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Form NPORT-P FS Series Trust For: Mar 31

May 27, 2022 9:17 AM EDT

  
    NPORT-P
    false
    
      
      
        
          0001691167
          XXXXXXXX
        
      
      
      
      
        S000063706
        C000206505
        C000206506
      
      
      
    
  
  
    
      FS Series Trust
      811-23216
      0001691167
      549300SWBHM656UWP474
      201 ROUSE BOULEVARD
      PHILADELPHIA
      
      19112
      215-495-1150
      FS Chiron Real Asset Fund
      S000063706
      549300SILDCVQKTCBW80
      2022-12-31
      2022-03-31
      N
    
    
      27892171.04
      1115021.09
      26777149.95
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      0.00000000
      9310745.88000000
      N
      
        
          
          
        
        
          
            
            
            
            
              
              
              
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
            
              
              
              
            
          
          
            
            
            
            
              
              
              
            
          
        
        
        
        
      
      
      
      
      
      
    
    
      
        Nexstar Media Group Inc
        52990083ZRR5UT591988
        Nexstar Media Group Inc
        65336K103
        
          
        
        955.00000000
        NS
        USD
        179998.40000000
        0.672208955531
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Jabil Inc
        5493000CGCQY2OQU7669
        Jabil Inc
        466313103
        
          
        
        2425.00000000
        NS
        USD
        149695.25000000
        0.559041011756
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        America Movil SAB de CV
        5493000FNR3UCEAONM59
        America Movil SAB de CV
        02364W105
        
          
        
        22960.00000000
        NS
        USD
        485604.00000000
        1.813501440245
        Long
        EC
        CORP
        MX
        N
        
        1
        
          N
          N
          N
        
      
      
        XP Inc
        5493008KDA8NBZRJST80
        XP Inc
        000000000
        
          
        
        10211.00000000
        NS
        USD
        307351.10000000
        1.147811102279
        Long
        EC
        CORP
        KY
        
        N
        
        1
        
          N
          N
          N
        
      
      
        MSCI Inc
        549300HTIN2PD78UB763
        MSCI Inc
        55354G100
        
          
        
        138.00000000
        NS
        USD
        69397.44000000
        0.259166640697
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Union Pacific Corp
        549300LMMRSZZCZ8CL11
        Union Pacific Corp
        907818108
        
          
        
        1630.00000000
        NS
        USD
        445332.30000000
        1.663105673425
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Valero Energy Corp
        549300XTO5VR8SKV1V74
        Valero Energy Corp
        91913Y100
        
          
        
        3111.00000000
        NS
        USD
        315890.94000000
        1.179703368692
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Mitsubishi UFJ Financial Group Inc
        353800V2V8PUY9TK3E06
        Mitsubishi UFJ Financial Group Inc
        000000000
        
          
        
        51400.00000000
        NS
        
        321007.23000000
        1.198810293849
        Long
        EC
        CORP
        JP
        N
        
        1
        
          N
          N
          N
        
      
      
        Schlumberger NV
        213800ZUA17OK3QLGM62
        Schlumberger NV
        806857108
        
          
        
        11348.00000000
        NS
        USD
        468785.88000000
        1.750693710403
        Long
        EC
        CORP
        CW
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Singapore Exchange Ltd
        549300IQ650PPXM76X03
        Singapore Exchange Ltd
        000000000
        
          
        
        59600.00000000
        NS
        
        438419.60000000
        1.637290005914
        Long
        EC
        CORP
        SG
        N
        
        1
        
          N
          N
          N
        
      
      
        Carrefour SA
        549300B8P6MUJ1YWTS08
        Carrefour SA
        000000000
        
          
        
        17227.00000000
        NS
        
        374381.93000000
        1.398139573102
        Long
        EC
        CORP
        FR
        N
        
        1
        
          N
          N
          N
        
      
      
        Cognizant Technology Solutions Corp
        5493006IEVQEFQO40L83
        Cognizant Technology Solutions Corp
        192446102
        
          
        
        3954.00000000
        NS
        USD
        354555.18000000
        1.324096032109
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        BROADCOM INC
        549300WV6GIDOZJTV909
        Broadcom Inc
        11135F200
        
          
        
        70.00000000
        NS
        USD
        137420.50000000
        0.513200621636
        Long
        EP
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Porsche Automobil Holding SE
        52990053Z17ZYM1KFV27
        Porsche Automobil Holding SE
        000000000
        
          
        
        2972.00000000
        NS
        
        288995.36000000
        1.079261088426
        Long
        EP
        CORP
        DE
        N
        
        1
        
          N
          N
          N
        
      
      
        Goldman Sachs & Co. LLC
        FOR8UP27PHTHYVLBNG30
        Long: B01RM25TR TRS USD R E B01RM25 INDEX / Short: B01RM25TR TRS USD P V 12MSOFR SOFRRATE + 0.00 PERCENT
        000000000
        
          
        
        334654.40000000
        OU
        Notional Amount
        USD
        40836.31000000
        0.152504318332
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Goldman Sachs & Co. LLC
              FOR8UP27PHTHYVLBNG30
            
            
              
                Emaar Properties PJSC
                Emaar Properties PJSC
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2025-03-11
            0.00000000
            USD
            0.00000000
            USD
            334654.40000000
            USD
            40836.31000000
          
        
        
          N
          N
          N
        
      
      
        Tenaris SA
        549300Y7C05BKC4HZB40
        Tenaris SA
        88031M109
        
          
        
        11515.00000000
        NS
        USD
        346256.05000000
        1.293102703784
        Long
        EC
        CORP
        LU
        
        N
        
        1
        
          N
          N
          N
        
      
      
        AGCO Corp
        LYOM0B2GCF1JWXK5ZG04
        AGCO Corp
        001084102
        
          
        
        1939.00000000
        NS
        USD
        283152.17000000
        1.057439535307
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Farmland Partners Inc
        549300LB188CHPZ4IL37
        Farmland Partners Inc
        31154R109
        
          
        
        19542.00000000
        NS
        USD
        268702.50000000
        1.003476846870
        Long
        EC
        
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Chicago Board of Trade
        549300EX04Q2QBFQTQ27
        CORN FUTURE       DEC22
        000000000
        
          
        
        12.00000000
        NC
        USD
        15149.88000000
        0.056577641863
        N/A
        DCO
        
        US
        N
        
        1
        
          
            
              Chicago Board of Trade
              549300EX04Q2QBFQTQ27
            
            Long
            
              
                CBOT Corn Future
                C Z2 Comdty
              
            
            2022-12-14
            395100.12000000
            USD
            15149.88000000
          
        
        
          N
          N
          N
        
      
      
        Manhattan Associates Inc
        529900Q1GJP7KD52SW51
        Manhattan Associates Inc
        562750109
        
          
        
        489.00000000
        NS
        USD
        67829.19000000
        0.253309968113
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Phillips 66
        5493005JBO5YSIGK1814
        Phillips 66
        718546104
        
          
        
        1.00000000
        NS
        USD
        86.39000000
        0.000322625821
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        CNH Industrial NV
        549300WGC2HZ5J67V817
        CNH Industrial NV
        000000000
        
          
        
        26876.00000000
        NS
        USD
        426253.36000000
        1.591854849361
        Long
        EC
        CORP
        NL
        
        N
        
        1
        
          N
          N
          N
        
      
      
        State Street Institutional Liquid Reserves Fund
        5493000HFJPORCLSV250
        State Street Institutional Liquid Reserves Fund
        85749P101
        
          
        
        4012.07800000
        NS
        USD
        4011.68000000
        0.014981728852
        Long
        STIV
        RF
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Commodities Exchange Center
        N/A
        COPPER FUTURE JUL22
        000000000
        
          
        
        2.00000000
        NC
        USD
        -850.02000000
        -0.00317442297
        N/A
        DCO
        
        US
        N
        
        1
        
          
            
              Commodities Exchange Center
              N/A
            
            Long
            
              
                COMEX Copper Future
                HGN2 COMDTY
              
            
            2022-07-27
            237475.02000000
            USD
            -850.02000000
          
        
        
          N
          N
          N
        
      
      
        ASML Holding NV
        724500Y6DUVHQD6OXN27
        ASML Holding NV
        000000000
        
          
        
        199.00000000
        NS
        USD
        132918.07000000
        0.496386173465
        Long
        EC
        CORP
        NL
        Y
        
        1
        
          N
          N
          N
        
      
      
        Archer-Daniels-Midland Co
        549300LO13MQ9HYSTR83
        Archer-Daniels-Midland Co
        039483102
        
          
        
        5891.00000000
        NS
        USD
        531721.66000000
        1.985729104825
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Vallourec SA
        969500P2Q1B47H4MCJ34
        Vallourec SA
        000000000
        
          
        
        27494.00000000
        NS
        
        354641.59000000
        1.324418732621
        Long
        EC
        CORP
        FR
        N
        
        1
        
          N
          N
          N
        
      
      
        Equinor ASA
        OW6OFBNCKXC4US5C7523
        Equinor ASA
        29446M102
        
          
        
        5368.00000000
        NS
        USD
        201353.68000000
        0.751960833680
        Long
        EC
        CORP
        NO
        N
        
        1
        
          N
          N
          N
        
      
      
        Neste Oyj
        5493009GY1X8GQ66AM14
        Neste Oyj
        000000000
        
          
        
        6201.00000000
        NS
        
        284546.78000000
        1.062647744555
        Long
        EC
        CORP
        FI
        N
        
        1
        
          N
          N
          N
        
      
      
        Chicago Board of Trade
        549300EX04Q2QBFQTQ27
        SOYBEAN FUTURE NOV22
        000000000
        
          
        
        6.00000000
        NC
        USD
        -13587.56000000
        -0.05074311502
        N/A
        DCO
        
        US
        N
        
        1
        
          
            
              Chicago Board of Trade
              549300EX04Q2QBFQTQ27
            
            Long
            
              
                CBOT Soybean Future
                S X2 COMDTY
              
            
            2022-11-14
            439737.56000000
            USD
            -13587.56000000
          
        
        
          N
          N
          N
        
      
      
        Intercontinental Exchange Inc
        5493000F4ZO33MV32P92
        Intercontinental Exchange Inc
        45866F104
        
          
        
        506.00000000
        NS
        USD
        66852.72000000
        0.249663314149
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Capitaland Investment Ltd/Singapore
        254900AT4UQDU7SNXX49
        Capitaland Investment Ltd/Singapore
        000000000
        
          
        
        138800.00000000
        NS
        
        408611.80000000
        1.525971960283
        Long
        EC
        CORP
        SG
        N
        
        1
        
          N
          N
          N
        
      
      
        Goldman Sachs & Co. LLC
        FOR8UP27PHTHYVLBNG30
        Long: B1324D0TR TRS USD R E B1324D0 INDEX / Short: B1324D0TR TRS USD P V 12MSOFR SOFRRTE + 0.00 BPS BULLET
        000000000
        
          
        
        270540.95000000
        OU
        Notional Amount
        USD
        3715.75000000
        0.013876570161
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Goldman Sachs & Co. LLC
              FOR8UP27PHTHYVLBNG30
            
            
              
                Saudi Basic Industries Corp
                Saudi Basic Industries Corp
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2025-03-11
            0.00000000
            USD
            0.00000000
            USD
            270540.95000000
            USD
            3715.75000000
          
        
        
          N
          N
          N
        
      
      
        NVIDIA Corp
        549300S4KLFTLO7GSQ80
        NVIDIA Corp
        67066G104
        
          
        
        491.00000000
        NS
        USD
        133974.26000000
        0.500330543953
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        IHI Corp
        549300ETQIESIUQ2OE26
        IHI Corp
        000000000
        
          
        
        14200.00000000
        NS
        
        344093.97000000
        1.285028356798
        Long
        EC
        CORP
        JP
        N
        
        1
        
          N
          N
          N
        
      
      
        UNITED KINGDOM I/L GILT
        ECTRVYYCEF89VWYS6K36
        United Kingdom Inflation-Linked Gilt
        000000000
        
          
        
        378724.50000000
        PA
        
        651997.30000000
        2.434901777140
        Long
        DBT
        NUSS
        GB
        Y
        
        2
        
          2031-08-10
          Fixed
          0.13000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Saab AB
        549300ZHO4JCQQI13M69
        Saab AB
        000000000
        
          
        
        3752.00000000
        NS
        
        136394.28000000
        0.509368174935
        Long
        EC
        CORP
        SE
        N
        
        1
        
          N
          N
          N
        
      
      
        Engie SA
        LAXUQCHT4FH58LRZDY46
        Engie SA
        000000000
        
          
        
        20585.00000000
        NS
        
        271762.85000000
        1.014905807778
        Long
        EC
        CORP
        FR
        N
        
        1
        
          N
          N
          N
        
      
      
        Commodities Exchange Center
        N/A
        SILVER FUTURE     MAY22
        000000000
        
          
        
        3.00000000
        NC
        USD
        -6125.03000000
        -0.02287409231
        N/A
        DCO
        
        US
        N
        
        1
        
          
            
              Commodities Exchange Center
              N/A
            
            Long
            
              
                COMEX Silver Future
                SIK2 Comdty
              
            
            2022-05-26
            380675.03000000
            USD
            -6125.03000000
          
        
        
          N
          N
          N
        
      
      
        Goldman Sachs & Co. LLC
        FOR8UP27PHTHYVLBNG30
        Long: B28PFX8TR TRS USD R E B28PFX8 INDEX / Short: B28PFX8TR TRS USD P V 12MSOFR SOFRRTE + 0.00 PERCENT BULLET
        000000000
        
          
        
        275514.83000000
        OU
        Notional Amount
        USD
        9019.85000000
        0.033684876907
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Goldman Sachs & Co. LLC
              FOR8UP27PHTHYVLBNG30
            
            
              
                Emirates NBD Bank PJSC
                Emirates NBD Bank PJSC
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2025-03-24
            0.00000000
            USD
            0.00000000
            USD
            275514.83000000
            USD
            9019.85000000
          
        
        
          N
          N
          N
        
      
      
        Koninklijke KPN NV
        549300YO0JZHAL7FVP81
        Koninklijke KPN NV
        000000000
        
          
        
        79840.00000000
        NS
        
        277599.13000000
        1.036701555312
        Long
        EC
        CORP
        NL
        N
        
        1
        
          N
          N
          N
        
      
      
        Juniper Networks Inc
        AUHIXNGG7U2U7JEHM527
        Juniper Networks Inc
        48203R104
        
          
        
        7889.00000000
        NS
        USD
        293155.24000000
        1.094796274239
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Mastercard Inc
        AR5L2ODV9HN37376R084
        Mastercard Inc
        57636Q104
        
          
        
        395.00000000
        NS
        USD
        141165.10000000
        0.527184932913
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        SINGAPORE AIRLINES LTD
        549300ZG62N2599PWR15
        Singapore Airlines Ltd
        000000000
        
          
        
        250000.00000000
        PA
        
        203499.10000000
        0.759972963440
        Long
        DBT
        CORP
        SG
        Y
        
        2
        
          2025-12-03
          Fixed
          1.63000000
          N
          N
          N
          N
          N
          
            
              Singapore Airlines Ltd
              Singapore Airlines Ltd
              SGD
              
                
              
            
          
          
            
          
          XXXX
        
        
          N
          N
          N
        
      
      
        DEUTSCHLAND I/L BOND
        529900AQBND3S6YJLY83
        Deutsche Bundesrepublik Inflation Linked Bond
        000000000
        
          
        
        200210.40000000
        PA
        
        274703.01000000
        1.025885915838
        Long
        DBT
        NUSS
        DE
        Y
        
        2
        
          2030-04-15
          Fixed
          0.50000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        PALO ALTO NETWORKS
        549300QXR2YVZV231H43
        Palo Alto Networks Inc
        697435AD7
        
          
        
        29000.00000000
        PA
        USD
        67947.00000000
        0.253749932785
        Long
        DBT
        CORP
        US
        N
        
        2
        
          2023-07-01
          Fixed
          0.75000000
          N
          N
          N
          N
          Y
          
            
              Palo Alto Networks Inc
              Palo Alto Networks Inc
              USD
              
                
                
              
            
          
          
            
          
          XXXX
        
        
          N
          N
          N
        
      
      
        Wilmar International Ltd
        549300H2EAI4YRLWBB20
        Wilmar International Ltd
        000000000
        
          
        
        114400.00000000
        NS
        
        397553.40000000
        1.484674062558
        Long
        EC
        CORP
        SG
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Ferrari NV
        549300RIVY5EX8RCON76
        Ferrari NV
        000000000
        
          
        
        641.00000000
        NS
        USD
        139795.69000000
        0.522070833755
        Long
        EC
        CORP
        NL
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Ciena Corp
        W0CZ7N0GH8UIGXDM1H41
        Ciena Corp
        171779309
        
          
        
        4536.00000000
        NS
        USD
        275017.68000000
        1.027061059573
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Leonardo SpA
        529900X4EEX1U9LN3U39
        Leonardo SpA
        000000000
        
          
        
        13635.00000000
        NS
        
        136055.11000000
        0.508101535279
        Long
        EC
        CORP
        IT
        N
        
        1
        
          N
          N
          N
        
      
      
        Freeport-McMoRan Inc
        549300IRDTHJQ1PVET45
        Freeport-McMoRan Inc
        35671D857
        
          
        
