loan B, 4.237%, (US0003M + 2.750%), 10/04/24   981,297    0.1 
2,581,495     ProAmpac PG Borrower LLC First Lien Term Loan, 5.351%, (US0003M + 4.000%), 11/18/23   2,611,747    0.3 
460,000     ProAmpac PG Borrower LLC Second Lien Term Loan, 9.936%, (US0003M + 8.500%), 11/18/24   466,900    0.1 
9,698,066     Reynolds Group Holdings Inc. USD 2017 Term Loan, 4.100%, (US0003M + 3.000%), 02/05/23   9,752,647    1.2 
2,845,000     Ring Container Technologies Group, LLC First Lien Term Loan, 4.100%, (US0003M + 2.750%), 10/31/24   2,853,891    0.3 
4,324,275     SIG Combibloc Group AG, 4.350%, (US0001M + 3.000%), 03/13/22   4,349,499    0.5 
965,000     Tekni-Plex, Inc. 2017 USD Term Loan B1, 4.673%, (US0003M + 3.250%), 10/17/24   971,332    0.1 
2,053,009     Tricorbraun Holdings Inc First Lien Term Loan, 5.083%, (US0003M + 3.750%), 11/30/23   2,055,575    0.2 
206,852     TricorBraun Holdings, Inc. First Lien Delayed Draw Term Loan, 5.037%, (US0003M + 3.750%), 11/30/23   206,594    0.0 
          46,197,097    5.5 
                 
      Cosmetics/Toiletries: 0.4%
1,581,038     Wellness Merger Sub, Inc. First Lien Term Loan, 6.083%, (US0003M + 4.750%), 06/30/24   1,599,812    0.2 
2,321,388     Revlon Consumer Products Corporation 2016 Term Loan B, 4.850%, (US0003M + 3.500%), 09/07/23   1,744,588    0.2 
          3,344,400    0.4 
                 
      Drugs: 1.3%
2,763,011     Alvogen Pharma US, Inc. Term Loan, 6.350%, (US0003M + 5.000%), 04/02/22   2,745,742    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Drugs: (continued)
3,990,000     Endo Luxembourg Finance Company I S.a r.l. 2017 Term Loan B, 5.625%, (US0003M + 4.250%), 04/29/24  $4,021,170    0.5 
1,194,000     Horizon Pharma, Inc. 2017 First Lien Term Loan, 4.563%, (US0003M + 3.250%), 03/29/24   1,200,716    0.2 
EUR  1,090,107     Nidda Healthcare Holding AG EUR Term Loan B1, 4.987%, (EUR003M + 3.500%), 09/19/24   1,306,971    0.2 
EUR  219,893     Nidda Healthcare Holding AG EUR Term Loan B2, 4.987%, (EUR003M + 3.500%), 09/27/24   263,638    0.0 
916,104     Prestige Brands, Inc. Term Loan B5, 4.100%, (US0003M + 2.750%), 01/26/24   921,993    0.1 
          10,460,230    1.3 
                 
      Ecological Services & Equipment: 1.3%
3,303,599     4L Holdings, LLC First Lien Term Loan, 5.813%, (US0003M + 4.500%), 05/08/20   2,376,526    0.3 
6,093,657     ADS Waste Holdings, Inc Term Loan, 3.452%, (US0003M + 2.250%), 11/10/23   6,107,197    0.7 
2,400,000     Wrangler Buyer Corp. Term Loan B, 4.350%, (US0003M + 3.000%), 09/27/24   2,416,930    0.3 
          10,900,653    1.3 
                 
      Electronics/Electrical: 16.6%
3,303,921     Aptean, Inc. 2017 First Lien Term Loan, 5.590%, (US0003M + 4.250%), 12/20/22   3,334,895    0.4 
2,305,000     ASG Technologies Group, Inc. Term Loan, 6.100%, (US0003M + 4.750%), 07/31/24   2,333,812    0.3 
4,053,441     Avast Software B.V. 2017 USD Term Loan B, 4.583%, (US0003M + 3.250%), 09/29/23   4,082,577    0.5 
EUR  481,406     Avast Software B.V. EUR 2017 Term Loan B, 3.000%, (EUR003M + 3.000%), 09/29/23   577,470    0.1 
5,985,894     BMC Software Finance, Inc. 2017 USD Term Loan, 5.100%, (US0003M + 4.000%), 09/10/22   6,011,334    0.7 
EUR  1,644,620     BMC Software Finance, Inc. EUR Term Loan, 4.500%, (EUR003M + 4.500%), 09/10/22   1,967,092    0.2 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Electronics/Electrical: (continued)
5,498,796     Compuware Corporation Term Loan B3, 5.630%, (US0003M + 4.250%), 12/15/21  $5,569,247    0.7 
4,969,342     Quest Software US Holdings Inc. 2017 Term Loan B, 6.919%, (US0003M + 5.500%), 10/31/22   5,028,353    0.6 
6,004,822     Dell Inc. 2017 First Lien Term Loan, 3.350%, (US0003M + 2.000%), 09/07/23   6,016,957    0.7 
1,270,000     Exact Merger Sub LLC First Lien Term Loan, 5.583%, (US0003M + 4.250%), 09/27/24   1,282,700    0.2 
5,146,265     Epicor Software Corporation First Lien Term Loan, 5.100%, (US0003M + 3.750%), 06/01/22   5,182,289    0.6 
4,834,179     Evergreen Skills Lux S A R L, SkillSoft Corporation First Lien Term Loan, 6.100%, (US0003M + 4.750%), 04/28/21   4,655,314    0.6 
1,453,438     Eze Castle Software Inc. 2017 First Lien Term Loan, 4.333%, (US0003M + 3.000%), 04/06/20   1,464,338    0.2 
980,625     Eze Castle Software Inc. New Second Lien Term Loan, 7.833%, (US0003M + 6.500%), 04/05/21   983,077    0.1 
6,476,772     Go Daddy Operating Company, LLC 2017 Term Loan B, 3.600%, (US0003M + 2.500%), 02/15/24   6,503,760    0.8 
EUR  1,985,025     Greeneden U.S. Holdings II, LLC 2017 EUR Term Loan B, 3.750%, (EUR003M + 3.750%), 12/01/23   2,391,471    0.3 
1,146,352     Greeneden U.S. Holdings II, LLC USD 2017 Term Loan B2, 5.083%, (US0003M + 3.750%), 12/01/23   1,153,755    0.1 
5,979,707     Hyland Software, Inc. 2017 First Lien Term Loan, 4.600%, (US0003M + 3.250%), 07/01/22   6,049,969    0.7 
4,430,000     MH Sub I, LLC 2017 First Lien Term Loan, 5.070%, (US0003M + 3.750%), 09/13/24   4,418,234    0.5 
EUR  1,179,075     Infor (US), Inc. EUR 2017 Term Loan B, 4.500%, (EUR003M + 3.500%), 02/01/22   1,418,304    0.2 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Electronics/Electrical: (continued)
2,985,464     Informatica Corporation USD Term Loan, 4.833%, (US0003M + 3.500%), 08/05/22  $2,999,272    0.4 
6,153,578     Kronos Incorporated 2017 Term Loan B, 4.902%, (US0003M + 3.500%), 11/01/23   6,192,370    0.7 
1,326,375     Lully Finance LLC USD Term Loan B3, 4.832%, (US0001M + 3.500%), 10/14/22   1,326,375    0.2 
759,682     MA FinanceCo., LLC USD Term Loan B3, 4.063%, (US0001M + 2.750%), 06/21/24   759,365    0.1 
579,706     MaxLinear, Inc. Term Loan B, 3.764%, (US0003M + 2.500%), 05/12/24   583,329    0.1 
840,000     McAfee, LLC 2017 Second Lien Term Loan, 9.833%, (US0003M + 8.500%), 09/29/25   852,600    0.1 
4,280,000     McAfee, LLC 2017 USD Term Loan B, 5.833%, (US0003M + 4.500%), 09/30/24   4,304,434    0.5 
1,510,000     MH Sub I, LLC 2017 Second Lien Term Loan, 8.820%, (US0003M + 7.500%), 09/15/25   1,499,619    0.2 
1,259,063     Navico, Inc. First Lien Term Loan, 7.100%, (US0003M + 5.750%), 03/31/23   1,270,079    0.1 
1,262,920     Optiv Security, Inc. First Lien Term Loan, 4.625%, (US0003M + 3.250%), 02/01/24   1,207,667    0.1 
1,000,000     Optiv Security, Inc. Second Lien Term Loan, 8.625%, (US0003M + 7.250%), 02/01/25   935,000    0.1 
4,461,693     Rackspace Hosting, Inc. 2017 First Lien Term Loan, 4.385%, (US0003M + 3.000%), 11/03/23   4,467,270    0.5 
4,830,102     Riverbed Technology, Inc. 2016 Term Loan, 4.600%, (US0003M + 3.250%), 04/24/22   4,754,254    0.6 
981,063     Rovi Solutions Corporation Term Loan B, 3.850%, (US0003M + 2.500%), 07/02/21   987,317    0.1 
4,466,250     RP Crown Parent LLC Term Loan B, 4.350%, (US0003M + 3.500%), 10/12/23   4,498,072    0.5 
5,130,318     Seattle Spinco, Inc. USD Term Loan B3, 4.063%, (US0003M + 2.750%), 06/21/24   5,143,206    0.6 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Electronics/Electrical: (continued)
EUR  1,000,000     SGB-SMIT Management GmbH EUR Term Loan B, 4.000%, (EUR003M + 4.000%), 07/18/24  $1,168,825    0.1 
7,016,479     SolarWinds Holdings, Inc. 2017 Term Loan, 4.850%, (US0003M + 3.500%), 02/05/23   7,057,897    0.8 
2,382,000     Tessera Holding Corp Term loan B, 4.600%, (US0003M + 3.250%), 12/01/23   2,399,122    0.3 
2,095,000     TTM Technologies, Inc. 2017 Term Loan, 3.850%, (US0003M + 2.500%), 09/14/24   2,108,094    0.3 
5,525,385     Veritas Bermuda Ltd. USD Repriced Term Loan B, 5.833%, (US0003M + 4.500%), 01/27/23   5,535,055    0.7 
8,085,345     Western Digital Corporation 2017 Term Loan B, 3.313%, (US0003M + 2.000%), 04/29/23   8,126,613    1.0 
          138,600,783    16.6 
                 
      Equipment Leasing: 0.2%
1,822,925     Brand Energy & Infrastructure Services, Inc. 2017 Term Loan, 5.615%, (US0003M + 4.250%), 06/21/24   1,832,800    0.2 
                 
      Financial Intermediaries: 2.3%
6,895,219     First Eagle Holdings, Inc. 2017 First Lien Term Loan B, 4.365%, (US0003M + 3.000%), 12/01/22   6,968,480    0.8 
1,064,000     Blucora, Inc. Term Loan B, 5.073%, (US0003M + 3.750%), 05/22/24   1,069,985    0.1 
2,320,000     Duff & Phelps Corporation 2017 First Lien Term Loan, 4.607%, (US0003M + 3.250%), 10/14/24   2,329,243    0.3 
940,000     Edelman Financial Group, The 2017 Term Loan B, 5.653%, (US0003M + 4.250%), 11/11/24   951,750    0.1 
2,039,000     FinCo I LLC 2017 Term Loan B, 2.750%, (US0003M + 2.750%), 06/14/22   2,064,488    0.3 
775,000     Focus Financial Partners, LLC First Lien Term Loan, 4.574%, (US0003M + 3.250%), 07/03/24   781,539    0.1 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Financial Intermediaries: (continued)
5,326,650     LPL Holdings, Inc. 2017 First Lien Term Loan B, 3.652%, (US0003M + 2.250%), 09/23/24  $5,339,967    0.6 
          19,505,452    2.3 
                 
      Food Products: 2.9%
1,005,000     American Seafoods Group LLC 2017 First Lien Term Loan, 4.684%, (US0003M + 3.250%), 08/21/23   1,018,819    0.1 
1,270,000     Atkins Nutritionals Holdings II, Inc. 2017 Term Loan B, 5.392%, (US0003M + 4.000%), 07/07/24   1,281,906    0.1 
2,381,673     Atrium Innovations Inc. USD Term Loan, 4.669%, (US0003M + 3.250%), 02/13/21   2,399,536    0.3 
876,101     CSM Bakery Solutions LLC First Lien Term Loan, 5.340%, (US0003M + 4.000%), 07/03/20   862,412    0.1 
2,983,564     Del Monte Foods, Inc. First Lien Term Loan, 4.701%, (US0003M + 3.250%), 02/18/21   2,425,637    0.3 
3,700,000     Del Monte Foods, Inc. Second Lien Term Loan, 8.690%, (US0003M + 7.250%), 08/18/21   1,819,168    0.2 
1,580,063     Dole Food Company Inc. 2017 Term Loan B, 4.034%, (US0003M + 2.750%), 04/06/24   1,588,246    0.2 
4,632,233     Hostess Brands, LLC 2017 Term Loan, 3.742%, (US0003M + 2.500%), 08/03/22   4,642,160    0.6 
3,228,763     JBS USA, LLC 2017 Term Loan B, 3.764%, (US0003M + 2.500%), 10/30/22   3,167,719    0.4 
1,390,000     Nomad Foods Europe Midco Limited USD Term Loan B, 4.000%, (US0003M + 2.750%), 05/15/24   1,397,819    0.2 
1,765,575     NPC International, Inc. First Lien Term Loan, 4.838%, (US0003M + 3.500%), 04/19/24   1,778,817    0.2 
605,000     NPC International, Inc. Second Lien Term Loan, 8.838%, (US0003M + 7.500%), 04/18/25   618,612    0.1 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Food Products: (continued)
EUR  1,000,000     Valeo F1 Company Limited (Ireland) 2017 EUR Term Loan B, 3.750%, (EUR003M + 3.750%), 08/27/24  $1,198,060    0.1 
          24,198,911    2.9 
                 