        6576.00000000
        NS
        USD
        327090.24000000
        1.221527461327
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Vale SA
        254900SMTWBX7RU2SR20
        Vale SA
        91912E105
        
          
        
        18316.00000000
        NS
        USD
        366136.84000000
        1.367348058638
        Long
        EC
        CORP
        BR
        N
        
        1
        
          N
          N
          N
        
      
      
        Itau Unibanco Holding SA
        5493002W2IVG62O3ZJ94
        Itau Unibanco Holding SA
        465562106
        
          
        
        65962.00000000
        NS
        USD
        376643.02000000
        1.406583675646
        Long
        EC
        CORP
        BR
        N
        
        1
        
          N
          N
          N
        
      
      
        Goldman Sachs & Co. LLC
        FOR8UP27PHTHYVLBNG30
        Long: 6545464TR TRS USD R E 6545464 INDEX / Short: 6545464TR TRS USD P V 12MSOFR SOFRRATE 0.00 BPS BULLET
        000000000
        
          
        
        202539.02000000
        OU
        Notional Amount
        USD
        -4471.69000000
        -0.01669964879
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Goldman Sachs & Co. LLC
              FOR8UP27PHTHYVLBNG30
            
            
              
                Abu Dhabi Commercial Bank PJSC
                Abu Dhabi Commercial Bank PJSC
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2025-11-03
            0.00000000
            USD
            0.00000000
            USD
            202539.02000000
            USD
            -4471.69000000
          
        
        
          N
          N
          N
        
      
      
        Deere & Co
        PWFTNG3EI0Y73OXWDH08
        Deere & Co
        244199105
        
          
        
        638.00000000
        NS
        USD
        265063.48000000
        0.989886826995
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        F5 Inc
        54930015FPK9KT966303
        F5 Inc
        315616102
        
          
        
        688.00000000
        NS
        USD
        143757.60000000
        0.536866695180
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Assicurazioni Generali SpA
        549300X5UKJVE386ZB61
        Assicurazioni Generali SpA
        000000000
        
          
        
        19231.00000000
        NS
        
        441866.98000000
        1.650164340958
        Long
        EC
        CORP
        IT
        N
        
        1
        
          N
          N
          N
        
      
      
        Telefonica Brasil SA
        529900MTGG2HSDBIWG79
        Telefonica Brasil SA
        87936R205
        
          
        
        24593.00000000
        NS
        USD
        276671.25000000
        1.033236362034
        Long
        EC
        CORP
        BR
        N
        
        1
        
          N
          N
          N
        
      
      
        Grupo Televisa SAB
        549300O4AF0C816ILN62
        Grupo Televisa SAB
        40049J206
        
          
        
        29613.00000000
        NS
        USD
        346472.10000000
        1.293909548428
        Long
        EC
        CORP
        MX
        N
        
        1
        
          N
          N
          N
        
      
      
        SGX TREASURY I PTE LTD
        9845001497DF5O3EBC48
        SGX Treasury I Pte Ltd
        000000000
        
          
        
        200000.00000000
        PA
        
        225453.70000000
        0.841963018547
        Long
        DBT
        CORP
        SG
        Y
        
        2
        
          2024-03-01
          None
          0.00000000
          N
          N
          N
          N
          N
          
            
              SGX Treasury I Pte Ltd
              SGX Treasury I Pte Ltd
              EUR
              
                
              
            
          
          
            
          
          XXXX
        
        
          N
          N
          N
        
      
      
        Glencore PLC
        2138002658CPO9NBH955
        Glencore PLC
        000000000
        
          
        
        73220.00000000
        NS
        
        480927.12000000
        1.796035503771
        Long
        EC
        CORP
        JE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Macquarie Bank Ltd.
        4ZHCHI4KYZG2WVRT8631
        Long: SL5461J60 TRS USD R E BCOM INDEX / Short: SL5461J60 TRS USD P F   .25000 FIXED 0.0025
        000000000
        
          
        
        4084814.08000000
        OU
        Notional Amount
        USD
        -104723.37000000
        -0.39109229397
        N/A
        DCO
        
        US
        N
        
        2
        
          
            
              Macquarie Bank Ltd.
              4ZHCHI4KYZG2WVRT8631
            
            
              
                Bloomberg Commodity Index
                BCOM INDEX
              
            
            Y
            equity-performance leg
            
            2022-09-30
            0.00000000
            USD
            -8414.51000000
            USD
            4084814.08000000
            USD
            -96308.86000000
          
        
        
          N
          N
          N
        
      
      
        Nintendo Co Ltd
        353800FEEXU6I9M0ZF27
        Nintendo Co Ltd
        000000000
        
          
        
        500.00000000
        NS
        
        253285.69000000
        0.945902347609
        Long
        EC
        CORP
        JP
        N
        
        2
        
          N
          N
          N
        
      
      
        Taiwan Semiconductor Manufacturing Co Ltd
        549300KB6NK5SBD14S87
        Taiwan Semiconductor Manufacturing Co Ltd
        874039100
        
          
        
        1274.00000000
        NS
        USD
        132827.24000000
        0.496046966342
        Long
        EC
        CORP
        TW
        N
        
        1
        
          N
          N
          N
        
      
      
        Morgan Stanley & Co. LLC
        9R7GPTSO7KV3UQJZQ078
        Long: 6765239TR TRS USD R E 6765239 INDEX / Short: 6765239TR TRS USD P V 12MFED01 US0001 +1.15 PERCENT
        000000000
        
          
        
        269259.23000000
        OU
        Notional Amount
        USD
        -5259.72000000
        -0.01964256842
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Morgan Stanley & Co. LLC
              9R7GPTSO7KV3UQJZQ078
            
            
              
                Samsung Engineering Co Ltd
                Samsung Engineering Co Ltd
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2024-01-22
            0.00000000
            USD
            0.00000000
            USD
            269259.23000000
            USD
            -5259.72000000
          
        
        
          N
          N
          N
        
      
      
        Goldman Sachs & Co. LLC
        FOR8UP27PHTHYVLBNG30
        Long: BMXCL70TR TRS USD R E BMXCL70 INDEX / Short: BMXCL70TR TRS USD P V 12MSOFR SOFRATE + 0.00 BPS BULLET
        000000000
        
          
        
        270351.89000000
        OU
        Notional Amount
        USD
        -31660.63000000
        -0.11823749002
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Goldman Sachs & Co. LLC
              FOR8UP27PHTHYVLBNG30
            
            
              
                Fertiglobe plc
                Fertiglobe plc
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2025-04-04
            0.00000000
            USD
            0.00000000
            USD
            270351.89000000
            USD
            -31660.63000000
          
        
        
          N
          N
          N
        
      
      
        Commodities Exchange Center
        N/A
        GOLD 100 OZ FUTR JUN22
        000000000
        
          
        
        3.00000000
        NC
        USD
        2450.67000000
        0.009152094246
        N/A
        DCO
        
        US
        N
        
        1
        
          
            
              Commodities Exchange Center
              N/A
            
            Long
            
              
                COMEX Gold 100 Troy Ounces Future
                GCM2 Comdty
              
            
            2022-06-28
            580239.33000000
            USD
            2450.67000000
          
        
        
          N
          N
          N
        
      
      
        Cemex SAB de CV
        549300RIG2CXWN6IV731
        Cemex SAB de CV
        151290889
        
          
        
        50123.00000000
        NS
        USD
        265150.67000000
        0.990212440439
        Long
        EC
        CORP
        MX
        N
        
        1
        
          N
          N
          N
        
      
      
        Toronto-Dominion Bank/The
        PT3QB789TSUIDF371261
        Toronto-Dominion Bank/The
        891160509
        
          
        
        4755.00000000
        NS
        USD
        377642.10000000
        1.410314767274
        Long
        EC
        CORP
        CA
        N
        
        1
        
          N
          N
          N
        
      
      
        BUONI POLIENNALI DEL TES
        815600DE60799F5A9309
        Italy Buoni Poliennali Del Tesoro
        000000000
        
          
        
        656061.94000000
        PA
        
        895843.47000000
        3.345551978731
        Long
        DBT
        NUSS
        IT
        Y
        
        2
        
          2026-09-15
          Fixed
          3.10000000
          N
          N
          N
        
        
          N
          N
          N
        
      
      
        Morgan Stanley & Co. LLC
        9R7GPTSO7KV3UQJZQ078
        Long: 6450267TR TRS USD R E 6450267 INDEX / Short: 6450267TR TRS USD P V 12MFEDL US0012M + 0.0 PERCENT BULLET
        000000000
        
          
        
        138957.00000000
        OU
        Notional Amount
        USD
        -4800.82000000
        -0.01792879379
        N/A
        DE
        
        US
        N
        
        2
        
          
            
              Morgan Stanley & Co. LLC
              9R7GPTSO7KV3UQJZQ078
            
            
              
                SK Hynix Inc
                SK Hynix Inc
                
                  
                
              
            
            Y
            equity-performance leg
            
              
                
              
            
            2024-03-22
            0.00000000
            USD
            0.00000000
            USD
            138957.00000000
            USD
            -4800.82000000
          
        
        
          N
          N
          N
        
      
      
        Enbridge Inc
        98TPTUM4IVMFCZBCUR27
        Enbridge Inc
        29250N105
        
          
        
        9581.00000000
        NS
        USD
        441588.29000000
        1.649123565519
        Long
        EC
        CORP
        CA
        N
        
        1
        
          N
          N
          N
        
      
      
        Atlassian Corp PLC
        549300AGBII4MWBVJY22
        Atlassian Corp PLC
        000000000
        
          
        
        241.00000000
        NS
        USD
        70813.03000000
        0.264453200330
        Long
        EC
        CORP
        GB
        
        N
        
        1
        
          N
          N
          N
        
      
      
        POSCO Holdings Inc
        988400E5HRVX81AYLM04
        POSCO Holdings Inc
        693483109
        
          
        
        5252.00000000
        NS
        USD
        311286.04000000
        1.162506243499
        Long
        EC
        CORP
        KR
        N
        
        1
        
          N
          N
          N
        
      
    
    
      
    
    
      2022-04-29
      FS Series Trust
      Bill Goebel
      Bill Goebel
      Chief Financial Officer
    
  
  XXXX



 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
  Amortized
Cost
  Fair
Value(c)
 
Corporate Bonds—17.5%                            
Acrisure LLC / Acrisure Finance, Inc., 6.0%, 8/1/29  (d)  Insurance  $171  $171  $158 
Alliance Data Systems Corp., 4.8%, 12/15/24  (d)  Diversified Financial Services   948   915   933 
Altice France Holding SA, 10.5%, 5/15/27  (d)  Telecommunications   500   541   524 
American Greetings Corp., 8.8%, 4/15/25  (d)  Housewares   392   408   386 
Apollo Commercial Real Estate Finance, Inc., 4.6%, 6/15/29  (d)  Real Estate Investment Trusts   184   184   167 
APX Group, Inc., 5.8%, 7/15/29  (d)  Commercial Services   173   173   158 
At Home Group, Inc., 4.9%, 7/15/28  (d)  Retail   138   138   123 
Bausch Health Companies, Inc., 9.0%, 12/15/25  (d)  Pharmaceuticals   263   276   273 
BroadStreet Partners, Inc., 5.9%, 4/15/29  (d)  Insurance   140   138   131 
Caesars Entertainment, Inc., 6.3%, 7/1/25  (d)  Entertainment   708   729   732 
Callon Petroleum Co., 9.0%, 4/1/25  (d)  Oil & Gas   248   268   263 
CCO Holdings LLC / CCO Holdings Capital Corp., 4.8%, 2/1/32  (d)  Media Entertainment   22   22   21 
Change Healthcare Holdings LLC / Change Healthcare Finance, Inc., 5.8%, 3/1/25  (d)  Software   1,204   1,209   1,205 
CITGO Petroleum Corp., 7.0%, 6/15/25  (d)  Oil & Gas   624   624   629 
CITGO Petroleum Corp., 6.4%, 6/15/26  (d)  Oil & Gas   93   93   94 
Clear Channel International B.V., 6.6%, 8/1/25  (d)  Advertising   1,013   1,043   1,032 
CommScope Finance LLC, 6.0%, 3/1/26  (d)  Telecommunications   264   273   267 
Connect Finco SARL / Connect US Finco LLC, 6.8%, 10/1/26  (d)  Telecommunications   165   174   168 
CoreCivic, Inc., 4.8%, 10/15/27     Commercial Services   236   212   206 
CoreCivic, Inc., 8.3%, 4/15/26     Commercial Services   164   166   169 
CP Atlas Buyer, Inc., 7.0%, 12/1/28  (d)  Building Materials   268   277   229 
CSC Holdings LLC, 4.5%, 11/15/31  (d)  Media Entertainment   191   186   171 
Dave & Buster's, Inc., 7.6%, 11/1/25  (d)  Retail   723   770   762 
eG Global Finance Plc, 6.8%, 2/7/25  (d)  Retail   1,191   1,188   1,190 
eG Global Finance Plc, 8.5%, 10/30/25  (d)  Retail   213   221   218 
Empire Resorts, Inc., 7.8%, 11/1/26  (d)  Entertainment   207   208   202 
Five Point Operating Co. LP / Five Point Capital Corp., 7.9%, 11/15/25  (d)  Real Estate   1,134   1,128   1,162 
Flex Acquisition Co., Inc., 7.9%, 7/15/26  (d)  Packaging & Containers   833   867   863 
Fortress Transportation and Infrastructure Investors LLC, 9.8%, 8/1/27  (d)  Trucking & Leasing   561   639   587 
Gates Global LLC / Gates Corp., 6.3%, 1/15/26  (d)  Miscellaneous Manufacturing   519   535   520 
GEO Group, Inc., 6.0%, 4/15/26     Real Estate Investment Trusts   203   180   159 
GEO Group, Inc., 5.1%, 4/1/23     Real Estate Investment Trusts   210   203   201 
Getty Images, Inc., 9.8%, 3/1/27  (d)  Internet   336   353   348 
H-Food Holdings LLC / Hearthside Finance Co., Inc., 8.5%, 6/1/26  (d)  Food   307   313   296 
Hadrian Merger Sub, Inc., 8.5%, 5/1/26  (d)  Healthcare-Services   283   294   285 
Herbalife Nutrition Ltd. / HLF Financing, Inc., 7.9%, 9/1/25  (d)  Pharmaceuticals   174   174   179 
Hexion, Inc., 7.9%, 7/15/27  (d)  Chemicals   184   194   194 
Houghton Mifflin Harcourt Publishers, Inc., 9.0%, 2/15/25  (d)  Media Entertainment   1,043   942   1,091 
HUB International Ltd., 7.0%, 5/1/26  (d)  Insurance   150   154   152 
Icahn Enterprises LP / Icahn Enterprises Finance Corp., 6.4%, 12/15/25     Investment Companies   262   267   264 
Ingevity Corp., 4.5%, 2/1/26  (d)  Chemicals   276   278   268 

 

See notes to unaudited consolidated schedule of investments.

 

1

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
  Amortized
Cost
  Fair
Value(c)
 
IRB Holding Corp., 6.8%, 2/15/26  (d)  Retail  $610  $610  $621 
iStar, Inc., 4.3%, 8/1/25     Real Estate Investment Trusts   966   966   952 
iStar, Inc., 5.5%, 2/15/26     Real Estate Investment Trusts   31   32   31 
JELD-WEN, Inc., 4.6%, 12/15/25  (d)  Building Materials   349   353   336 
Kronos Acquisition Holdings, Inc., 7.0%, 12/31/27  (d)  Household Products/Wares   261   265   221 
Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp., 5.3%, 10/1/25  (d)  Real Estate Investment Trusts   494   500   493 
Level 3 Financing, Inc., 5.3%, 3/15/26     Telecommunications   140   142   140 
Mauser Packaging Solutions Holding Co., 5.5%, 4/15/24  (d)  Packaging & Containers   815   818   813 
Maxim Crane Works Holdings Capital LLC, 10.1%, 8/1/24  (d)  Machinery-Diversified   862   870   879 
Metis Merger Sub LLC, 6.5%, 5/15/29  (d)  Commercial Services   159   159   150 
Midcap Financial Issuer Trust, 5.6%, 1/15/30  (d)  Diversified Financial Services   209   207   185 
Mohegan Gaming & Entertainment, 8.0%, 2/1/26  (d)  Entertainment   551   555   548 
New Home Co., Inc., 7.3%, 10/15/25  (d)  Home Builders   743   748   721 
Nuance Communications, Inc., 5.6%, 12/15/26     Software   301   310   310 
Pactiv LLC, 8.0%, 12/15/25     Packaging & Containers   377   395   385 
Pactiv LLC, 8.4%, 4/15/27     Packaging & Containers   861   909   884 
Panther BF Aggregator 2 LP / Panther Finance Co., Inc., 8.5%, 5/15/27  (d)  Auto Parts & Equipment   263   282   273 
Powdr Corp., 6.0%, 8/1/25  (d)  Entertainment   207   217   213 
Prime Healthcare Services, Inc., 7.3%, 11/1/25  (d)  Healthcare-Services   315   325   323 
Promontoria Holding 264 B.V., 7.9%, 3/1/27  (d)  Engineering & Construction   100   100   97 
Raptor Acquisition Corp. / Raptor Co-Issuer LLC, 4.9%, 11/1/26  (d)  Entertainment   382   386   367 
RegionalCare Hospital Partners Holdings, Inc. / LifePoint Health, Inc., 9.8%, 12/1/26  (d)  Healthcare-Services   835   879   874 
Rite Aid Corp., 7.5%, 7/1/25  (d)  Retail   44   44   41 
Rite Aid Corp., 8.0%, 11/15/26  (d)  Retail   113   115   104 
RLJ Lodging Trust LP, 3.8%, 7/1/26  (d)  Real Estate Investment Trusts   418   417   398 
Royal Caribbean Cruises Ltd., 10.9%, 6/1/23  (d)  Leisure Time   701   759   747 
RP Escrow Issuer LLC, 5.3%, 12/15/25  (d)  Healthcare-Services   361   367   353 
Scientific Games International, Inc., 5.0%, 10/15/25  (d)  Entertainment   230   236   236 
Service Properties Trust, 7.5%, 9/15/25     Real Estate Investment Trusts   814   903   855 
Southwestern Energy Co., 6.0%, 1/23/25     Oil & Gas   85   92   89 
Specialty Building Products Holdings LLC / SBP Finance Corp., 6.4%, 9/30/26  (d)  Retail   614   643   625 
Spirit AeroSystems, Inc., 7.5%, 4/15/25  (d)  Aerospace/Defense   350   364   363 
Spirit Loyalty Cayman Ltd. / Spirit IP Cayman Ltd., 8.0%, 9/20/25  (d)  Airlines   965   1,055   1,029 
SRS Distribution, Inc., 6.0%, 12/1/29  (d)  Retail   153   153   142 
Starwood Property Trust, Inc., 3.8%, 12/31/24  (d)  Real Estate Investment Trusts   460   460   447 
Starwood Property Trust, Inc., 3.6%, 7/15/26  (d)  Real Estate Investment Trusts   549   548   525 
Stericycle, Inc., 5.4%, 7/15/24  (d)  Environmental Control   325   330   332 
Sunoco LP / Sunoco Finance Corp., 6.0%, 4/15/27     Oil & Gas   96   87   98 
Surgery Center Holdings, Inc., 6.8%, 7/1/25  (d)  Healthcare-Services   553   562   552 
TKC Holdings, Inc., 6.9%, 5/15/28  (d)  Food Service   537   546   523 
TransDigm, Inc., 6.3%, 3/15/26  (d)  Aerospace/Defense   244   253   251 

 

See notes to unaudited consolidated schedule of investments.