      Food Service: 2.2%
4,351,281     1011778 B.C. Unlimited Liability Company Term Loan B3, 3.593%, (US0003M + 2.250%), 02/16/24   4,356,720    0.5 
3,678,490     CEC Entertainment Concepts, L.P. Term Loan, 4.350%, (US0003M + 3.000%), 02/14/21   3,573,653    0.4 
4,937,276     Golden Nugget, Inc. 2017 Incremental Term Loan, 4.598%, (US0003M + 3.250%), 10/04/23   4,982,679    0.6 
1,922,564     Manitowoc Foodservice, Inc. Term Loan B, 4.100%, (US0003M + 3.000%), 03/03/23   1,940,588    0.3 
3,456,250     US Foods, Inc. 2016 Term Loan B, 4.100%, (US0003M + 2.750%), 06/27/23   3,475,961    0.4 
          18,329,601    2.2 
                 
      Food/Drug Retailers: 2.9%
4,131,434     Albertsons, LLC USD 2017 Term Loan B4, 4.100%, (US0001M + 2.750%), 08/25/21   4,022,244    0.5 
3,640,069     Albertsons, LLC USD 2017 Term Loan B6, 4.462%, (US0003M + 3.000%), 06/22/23   3,542,493    0.4 
4,010,000     Clover Merger Sub, Inc. 2017 First Lien Term Loan, 4.833%, (US0003M + 3.500%), 09/26/24   3,846,260    0.5 
1,165,000     Clover Merger Sub, Inc. 2017 Second Lien Term Loan, 9.083%, (US0003M + 7.750%), 09/26/25   1,060,150    0.1 
2,422,563     Portillos Holdings, LLC First Lien Term Loan, 5.833%, (US0003M + 4.500%), 08/02/21   2,448,303    0.3 
3,116,450     Moran Foods LLC Term Loan, 7.350%, (US0003M + 6.000%), 12/05/23   2,493,160    0.3 
1,950,000     Smart & Final Stores LLC First Lien Term Loan, 4.833%, (US0003M + 3.500%), 11/15/22   1,917,094    0.2 
1,787,273     Supervalu Inc. 2017 Delayed Draw Term Loan, 4.500%, (US0003M + 3.500%), 06/08/24   1,733,655    0.2 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Food/Drug Retailers: (continued)
2,978,789     Supervalu Inc. 2017 Term Loan B, 4.850%, (US0003M + 3.500%), 06/08/24  $2,889,425    0.4 
          23,952,784    2.9 
                 
      Forest Products: 0.3%
1,875,000     Blount International Inc. USD 2017 Term Loan B, 5.492%, (US0003M + 4.250%), 04/12/23   1,894,922    0.2 
600,000     Multi Color Corporation 2017 Term Loan B, 3.600%, (US0003M + 2.250%), 10/31/24   604,500    0.1 
          2,499,422    0.3 
                 
      Health Care: 15.8%
4,096,723     Acadia Healthcare Company, Inc. Term Loan B2, 3.992%, (US0001M + 2.750%), 02/16/23   4,126,596    0.5 
1,002,310     ADMI Corp. 2015 Term Loan B, 5.153%, (US0003M + 3.750%), 04/30/22   1,014,526    0.1 
7,780,962     Air Medical Group Holdings, Inc. Term Loan B, 4.492%, (US0001M + 3.250%), 04/28/22   7,768,808    0.9 
3,335,670     Air Methods Corporation 2017 Term Loan B, 4.833%, (US0003M + 3.500%), 04/21/24   3,333,168    0.4 
1,965,000     Albany Molecular Research, Inc. 2017 First Lien Term Loan, 4.583%, (US0003M + 3.750%), 08/30/24   1,974,212    0.2 
1,884,474     ATI Holdings Acquisition, Inc. 2016 Term Loan, 4.847%, (US0003M + 3.500%), 05/10/23   1,903,318    0.2 
5,175,154     Auris Luxembourg III S.a.r.l. 2017 USD Term Loan B7, 4.333%, (US0003M + 3.000%), 01/17/22   5,220,437    0.6 
2,434,749     CareCore National, LLC Term Loan B, 5.350%, (US0003M + 4.000%), 03/05/21   2,440,836    0.3 
1,563,750     Carestream Dental Equiment, Inc 2017 First Lien Term Loan B, 4.583%, (US0003M + 4.000%), 09/01/24   1,568,393    0.2 
3,936,370     Catalent Pharma Solutions Inc. USD Term Loan B, 3.492%, (US0001M + 2.750%), 05/20/21   3,965,542    0.5 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)          
      Health Care: (continued)
2,500,000     Cdrh Parent, Inc. Second Lien, 9.343%, (US0003M + 8.000%), 07/01/22  $1,375,000    0.2 
7,412,750     Change Healthcare Holdings, Inc. 2017 Term Loan B, 4.100%, (US0001M + 2.750%), 03/01/24   7,439,970    0.9 
4,040,969     CHG Healthcare Services Inc. 2017 Term Loan B, 4.630%, (US0003M + 3.250%), 06/07/23   4,072,537    0.5 
3,360,503     Community Health Systems, Inc. Term Loan H, 4.479%, (US0003M + 3.000%), 01/27/21   3,219,990    0.4 
1,614,363     Concentra Inc. First Lien Term Loan, 4.321%, (US0003M + 3.000%), 06/01/22   1,632,465    0.2 
4,293,798     Cotiviti Corporation Term Loan B, 3.840%, (US0003M + 2.500%), 09/28/23   4,323,318    0.5 
970,000     Davis Vision Incorporated First Lien Term Loan B, 4.487%, (US0003M + 3.500%), 11/01/24   977,881    0.1 
575,000     Davis Vision Incorporated Second Lien Term Loan B, 8.237%, (US0003M + 6.750%), 11/03/25   582,187    0.1 
2,858,030     DJO Finance LLC 2015 Term Loan, 4.592%, (US0003M + 3.250%), 06/08/20   2,837,935    0.4 
1,141,375     Press Ganey Holdings, Inc. 2017 First Lien Term Loan, 4.350%, (US0003M + 3.000%), 10/23/23   1,149,459    0.1 
3,725,158     Envision Healthcare Corp Term Loan B, 4.350%, (US0003M + 3.000%), 12/01/23   3,737,965    0.5 
2,093,890     ExamWorks Group, Inc. 2017 Term Loan, 4.600%, (US0003M + 3.250%), 07/27/23   2,108,941    0.3 
608,475     Commerce Merger Sub, Inc. 2017 First Lien Term Loan, 4.583%, (US0003M + 3.250%), 06/28/24   610,757    0.1 
1,682,568     Greenway Health, LLC 2017 First Lien Term Loan, 5.580%, (US0003M + 4.250%), 02/14/24   1,699,394    0.2 
2,383,013     Grifols Worldwide Operations USA, Inc. 2017 Acquisition Term Loan, 3.452%, (US0003M + 2.250%), 01/31/25   2,392,321    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Health Care: (continued)
2,460,938    INC Research, LLC 2017 Term Loan B, 3.600%, (US0003M + 2.250%), 08/01/24  $2,467,602    0.3 
4,414,560     Jaguar Holding Company II 2017 Term Loan, 4.091%, (US0003M + 2.750%), 08/18/22   4,427,525    0.5 
4,216,659     Kinetic Concepts, Inc. 2017 USD Term Loan B, 4.583%, (US0003M + 3.250%), 02/02/24   4,210,861    0.5 
3,100,447     MPH Acquisition Holdings LLC 2016 Term Loan B, 4.333%, (US0003M + 3.000%), 06/07/23   3,106,815    0.4 
5,106,789     NVA Holdings, Inc. USD First Lien Term Loan B2, 4.833%, (US0003M + 3.500%), 08/14/21   5,151,474    0.6 
2,871,932     Onex TSG Holdings II Corp. First Lien Term Loan, 5.350%, (US0003M + 4.000%), 07/31/22   2,836,033    0.3 
4,656,000     Parexel International Corporation Term Loan B, 4.350%, (US0003M + 3.000%), 09/27/24   4,688,010    0.6 
1,915,000     PharMerica Corporation First Lien Term Loan, 4.987%, (US0003M + 3.500%), 09/26/24   1,927,566    0.2 
1,971,473     Precyse Acquisition Corp, nThrive, Inc. 2016 First Lien Term Loan, 5.850%, (US0003M + 4.500%), 10/20/22   1,982,870    0.2 
151,497     Press Ganey Holdings, Inc. Second Lien Term Loan, 7.850%, (US0003M + 7.250%), 10/21/24   153,675    0.0 
1,663,788     Prospect Medical Holdings, Inc. Term Loan, 7.500%, (US0003M + 6.000%), 06/30/22   1,668,946    0.2 
3,358,125     Select Medical Corporation 2017 Term Loan B, 4.850%, (US0003M + 3.500%), 03/01/21   3,405,307    0.4 
5,824,369     Sotera Health Holdings, LLC 2017 Term Loan B, 4.350%, (US0003M + 3.000%), 05/15/22   5,824,369    0.7 
2,850,000     Surgery Center Holdings, Inc. 2017 Term Loan B, 4.600%, (US0003M + 3.250%), 09/02/24   2,797,751    0.3 
3,198,925     Team Health Holdings, Inc. First Lien Term Loan, 4.100%, (US0003M + 2.750%), 02/06/24   3,128,948    0.4 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Health Care: (continued)
937,650    Tecomet Inc. 2017 Repriced Term Loan, 5.135%, (US0003M + 3.750%), 05/01/24  $946,440    0.1 
1,346,625     U.S. Anesthesia Partners, Inc. 2017 Term Loan, 4.600%, (US0003M + 3.250%), 06/23/24   1,346,625    0.2 
6,882,437     U.S. Renal Care, Inc. 2015 Term Loan B, 5.583%, (US0003M + 4.250%), 12/31/22   6,729,303    0.8 
1,533,436     Valeant Pharmaceuticals International, Inc. Term Loan B F1, 4.750%, (US0003M + 3.500%), 04/01/22   1,556,629    0.2 
1,849,527     Vizient, Inc. First Lien Term Loan B, 4.850%, (US0003M + 3.500%), 02/13/23   1,858,198    0.2 
          131,690,903    15.8 
                 
      Home Furnishings: 1.2%      
2,865,829     Prime Security Services Borrower, LLC 2016 First Lien Term Loan, 4.100%, (US0003M + 2.750%), 05/02/22   2,890,235    0.4 
1,430,000     Global Appliance Inc. Term Loan B, 5.340%, (US0003M + 4.000%), 09/29/24   1,446,981    0.2 
3,265,313     Hillman Group Inc. (The) Term Loan B, 4.840%, (US0003M + 3.500%), 06/30/21   3,291,843    0.4 
2,054,288     Serta Simmons Bedding, LLC First Lien Term Loan, 4.848%, (US0003M + 3.500%), 11/08/23   1,996,254    0.2 
          9,625,313    1.2 
                 
      Industrial Equipment: 4.6%     
920,000     Accudyne Industries, LLC 2017 Term Loan, 5.083%, (US0003M + 3.750%), 08/02/24   925,822    0.1 
3,341,503     Apex Tool Group, LLC Term Loan B, 4.600%, (US0001M + 3.250%), 01/31/20   3,330,015    0.4 
101,090     CeramTec Acquisition Corporation USD Term Loan B2, 4.229%, (US0003M + 2.750%), 08/30/20   101,184    0.0 
2,185,753     Columbus McKinnon Corporation Term Loan B, 4.333%, (US0003M + 3.000%), 01/31/24   2,202,146    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Industrial Equipment: (continued)
3,400,494    Cortes NP Acquisition Corporation 2017 Term Loan B, 5.350%, (US0003M + 4.000%), 11/30/23  $3,420,686    0.4 
1,650,606     EWT Holdings III Corp, WTG Holdings III Corp. First Lien Term Loan, 5.083%, (US0003M + 3.750%), 01/15/21   1,664,018    0.2 
1,110,000     ExGen Renewables IV, LLC Term Loan B, 4.487%, (US0003M + 3.000%), 11/07/24   1,119,712    0.1 
787,380     Faenza Acquisition GmbH USD Term Loan B1, 4.229%, (US0003M + 2.750%), 08/30/20   788,119    0.1 
241,114     Faenza Acquisition GmbH USD Term Loan B3, 4.229%, (US0003M + 2.750%), 08/30/20   241,340    0.0 
2,633,835     Filtration Group Corporation First Lien Term Loan, 4.380%, (US0003M + 3.000%), 11/21/20   2,657,587    0.3 
EUR  4,000,000     Gardner Denver, Inc. 2017 EUR Term Loan B, 3.000%, (EUR003M + 3.000%), 07/30/24   4,784,803    0.6 
3,126,966     Gardner Denver, Inc. 2017 USD Term Loan B, 4.083%, (US0003M + 2.750%), 07/30/24   3,141,240    0.4 
1,188,000     Global Brass & Copper, Inc. 2016 Term Loan B, 4.625%, (US0003M + 3.250%), 07/18/23   1,204,335    0.1 
1,258,565     Kenan Advantage Group, Inc. 2015 Term Loan, 4.350%, (US0003M + 3.000%), 07/31/22   1,265,645    0.1 
382,732     Kenan Advantage Group, Inc. CAD Term Loan B, 4.350%, (US0003M + 3.000%), 07/31/22   384,885    0.0 
533,839     MKS Instruments, Inc. 2017 Term Loan B2, 3.350%, (US0003M + 2.250%), 05/01/23   539,511    0.1 
7,138,202     Rexnord LLC 2016 Term Loan B, 4.088%, (US0003M + 2.750%), 08/21/23   7,161,065    0.9 
1,510,000     Robertshaw US Holding Corp First Lien Term Loan, 5.750%, (US0003M + 4.500%), 08/10/24   1,524,156    0.2 
635,000     Robertshaw US Holding Corp Second Lien Term Loan, 10.250%, (US0003M + 9.000%), 02/10/25   633,412    0.1 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Industrial Equipment: (continued)
968,776    Signode Industrial Group US, Inc. Term Loan B, 4.092%, (US0003M + 2.750%), 05/04/21  $976,041    0.1 
696,500     Terex Corporation 2017 Repriced Term Loan, 3.583%, (US0003M + 2.250%), 01/31/24   699,692    0.1 
          38,765,414    4.6 
                 