 

2

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal Amount(b)  Amortized Cost  Fair
Value(c)
 
Triumph Group, Inc., 8.9%, 6/1/24  (d)  Aerospace/Defense  $1,000  $1,079  $1,058 
Trivium Packaging Finance B.V., 8.5%, 8/15/27  (d)  Packaging & Containers   221   237   220 
Trivium Packaging Finance B.V., 5.5%, 8/15/26  (d)  Packaging & Containers   449   465   448 
Uber Technologies, Inc., 8.0%, 11/1/26  (d)  Internet   863   917   918 
US Acute Care Solutions LLC, 6.4%, 3/1/26  (d)  Healthcare-Services   1,052   1,081   1,040 
Vector Group Ltd., 10.5%, 11/1/26  (d)  Agriculture   735   772   753 
Vector Group Ltd., 5.8%, 2/1/29  (d)  Agriculture   728   728   665 
Verscend Escrow Corp., 9.8%, 8/15/26  (d)  Commercial Services   396   417   412 
Viasat, Inc., 5.6%, 9/15/25  (d)  Telecommunications   637   645   623 
VOC Escrow Ltd., 5.0%, 2/15/28  (d)  Leisure Time   249   228   232 
WASH Multifamily Acquisition, Inc., 5.8%, 4/15/26  (d)  Commercial Services   928   953   932 
Waste Pro USA, Inc., 5.5%, 2/15/26  (d)  Environmental Control   803   816   760 
White Cap Parent LLC, 8.3%, 3/15/26  (d)  Retail   375   384   369 
XHR LP, 6.4%, 8/15/25  (d)  Real Estate Investment Trusts   300   312   310 
Total Corporate Bonds            $44,124  $43,246 
                    
Convertible Bonds—0.3%                   
Apollo Commercial Real Estate Finance, Inc., 5.4%, 10/15/23     Real Estate Investment Trusts   434   431   434 
RWT Holdings, Inc., 5.8%, 10/1/25     Holding Companies-Diversified   338   338   332 
Total Convertible Bonds            $769  $766 

 

Portfolio Company(a)  Footnotes  Industry  Number of
Shares
  Cost(b)  Fair
Value(c)
 
Common Stocks—16.8%                            
Alphabet, Inc.  (e) (f)  Internet   422  $1,123  $1,174 
Ball Corp.  (f)  Packaging & Containers   49,676   4,375   4,471 
Blackstone, Inc.     Private Equity   7,192   819   913 
Canadian Pacific Railway Ltd.  (f)  Transportation   32,845   2,306   2,711 
Cintas Corp.  (f)  Commercial Services   3,953   1,451   1,682 
Costco Wholesale Corp.  (f)  Retail   2,553   1,065   1,470 
CSX Corp.  (f)  Transportation   18,864   651   706 
CVS Health Corp.     Pharmaceuticals   3,541   338   358 
Danaher Corp.  (f)  Healthcare-Products   5,947   1,623   1,744 
Davide Campari-Milano N.V.     Beverages   98,234   1,137   1,147 
Deere & Co.  (f)  Machinery-Diversified   1,756   619   730 
Domino's Pizza, Inc.     Retail   642   301   261 
Equitable Holdings, Inc.     Insurance   16,172   508   500 
Floor & Decor Holdings, Inc.  (e) (f)  Retail   12,684   1,347   1,027 
Hermes International     Apparel   265   365   379 
Home Depot, Inc.  (f)  Retail   6,933   2,255   2,075 
Intuit, Inc.     Software   1,911   945   919 
L'Oreal SA     Cosmetics/Personal Care   1,363   568   549 
LVMH Moet Hennessy Louis Vuitton SE     Apparel   132   93   95 
Mastercard, Inc.  (f)  Diversified Financial Services   2,997   1,030   1,071 
Mettler-Toledo International, Inc.  (e) (f)  Electronics   1,034   1,234   1,420 
Microsoft Corp.  (f)  Software   8,159   2,212   2,515 
Mister Car Wash, Inc.  (e)  Commercial Services   16,075   278   238 
Moody's Corp.     Commercial Services   2,098   654   708 
Pool Corp.  (f)  Distribution/Wholesale   3,329   1,419   1,408 
Republic Services, Inc.  (f)  Environmental Control   12,989   1,487   1,721 
S&P Global, Inc.     Commercial Services   1,441   553   591 

 

See notes to unaudited consolidated schedule of investments.

 

3

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Number of
Shares
  Cost(b)  Fair
Value(c)
 
Sherwin-Williams Co  (f)  Chemicals   15,100  $3,978  $3,769 
Skyline Champion Corp.  (e)  Home Builders   11,680   819   641 
Thermo Fisher Scientific, Inc.     Healthcare-Products   967   491   571 
Tractor Supply Co.  (f)  Retail   4,402   874   1,027 
Treatt Plc     Chemicals   5,963   86   89 
Union Pacific Corp.  (f)  Transportation   7,425   1,612   2,029 
Watches of Switzerland Group Plc  (d) (e)  Retail   58,646   891   878 
Total Common Stocks            $39,507  $41,587 
TOTAL INVESTMENTS—34.6%            $84,400   85,599 
Other Assets in Excess of Liabilities—65.4%                 161,899 
Net Assets—100.0%                $247,498 

 

Investments Sold Short—(10.7)%  

 

Portfolio Company(a)  Footnotes    Number of
Shares
  Proceeds  Fair
Value(c)
 
Mutual Funds Sold Short—(6.0)%                   
ARK Innovation ETF       (2,315) $(146) $(154)
Energy Select Sector SPDR Fund         (659)  (50)  (50)
Invesco S&P 500 Equal Weight ETF         (2,783)  (435)  (439)
iShares Russell 1000 ETF         (44,585)  (10,694)  (11,149)
iShares Russell 1000 Value ETF         (8,060)  (1,346)  (1,338)
SPDR S&P 500 ETF Trust         (4,072)  (1,798)  (1,839)
                    
Total Mutual Funds Sold Short            $(14,469) $(14,969)

 

Portfolio Company(a)  Footnotes  Industry  Par(b)  Proceeds  Fair
Value(c)
 
Corporate Bonds Sold Short—(3.2)%                   
Albertsons Co., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 5.9%, 2/15/28    Food  $(328) $(336) $(328)
At Home Group, Inc., 7.1%, 7/15/29     Retail   (138)  (135)  (120)
Bausch Health Companies, Inc., 5.8%, 8/15/27     Pharmaceuticals   (216)  (214)  (213)
Bausch Health Companies, Inc., 6.1%, 2/1/27     Pharmaceuticals   (362)  (362)  (365)
Boyd Gaming Corp., 4.8%, 12/1/27     Lodging   (327)  (327)  (326)
C&S Group Enterprises LLC, 5.0%, 12/15/28     Food   (300)  (279)  (259)
Cascades, Inc. / Cascades USA, Inc., 5.4%, 1/15/28     Packaging & Containers   (212)  (213)  (212)
CEC Entertainment LLC, 6.8%, 5/1/26     Retail   (385)  (367)  (373)
Chobani LLC / Chobani Finance Corp., Inc., 7.5%, 4/15/25     Food   (344)  (335)  (333)
Energizer Holdings, Inc., 4.8%, 6/15/28     Electrical Components & Equipment   (418)  (397)  (381)
Foundation Building Materials, Inc., 6.0%, 3/1/29     Retail   (172)  (161)  (155)
Grifols Escrow Issuer SA, 4.8%, 10/15/28     Biotechnology   (523)  (499)  (493)
Icahn Enterprises LP / Icahn Enterprises Finance Corp., 5.3%, 5/15/27     Investment Companies   (80)  (80)  (79)
LPL Holdings, Inc., 4.6%, 11/15/27     Diversified Financial Services   (302)  (302)  (297)
Merlin Entertainments Ltd., 5.8%, 6/15/26     Entertainment   (328)  (326)  (324)
ModivCare Escrow Issuer, Inc., 5.0%, 10/1/29     Healthcare-Services   (468)  (445)  (437)
Outfront Media Capital LLC / Outfront Media Capital Corp., 5.0%, 8/15/27     Advertising   (328)  (323)  (321)
Owens-Brockway Glass Container, Inc., 6.6%, 5/13/27     Packaging & Containers   (37)  (38)  (37)
Real Hero Merger Sub 2, Inc., 6.3%, 2/1/29     Auto Parts & Equipment   (171)  (163)  (156)
Royal Caribbean Cruises Ltd., 5.5%, 4/1/28     Leisure Time   (150)  (148)  (143)
Sabre GLBL, Inc., 7.4%, 9/1/25     Commercial Services   (492)  (499)  (515)

 

See notes to unaudited consolidated schedule of investments.

 

4

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Par(b)  Proceeds  Fair
Value(c)
 
Scripps Escrow II, Inc., 5.4%, 1/15/31    Media Entertainment  $(381) $(362) $(365)
Scripps Escrow, Inc., 5.9%, 7/15/27     Media Entertainment   (216)  (215)  (216)
Six Flags Entertainment Corp., 5.5%, 4/15/27     Entertainment   (328)  (326)  (328)
Tenet Healthcare Corp., 5.1%, 11/1/27     Healthcare-Services   (328)  (329)  (330)
Viking Cruises Ltd., 7.0%, 2/15/29     Leisure Time   (249)  (224)  (230)
ZipRecruiter, Inc., 5.0%, 1/15/30     Commercial Services   (609)  (596)  (595)
Total Corporate Bonds Sold Short            $(8,001) $(7,931)

 

Portfolio Company(a)  Footnotes  Industry  Number of
Shares
  Proceeds  Fair
Value(c)
 
Common Stocks Sold Short—(1.5)%                   
3M Co.    Miscellaneous Manufacturing   (1,211) $(189) $(180)
Amazon.com, Inc.     Internet   (11)  (32)  (36)
AMC Entertainment Holdings, Inc.     Entertainment   (733)  (30)  (18)
American Airlines Group, Inc.     Airlines   (4,096)  (85)  (75)
Berkshire Hathaway, Inc.     Insurance   (220)  (79)  (78)
Beyond Meat, Inc.     Food   (824)  (61)  (40)
Block, Inc.     Commercial Services   (1,541)  (216)  (209)
Brown-Forman Corp.     Beverages   (1,646)  (104)  (110)
Cargurus, Inc.     Internet   (1,211)  (49)  (51)
Chevron Corp.     Oil & Gas   (330)  (54)  (54)
Church & Dwight Co., Inc.     Household Products/Wares   (1,099)  (110)  (109)
Clorox Co./The     Household Products/Wares   (1,444)  (248)  (201)
CME Group, Inc.     Diversified Financial Services   (771)  (185)  (183)
Dollar Tree, Inc.     Retail   (210)  (29)  (34)
Exxon Mobil Corp.     Oil & Gas   (440)  (36)  (36)
Geberit AG     Building Materials   (78)  (46)  (48)
Genuine Parts Co.     Retail   (2,205)  (281)  (278)
Hilton Worldwide Holdings, Inc.     Lodging   (551)  (83)  (84)
Hormel Foods Corp.     Food   (2,858)  (144)  (147)
Keurig Dr Pepper, Inc.     Beverages   (661)  (25)  (25)
Legalzoom.com, Inc.     Commercial Services   (962)  (14)  (14)
Lockheed Martin Corp.     Aerospace/Defense   (592)  (232)  (261)
Luminar Technologies, Inc.     Auto Parts & Equipment   (3,076)  (45)  (48)
Meta Platforms, Inc.     Internet   (154)  (34)  (34)
New York Times Co.     Media Entertainment   (3,748)  (170)  (172)
PayPal Holdings, Inc.     Commercial Services   (110)  (13)  (13)
Progressive Corp.     Insurance   (2,418)  (261)  (276)
Rivian Automotive, Inc.     Auto Manufacturers   (478)  (40)  (24)
Shake Shack, Inc.     Retail   (1,319)  (86)  (90)
SoFi Technologies, Inc.     Diversified Financial Services   (1,759)  (16)  (17)
Starbucks Corp.     Retail   (110)  (10)  (10)
Trupanion, Inc.     Insurance   (659)  (53)  (59)
Uber Technologies, Inc.     Internet   (2,201)  (79)  (78)
US Bancorp     Banks   (1,448)  (79)  (77)
Walgreens Boots Alliance, Inc.     Retail   (4,391)  (208)  (197)
Warby Parker, Inc.     Retail   (1,431)  (49)  (48)
Wayfair, Inc.     Internet   (420)  (52)  (46)
WeWork, Inc.     Real Estate   (3,307)  (23)  (22)

 

See notes to unaudited consolidated schedule of investments.

 

5

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes   Industry  Number of Shares   Proceeds    Fair
Value(c)
 
Xylem, Inc.      Machinery-Diversified   (3,306)  $(293)   $ (282 )
Total Common Stocks Sold Short               $(3,843)   $ (3,764 )
Total Investments Sold Short               $(26,313)   $ (26,664 )

 

Forward Foreign Currency Exchange Contracts—(0.1)% 
   Contract  Currency and   Currency and         
   Settlement  Amount  Amount to be   Unrealized   Unrealized 
Counterparty  Date  to be Received   Delivered   Appreciation   Depreciation 
Deutsche Bank AG  4/21/22  AUD   200   CAD   187   $   $ 
Deutsche Bank AG  4/21/22  AUD   219   GBP   125        1 
Deutsche Bank AG  4/21/22  AUD   219   GBP   125        1 
Deutsche Bank AG  4/21/22  AUD   600   JPY   55,817        10 
Deutsche Bank AG  4/21/22  AUD   800   JPY   74,423        13 
Deutsche Bank AG  4/21/22  AUD   200   JPY   18,309        1 
Deutsche Bank AG  4/21/22  AUD   200   JPY   18,162         
Deutsche Bank AG  4/21/22  AUD   800   NZD   867        2 
Deutsche Bank AG  4/21/22  AUD   200   NZD   215    1     
Deutsche Bank AG  4/21/22  AUD   700   USD   526        3 
Deutsche Bank AG  4/21/22  AUD   100   USD   75         
Deutsche Bank AG  4/21/22  AUD   200   USD   150        1 
Deutsche Bank AG  4/21/22  AUD   100   USD   75         
Deutsche Bank AG  4/4/22  BRL   507   USD   100    7     
Deutsche Bank AG  4/4/22  BRL   513   USD   100    8     
Deutsche Bank AG  4/21/22  CAD   376   AUD   400    1     
Deutsche Bank AG  4/21/22  CAD   342   EUR   250        3 
Deutsche Bank AG  4/21/22  CAD   400   JPY   39,617        6 
Deutsche Bank AG  4/21/22  CAD   400   JPY   39,617        6 
Deutsche Bank AG  4/21/22  CAD   300   USD   240         
Deutsche Bank AG  4/21/22  CAD   300   USD   240         
Deutsche Bank AG  4/21/22  CAD   200   USD   160         
Deutsche Bank AG  4/21/22  CAD   400   USD   320         
Deutsche Bank AG  4/21/22  CHF   128   EUR   125         
Deutsche Bank AG  4/21/22  CHF   500   JPY   66,222        3 
Deutsche Bank AG  4/21/22  CHF   750   USD   809    3     
Deutsche Bank AG  4/21/22  CHF   375   USD   406         
Deutsche Bank AG  4/11/22  CLP   81,192   USD   100    3     
Deutsche Bank AG  4/18/22  CLP   80,681   USD   100    2     
Deutsche Bank AG  4/11/22  CLP   80,087   USD   100    2     
Deutsche Bank AG  4/25/22  CLP   80,449   USD   100    2     
Deutsche Bank AG  4/29/22  CLP   78,422   USD   100        1 
Deutsche Bank AG  4/21/22  CNH   4,484   USD   700    5     
Deutsche Bank AG  4/21/22  CNH   2,562   USD   400    3     
Deutsche Bank AG  4/4/22  COP   391,703   USD   100    4     
Deutsche Bank AG  4/18/22  COP   382,294   USD   100    1     
Deutsche Bank AG  4/22/22  COP   376,181   USD   100        1 
Deutsche Bank AG  4/25/22  COP   379,970   USD   100         
Deutsche Bank AG  5/2/22  COP   377,086   USD   100         
Deutsche Bank AG  4/21/22  EUR   400   GBP   336    1     
Deutsche Bank AG  4/21/22  EUR   1,600   JPY   216,986        12 
Deutsche Bank AG  4/21/22  EUR   100   JPY   13,562        1 
Deutsche Bank AG  4/21/22  EUR   100   JPY   13,553        1 
Deutsche Bank AG  4/21/22  EUR   250   SEK   2,593    1     
Deutsche Bank AG  4/21/22  EUR   625   USD   689    3     
Deutsche Bank AG  4/21/22  EUR   1,625   USD   1,808        9 

 

See notes to unaudited consolidated schedule of investments.