      Insurance: 6.8%          
5,974,975     Acrisure, LLC 2016 Term Loan B, 6.272%, (US0003M + 5.000%), 10/28/23   6,057,131    0.7 
6,847,504     Alliant Holdings I, Inc. 2015 Term Loan B, 4.578%, (US0003M + 3.250%), 08/12/22   6,886,466    0.8 
500,000     AmWINS Group, Inc Second Lien, 8.100%, (US0003M + 6.750%), 01/25/25   506,250    0.1 
3,870,750     AmWINS Group, Inc. 2017 Term Loan B, 4.070%, (US0001M + 2.750%), 01/25/24   3,885,869    0.5 
2,635,000     Applied Systems, Inc. 2017 First Lien Term Loan, 4.574%, (US0003M + 3.250%), 09/19/24   2,666,085    0.3 
650,000     Applied Systems, Inc. 2017 Second Lien Term Loan, 8.324%, (US0003M + 7.000%), 09/19/25   671,396    0.1 
3,900,219     AssuredPartners, Inc. 2017 First Lien Add-On Term Loan, 4.850%, (US0003M + 3.500%), 10/22/24   3,933,371    0.5 
756,886     CH Hold Corp. First Lien Term Loan, 4.350%, (US0003M + 3.000%), 02/01/24   763,982    0.1 
2,354,100     CCC Information Services, Inc. 2017 First Lien Term Loan, 4.350%, (US0003M + 3.000%), 04/27/24   2,361,457    0.3 
190,000     CCC Information Services, Inc. 2017 Second Lien Term Loan, 8.100%, (US0003M + 6.750%), 04/27/25   195,304    0.0 
9,567,534     Hub International Limited Term Loan B, 4.413%, (US0003M + 3.000%), 10/02/20   9,620,825    1.1 
4,664,750     NFP Corp. Term Loan B, 4.850%, (US0003M + 3.500%), 01/08/24   4,699,372    0.6 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Insurance: (continued)
5,900,000    Sedgwick, Inc. Second Lien Term Loan, 7.100%, (US0003M + 5.750%), 02/28/22  $5,973,750    0.7 
3,251,758     Sedgwick, Inc. First Lien Term Loan, 4.100%, (US0003M + 2.750%), 03/01/21   3,268,016    0.4 
3,435,000     USI, Inc. 2017 Term Loan B, 4.350%, (US0003M + 3.000%), 05/16/24   3,431,421    0.4 
1,566,588     VF Holding Corp Reprice Term Loan, 4.600%, (US0003M + 3.250%), 06/30/23   1,577,902    0.2 
          56,498,597    6.8 
                 
      Leisure Good/Activities/Movies: 5.3% 
7,256,250     24 Hour Fitness Worldwide, Inc. New Term Loan B, 5.085%, (US0003M + 3.750%), 05/28/21   7,267,497    0.9 
1,715,000     ClubCorp Club Operations, Inc. 2017 Incremental Term Loan, 4.588%, (US0003M + 3.250%), 09/18/24   1,720,359    0.2 
5,749,027     Delta 2 (LUX) S.a.r.l. USD Term Loan B3, 4.350%, (US0006M + 3.000%), 02/01/24   5,789,748    0.7 
350,000     Equinox Holdings, Inc. 2017 Second Lien Term Loan, 8.350%, (US0003M + 7.000%), 09/06/24   362,033    0.0 
4,179,000     Equinox Holdings, Inc. 2017 Term Loan B, 4.492%, (US0003M + 3.250%), 03/08/24   4,199,895    0.5 
6,207,421     Fitness International, LLC Term Loan B, 4.850%, (US0003M + 3.250%), 07/01/20   6,305,703    0.8 
EUR  1,010,000     Fugue Finance B.V. EUR Term Loan, 3.250%, (EUR003M + 3.250%), 06/27/24   1,212,242    0.2 
EUR  1,000,000     International Park Holdings B.V. EUR Term Loan B, 3.500%, (EUR003M + 3.500%), 06/30/24   1,186,322    0.1 
1,735,650     Kingpin Intermediate Holdings LLC 2017 First Lien Term Loan B, 5.570%, (US0003M + 4.250%), 06/28/24   1,750,837    0.2 
1,723,750     LTF Merger Sub, Inc. 2017 Term Loan B, 4.228%, (US0003M + 2.750%), 06/10/22   1,729,945    0.2 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Leisure Good/Activities/Movies: (continued)
EUR  1,323,019    NEP Europe Finco B.V. EUR Incremental Term Loan, 3.750%, (EUR003M + 3.500%), 01/03/24  $1,595,391    0.2 
1,469,499     NEP/NCP Holdco, Inc. 2017 Second Lien Term Loan, 8.246%, (US0003M + 7.000%), 01/23/23   1,484,194    0.2 
4,709,304     NEP/NCP Holdco, Inc. Incremental Term Loan, 4.600%, (US0003M + 3.250%), 07/21/22   4,729,907    0.6 
947,028     SRAM, LLC 2017 Incremental Term Loan, 4.686%, (US0003M + 3.250%), 03/15/24   949,396    0.1 
EUR  1,000,000     Stage Entertainment B.V. EUR Term Loan B, 4.000%, (EUR003M + 4.000%), 06/29/24   1,203,830    0.1 
1,754,744     UFC Holdings, LLC First Lien Term Loan, 4.580%, (US0003M + 3.250%), 08/18/23   1,767,122    0.2 
1,174,950     Winnebago Industries, Inc. Term Loan, 5.796%, (US0003M + 4.500%), 11/08/23   1,191,106    0.1 
          44,445,527    5.3 
                 
      Lodging & Casinos: 6.0%    
9,699,364     Amaya Holdings B.V. Repriced Term Loan B, 4.833%, (US0003M + 3.500%), 08/01/21   9,763,623    1.2 
548,625     Belmond Interfin Ltd. Dollar Term Loan, 4.100%, (US0003M + 2.750%), 07/03/24   549,997    0.1 
945,250     Caesars Growth Properties Holdings, LLC 2017 Term Loan, 4.100%, (US0003M + 2.750%), 05/08/21   945,939    0.1 
7,860,000     Caesars Resort Collection, LLC 2017 First Lien Term Loan B, 4.237%, (US0003M + 2.750%), 09/27/24   7,902,248    0.9 
1,035,000     CBAC Borrower, LLC 2017 Term Loan B, 5.350%, (US0003M + 4.000%), 06/28/24   1,046,644    0.1 
2,718,188     CityCenter Holdings, LLC 2017 Term Loan B, 3.850%, (US0003M + 2.500%), 04/18/24   2,733,901    0.3 
2,341,394     ESH Hospitality, Inc. 2017 Term Loan B, 3.600%, (US0003M + 2.250%), 08/30/23   2,349,931    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Lodging & Casinos: (continued)
2,638,388    Everi Payments Inc. Term Loan B, 4.978%, (US0003M + 3.500%), 05/09/24  $2,661,473    0.3 
3,135,000     Golden Entertainment, Inc. 2017 First Lien Term Loan, 4.290%, (US0003M + 3.000%), 10/21/24   3,142,837    0.4 
870,000     Golden Entertainment, Inc. 2017 Second Lien Term Loan, 8.487%, (US0003M + 7.000%), 10/20/25   876,525    0.1 
3,393,448     La Quinta Intermediate Holdings LLC Term Loan B, 4.109%, (US0003M + 2.750%), 04/14/21   3,420,314    0.4 
5,710,144     Scientific Games International, Inc. 2017 Term Loan B4, 4.657%, (US0003M + 3.250%), 08/14/24   5,771,259    0.7 
5,761,487     Station Casinos LLC 2016 Term Loan B, 3.820%, (US0003M + 2.500%), 06/08/23   5,777,493    0.7 
3,161,831     Twin River Management Group, Inc. Term Loan, 4.833%, (US0003M + 3.500%), 07/10/20   3,202,672    0.4 
          50,144,856    6.0 
                 
      Nonferrous Metals/Minerals: 0.2% 
1,950,000     Fairmount Santrol, Inc. 2017 Term Loan B, 7.377%, (US0003M + 6.000%), 11/01/22   1,955,790    0.2 
                 
      Oil & Gas: 2.0%          
4,158,935     FTS International, Inc. New Term Loan B, 6.100%, (US0003M + 4.750%), 04/16/21   4,068,823    0.5 
6,525,750  (2), (3)  HGIM Corp. Term Loan B, 5.987%, 06/18/20   2,365,584    0.3 
893,007     Limetree Bay Terminals, LLC 2017 Term Loan B, 5.283%, (US0003M + 4.000%), 02/15/24   884,077    0.1 
705,000     Medallion Midland Acquisition, LLC First Lien Term Loan, 4.562%, (US0003M + 3.250%), 10/30/24   708,084    0.1 
4,226,433     MEG Energy Corp. 2017 Term Loan B, 4.833%, (US0003M + 3.500%), 12/31/23   4,236,340    0.5 
1,478,342     Southcross Energy Partners, L.P. First Lien Term Loan, 5.583%, (US0003M + 4.250%), 08/04/21   1,458,015    0.1 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Oil & Gas: (continued)
678,038    Summit Midstream Partners Holdings, LLC Term Loan B, 7.350%, (US0003M + 6.000%), 05/13/22  $690,468    0.1 
2,480,000     Traverse Midstream Partners LLC 2017 Term Loan, 5.330%, (US0003M + 4.000%), 09/27/24   2,507,280    0.3 
          16,918,671    2.0 
                 
      Publishing: 0.9%          
1,444,404     McGraw-Hill Global Education Holdings, LLC 2016 Term Loan B, 5.350%, (US0003M + 4.000%), 05/04/22   1,448,918    0.2 
3,171,951     Merrill Communications, LLC 2015 Term Loan, 6.630%, (US0003M + 5.250%), 06/01/22   3,203,670    0.4 
2,950,510     Tribune Media Company Term Loan C, 4.350%, (US0003M + 3.000%), 01/27/24   2,960,344    0.3 
236,728     Tribune Media Company Term Loan, 4.350%, (US0003M + 3.000%), 12/27/20   237,911    0.0 
          7,850,843    0.9 
                 
      Radio & Television: 3.8% 
2,759,150     Learfield Communications, LLC 2016 First Lien Term Loan, 4.600%, (US0003M + 3.250%), 12/01/23   2,771,795    0.3 
3,285,875     CBS Radio Inc. Term Loan B, 4.738%, (US0003M + 3.500%), 10/06/23   3,293,022    0.4 
4,788,591  (2)  Cumulus Media Holdings Inc. 2013 Term Loan, 4.600%, 12/23/20   4,175,053    0.5 
2,220,000     Lions Gate Entertainment Corp. 2016 First Lien Term Loan, 4.350%, (US0003M + 3.000%), 12/08/23   2,224,624    0.3 
412,997     Mission Broadcasting, Inc. 2017 Term Loan B2, 3.742%, (US0003M + 2.500%), 01/17/24   414,752    0.0 
3,270,493     Nexstar Broadcasting, Inc. 2017 Term Loan B2, 3.742%, (US0003M + 2.500%), 01/17/24   3,284,393    0.4 
2,410,000     Raycom TV Broadcasting, LLC 2017 Term Loan B, 4.078%, (US0003M + 2.750%), 08/23/24   2,431,839    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Radio & Television: (continued)
13,045,800    Univision Communications Inc. Term Loan C5, 4.100%, (US0003M + 2.750%), 03/15/24  $12,978,758    1.6 
          31,574,236    3.8 
                 
      Retailers (Except Food & Drug): 7.9% 
1,224,042     Abercrombie & Fitch Management Co. Term Loan B, 5.080%, (US0003M + 3.750%), 08/07/21   1,216,391    0.1 
EUR  3,909,551     Action Nederland B.V. EUR Term Loan B, 3.250%, (EUR003M + 3.500%), 02/25/22   4,694,058    0.6 
3,465,393     Ascena Retail Group, Inc. 2015 Term Loan B, 5.875%, (US0003M + 4.500%), 08/21/22   2,957,713    0.4 
2,000,000     Bass Pro Group, LLC Term Loan B, 6.350%, (US0003M + 5.000%), 09/25/24   1,950,624    0.2 
4,418,239     Belk, Inc. Term Loan B First Lien, 6.099%, (US0003M + 4.750%), 12/12/22   3,580,153    0.4 
6,238,650     BJs Wholesale Club, Inc. 2017 First Lien Term Loan, 4.992%, (US0003M + 3.750%), 02/03/24   6,146,805    0.7 
1,250,000     BJs Wholesale Club, Inc. 2017 Second Lien Term Loan, 8.742%, (US0003M + 7.500%), 02/03/25   1,218,229    0.1 
3,895,433     General Nutrition Centers, Inc. New Term Loan, 5.750%, (PRIME + 1.500%), 03/04/19   3,730,344    0.5 
5,482,286     Harbor Freight Tools USA, Inc. 2016 Term Loan B, 4.600%, (US0003M + 3.250%), 08/18/23   5,525,114    0.7 
4,811,400     Jo-Ann Stores, Inc. 2016 Term Loan, 6.551%, (US0003M + 5.000%), 10/20/23   4,609,923    0.6 
2,767,050     Leslies Poolmart, Inc. 2016 Term Loan, 5.064%, (US0003M + 3.750%), 08/16/23   2,773,968    0.3 
4,843,739     Mens Wearhouse, Inc. (The) Term Loan B, 4.785%, (US0003M + 3.500%), 06/18/21   4,802,867    0.6 
519,230     National Vision, Inc. First Lien Term Loan, 4.242%, (US0001M + 3.000%), 03/12/21   521,420    0.1 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Retailers (Except Food & Drug): (continued)
4,205,938    Neiman Marcus Group, Inc. (The) 2020 Term Loan B, 4.492%, (US0003M + 3.250%), 10/25/20  $3,438,644    0.4 
3,146,859     Party City Holdings Inc. 2016 Term Loan, 4.433%, (US0003M + 3.000%), 08/19/22   3,153,005    0.4 
5,698,500     Petco Animal Supplies, Inc. 2017 Term Loan B, 4.380%, (US0003M + 3.000%), 01/26/23   4,501,815    0.5 
12,684,848     PetSmart, Inc., 4.340%, (US0003M + 3.000%), 03/11/22   10,922,187    1.3 
          65,743,260    7.9 
                 