 

6

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

   Contract  Currency and   Currency and         
   Settlement  Amount  Amount to be   Unrealized   Unrealized 
Counterparty  Date  to be Received   Delivered   Appreciation   Depreciation 
Deutsche Bank AG  4/21/22  EUR   250   USD   279   $   $2 
Deutsche Bank AG  4/21/22  GBP   125   AUD   218    1     
Deutsche Bank AG  4/21/22  GBP   167   EUR   200        2 
Deutsche Bank AG  4/21/22  GBP   333   EUR   400        5 
Deutsche Bank AG  4/21/22  GBP   85   EUR   100    1     
Deutsche Bank AG  4/21/22  GBP   250   JPY   40,670        6 
Deutsche Bank AG  4/21/22  GBP   625   JPY   101,674        14 
Deutsche Bank AG  4/21/22  GBP   125   USD   164         
Deutsche Bank AG  4/21/22  GBP   500   USD   656    1     
Deutsche Bank AG  4/21/22  GBP   188   USD   246         
Deutsche Bank AG  4/4/22  INR   7,569   USD   100         
Deutsche Bank AG  4/4/22  INR   7,584   USD   100         
Deutsche Bank AG  4/7/22  INR   38,648   USD   500    10     
Deutsche Bank AG  4/8/22  INR   38,395   USD   500    6     
Deutsche Bank AG  4/18/22  INR   7,121   USD   92    1     
Deutsche Bank AG  4/18/22  INR   12,660   USD   164    2     
Deutsche Bank AG  4/11/22  INR   46,083   USD   600    7     
Deutsche Bank AG  4/18/22  INR   30,559   USD   400    2     
Deutsche Bank AG  4/25/22  INR   7,659   USD   100    1     
Deutsche Bank AG  4/25/22  INR   7,675   USD   100    1     
Deutsche Bank AG  4/22/22  INR   7,667   USD   100    1     
Deutsche Bank AG  4/29/22  INR   7,661   USD   100    1     
Deutsche Bank AG  4/25/22  INR   30,627   USD   400    2     
Deutsche Bank AG  4/4/22  INR   78   USD   1         
Deutsche Bank AG  4/21/22  JPY   37,184   AUD   400    6     
Deutsche Bank AG  4/21/22  JPY   13,632   EUR   100    1     
Deutsche Bank AG  4/21/22  JPY   67,772   EUR   500    3     
Deutsche Bank AG  4/21/22  JPY   40,538   GBP   250    5     
Deutsche Bank AG  4/21/22  JPY   50,000   USD   404    7     
Deutsche Bank AG  4/14/22  KRW   97,520   USD   79    1     
Deutsche Bank AG  4/14/22  KRW   25,484   USD   21         
Deutsche Bank AG  4/18/22  KRW   124,193   USD   100    2     
Deutsche Bank AG  4/21/22  KRW   103,440   USD   85         
Deutsche Bank AG  4/21/22  KRW   82,699   USD   68         
Deutsche Bank AG  4/21/22  KRW   20,865   USD   17         
Deutsche Bank AG  4/21/22  KRW   36,946   USD   30         
Deutsche Bank AG  4/21/22  KRW   243,262   USD   200         
Deutsche Bank AG  4/14/22  KRW   242,696   USD   200         
Deutsche Bank AG  4/18/22  KRW   121,374   USD   100         
Deutsche Bank AG  4/21/22  MXN   10,000   USD   495    6     
Deutsche Bank AG  4/21/22  MXN   500   USD   25         
Deutsche Bank AG  4/21/22  MXN   1,500   USD   75         
Deutsche Bank AG  4/21/22  MXN   3,000   USD   151         
Deutsche Bank AG  4/21/22  MXN   500   USD   25         
Deutsche Bank AG  4/21/22  MXN   500   USD   25         
Deutsche Bank AG  4/21/22  NOK   2,375   EUR   250        7 
Deutsche Bank AG  4/21/22  NOK   500   SEK   546        1 
Deutsche Bank AG  4/21/22  NOK   2,500   SEK   2,729        6 
Deutsche Bank AG  4/21/22  NOK   500   SEK   539        1 
Deutsche Bank AG  4/21/22  NOK   866   USD   100        2 
Deutsche Bank AG  4/21/22  NZD   200   JPY   17,171        3 
Deutsche Bank AG  4/21/22  NZD   400   JPY   34,341        5 
Deutsche Bank AG  4/21/22  NZD   200   JPY   16,935        1 
Deutsche Bank AG  4/21/22  NZD   100   USD   69         

 

See notes to unaudited consolidated schedule of investments.

 

7

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

   Contract  Currency and   Currency and         
   Settlement  Amount  Amount to be   Unrealized   Unrealized 
Counterparty  Date  to be Received   Delivered   Appreciation   Depreciation 
Deutsche Bank AG  4/21/22  PLN   466   EUR   100   $   $ 
Deutsche Bank AG  4/21/22  PLN   431   USD   100    2     
Deutsche Bank AG  4/21/22  TRY   2,908   USD   200        5 
Deutsche Bank AG  4/21/22  TRY   1,481   USD   100         
Deutsche Bank AG  4/21/22  TRY   2,959   USD   200        1 
Deutsche Bank AG  4/1/22  TWD   3,660   USD   131        3 
Deutsche Bank AG  4/1/22  TWD   1,938   USD   69        1 
Deutsche Bank AG  4/6/22  TWD   5,592   USD   200        5 
Deutsche Bank AG  4/6/22  TWD   2,799   USD   100        2 
Deutsche Bank AG  4/14/22  TWD   2,828   USD   100        1 
Deutsche Bank AG  4/15/22  TWD   2,833   USD   100        1 
Deutsche Bank AG  4/1/22  TWD   5,673   USD   200        2 
Deutsche Bank AG  4/21/22  TWD   2,837   USD   100        1 
Deutsche Bank AG  4/1/22  TWD   2,838   USD   100        1 
Deutsche Bank AG  4/11/22  TWD   2,850   USD   100        1 
Deutsche Bank AG  4/15/22  TWD   5,696   USD   200        1 
Deutsche Bank AG  4/1/22  TWD   69   USD   2         
Deutsche Bank AG  4/18/22  TWD   2,860   USD   100         
Deutsche Bank AG  4/18/22  TWD   2,861   USD   100         
Deutsche Bank AG  5/3/22  TWD   2,859   USD   100         
Deutsche Bank AG  4/6/22  TWD   39   USD   1         
Deutsche Bank AG  4/6/22  TWD   110   USD   4         
Deutsche Bank AG  4/21/22  USD   301   AUD   400    1     
Deutsche Bank AG  4/4/22  USD   100   BRL   519        9 
Deutsche Bank AG  4/4/22  USD   100   BRL   498        5 
Deutsche Bank AG  4/21/22  USD   535   CHF   500        6 
Deutsche Bank AG  4/21/22  USD   268   CHF   250        3 
Deutsche Bank AG  4/11/22  USD   100   CLP   81,197        3 
Deutsche Bank AG  4/11/22  USD   100   CLP   81,742        4 
Deutsche Bank AG  4/18/22  USD   100   CLP   80,173        2 
Deutsche Bank AG  4/25/22  USD   100   CLP   78,356    1     
Deutsche Bank AG  4/29/22  USD   100   CLP   78,578    1     
Deutsche Bank AG  5/2/22  USD   69   CLP   54,882         
Deutsche Bank AG  5/2/22  USD   31   CLP   24,321         
Deutsche Bank AG  4/21/22  USD   100   CNH   639         
Deutsche Bank AG  4/21/22  USD   300   CNH   1,913        1 
Deutsche Bank AG  4/21/22  USD   100   CNH   637         
Deutsche Bank AG  4/4/22  USD   100   COP   387,421        3 
Deutsche Bank AG  4/18/22  USD   100   COP   383,501        1 
Deutsche Bank AG  4/22/22  USD   100   COP   382,700        1 
Deutsche Bank AG  4/25/22  USD   100   COP   376,309    1     
Deutsche Bank AG  4/29/22  USD   100   COP   380,320         
Deutsche Bank AG  4/21/22  USD   274   EUR   250        3 
Deutsche Bank AG  4/21/22  USD   411   EUR   375        4 
Deutsche Bank AG  4/21/22  USD   247   GBP   188         
Deutsche Bank AG  4/21/22  USD   986   GBP   750    1     
Deutsche Bank AG  4/21/22  USD   100   HUF   34,261        3 
Deutsche Bank AG  4/7/22  USD   500   INR   38,088        2 
Deutsche Bank AG  4/4/22  USD   200   INR   15,231        1 
Deutsche Bank AG  4/11/22  USD   18   INR   1,377         
Deutsche Bank AG  4/8/22  USD   500   INR   38,654        9 
Deutsche Bank AG  4/11/22  USD   36   INR   2,789        1 
Deutsche Bank AG  4/11/22  USD   46   INR   3,566        1 
Deutsche Bank AG  4/11/22  USD   500   INR   38,412        6 

 

See notes to unaudited consolidated schedule of investments.

 

8

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

   Contract  Currency and   Currency and         
   Settlement  Amount  Amount to be   Unrealized   Unrealized 
Counterparty  Date  to be Received   Delivered   Appreciation   Depreciation 
Deutsche Bank AG  4/18/22  USD   57   INR   4,371   $   $1 
Deutsche Bank AG  4/18/22  USD   600   INR   46,126        6 
Deutsche Bank AG  4/22/22  USD   100   INR   7,626         
Deutsche Bank AG  4/25/22  USD   400   INR   30,585        2 
Deutsche Bank AG  4/25/22  USD   100   INR   7,670        1 
Deutsche Bank AG  4/25/22  USD   100   INR   7,657        1 
Deutsche Bank AG  4/29/22  USD   400   INR   30,644        2 
Deutsche Bank AG  4/21/22  USD   808   JPY   100,000        13 
Deutsche Bank AG  4/21/22  USD   303   JPY   37,500        5 
Deutsche Bank AG  4/21/22  USD   410   JPY   50,000         
Deutsche Bank AG  4/21/22  USD   309   JPY   37,500    1     
Deutsche Bank AG  4/14/22  USD   300   KRW   369,222        4 
Deutsche Bank AG  4/18/22  USD   63   KRW   77,992        1 
Deutsche Bank AG  4/18/22  USD   37   KRW   46,114        1 
Deutsche Bank AG  4/18/22  USD   15   KRW   18,707         
Deutsche Bank AG  4/18/22  USD   85   KRW   105,513        2 
Deutsche Bank AG  4/21/22  USD   100   KRW   122,130         
Deutsche Bank AG  4/22/22  USD   7   KRW   7,969         
Deutsche Bank AG  4/22/22  USD   200   KRW   242,875         
Deutsche Bank AG  4/22/22  USD   93   KRW   113,399         
Deutsche Bank AG  4/21/22  USD   200   KRW   242,730         
Deutsche Bank AG  4/21/22  USD   100   KRW   121,385         
Deutsche Bank AG  4/29/22  USD   100   KRW   121,899         
Deutsche Bank AG  4/21/22  USD   25   MXN   500         
Deutsche Bank AG  4/21/22  USD   69   NZD   100         
Deutsche Bank AG  4/21/22  USD   200   PLN   862        5 
Deutsche Bank AG  4/21/22  USD   100   SEK   946        1 
Deutsche Bank AG  4/21/22  USD   100   SEK   946        1 
Deutsche Bank AG  4/21/22  USD   100   SGD   136         
Deutsche Bank AG  4/21/22  USD   100   TRY   1,415    5     
Deutsche Bank AG  4/21/22  USD   100   TRY   1,415    5     
Deutsche Bank AG  4/21/22  USD   100   TRY   1,532        3 
Deutsche Bank AG  4/21/22  USD   200   TRY   3,070        6 
Deutsche Bank AG  4/21/22  USD   100   TRY   1,489         
Deutsche Bank AG  4/1/22  USD   55   TWD   1,557    1     
Deutsche Bank AG  4/1/22  USD   15   TWD   435         
Deutsche Bank AG  4/1/22  USD   71   TWD   1,987    2     
Deutsche Bank AG  4/1/22  USD   58   TWD   1,629    1     
Deutsche Bank AG  4/11/22  USD   100   TWD   2,836    1     
Deutsche Bank AG  4/14/22  USD   100   TWD   2,832    1     
Deutsche Bank AG  4/1/22  USD   300   TWD   8,506    3     
Deutsche Bank AG  4/15/22  USD   95   TWD   2,688    1     
Deutsche Bank AG  4/15/22  USD   5   TWD   150         
Deutsche Bank AG  4/18/22  USD   100   TWD   2,853         
Deutsche Bank AG  4/6/22  USD   100   TWD   2,838    1     
Deutsche Bank AG  4/6/22  USD   200   TWD   5,701    1     
Deutsche Bank AG  4/15/22  USD   100   TWD   2,849    1     
Deutsche Bank AG  4/29/22  USD   100   TWD   2,877        1 
Deutsche Bank AG  4/1/22  USD   2   TWD   66         
Deutsche Bank AG  5/3/22  USD   200   TWD   5,725         
Deutsche Bank AG  4/15/22  USD   100   TWD   2,861         
Deutsche Bank AG  5/3/22  USD   100   TWD   2,859         
Deutsche Bank AG  4/18/22  USD   100   TWD   2,861         
Deutsche Bank AG  4/21/22  USD   100   ZAR   1,449    1     

 

See notes to unaudited consolidated schedule of investments.

 

9

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

   Contract  Currency and   Currency and         
   Settlement  Amount  Amount to be   Unrealized   Unrealized 
Counterparty  Date  to be Received   Delivered   Appreciation   Depreciation 
Deutsche Bank AG  4/21/22  ZAR   4,398   USD   300   $   $ 
Deutsche Bank AG  4/21/22  ZAR   1,466   USD   100         
Morgan Stanley & Co. International PLC  6/15/22  CHF   42   USD   46    1     
Morgan Stanley & Co. International PLC  6/15/22  USD   1,588   EUR   1,441        10 
Morgan Stanley & Co. International PLC  6/15/22  USD   532   GBP   408        4 
State Street Bank and Trust Company  6/15/22  EUR   63   USD   70         
State Street Bank and Trust Company  6/15/22  USD   172   EUR   156        1 
State Street Bank and Trust Company  6/15/22  USD   31   EUR   28         
State Street Bank and Trust Company  6/15/22  USD   161   EUR   147        2 
State Street Bank and Trust Company  6/15/22  USD   42   EUR   38         
State Street Bank and Trust Company  6/15/22  USD   35   EUR   32         
State Street Bank and Trust Company  6/15/22  USD   14   EUR   12         
State Street Bank and Trust Company  6/15/22  USD   35   GBP   27         
State Street Bank and Trust Company  6/15/22  USD   2   GBP   2         
State Street Bank and Trust Company  6/15/22  USD   313   GBP   237    1     
State Street Bank and Trust Company  6/15/22  USD   89   GBP   67    1     
Total Forward Foreign Currency Exchange Contracts               $150   $296 

 

   Number of       Expiration   Notional   Unrealized   Unrealized 
Description  Contracts   Position   Date   Amount   Appreciation   Depreciation 
                         
Long Futures—0.6%
Commodity Futures Contracts—0.6%           
Aluminum   1    Long    4/4/22    71   $16   $ 
Aluminum   1    Long    4/7/22    74    13     
Aluminum   1    Long    4/13/22    74    13     
Aluminum   1    Long    4/14/22    75    12     
Aluminum   2    Long    4/27/22    155    19     
Aluminum   1    Long    4/29/22    75    12     
Aluminum   1    Long    5/3/22    76    11     
Aluminum   1    Long    5/4/22    78    9     
Aluminum   1    Long    5/6/22    78    9     
Aluminum   1    Long    5/9/22    79    8     
Aluminum   1    Long    5/10/22    81    7     
Aluminum   2    Long    5/23/22    166    8     
Aluminum   1    Long    5/24/22    87         
Aluminum   3    Long    6/7/22    262        1 
Brent Crude   1    Long    4/29/22    106        2 
Brent Crude   1    Long    5/31/22    102    1     
Brent Crude   1    Long    6/30/22    107        6 
Brent Crude   1    Long    7/29/22    104        5 
Brent Crude   1    Long    10/31/22    94    2     
Canola   1    Long    5/13/22    18         
Cocoa   1    Long    5/16/22    23         
Cocoa   1    Long    7/14/22    27         
Cocoa   1    Long    7/14/22    24         
Coffee   1    Long    5/18/22    85         
Copper   1    Long    4/4/22    240    19     
Copper   2    Long    4/6/22    499    19     
Copper   1    Long    4/11/22    242    18     
Copper   2    Long    4/12/22    501    18     
Copper   2    Long    4/14/22    487    32     

 

See notes to unaudited consolidated schedule of investments.