      Software: 0.6%          
4,583,513     Almonde, Inc. - Term Loan B First Lien, 4.979%, (US0003M + 3.500%), 06/13/24   4,584,585    0.6 
                 
      Surface Transport: 1.3%          
741,275     AI Mistral Holdco Limited 2017 Term Loan B, 4.350%, (US0003M + 3.000%), 03/09/24   738,959    0.1 
4,775,000     Navistar International Corporation 2017 First Lien Term Loan B, 4.750%, (US0003M + 3.500%), 11/01/24   4,792,906    0.5 
2,380,797     OSG Bulk Ships, Inc OBS Term Loan, 5.650%, (US0003M + 4.250%), 08/05/19   2,285,565    0.3 
660,000     PODS, LLC 2017 Term Loan B, 4.487%, (US0003M + 3.000%), 11/21/24   663,988    0.1 
2,532,357     XPO Logistics, Inc. 2017 Term Loan B, 3.599%, (US0003M + 2.250%), 11/01/21   2,546,925    0.3 
          11,028,343    1.3 
                 
      Telecommunications: 9.5% 
3,233,750     Altice Financing SA 2017 USD Term Loan B, 4.109%, (US0003M + 2.750%), 07/15/25   3,201,413    0.4 
1,970,000     Altice Financing SA USD 2017 First Lien Term Loan, 4.237%, (US0003M + 2.750%), 01/05/26   1,944,883    0.2 
3,315,988     Aricent Technologies First Lien Term Loan, 5.746%, (US0003M + 4.500%), 04/14/21   3,333,811    0.4 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Telecommunications: (continued)
705,000    Asurion LLC 2017 Second Lien Term Loan, 7.350%, (US0003M + 6.000%), 08/04/25  $724,828    0.1 
6,513,059     Asurion LLC 2017 Term Loan B4, 4.100%, (US0003M + 2.750%), 08/04/22   6,549,695    0.8 
5,773,765     Asurion LLC 2017 Term Loan B5, 4.350%, (US0003M + 3.000%), 11/03/23   5,805,728    0.7 
5,895,000     Avaya, Inc. Exit Term Loan B, 6.237%, (US0003M + 4.750%), 11/08/24   5,824,997    0.7 
5,920,000     CenturyLink, Inc. 2017 Term Loan B, 4.100%, (PRIME + 2.750%), 01/31/25   5,693,684    0.7 
9,545,859     Communications Sales & Leasing, Inc. 2017 Term Loan B, 4.350%, (US0003M + 3.000%), 10/24/22   9,210,513    1.1 
5,189,456     Consolidated Communications, Inc. 2016 Term Loan B, 4.350%, (US0003M + 3.000%), 10/04/23   5,120,265    0.6 
554,243     Encompass Digital Media, Inc. First Lien Term Loan, 5.840%, (US0003M + 4.500%), 06/06/21   532,073    0.1 
1,513,693     Global Tel*Link Corporation First Lien Term Loan, 5.333%, (US0003M + 4.000%), 05/23/20   1,531,668    0.2 
1,700,000     Global Tel*Link Corporation Second Lien Term Loan, 9.083%, (US0003M + 7.750%), 11/23/20   1,702,125    0.2 
3,446,927     Lumos Networks Operating Company First Lien Term Loan B, 4.987%, (US0003M + 3.250%), 10/16/24   3,453,390    0.4 
1,133,073     Lumos Networks Operating Company MTN Topco Term Loan, 4.737%, (US0003M + 3.250%), 10/16/24   1,135,197    0.1 
3,000,000     Numericable Group SA USD Term Loan B12, 4.349%, (US0003M + 3.000%), 01/31/26   2,952,501    0.3 
2,110,000     Securus Technologies Holdings, Inc. 2017 First Lien Term Loan, 5.850%, (US0003M + 4.500%), 11/01/24   2,132,748    0.3 
Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value  

Percentage
of Net

Assets

 
SENIOR LOANS*: (continued)    
      Telecommunications: (continued)
5,129,225    Sprint Communications, Inc. First Lien Term Loan B, 3.875%, (US0003M + 2.500%), 02/02/24  $5,136,278    0.6 
4,931,015     Syniverse Holdings, Inc. Term Loan, 4.242%, (US0003M + 3.000%), 04/23/19   4,861,676    0.6 
3,531,150     U.S. Telepacific Corporation 2017 Term Loan B, 6.350%, (US0003M + 5.000%), 05/02/23   3,394,318    0.4 
5,086,621     Windstream Corporation Repriced Term Loan B6, 5.270%, (US0003M + 4.000%), 03/29/21   4,763,620    0.6 
          79,005,411    9.5 
                 
      Utilities: 4.1%          
992,386     Calpine Corporation Term Loan B5, 4.090%, (US0003M + 2.750%), 01/15/24   994,315    0.1 
2,949,962     Calpine Corporation Term Loan B6, 4.090%, (US0003M + 2.750%), 01/15/23   2,956,184    0.3 
2,927,875     Dayton Power & Light Company (The) Term Loan B, 4.600%, (US0003M + 3.250%), 08/24/22   2,956,202    0.4 
4,016,006     Dynegy Inc. 2017 Term Loan C, 4.600%, (US0003M + 3.250%), 02/07/24   4,042,371    0.5 
1,411,070     EFS Cogen Holdings I LLC 2016 Term Loan B, 4.590%, (US0003M + 3.500%), 06/28/23   1,426,062    0.2 
1,572,000     Entergy Rhode Island State Energy, L.P. Term Loan B, 6.100%, (US0003M + 4.750%), 12/17/22   1,587,720    0.2 
2,222,084     Helix Gen Funding, LLC Term Loan B, 5.083%, (US0003M + 3.750%), 06/02/24   2,239,907    0.3 
2,394,875     Longview Power LLC Term Loan B, 7.390%, (US0003M + 6.000%), 04/13/21   1,616,541    0.2 
1,465,721     Meter Readings Holding, LLC 2016 Term Loan B, 7.229%, (US0003M + 5.750%), 08/29/23   1,491,371    0.2 
2,336,400     Middle River Power LLC Term Loan B, 8.333%, (US0003M + 7.000%), 10/18/22   2,161,170    0.3 

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Principal
Amount†
     Borrower/Tranche
Description
(continued)
  Fair Value   Percentage
of Net
Assets
 
SENIOR LOANS*: (continued)    
      Utilities: (continued)
1,172,063    Nautilus Power, LLC Term Loan B, 5.600%, (US0003M + 4.250%), 05/16/24  $1,183,783    0.1 
1,893,063     Southeast PowerGen, LLC Term Loan B, 4.840%, (US0003M + 3.500%), 12/02/21   1,765,281    0.2 
5,253,161     TEX Operations Co. LLC Exit Term Loan B, 4.096%, (US0003M + 2.750%), 08/04/23   5,282,710    0.6 
1,207,143     TEX Operations Co. LLC Exit Term Loan C, 4.084%, (US0003M + 2.750%), 08/04/23   1,213,933    0.1 
3,294,054     TPF II Power, LLC Term Loan B, 5.100%, (US0003M + 3.750%), 10/02/23   3,326,995    0.4 
          34,244,545    4.1 
                 
   Total Senior Loans          
   (Cost $1,205,363,315)   1,194,244,722    142.9 

 