 

10

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

   Number of       Expiration   Notional   Unrealized   Unrealized 
Description  Contracts   Position   Date   Amount   Appreciation   Depreciation 
Copper   1    Long    4/19/22    243   $16   $ 
Copper   1    Long    4/20/22    249    11     
Copper   2    Long    4/25/22    488    31     
Copper   1    Long    4/27/22    244    15     
Copper   1    Long    4/28/22    246    13     
Copper   1    Long    5/3/22    244    15     
Copper   2    Long    5/9/22    489    29     
Copper   1    Long    5/10/22    255    5     
Copper   3    Long    5/11/22    748    30     
Copper   1    Long    5/17/22    252    8     
Copper   1    Long    5/20/22    248    12     
Copper   1    Long    5/24/22    248    11     
Copper   1    Long    5/26/22    118         
Copper   3    Long    6/6/22    785        7 
Copper   1    Long    6/8/22    250    9     
Copper   1    Long    6/9/22    250    9     
Corn   5    Long    5/13/22    188        1 
Corn   2    Long    12/14/22    66    2     
Cotton   2    Long    5/6/22    134    2     
Crude Palm Oil   2    Long    6/15/22    70        3 
Crude Palm Oil   1    Long    8/15/22    34        2 
Gold   1    Long    6/28/22    194    2     
Lead   1    Long    4/6/22    58    3     
Lead   1    Long    4/11/22    57    3     
Lead   1    Long    4/19/22    59    2     
Lead   1    Long    4/25/22    58    3     
Lead   1    Long    4/29/22    56    5     
Lead   2    Long    5/3/22    111    10     
Lead   1    Long    5/4/22    55    5     
Lead   2    Long    5/9/22    114    7     
Lead   1    Long    5/24/22    59    1     
Lead   1    Long    5/27/22    61         
Live Cattle   1    Long    8/31/22    55         
Natural Gas   2    Long    4/27/22    107    6     
Nickel   1    Long    4/5/22    132    60     
Nickel   4    Long    4/11/22    508    263     
Nickel   3    Long    4/12/22    397    181     
Nickel   1    Long    4/13/22    133    60     
Nickel   1    Long    4/21/22    137    55     
Nickel   1    Long    4/25/22    133    60     
Nickel   2    Long    5/3/22    283    102     
Nickel   1    Long    5/4/22    173    20     
Nickel   1    Long    5/17/22    141    52     
Nickel   1    Long    6/1/22    150    43     
Nickel   3    Long    6/6/22    514    63     
Nickel   1    Long    6/7/22    219        26 
Nickel   1    Long    6/22/22    194        2 
Platinum   1    Long    7/27/22    50         
SGX Iron Ore 62 Index   3    Long    5/31/22    46    2     
Silver   1    Long    5/26/22    127        1 
Soybean   2    Long    5/13/22    95        2 
Soybean   1    Long    5/13/22    43        1 
Tin   1    Long    4/12/22    207    12     
Tin   1    Long    4/13/22    203    16     

 

See notes to unaudited consolidated schedule of investments.

 

11

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

   Number of       Expiration   Notional   Unrealized   Unrealized 
Description  Contracts   Position   Date   Amount   Appreciation   Depreciation 
Tin   1     Long      5/11/22     235   $   $18 
Tin   1     Long      5/16/22     219        1 
Tin   1     Long      5/23/22     222        5 
Tin   1     Long      5/25/22     235        18 
Wheat   2     Long      5/13/22     106        5 
Wheat   1     Long      7/14/22     52        2 
WTI Crude   2     Long      4/20/22     203        2 
WTI Crude   1     Long      5/19/22     98    1     
WTI Crude   1     Long      5/20/22     103        4 
Zinc   1     Long      4/7/22     88    17     
Zinc   1     Long      4/25/22     90    16     
Zinc   1     Long      4/26/22     90    15     
Zinc   1     Long      4/27/22     90    15     
Zinc   2     Long      5/3/22     180    30     
Zinc   1     Long      5/4/22     98    7     
Zinc   1     Long      5/9/22     91    14     
Zinc   1     Long      5/11/22     90    15     
Total Commodity Futures Contracts                      $1,630   $114 
Equity Futures Contracts—0.0%           
CAC40 10 Euro Future   1     Long      4/14/22     74   $   $ 
DJIA E-mini Industrial Average SM Index   3     Long      6/17/22     522        3 
E-mini Financial Select Sector   1     Long      6/17/22     122        4 
E-mini Russell 2000 Index   2     Long      6/17/22     211        4 
E-mini S&P MidCap 400   2     Long      6/17/22     551        13 
E-mini S&P Real Estate Select Sector Index   1     Long      6/17/22     55    4     
Euro-STOXX 50 Index   2     Long      6/17/22     85         
Euro-STOXX 50 Index Dividend Future   1     Long      12/16/22     13         
FTSE China A50 Index   12     Long      4/28/22     162    3     
FTSE Taiwan Index   5     Long      4/28/22     306    3     
FTSE/MIB Index   2     Long      6/17/22     269         
FTSES 100 Index   3     Long      6/17/22     293    1     
IBEX 35 Index   1     Long      4/14/22     92    1     
Micro E-mini DJIA Index   1     Long      6/17/22     17         
Mini TPX Index   2     Long      6/9/22     32         
MSCI Singapore Index   2     Long      4/28/22     49         
NASDAQ 100 E-Mini   4     Long      6/17/22     1,206        17 
Nikkei 225 Mini Index   8     Long      6/9/22     182         
Nikkei 225 OSE Index   1     Long      6/9/22     227        1 
OMXS30 Index   1     Long      4/13/22     23         
S&P 500 Consumer Discretionary Index   1     Long      6/17/22     193        6 
S&P/TSX 60 Index   1     Long      6/16/22     200    6     
SGX Nifty 50 Index   3     Long      4/28/22     106         
STOXX Europe 600 Index   1     Long      6/17/22     25         
STOXX Europe 600 Insurance Index   2     Long      6/17/22     34    1     
Topix   2     Long      6/9/22     316    2     
Total Equity Futures Contracts                          $21   $48 
Foreign Currency Futures Contracts—0.0%           
Brazil Real   2    Long    4/29/22    42   $   $ 
Dollar Index   2    Long    6/13/22    197         
Euro   1    Long    6/13/22    139        1 
Mexican Peso   6    Long    6/13/22    145    4     
South African Rand   1    Long    6/13/22    34         
Total Foreign Currency Futures Contracts             $4   $1 

 

See notes to unaudited consolidated schedule of investments.

 

12

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments(continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Description  Number of
Contracts
  Position  Expiration
Date
  Notional
Amount
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Interest Rate Futures Contracts—0.0%                        
U.S. Treasury 10-Year Note  19  Long  6/21/22   2,327   $8   $ 
U.S. Treasury Long Bond  1  Long  6/21/22   150         
Total Interest Rate Futures Contracts                $8   $ 
Total Long Futures                $1,663   $163 

 

Description  Number of
Contracts
  Position  Expiration
Date
  Notional
Amount
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Short Futures—(0.6)%                        
Commodity Futures Contracts—(0.6)%                       
Aluminum  (1)  Short  4/4/22   (74)  $   $13 
Aluminum  (1)  Short  4/7/22   (74)       13 
Aluminum  (1)  Short  4/13/22   (75)       12 
Aluminum  (1)  Short  4/14/22   (74)       13 
Aluminum  (2)  Short  4/27/22   (153)       21 
Aluminum  (1)  Short  4/29/22   (76)       12 
Aluminum  (1)  Short  5/3/22   (78)       9 
Aluminum  (1)  Short  5/4/22   (87)        
Aluminum  (1)  Short  5/6/22   (78)       9 
Aluminum  (1)  Short  5/9/22   (81)       7 
Aluminum  (1)  Short  5/10/22   (82)       5 
Aluminum  (2)  Short  5/23/22   (175)        
Aluminum  (1)  Short  5/24/22   (87)        
Aluminum  (3)  Short  6/7/22   (290)   29     
Cattle Feeder  (1)  Short  5/26/22   (84)   1     
Copper  (1)  Short  4/4/22   (250)       10 
Copper  (2)  Short  4/6/22   (475)       44 
Copper  (1)  Short  4/11/22   (250)       10 
Copper  (2)  Short  4/12/22   (486)       32 
Copper  (2)  Short  4/14/22   (494)       24 
Copper  (1)  Short  4/19/22   (245)       14 
Copper  (1)  Short  4/20/22   (243)       16 
Copper  (2)  Short  4/25/22   (485)       33 
Copper  (1)  Short  4/27/22   (245)       15 
Copper  (1)  Short  4/28/22   (238)       21 
Copper  (1)  Short  5/3/22   (246)       14 
Copper  (2)  Short  5/9/22   (498)       21 
Copper  (1)  Short  5/10/22   (248)       11 
Copper  (3)  Short  5/11/22   (747)       31 
Copper  (1)  Short  5/17/22   (248)       12 
Copper  (1)  Short  5/20/22   (252)       8 
Copper  (1)  Short  5/24/22   (252)       8 
Copper  (3)  Short  6/6/22   (769)       9 
Copper  (1)  Short  6/8/22   (251)       9 
Copper  (1)  Short  6/9/22   (254)       5 
Gasoline  (2)  Short  4/29/22   (265)   1     
Lead  (1)  Short  4/6/22   (57)       4 
Lead  (1)  Short  4/11/22   (57)       3 
Lead  (1)  Short  4/19/22   (58)       3 
Lead  (1)  Short  4/25/22   (59)       1 
Lead  (1)  Short  4/29/22   (56)       4 
Lead  (2)  Short  5/3/22   (113)       8 
Lead  (1)  Short  5/4/22   (57)       3 
Lead  (2)  Short  5/9/22   (111)       11 
Lead  (1)  Short  5/24/22   (61)        

 

See notes to unaudited consolidated schedule of investments.

 

13

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Description  Number of
Contracts
  Position  Expiration
Date
  Notional
Amount
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Lead  (1)  Short  5/27/22   (60)  $   $ 
Lean Hogs  (1)  Short  6/14/22   (50)   2     
Maize  (1)  Short  6/6/22   (18)        
Nickel  (1)  Short  4/5/22   (124)       69 
Nickel  (4)  Short  4/11/22   (530)       241 
Nickel  (3)  Short  4/12/22   (398)       180 
Nickel  (1)  Short  4/13/22   (138)       55 
Nickel  (1)  Short  4/21/22   (145)       48 
Nickel  (1)  Short  4/25/22   (137)       56 
Nickel  (2)  Short  5/3/22   (309)       76 
Nickel  (1)  Short  5/4/22   (137)       56 
Nickel  (1)  Short  5/17/22   (146)       46 
Nickel  (1)  Short  6/1/22   (194)   2     
Nickel  (3)  Short  6/6/22   (520)       57 
Nickel  (1)  Short  6/7/22   (194)   2     
Nickel  (1)  Short  6/22/22   (162)       30 
Robusta Coffee  (2)  Short  5/25/22   (42)       1 
Tin  (1)  Short  4/12/22   (203)       16 
Tin  (1)  Short  4/13/22   (203)       16 
Tin  (1)  Short  5/11/22   (218)   1     
Tin  (1)  Short  5/16/22   (235)   17     
Tin  (1)  Short  5/23/22   (235)   18     
Tin  (1)  Short  5/25/22   (222)   5     
WTI Crude  (1)  Short  4/19/22   (110)   9     
Zinc  (1)  Short  4/7/22   (90)       15 
Zinc  (1)  Short  4/25/22   (90)       15 
Zinc  (1)  Short  4/26/22   (90)       15 
Zinc  (1)  Short  4/27/22   (91)       14 
Zinc  (2)  Short  5/3/22   (188)       22 
Zinc  (1)  Short  5/4/22   (90)       15 
Zinc  (1)  Short  5/9/22   (90)       15 
Zinc  (1)  Short  5/11/22   (91)       14 
Total Commodity Futures Contracts                $87   $1,570 
Equity Futures Contracts—(0.0)%                        
Amsterdam Index  (2)  Short  4/14/22   (325)  $4   $ 
CBOE Volatility Index  (7)  Short  4/20/22   (160)       5 
CBOE Volatility Index  (3)  Short  5/18/22   (73)       2 
DAX Index  (2)  Short  6/17/22   (811)   10     
FTSE/JSE Top 40 Index  (2)  Short  6/15/22   (94)        
Hang Seng China Enterprises Index  (1)  Short  4/28/22   (48)        
Mini FTSE/MIB Index  (1)  Short  6/17/22   (27)        
Mini H-Shares Index  (1)  Short  4/28/22   (10)        
MSCI EAFE Index  (1)  Short  6/17/22   (107)        
MSCI Emerging Markets Index  (6)  Short  6/17/22   (339)   1     
Nikkei 225 SGX Index  (4)  Short  6/9/22   (459)   3     
S&P 500 E-mini  (13)  Short  6/17/22   (2,980)   35     
SPI 200 Index  (1)  Short  6/16/22   (137)       3 
Yen Denom Nikkei Index  (1)  Short  6/9/22   (110)       6 
Total Equity Futures Contracts                $53   $16 
Foreign Currency Futures Contracts—(0.0)%                     
Chinese Yuan  (3)  Short  6/13/22   (301)  $1   $ 
Chinese Yuan  (1)  Short  6/13/22   (101)   1     
Total Foreign Currency Futures Contracts             $2   $ 

 

See notes to unaudited consolidated schedule of investments.

 

14

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Description  Number of
Contracts
  Position  Expiration
Date
  Notional
Amount
   Unrealized
Appreciation
   Unrealized
Depreciation
 
                      
Interest Rate Futures Contracts—(0.0)%                     
3 Month Eurodollar  (3)  Short  6/19/23   (823)  $   $ 
3 Month SOFR  (2)  Short  3/14/23   (492)   4     
3 Month SOFR  (2)  Short  6/20/23   (486)        
90 Day Eurodollar  (2)  Short  3/13/23   (490)   5     
90 Day Eurodollar  (1)  Short  6/19/23   (242)        
90 Day Eurodollar  (4)  Short  6/17/24   (971)        
Australia 10-Year Bond  (9)  Short  6/15/22   (862)   10     
Canada 10-Year Bond  (6)  Short  6/21/22   (627)   3     
Canada 5-Year Bond  (1)  Short  6/21/22   (93)       1 
Euro BOBL  (12)  Short  6/8/22   (1,719)   15     
Euro BTP  (10)  Short  6/8/22   (1,528)       3 
Euro Bund  (29)  Short  6/8/22   (5,101)   8     
Euro Buxl  (5)  Short  6/8/22   (1,020)       15 
Euro-Oat  (10)  Short  6/8/22   (1,672)       8 
Euro-Schatz  (9)  Short  6/8/22   (1,109)   5     
Japanese 10-Year Bond  (3)  Short  6/13/22   (3,672)       5 
Long Gilt  (4)  Short  6/28/22   (635)       1 
Short Euro-BTP  (2)  Short  6/8/22   (246)        
U.S. Treasury 10-Year Ultra Bond  (5)  Short  6/21/22   (676)       1 
U.S. Treasury 2-Year Note  (16)  Short  6/30/22   (3,403)   12     
U.S. Treasury 5-Year Note  (12)  Short  6/30/22   (1,378)   2     
Total Interest Rate Futures Contracts                $64   $34 
Total Short Futures                $206   $1,620 
                         
Total Return Index Swaps(g)—1.0%                        

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration
Date
  Periodic
Payment
Frequency
  Premium
Paid
(Received)
   Fair
Value
(c)
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America, N.A.  Fixed Rate of 0.20%  Total return on BAML Short Upside Vol Index(h)  USD 18,009  3/3/23  Quarterly  $   $(111)  $   $111 
Bank of America, N.A.  Fixed Rate of 0.00%  Total return on BAML Commodity Basket Index(i)  USD 18,038  11/21/22  Quarterly       (675)       675 
Barclays Bank PLC  Fixed Rate of 0.00%  Total return on Barclays MFI vs REMIX Index(j)  USD 104,550  12/16/22  Monthly       46    46     
BNP Paribas  3 Month SOFR + 0.43%  Total return on BNP Equity Value Factor Index(k)  USD 24,769  1/5/23  Quarterly       (522)       522 
BNP Paribas  Total return on BNP Equity Growth Factor Index(l)  3 Month SOFR + 0.23%  USD 26,378  1/5/23  Quarterly       1,419    1,419     
BNP Paribas  3 Month SOFR + 0.41%  Total return on Russell 2000 Total Return Index(m)  USD 9,995  3/9/23  Quarterly       272    272     

 

See notes to unaudited consolidated schedule of investments.

 

15

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration
Date
  Periodic
Payment
Frequency
  Premium
Paid
(Received)
   Fair
Value
(c)
   Unrealized
Appreciation
   Unrealized
Depreciation
 
BNP Paribas  Total return on Russell 1000 Index Total Return(n)  3 Month SOFR + 0.40%  USD 10,001  3/9/23  Quarterly  $   $(591)  $   $591 
Credit Suisse International  Fixed Rate of 0.50%  Total return on Credit Suisse Gamma Weighted Dispersion Index ER(o)  USD 11,170  5/20/22  Monthly       3    3     
Goldman Sachs International  Fixed Rate of 0.15%  Total return on Goldman Sachs Calls-vs-Calls US Series 2 Excess Return Strategy Index(p)  USD 11,459  11/8/22  Quarterly       99    99     
Goldman Sachs International  Fixed Rate of 0.15%  Total return on Goldman Sachs Macro Index VA01(q)  USD 17,632  5/17/22  Quarterly       159    159     
JP Morgan Chase Bank, N.A.  Fixed Rate of 0.00%  Total return on JP Morgan Equity Risk Premium - Global Pure Low Vol L/S USD Index(r)  USD 13,974  6/28/22  Quarterly       (5)       5 
JPMorgan Chase Bank, N.A.  Fixed Rate of 0.20%  Total return on JPM US Conviction Mean Reversion Index(s)  USD 11,083  9/26/22  Quarterly       (32)       32 
JPMorgan Chase Bank, N.A.  Total return on JPM Short ERP Sector Index(t)  Federal Funds Rate - 0.21%  USD 13,157  2/21/23  Quarterly       (101)       101 
JPMorgan Chase Bank, N.A.  3 Month LIBOR + 0.64%  Total return on JPM Long ERP Sector Index(u)  USD 19,476  2/21/23  Quarterly       182    182     
JPMorgan Chase Bank, N.A.  Total return on iBoxx USD Liquid High Yield Index  12 Month SOFR  USD 4,219  6/20/22  Quarterly       36    36     
JPMorgan Chase Bank, N.A.  Fixed Rate of 0.00%.  Total return on S&P 500 Annual Dividend Index Futures 2022  USD 24,000  12/16/22  N/A       349    349     
JPMorgan Chase Bank, N.A.  Total return on iBoxx USD Liquid High Yield Index  12 Month SOFR  USD 2,640  9/20/22  Quarterly       (15)       15 
Macquarie Bank, Ltd.  Fixed Rate of 0.25%  Total return on Macquarie US Equity Congestion Index(v)  USD 18,000  3/24/23  Quarterly                

 

See notes to unaudited consolidated schedule of investments.

 

16

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration
Date
  Periodic
Payment
Frequency
  Premium
Paid
(Received)
   Fair
Value
(c)
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Macquarie Bank, Ltd.  Fixed Rate of 0.25%  Total return on Macquarie US Equity Overnight Mean Reversion Index(w)  USD 11,640  3/9/23  Quarterly  $   $(115)  $   $115 
Nomura Securities Co., Ltd.  Fixed Rate of 0.15%  Total return on Nomura G10 All Currencies Mean Reversion 25x w/ no Vol Adjustment Index(x)  USD 18,450  7/29/22  Quarterly       (73)       73 
Societe Generale  Fixed Rate of 0.15%  Total return on SGI US Delta Capped Mean Reversion Index(y)  USD 11,549  1/21/23  Quarterly       30    30     
Societe Generale  Federal Funds Rate  Total return on Soc Gen Vol Roll on Rates Index(z)  USD 19,665  4/5/22  N/A       2,009    2,009     
Societe Generale  Fixed Rate of 0.40%  Total return on Soc Gen STEP Index(aa)  USD 11,607  3/14/23  Quarterly       19    19     
Total Total Return Index Swaps             $   $2,383   $4,623   $2,240 

 

 

 

(a)Security may be an obligation of one or more entities affiliated with the named company.

 

(b)Denominated in U.S. dollars unless otherwise noted.

 

(c)Fair value as of March 31, 2022 is determined by the board of trustees of FS Series Trust (the “Trust’’).

 

(d)Exempt from registration under Rule 144A of the Securities Act of 1933, as amended. Such securities may be deemed liquid by the investment adviser and may be resold, normally to qualified institutional buyers in transactions exempt from registration. Total market value of Rule 144A securities amounts to $39,381, which represents approximately 15.9% of net assets as of March 31, 2022.

 

(e)Security is non-income producing.

 

(f)Security or portion thereof is pledged as collateral supporting the amounts outstanding under the prime brokerage facility with Morgan Stanley & Co. ("MSC"). Securities may be rehypothecated from time to time as permitted under Rule 15c-1(a)(1) promulgated under the Securities Exchange Act of 1934, as amended, subject to terms and conditions governing the prime brokerage facility with MSC. As of March 31, 2022, there were no securities rehypothecated by MSC.

 

(g)The Fund pays or receives periodic payments in accordance with the total return swap contracts depending on the performance of the reference index. On reset dates and on the expiration date of the swap contracts, the Fund will either receive from or pay to the counterparty an amount equal to the net of (i) the accrued financing fees and (ii) the percentage change in price of the reference index times the notional amount, and (iii) if applicable any dividends received into the basket since the previous reset date. Valuations may be inclusive of interest and/or dividends receivable/payable and, as a result, the notional amounts presented may not recalculate directly with the fair value presented.

 

(h)Seeks to monetize SPX upside implied-to-realized volatility by selling and delta hedging the upside wing of the strip.

 

Top Underlying Components Notional   Percentage of
Notional
 
Currency       
United States Dollar 13,362    74.64%
Index         
S&P 500 Index  4,717    26.35%
Option         
S&P 500 Index Call  -178    -0.99%

 

See notes to unaudited consolidated schedule of investments.

 

17

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(i)Basket of three commodity strategies: Cross-Maturity Seasonal Carry, Cross-Sectional Carry/Backwardation, and Spot Price Mean Reversion Value.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Futures          
Natural Gas Future May 22   -3,785    -21.80%
Natural Gas Future Sep 22   3,785    21.80%
WTI Crude Future May 22   -3,178    -18.30%
WTI Crude Future Jul 22   3,160    18.20%
Brent Crude Future Aug 22   2,813    16.20%
Brent Crude Future Jul 22   -2,709    -15.60%
Corn Future May 22   -2,153    -12.40%
Soybean Future May 22   -2,101    -12.10%
WTI Crude Future Dec 22   2,049    11.80%
Lean Hogs Future Jun 22   -1,858    -10.70%
LME Copper Future May 22   -1,823    -10.50%
LME Copper Future Jul 22   1,823    10.50%
Brent Crude Future Dec 22   1,788    10.30%
Cattle Feeder Future Aug 22   1,754    10.10%
LME Pri Alum Future May 22   -1,580    -9.10%
LME Pri Alum Future Jul 22   1,580    9.10%
Corn Future Dec 22   1,424    8.20%
Gold 100 Oz Future Aug 22   -1,389    -8.00%
LME Nickel Future Jul 22   1,337    7.70%
Soybean Future Nov 22   1,337    7.70%
LME Nickel Future May 22   -1,320    -7.60%
Soybean Meal Future May 22   -1,250    -7.20%
Wheat Future(Cbt) May 22   -1,198    -6.90%
Low Su Gasoil G May 22   -1,181    -6.80%
Soybean Oil Future Aug 22   1,181    6.80%
Soybean Oil Future May 22   -1,163    -6.70%
LME Zinc Future May 22   -1,146    -6.60%
LME Zinc Future Jul 22   1,146    6.60%
Live Cattle Future Jun 22   -1,111    -6.40%
Low Su Gasoil G Jul 22   1,111    6.40%
Natural Gas Future Dec 22   -1,024    -5.90%
Sugar #11 (World) May 22   -938    -5.40%
Sugar #11 (World) Oct 22   938    5.40%
Gasoline Rbob Future May 22   -920    -5.30%
Gasoline Rbob Future Jul 22   903    5.20%
NY Harb ULSD Future May 22   -868    -5.00%
Coffee 'C' Future May 22   -833    -4.80%
Coffee 'C' Future Sep 22   833    4.80%
NY Harb ULSD Future Jul 22   833    4.80%
Soybean Meal Future Dec 22   781    4.50%
WTI Crude Future Jun 22   -747    -4.30%
Low Su Gasoil G Jun 22   729    4.20%
NY Harb ULSD Future Jun 22   729    4.20%
Low Su Gasoil G Dec 22   712    4.10%
Kc Hrw Wheat Future May 22   -695    -4.00%
Corn Future Jul 22   -608    -3.50%
Live Cattle Future Oct 22   608    3.50%
Soybean Meal Future Jul 22   590    3.40%
Soybean Oil Future Dec 22   590    3.40%
Soybean Future Jul 22   573    3.30%

 

See notes to unaudited consolidated schedule of investments.

 

18

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(j)A strategy that seeks to provide exposure to the spread between mortgages and treasury securities.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
iShares 3-7 Year Treasury Bond   104,154    100.00%
iShares MBS ETF   -104,154    -100.00%

 

(k)Seeks to provide directional exposure that is long undervalued names in the Russell 3000 as determined by the Wilshire Value model.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Common Stock               
Eastman Kodak Co   1,710    113    0.46%
Benefitfocus Inc   323    105    0.43%
Ebix Inc   163    105    0.43%
Fluent Inc   166    103    0.42%
StoneCo Ltd   4,507    98    0.41%
Cleanspark Inc   3,125    98    0.41%
Everbridge Inc   2,544    97    0.40%
Conduent Inc   7,272    97    0.40%
Paysafe Ltd   680    97    0.40%
TTM Technologies Inc   1,499    96    0.39%
Cerence Inc   882    95    0.39%
SolarWinds Corp   2,994    94    0.39%
Alpha & Omega Semiconductor Ltd   210    94    0.39%
Jabil Inc   8,156    93    0.38%
Kulicke & Soffa Industries Inc   5,052    92    0.38%
Vontier Corp   594    92    0.38%
NCR Corp   591    90    0.37%
Dropbox Inc   674    90    0.37%
Teradata Corp   2,972    90    0.37%
Progress Software Corp   731    89    0.37%
Dolby Laboratories Inc   5,877    89    0.37%
OneSpan Inc   1,788    89    0.37%
Rackspace Technology Inc   1,004    89    0.37%
ePlus Inc   3,373    89    0.37%
Xperi Holding Corp   831    88    0.36%
Casa Systems Inc   666    88    0.36%
Vishay Intertechnology Inc   1,419    87    0.36%
Cohu Inc   1,888    87    0.36%
Ichor Holdings Ltd   104    87    0.36%
Ribbon Communications Inc   3,919    87    0.36%
Diodes Inc   637    86    0.36%
Verint Systems Inc   461    86    0.36%
CommScope Holding Co Inc   6,010    85    0.35%
Upland Software Inc   784    85    0.35%
NetScout Systems Inc   1,712    85    0.35%
Amkor Technology Inc   2,489    85    0.35%
The Western Union Co   1,791    85    0.35%
DXC Technology Co   17,895    85    0.35%
Insight Enterprises Inc   1,381    85    0.35%
A10 Networks Inc   7,201    85    0.35%
CDK Global Inc   240    85    0.35%
Ultra Clean Holdings Inc   2,505    85    0.35%
Avnet Inc   862    85    0.35%
First Solar Inc   706    85    0.35%
ScanSource Inc   6,082    85    0.35%
Mitek Systems Inc   1,596    84    0.35%
Alliance Data Systems Corp   2,615    84    0.35%
PC Connection Inc   274    84    0.35%
MKS Instruments Inc   19,496    84    0.35%
StarTek Inc   6,486    84    0.35%

 

See notes to unaudited consolidated schedule of investments.

 

19

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(l)Seeks to provide directional exposure that is short the most expensive names in the Russell 3000 as determined by the Wilshire Value model.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Common Stock               
GreenBox POS   -505    -134    -0.51%
MongoDB Inc   -524    -130    -0.49%
Ouster Inc   -10,014    -120    -0.46%
Riot Blockchain Inc   -2,465    -116    -0.44%
Wix.com Ltd   -4,275    -115    -0.44%
Sabre Corp   -22,356    -111    -0.42%
Square Inc   -486    -111    -0.42%
Cloudflare Inc   -1,978    -107    -0.41%
Rekor Systems Inc   -22,847    -107    -0.40%
NVIDIA Corp   -20,600    -105    -0.40%
Globalstar Inc   -1,423    -104    -0.39%
Avid Technology Inc   -11,917    -103    -0.39%
Velodyne Lidar Inc   -6,656    -102    -0.39%
Domo Inc   -268    -102    -0.39%
Monolithic Power Systems Inc   -222    -102    -0.38%
Unity Software Inc   -13,930    -101    -0.38%
Wolfspeed Inc   -2,887    -101    -0.38%
Zscaler Inc   -132    -100    -0.38%
Arista Networks Inc   -3,212    -100    -0.38%
Aeva Technologies Inc   -11,310    -99    -0.38%
Splunk Inc   -3,183    -99    -0.37%
Snowflake Inc   -243    -99    -0.37%
Cognex Corp   -5,600    -98    -0.37%
Flywire Corp   -4,017    -98    -0.37%
Ambarella Inc   -6,200    -98    -0.37%
nLight Inc   -931    -98    -0.37%
Clearfield Inc   -3,267    -97    -0.37%
Ubiquiti Inc   -781    -96    -0.36%
Switch Inc   -190    -95    -0.36%
Thoughtworks Holding Inc   -708    -95    -0.36%
Enphase Energy Inc   -353    -95    -0.36%
Mastercard Inc   -5,546    -94    -0.36%
Shenandoah Telecommunications Co   -715    -93    -0.35%
Appian Corp   -2,502    -93    -0.35%
Lattice Semiconductor Corp   -720    -93    -0.35%
Trimble Inc   -14,790    -92    -0.35%
Itron Inc   -121    -92    -0.35%
TechTarget Inc   -1,137    -92    -0.35%
Marvell Technology Group Ltd   -679    -92    -0.35%
Digimarc Corp   -16,865    -92    -0.35%
Apple Inc   -556    -91    -0.35%
Allegro MicroSystems Inc   -1,528    -91    -0.35%
Akoustis Technologies Inc   -412    -91    -0.34%
Entegris Inc   -644    -90    -0.34%
Novanta Inc   -175    -90    -0.34%
Identiv Inc   -503    -89    -0.34%
BigCommerce Holdings Inc   -3,844    -89    -0.34%
Impinj Inc   -1,854    -89    -0.34%
Coherent Inc   -1,263    -89    -0.34%
PAR Technology Corp   -1,432    -89    -0.34%

 

See notes to unaudited consolidated schedule of investments.

 

20

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(m)Seeks exposure in a stock market index of the 2,000 smallest market cap stocks in the Russell 3000 Index, which seeks to be a benchmark of the entire US stock market.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
Russell 2000 Total Return Index   10,274    100.00%

 

(n)Seeks exposure in a stock market index of the 1,000 largest market cap stocks in the Russell 3000 Index, which seeks to be a benchmark of the entire US stock market.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
Russell 1000 Total Return Index   10,001    100.00%

 

(o)Defensive S&P 500 vs. Top 50 dispersion strategy, combining a short position in index volatility with a long position in single stock volatility.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Options               
SPDR S&P 500 ETF Put        -45,653    -408.55%
SPDR S&P 500 ETF Call        -19,727    -176.54%
Apple Inc Put        5,672    50.76%
Microsoft Corp Put        4,919    44.02%
Apple Inc Call        3,352    30.00%
Microsoft Corp Call        3,085    27.61%
Amazon.com Inc Put        2,724    24.37%
Amazon.com Inc Call        2,077    18.58%
Alphabet Inc-A Put        1,676    15.00%
Alphabet Inc-C Put        1,537    13.76%
Berkshire Hathaway Inc-Cl B Put        1,365    12.21%
Tesla Inc Put        1,290    11.54%
Alphabet Inc-A Call        1,186    10.62%
Tesla Inc Call        1,186    10.61%
NVIDIA Corp Put        1,118    10.01%
Alphabet Inc-C Call        1,111    9.95%
NVIDIA Corp Call        1,045    9.36%
United Health Grp Put        994    8.89%
Johnson & Johnson Put        915    8.19%
Meta Platforms-A Put        912    8.16%
JPMorgan Chase Put        884    7.91%
Procter & Gamble Put        884    7.91%
Berkshire Hathaway Inc-Cl B Call        837    7.49%
Meta Platforms-A Call        804    7.19%
Visa Inc-Class A Put        753    6.74%
Home Depot Inc Put        717    6.42%
Exxon Mobil Corp Put        694    6.21%
Bank Of America Put        692    6.20%
United Health Grp Call        655    5.86%
Johnson & Johnson Call        631    5.65%
JPMorgan Chase Call        608    5.44%
Abbvie Inc Put        561    5.02%
Pfizer Inc Put        559    5.01%
Comcast Corp-A Put        554    4.96%
Visa Inc-Class A Call        552    4.94%
The Walt Disney Co Put        551    4.93%
Pepsico Inc Put        548    4.91%
Chevron Corp Put        527    4.72%
Exxon Mobil Corp Call        516    4.62%
Chevron Corp Call        512    4.58%
The Coca-Cola Co Put        505    4.52%
Costco Wholesale Put        498    4.46%
Broadcom Inc Put        489    4.38%
Home Depot Inc Call        480    4.30%
Pfizer Inc Call        461    4.12%
Common Stock               
SPDR S&P 500 ETF   13,003    5,873    52.55%
Apple Inc   -6,985    -1,220    -10.92%
Microsoft Corp   -2,764    -852    -7.62%
Tesla Inc   -701    -755    -6.76%
Amazon.com Inc   -153    -497    -4.45%

 

See notes to unaudited consolidated schedule of investments.