Shares        Value   Percentage
of Net
Assets
 
EQUITIES AND OTHER ASSETS: 0.2%
60,946  (3)  Everyware Global, Inc.   457,095    0.0 
178,416  (3)  Cengage Learning Holdings II L.P.   1,329,199    0.2 
205,396  (3)  Longview Power LLC   41,079    0.0 
75,853  (3)  Millennium Health, LLC   21,315    0.0 
  (3),(4)  Millennium Health, LLC Corporate Claims Trust       0.0 
209,262  (3),(4)  Nelson Education Ltd.       0.0 
925,383  (3),(4)  Nelson Education Ltd. Preferred Class A       0.0 
407  (3)  Southcross Holdings GP LLC       0.0 
407  (3)  Southcross Holdings LP Class A   181,794    0.0 
   Total Equities and Other Assets          
   (Cost $9,241,741)   2,030,482    0.2 
                 
   Total Investments
(Cost $1,214,605,056)
  $1,196,275,204    143.1 
   Liabilities in Excess of Other Assets   (360,314,935)   (43.1)
   Net Assets  $835,960,269    100.0 

 

* Senior loans, while exempt from registration under the Securities Act of 1933, as amended, contain certain restrictions on resale and cannot be sold publicly. These senior loans bear interest (unless otherwise noted) at rates that float periodically at a margin above the London Inter-Bank Offered Rate (“LIBOR”) and other short-term rates.
Unless otherwise indicated, principal amount is shown in USD.
(1) All or a portion of this holding is subject to unfunded loan commitments. Please refer to Note X for additional details.
(2) The borrower filed for protection under Chapter 11 of the U.S. Federal Bankruptcy code.
(3) Non-income producing security.
(4) For fair value measurement disclosure purposes, security is categorized as Level 3, whose value was determined using significant unobservable inputs.

 

Reference Rate Abbreviations:
EUR003M - 3-month EURIBOR
EUR006M - 6-month EURIBOR
PRIME - Federal Reserve Bank Prime Loan Rate
US0001M - 1-month LIBOR
US0003M - 3-month LIBOR
US0006M - 6-month LIBOR

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

Fair Value Measurements

The following is a summary of the fair valuations according to the inputs used as of November 30, 2017 in valuing the assets and liabilities:

 

   Quoted Prices
in Active Markets
for Identical
Investments
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Fair Value
at
November 30, 2017
 
Asset Table                    
Investments, at fair value                    
Senior Loans  $   $1,194,244,722   $   $1,194,244,722 
Equities and Other Assets       2,030,482        2,030,482 
Total Investments, at fair value  $   $1,196,275,204   $   $1,196,275,204 
Liabilities Table                    
Other Financial Instruments+                    
Forward Foreign Currency Contracts  $   $(569,388)  $   $(569,388)
Total Liabilities  $   $(569,388)  $   $(569,388)

 

+ Other Financial Instruments are derivatives not reflected in the Portfolio of Investments and include open forward foreign currency contracts which are fair valued at the unrealized gain (loss) on the instrument.

 

At November 30, 2017, the following forward foreign currency contracts were outstanding for Voya Prime Rate Trust:
Currency Purchased  Currency Sold  Counterparty  Settlement Date  Unrealized
Appreciation
(Depreciation)
 
USD 50,546,968  EUR 42,900,000  State Street Bank & Trust Co.  12/20/17  $(569,388)
            $(569,388)

 

Currency Abbreviations
EUR - EU Euro
USD - United States Dollar

 

A summary of derivative instruments by primary risk exposure is outlined in the following tables.

 

The fair value of derivative instruments as of November 30, 2017 was as follows:

 

    Location on Statement      
Derivatives not accounted for as hedging instruments   of Assets and Liabilities   Fair Value  
           
Liability Derivatives            
             
Foreign exchange contracts   Unrealized depreciation on forward foreign currency contracts   $ 569,388
Total Liability Derivatives       $ 569,388

 

 

 

 

Voya Prime Rate Trust PORTFOLIO OF INVESTMENTS
as of November 30, 2017 (Unaudited) (Continued)

 

The effect of derivative instruments on the Trust's Statement of Operations for the period ended November 30, 2017 was as follows:

 

Amount of Realized Gain or (Loss) on Derivatives Recognized in Income 

   Foreign currency related 
Derivatives not accounted for as hedging instruments  transactions* 
     
Foreign exchange contracts  $(2,862,838)
Total  $(2,862,838)

 

Change in Unrealized Appreciation or (Depreciation) on Derivatives Recognized in Income 

   Foreign currency related 
Derivatives not accounted for as hedging instruments  transactions* 
     
Foreign exchange contracts  $(561,652)
Total  $(561,652)

 

* Amounts recognized for forward foreign currency contracts are included in net realized gain (loss) on foreign currency related transactions and net change in unrealized appreciation or depreciation on foreign currency related transactions.

 

The following is a summary by counterparty of the fair value of OTC derivative instruments subject to Master Netting Agreements and collateral pledged (received), if any, at November 30, 2017:

 

    State Street Bank and Trust Co.  
Liabilities:        
Forward foreign currency contracts   $ 569,388  
Total Liabilities   $ 569,388  
         
Net OTC derivative instruments by counterparty, at fair value   $ (569,388 )
         
Total collateral pledged by the Trust/(Received from counterparty)   $  
         
Net Exposure(1)   $ (569,388 )

 

(1) Positive net exposure represents amounts due from each respective counterparty. Negative exposure represents amounts due from the Trust. Please refer to Note 2 for additional details regarding counterparty credit risk and credit related contingent features.

 

At November 30, 2017, the aggregate cost of securities and other investments and the composition of unrealized appreciation and depreciation of securities and other investments at period end were:

 

Cost for federal income tax purposes was $1,214,664,695.

 

Net unrealized depreciation consisted of:

 

Gross Unrealized Appreciation  $9,817,019 
Gross Unrealized Depreciation   (28,803,296)
Net Unrealized Depreciation  $(18,986,277)

 

 

 

 

Item 2. Controls and Procedures.

 

(a)Based on our evaluation conducted within 90 days of the filing date, hereof, the design and operation of the registrant’s disclosure controls and procedures are effective to ensure that material information relating to the registrant is made known to the certifying officers by others within the appropriate entities, particularly during the period in which Forms N- Q are being prepared, and the registrant’s disclosure controls and procedures allow timely preparation and review of the information for the registrant’s Form N-Q and the officer certifications of such Form N-Q.

 

(b)There were no significant changes in the registrant’s internal controls over financial reporting that occurred during the registrant’s last fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 3. Exhibits.

 

A separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2 under the Act (17 CFR 270.30a-2) is attached hereto as EX-99.CERT.

 

 

 

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant): Voya Prime Rate Trust  
     
By /s/ Shaun P. Mathews  
  Shaun P. Mathews  
  President and Chief Executive Officer  
     
Date: January 26, 2018  

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By /s/ Shaun P. Mathews  
  Shaun P. Mathews  
  President and Chief Executive Officer  
     
Date: January 26, 2018  
     
By /s/ Todd Modic  
  Todd Modic  
  Senior Vice President and Chief Financial Officer  
     
Date: January 26, 2018