 

21

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(p)Attempts to generate income by selling dislocated single stock calls while offsetting the market risk with a long S&P call.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Options          
SPX European Call Option   15,788    136.57%
AAPL American Call Option   -1,159    -10.03%
PEP American Call Option   -986    -8.53%
AMZN American Call Option   -919    -7.95%
MSFT American Call Option   -850    -7.36%
PFE American Call Option   -760    -6.58%
ACN American Call Option   -751    -6.49%
NOW American Call Option   -679    -5.87%
NKE American Call Option   -671    -5.81%
NVDA American Call Option   -668    -5.78%
ADBE American Call Option   -597    -5.17%
LMT American Call Option   -592    -5.12%
MU American Call Option   -558    -4.83%
LIN American Call Option   -525    -4.54%
CVX American Call Option   -524    -4.53%
ORCL American Call Option   -490    -4.24%
PG American Call Option   -483    -4.18%
FB American Call Option   -467    -4.04%
CHTR American Call Option   -444    -3.84%
BKNG American Call Option   -436    -3.77%
QCOM American Call Option   -408    -3.53%
PYPL American Call Option   -407    -3.52%
C American Call Option   -366    -3.17%
CRM American Call Option   -342    -2.96%
JPM American Call Option   -326    -2.82%
LOW American Call Option   -310    -2.68%
ISRG American Call Option   -307    -2.66%
GOOG American Call Option   -303    -2.62%
CB American Call Option   -297    -2.57%
NFLX American Call Option   -294    -2.54%
HD American Call Option   -291    -2.51%
NEE American Call Option   -277    -2.40%
PM American Call Option   -276    -2.39%
SBUX American Call Option   -261    -2.26%
CSCO American Call Option   -260    -2.25%
AMD American Call Option   -256    -2.22%
MMC American Call Option   -254    -2.19%
GOOGL American Call Option   -245    -2.12%
MA American Call Option   -240    -2.08%
AMT American Call Option   -225    -1.95%
COST American Call Option   -219    -1.90%
INTU American Call Option   -219    -1.89%
KO American Call Option   -216    -1.87%
MS American Call Option   -211    -1.82%
DIS American Call Option   -210    -1.82%
AMAT American Call Option   -202    -1.75%
ADI American Call Option   -198    -1.71%
BRK American Call Option   -193    -1.67%
AVGO American Call Option   -192    -1.66%
Currency          
United States Dollar   290    2.51%

 

See notes to unaudited consolidated schedule of investments.

 

22

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(q)Aims to take advantage of the convergence in the performance of bonds with higher vs. lower real yields across G8 government bonds.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Futures          
Long Gilt Future Jun22   -11,356    -63.82%
Jpn 10Y Bond (OSE) Jun22   -7,021    -39.46%
US 10Yr Note (CBT) Jun22   -6,592    -37.05%
Euro-Bund Future Jun22   -3,356    -18.86%
Aust 10Y Bond Future Jun22   2,920    16.41%
Can 10Yr Bond Future Jun22   1,172    6.59%
Euro-BTP Future Jun22   1,139    6.40%
Euro-OAT Future Jun22   761    4.28%

 

(r)Market neutral strategy that seeks to provide exposure to Low Volatility risk premium.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Common Stock               
Orpea SA   12,970    -78    -0.56%
EPAM Systems Inc   6,287    -78    -0.55%
Sonova Holding AG   4,764    -77    -0.55%
GN Store Nord A/S   1,677    -76    -0.55%
MongoDB Inc   4,065    -76    -0.55%
Okta Inc   1,687    76    0.55%
Ocado Group PLC   2,353    -76    -0.54%
Delivery Hero SE   4,204    -76    -0.54%
Assicurazioni Generali SpA   1,992    75    0.54%
DocuSign Inc   605    -74    -0.53%
DexCom Inc   1,166    -74    -0.53%
Twilio Inc   442    74    0.53%
Sands China Ltd   6,101    -74    -0.53%
Vestas Wind Systems A/S   17,862    -74    -0.53%
Paychex Inc   4,244    74    0.53%
The Trade Desk Inc   579    -74    -0.53%
Insulet Corp   2,475    -74    -0.53%
Nuvei Corp   513    -74    -0.53%
Asana Inc   84    -74    -0.53%
Sartorius Stedim Biotech   79    -73    -0.53%
Uber Technologies Inc   432    -73    -0.52%
Liberty Media Corp-Liberty Formula One   46    73    0.52%
Bachem Holding AG   213    -73    -0.52%
Universal Music Group NV   134    -73    -0.52%
Constellation Energy Corp   421    -73    -0.52%
Intuit Inc   5,251    73    0.52%
Domino's Pizza Enterprises Ltd   402    -73    -0.52%
Severn Trent PLC   378    73    0.52%
NN Group NV   415    73    0.52%
Delta Air Lines Inc   591    -73    -0.52%
Synopsys Inc   1,747    73    0.52%
Booking Holdings Inc   0    73    0.52%
Invesco Ltd   0    -73    -0.52%
Splunk Inc   522    -73    -0.52%
Enphase Energy Inc   14    -73    -0.52%
Motorola Solutions Inc   225    73    0.52%
Cie Generale des Etablissements Michelin   283    73    0.52%
Starbucks Corp   921    73    0.52%
Square Inc   589    72    0.52%
Arthur J Gallagher & Co   173    72    0.52%
National Grid PLC   723    72    0.52%
Walmart Inc   648    72    0.52%
NRG Energy Inc   34    -72    -0.52%
Tyler Technologies Inc   400    72    0.52%
Waste Connections Inc   25    72    0.52%
Bill.com Holdings Inc   603    -72    -0.52%
Siemens Gamesa Renewable Energy SA   123    -72    -0.52%
Avalara Inc   1,179    72    0.52%
Cognex Corp   31    -72    -0.52%
Tyson Foods Inc   66    -72    -0.52%

 

See notes to unaudited consolidated schedule of investments.

 

23

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(s)Seeks to monetize the tendency for the equity market to mean revert over short periods of time.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
S&P 500 Total Return 4 Jan 1988 Index   0    0.00%

 

(t)Uses factor-based stock selection to provide short exposure to the equity of natural resource, real estate, equipment and industrial, and infrastructure companies.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Common Stock               
Southwestern Energy Co   -2,857    -327    -2.49%
EQT Corp   -16,273    -305    -2.32%
American Airlines Group Inc   -7,055    -297    -2.26%
American Tower Corp   -1,156    -290    -2.21%
Delta Air Lines Inc   -1,722    -289    -2.20%
SBA Communications Corp   -11,112    -288    -2.19%
American Water Works Co Inc   -6,779    -285    -2.17%
Equinix Inc   -1,440    -284    -2.16%
Park Hotels & Resorts Inc   -1,738    -284    -2.16%
Southwest Airlines Co   -4,689    -284    -2.16%
American Homes 4 Rent   -2,499    -282    -2.15%
Host Hotels & Resorts Inc   -6,404    -282    -2.15%
JetBlue Airways Corp   -7,304    -281    -2.14%
Prologis Inc   -383    -281    -2.14%
Uber Technologies Inc   -8,862    -280    -2.13%
Sun Communities Inc   -2,884    -277    -2.11%
The Boeing Co   -839    -276    -2.10%
NextEra Energy Inc   -1,459    -276    -2.10%
PG&E Corp   -1,753    -274    -2.09%
Axalta Coating Systems Ltd   -14,534    -273    -2.08%
Martin Marietta Materials Inc   -3,696    -273    -2.08%
Plug Power Inc   -18,801    -273    -2.08%
Berry Global Group Inc   -1,922    -272    -2.07%
The Sherwin-Williams Co   -6,195    -272    -2.07%
Sensata Technologies Holding PLC   -6,974    -270    -2.06%
HEICO Corp   -1,609    -269    -2.05%
United Rentals Inc   -710    -269    -2.05%
Lyft Inc   -3,968    -268    -2.04%
Sunstone Hotel Investors Inc   -3,255    -268    -2.04%
Cheniere Energy Inc   -7,640    -266    -2.03%
Occidental Petroleum Corp   -4,697    -266    -2.03%
General Electric Co   -22,986    -264    -2.01%
The Middleby Corp   -7,149    -264    -2.01%
The Mosaic Co   -14,528    -264    -2.01%
TransDigm Group Inc   -1,741    -263    -2.00%
XPO Logistics Inc   -9,546    -260    -1.98%
Alcoa Corp   -2,400    -257    -1.95%
Sunrun Inc   -8,426    -256    -1.94%
Trex Co Inc   -979    -253    -1.92%
Chart Industries Inc   -836    -251    -1.90%
Generac Holdings Inc   -22,735    -249    -1.89%
Saia Inc   -1,089    -239    -1.81%
Crown Holdings Inc   -5,319    -217    -1.65%
CenterPoint Energy Inc   -1,581    -196    -1.49%
Rexford Industrial Realty Inc   -4,610    -179    -1.36%
Pebblebrook Hotel Trust   -45,674    -175    -1.33%
Colfax Corp   -403    -171    -1.30%
The AZEK Co Inc   -3,876    -168    -1.28%
National Oilwell Varco Inc   -1,711    -150    -1.14%
Invitation Homes Inc   -7,841    -148    -1.13%

 

See notes to unaudited consolidated schedule of investments.

 

24

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(u)Uses factor-based stock selection to provide long exposure to the equity of natural resource, real estate, equipment and industrial, and infrastructure companies.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Common Stock               
Gaming and Leisure Properties Inc   4,325    450    2.29%
Iron Mountain Inc   1,791    450    2.29%
Pinnacle West Capital Corp   30,568    450    2.29%
Edison International   37,830    446    2.27%
PPL Corp   1,514    444    2.26%
Omega Healthcare Investors Inc   11,263    442    2.25%
Fastenal Co   806    440    2.24%
Kinder Morgan Inc   13,303    440    2.24%
Medical Properties Trust Inc   3,998    440    2.24%
International Paper Co   2,032    435    2.21%
Packaging Corp of America   6,144    435    2.21%
CH Robinson Worldwide Inc   16,590    431    2.19%
Hubbell Inc   6,634    431    2.19%
Amcor PLC   6,367    429    2.18%
SL Green Realty Corp   25,468    429    2.18%
Stanley Black & Decker Inc   49,852    429    2.18%
WP Carey Inc   7,414    429    2.18%
General Dynamics Corp   3,505    427    2.17%
3M Co   1,769    425    2.16%
OGE Energy Corp   9,594    425    2.16%
United Parcel Service Inc   2,090    425    2.16%
Vornado Realty Trust   1,753    425    2.16%
Weyerhaeuser Co   2,343    425    2.16%
Dow Inc   9,415    423    2.15%
Illinois Tool Works Inc   8,126    423    2.15%
Equitrans Midstream Corp   2,019    421    2.14%
PACCAR Inc   23,290    421    2.14%
The Chemours Co   1,654    419    2.13%
Lockheed Martin Corp   949    419    2.13%
Cummins Inc   3,977    417    2.12%
Huntington Ingalls Industries   1,800    417    2.12%
Harris Corp   945    411    2.09%
LyondellBasell Industries NV   5,842    409    2.08%
South Jersey Industries Inc   2,853    407    2.07%
Atlas Air Worldwide Holdings Inc   20,833    374    1.90%
Welbilt Inc   3,184    364    1.85%
Antero Midstream GP LP   10,414    332    1.69%
Spirit Realty Capital Inc   14,197    303    1.54%
Plains GP Holdings LP   25,875    299    1.52%
Herc Holdings Inc   4,777    293    1.49%
Physicians Realty Trust   2,783    291    1.48%
Sabra Health Care REIT Inc   5,765    275    1.40%
MSC Industrial Direct Co Inc   15,558    271    1.38%
AGCO Corp   18,486    261    1.33%
EnLink Midstream LLC   11,780    246    1.25%
MGM Growth Properties LLC   7,549    226    1.15%
Avis Budget Group Inc   5,280    212    1.08%
Uniti Group Inc   6,579    189    0.96%
ManpowerGroup Inc   5,785    169    0.86%
STORE Capital Corp   3,066    169    0.86%

 

See notes to unaudited consolidated schedule of investments.

 

25

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(v)An intra-day equity trading strategy that adjusts its exposure based on changes in the level of realized market volatility.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Futures          
S&P 500 E-mini Future Jun22   0    0.00%

 

(w)Seeks to monetize the tendency for the equity market to mean revert over short periods of time.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Futures          
S&P 500 E-mini Future Jun22   0    0.00%

 

(x)Currency selection strategy using mean reversion signals.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Currency          
Japanese Yen   7,624    41.48%
Australian Dollar   -3,469    -18.87%
Swedish Krona   -3,293    -17.91%
British Pound   2,607    14.18%
New Zealand Dollar   -2,332    -12.68%
Canadian Dollar   -1,678    -9.13%
Norwegian Krone   -1,289    -7.01%
Euro   657    3.57%
Swiss Franc   -151    -0.82%

 

See notes to unaudited consolidated schedule of investments.

 

26

 

 

FS Multi-Strategy Alternatives Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(y)Seeks to monetize the tendency for the equity market to mean revert over short periods of time.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
S&P 500 Index   -4,521    -24.60%

 

(z)Systematic strategy that takes advantage of the volatility curve to generate positive carry.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Derivatives          
1y Forward 5y20y Straddle   14,183    77.16%
1y Forward 10y20y Straddle   2,920    15.89%
1y Forward 1y7y Straddle   1,669    9.08%
1y Forward 3y7y Straddle   1,669    9.08%
1y Forward 1y3y Straddle   834    4.54%
1y Forward 3y3y Straddle   417    2.27%

 

(aa)Systematic strategy seeks to monetize the implied-to-realized volatility risk premium by selling short-dated OTM puts.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Options          
SPXW US 04/01/22 P4455 Index   2,142    11.65%
SPXW US 04/04/22 P4400 Index   1,071    5.83%
SPXW US 04/01/22 P4430 Index   1,064    5.79%
SPXW US 04/01/22 P4245 Index   723    3.93%
SPXW US 04/06/22 P4315 Index   714    3.88%
SPXW US 04/04/22 P4385 Index   709    3.86%

 

AUD   - Australian Dollar
BRL   - Brazilian Real
CAD   - Canadian Dollar
CHF   - Swiss Franc
CLP   - Chilean Peso
CNH   - Chinese Yuan
COP   - Colombian Peso
EUR   - Euro
GBP   - British Pound
HUF   - Hungarian Forint
INR   - India Rupee
JPY   - Japanese Yen
KRW - South Korean Won
LIBOR   - London Interbank Offered Rate
MXN   - Mexican Peso
NOK   - Norwegian Krone
NZD   - New Zealand Dollar
PLN   - Polish Zloty
SEK   - Swedish Krona
SGD   - Singapore Dollar
SOFR - Secured Overnight Financing Rate
TRY   - Turkish Lira
TWD   - Taiwan Dollar
USD   - U.S. Dollar
ZAR   - South African Rand

 

See notes to unaudited consolidated schedule of investments.

 

27

 

 

FS Managed Futures Fund

Unaudited Consolidated Schedule of Investments

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

  Cost   Fair Value(b) 
TOTAL INVESTMENTS—0.0%  $   $
Other Assets in Excess of Liabilities—100.0%       2,225
Net Assets — 100.0%       $2,225 

 

 

Total Return Index Swaps(a)—2.4%    
Counterparty  Fund Pays  Fund Receives  Notional
Amount
   Expiration
Date
  Periodic
Payment
Frequency
  Premium
Paid
(Received)
   Fair
Value(b)
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Bank of America, N.A.  12 Month SOFR + 0.55%  Total return on iShares S&P GSCI Commodity-Indexed Trust  USD 258   4/18/23  N/A  $   $(1)  $   $1 
Deutsche Bank AG  0.00%  Total return on Deutsche Bank Diversified Rates Strategy Index 008(c)  USD 444   7/7/22  N/A       12    12     
Goldman Sachs International  Fixed Rate of 0.15%  Total return on Goldman Sachs Cross Asset Trend Basket Series 11 Excess Return Strategy Index(d)  USD1,056   3/6/23  N/A       42    42     
JP Morgan Chase Bank, N.A.  Fixed Rate of 0.20%  Total return on JPM Bi-Weekly 1 Month Variance US Conviction Mean Reversion Index(e)  USD 482   3/6/23  N/A       4    4     
JPMorgan Chase Bank, N.A.  Fixed Rate of 0.04%  Total return on JPM Momentum Factor Index(f)  USD 450   4/24/23  N/A       1    1     
Macquarie Bank, Ltd.  Fixed Rate of 0.25%  Total return on Macquarie US Equity Overnight Mean Reversion Index(g)  USD 203   3/9/23  N/A       (2)       2 
Nomura Securities Co., Ltd.  Fixed Rate of 0.15%  Total return on Nomura G10 All Currencies Mean Reversion 25x w/ no Vol Adjustment Index(h)  USD 300   3/4/23  N/A       (2)       2 
Total Total Return Index Swaps               $   $54   $59   $5 

 

 

(a) The Fund pays or receives periodic payments in accordance with the total return swap contracts depending on the performance of the reference index. On reset dates and on the expiration date of the swap contracts, the Fund will either receive from or pay to the counterparty an amount equal to the net of (i) the accrued financing fees and (ii) the percentage change in price of the reference index times the notional amount, and (iii) if applicable any dividends received into the basket since the previous reset date. Valuations may be inclusive of interest and/or dividends receivable/payable and, as a result, the notional amounts presented may not recalculate directly with the fair value presented.
   
(b) Fair value as of March 31, 2022 is determined by the board of trustees of FS Series Trust (the “Trust’’).

 

See notes to unaudited consolidated schedule of investments.

 

28

 

 

FS Managed Futures Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(c)Seeks to monetize short-term interest rate momentum by taking long or short positions in US and European rates markets.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
Deutsche Bank Duration Bias EU   -174    -38.16%
Deutsche Bank Duration Bias US   -98    -21.57%

 

(d)Future and forward based liquid and fully transparent strategy that is composed of Goldman Sachs' proprietary strategies across three asset classes - FX Trend, Rates & Bonds Trend, and Equity Trend.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Futures           
SWISS MKT IX Futures Jun22   -368    -33.51%
S&P 500 E-mini Futures Jun22   -316    -28.80%
AMSTERDAM IDX Futures Apr22   -315    -28.69%
HSCEI Futures Apr22   -308    -28.07%
CAC40 10 Euro Futures Apr22   -306    -27.85%
Euro-BUND Futures Jun22   306    27.82%
MSCI EmgMkt Jun22   -303    -27.63%
OMXS30 IND Futures Apr22   -260    -23.63%
Euro STOXX 50 Jun22   -259    -23.60%
TOPIX INDX Futures Jun22   -252    -22.93%
FTSE 100 IDX Futures Jun22   -201    -18.33%
LONG GILT Futures Jun22   -194    -17.70%
E-Mini Russ 2000 Jun22   -119    -10.88%
FTSE/JSE TOP 40 Jun22   -107    -9.73%
DAX INDEX Futures Jun22   -91    -8.30%
SET50 Futures Jun22   78    7.12%
HANG SENG IDX Futures Apr22   -76    -6.94%
KOSPI2 INX Futures Jun22   69    6.33%
SPI 200 Futures Apr22   -63    -5.69%
FTSE/MIB IDX Futures Jun22   -57    -5.20%
US LONG BOND(CBT) Jun22   -52    -4.74%
IBEX 35 INDX Futures Apr22   -50    -4.52%
Euro-BOBL Futures Jun22   31    2.85%
JPN 10Y BOND(OSE) Jun22   26    2.40%
3 MONTH SOFR Futures Jun23   -26    -2.33%
3 MONTH SOFR Futures Sep22   25    2.24%
ICE 3MTH SONIA Futures Dec22   -21    -1.89%
US 2YR NOTE (CBT) Jun22   -20    -1.78%
3MO Euro EURIBOR Sep22   20    1.78%
ICE 3MTH SONIA Futures Jun23   -18    -1.67%
Currency           
Indian Rupee   361    32.87%
Canadian Dollar   -301    -27.36%
Swiss Franc   -253    -23.03%
US Dollar   -222    -20.25%
Norwegian Krone   -222    -20.25%
Japanese Yen   -216    -19.70%
Australian Dollar   -215    -19.60%
Hungarian Forint   -87    -7.91%
South African Rand   87    7.91%
Euro   -65    -5.88%
Polish Zloty   -63    -5.69%
Chilean Peso   -61    -5.54%
Swedish Krona   61    5.54%
Czech Koruna   -52    -4.74%
Indonesian Rupiah   42    3.85%
Philippines Peso   41    3.69%
British Pound   -30    -2.78%
Israeli Shekel   30    2.73%
Mexican Peso   27    2.42%
Singapore Dollar   -20    -1.86%

 

See notes to unaudited consolidated schedule of investments.

 

29

 

 

FS Managed Futures Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(e)Seeks to monetize the tendency for the equity market to mean revert over short periods of time.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
S&P 500 Total Return 4 Jan 1988 Index   0    0.00%

 

(f)Market neutral strategy that seeks to provide exposure to Momentum risk premium.

 

Top Underlying Components  Shares   Notional   Percentage of
Notional
 
Index                
AMC Entertainment Holdings Inc   111    3    0.61%
Neste Oyj   -58    -3    -0.58%
10X Genomics Inc   -33    -3    -0.56%
Sonova Holding AG   6    2    0.55%
MongoDB Inc   6    2    0.55%
Robinhood Markets Inc   182    2    0.55%
Rivian Automotive Inc   49    2    0.54%
The Goldman Sachs Group Inc   -159    -2    -0.54%
GN Store Nord A/S   -49    -2    -0.54%
DraftKings Inc   -124    -2    -0.54%
Hermes International   2    2    0.53%
DocuSign Inc   -22    -2    -0.53%
CapgE-mini SE   11    2    0.53%
Getinge AB-B Shares   59    2    0.53%
Twilio Inc   -15    -2    -0.53%
DexCom Inc   5    2    0.53%
Prudential PLC   -161    -2    -0.53%
Paychex Inc   18    2    0.53%
AES Corp   -93    -2    -0.53%
The Carlyle Group Inc   49    2    0.53%
Enel SpA   -353    -2    -0.53%
Unity Software Inc   24    2    0.53%
Standard Life Aberdeen PLC   -840    -2    -0.53%
Splunk Inc   -34    -2    -0.53%
Liberty Media Corp-Liberty Formula One   34    2    0.52%
Uber Technologies Inc   -66    -2    -0.52%
FactSet Research Systems Inc   5    2    0.52%
Edwards Lifesciences Corp   20    2    0.52%
Intuit Inc   5    2    0.52%
Schibsted ASA   -7    -2    -0.52%
Exelon Corp   50    2    0.52%
Valero Energy Corp   -23    -2    -0.52%
Synopsys Inc   7    2    0.52%
Invesco Ltd   -102    -2    -0.52%
Hormel Foods Corp   -16    -2    -0.52%
Motorola Solutions Inc   10    2    0.52%
Cie Financiere Richemont SA   18    2    0.52%
Safran SA   -20    -2    -0.52%
Enphase Energy Inc   12    2    0.52%
Arthur J Gallagher & Co   13    2    0.52%
IPG Photonics Corp   -76    -2    -0.52%
Moderna Inc   14    2    0.52%
PPL Corp   -82    -2    -0.52%
Costco Wholesale Corp   4    2    0.52%
Renault SA   -88    -2    -0.52%
SoftBank Group Corp   -51    -2    -0.52%
LendLease Group   -277    -2    -0.52%
Temenos AG   -131    -2    -0.52%
Southwest Airlines Co   -51    -2    -0.52%
Bill.com Holdings Inc   10    2    0.52%

 

See notes to unaudited consolidated schedule of investments.

 

30

 

 

FS Managed Futures Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(g)Seeks to monetize the tendency for the equity market to mean revert over short periods of time.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Index          
S&P 500 E-mini Future Jun22   0    0.00%

 

(h)Currency selection strategy using mean reversion signals.

 

Top Underlying Components  Notional   Percentage of
Notional
 
Currency          
Japanese Yen   124    41.48%
Australian Dollar   -56    -18.87%
Swedish Krona   -53    -17.91%
British Pound   42    14.18%
New Zealand Dollar   -38    -12.68%
Canadian Dollar   -27    -9.13%
Norwegian Krone   -21    -7.01%
Euro   11    3.57%
Swiss Franc   -2    -0.82%

 

See notes to unaudited consolidated schedule of investments.

 

31

 

  

FS Chiron Real Asset Fund

Unaudited Consolidated Schedule of Investments

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
Convertible Bonds—1.9%                     
Palo Alto Networks, Inc., 0.8%, 7/1/23     Internet  $29   $67   $68 
SGX Treasury I Pte Ltd., 0.0%, 3/1/24  (d)  Investment Companies  200    235    225 
Singapore Airlines Ltd., 1.6%, 12/3/25     Airlines  S$250    206    204 
Total Convertible Bonds              508    497 

 

Portfolio Company(a)  Footnotes  Industry  Number of
Shares
   Cost(b)   Fair
Value(c)
 
Common Stocks—58.0%                     
AGCO Corp.     Machinery-Diversified   2,306   $325   $337 
Albemarle Corp.     Chemicals   596    137    132 
America Movil SAB de CV     Telecommunications   19,591    387    414 
Archer-Daniels-Midland Co.     Agriculture   5,400    455    487 
ASML Holding N.V.     Semiconductors   401    274    268 
Assicurazioni Generali SpA     Insurance   19,231    375    442 
Atlassian Corp. Plc  (e)  Software   241    68    71 
Bunge Ltd.     Agriculture   1,227    137    136 
Capitaland Investment Ltd.  (e)  Private Equity   138,800    392    409 
Carrefour SA     Food   18,882    381    410 
Cemex SAB de CV  (e)  Building Materials   50,123    268    265 
CF Industries Holdings, Inc.     Chemicals   1,303    137    135 
Cia de Saneamento Basico do Estado de Sao Paulo     Water   11,197    110    110 
Ciena Corp.  (e)  Telecommunications   4,536    274    275 
CNH Industrial N.V.     Machinery-Diversified   17,267    260    274 
Cognizant Technology Solutions Corp.     Computers   3,954    348    355 
Deere & Co.     Machinery-Diversified   815    319    339 
Enbridge, Inc.     Pipelines   9,581    425    442 
Engie SA     Electric   20,585    270    272 
Equinor ASA     Oil & Gas   9,006    343    338 
F5, Inc.  (e)  Internet   688    138    144 
Ferrari N.V.     Auto Manufacturers   641    136    140 
Freeport-McMoRan, Inc.     Mining   7,115    356    354 
Glencore Plc  (e)  Mining   73,220    488    481 
Gold Fields Ltd.     Mining   4,373    69    68 
Grupo Televisa SAB     Media Entertainment   11,910    138    139 
IHI Corp.     Aerospace/Defense   14,200    343    344 
Intercontinental Exchange, Inc.     Diversified Financial Services   506    68    67 
Jabil, Inc.     Electronics   2,425    140    150 
Juniper Networks, Inc.     Telecommunications   7,889    267    293 
Koninklijke KPN N.V.     Telecommunications   97,823    334    340 
Leonardo SpA  (e)  Aerospace/Defense   13,635    140    136 
Manhattan Associates, Inc.  (e)  Software   489    65    68 
Mastercard, Inc.     Diversified Financial Services   395    137    141 
Mitsubishi UFJ Financial Group, Inc.     Banks   51,400    337    321 
Mosaic Co.     Chemicals   4,041    272    269 
MSCI, Inc.     Software   138    70    69 
Neste OYJ     Oil & Gas   7,514    323    345 
Nexstar Media Group, Inc.     Media Entertainment   955    172    180 
Nintendo Co. Ltd.     Toys/Games/Hobbies   500    261    253 

 

See notes to unaudited consolidated schedule of investments.

 

32

 

 

FS Chiron Real Asset Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Portfolio Company(a)  Footnotes  Industry  Number of
Shares
   Cost(b)   Fair
Value(c)
 
Nutrien Ltd.     Chemicals   657   $69   $68 
NVIDIA Corp.     Semiconductors   976    272    266 
Occidental Petroleum Corp.     Oil & Gas   4,664    274    265 
Phillips 66     Oil & Gas   1         
Plug Power, Inc.  (e)  Energy-Alternate Sources   2,324    68    66 
POSCO     Iron/Steel   4,579    279    271 
RWE AG     Electric   3,120    137    136 
Saab AB     Aerospace/Defense   3,752    137    136 
Schlumberger N.V.     Oil & Gas Services   8,232    350    340 
Singapore Exchange Ltd.     Diversified Financial Services   59,600    423    438 
Taiwan Semiconductor Manufacturing Co. Ltd.     Semiconductors   1,274    137    133 
Teck Resources Ltd.     Mining   6,678    273    270 
Telefonica Brasil SA     Telecommunications   24,593    241    277 
Tenaris SA     Metal Fabricate/Hardware   11,515    338    346 
Toronto-Dominion Bank     Commercial Banks   3,408    263    271 
Union Pacific Corp.     Transportation   1,630    422    445 
Vale SA     Iron/Steel   18,316    352    366 
Valero Energy Corp.     Oil & Gas   4,011    391    407 
Vallourec SA  (e)  Metal Fabricate/Hardware   27,494    321    355 
Waste Management, Inc.     Environmental Control   426    69    7 
Wilmar International Ltd.     Food   114,400    391    397 
Total Common Stocks              15,146    15,473 
Convertible Preferred Stocks—1.0%
Broadcom, Inc., 8%, 09/30/2022     Semiconductors   140    277    275 
Total Convertible Preferred Stocks              277    275 
Preferred Stocks—1.1%
Porsche Automobil Holding SE     Auto Manufacturers   2,972    271    289 
Total Preferred Stocks              271    289 

 

Portfolio Company(a)  Footnotes  Industry  Principal
Amount(b)
   Amortized
Cost
   Fair
Value(c)
 
U.S. Treasury & Government Agencies—6.8%                     
Deutsche Bundesrepublik Inflation Linked Bond, 0.5%, 4/15/2030     Sovereign  200,210   $286   $274 
Italy Buoni Poliennali Del Tesoro, 3.1%, 9/15/2026  (f)  Sovereign   656,062    917    896 
United Kingdom Inflation-Linked Gilt, 0.125%, 8/10/2031     Sovereign  £378,725    695    652 
Total U.S. Treasury & Government Agencies              1,898    1,822 

 

Portfolio Company(a)  Footnotes  Yield  Number of Shares   Cost   Fair
Value(c)
 
Short-Term Investments—0.0%                      
State Street Institutional Liquid Reserves Fund - Premier Class  (g)   0.31%   4,012   $4   $4 
Total Short-Term Investments               4    4 
TOTAL INVESTMENTS—68.8%              $18,104    18,360 
Other Assets in Excess of Liabilities—31.2%                    8,322 
Net Assets—100.0%                   $26,682 

 

See notes to unaudited consolidated schedule of investments.

 

33

 

 

FS Chiron Real Asset Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

Description  Number of
Contracts
  Position  Expiration
Date
  Notional
Amount
   Unrealized
Appreciation
   Unrealized
Depreciation
 
                      
Long Futures—0.0%
Commodity Futures Contracts—0.0%
Corn  12  Long  12/14/22   395   $15   $           — 
Copper  2  Long  7/27/22   237                —     
Gold  3  Long  6/28/22   580    6     
Soybean  6  Long  11/14/22   440        13 
Silver  4  Long  5/26/22   507        4 
Total Commodity Futures Contracts                $21   $17 
Total Long Futures                $21   $17 

 

Total Return Index Swaps(h)—(0.3)%

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration
Date
  Periodic
Payment
Frequency
  Premium
Paid
(Received)
   Fair
Value(b)
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Macquarie Bank, Ltd.  Fixed Rate of 0.25%  Total Return on Bloomberg Commodity Index  USD4,054  10/10/22  Quarterly  $       —   $(66)  $         —   $66 
Total Total Return Index Swaps            $   $(66)  $   $66 

 

Total Return Single Name Equity Swaps(h)— 0.2%

 

Counterparty  Fund Pays  Fund Receives  Notional
Amount
  Expiration
Date
  Periodic
Payment
Frequency
  Premium
Paid
(Received)
   Fair
Value(b)
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Goldman Sachs International  12 Month SOFR + 0.85%  Total Return on Abu Dhabi Commercial Bank P.J.S.C.  USD 203  11/3/25  Quarterly  $        $(4)  $            $4 
Goldman Sachs International  Federal Funds Rate + 1.15%  Total Return on Samsung Engineering Co., Ltd.  USD 269  1/22/24  N/A       (6)       6 
Goldman Sachs International  12 Month SOFR + 0.85%  Total Return on Emaar Properties P.J.S.C.  USD 335  3/20/25  Quarterly       41    41     
Goldman Sachs International  12 Month SOFR + 0.75%  Total Return on Saudi Basic industries Corporation (SABIC)  USD 271  3/25/25  Quarterly       4    4     
Goldman Sachs International  12 Month SOFR + 0.85%  Total Return on Emirates NBD P.J.S.C.  USD 276  3/20/25  Quarterly       9    9     
Morgan Stanley & Co. International PLC  Federal Funds Rate + 1.15%  Total Return on SK hynix Inc.  USD 139  3/22/24  N/A       (5)       5 
Total Total Return Single Name Equity Swaps           $   $39   $54   $15 

 

 

(a) Security may be an obligation of one or more entities affiliated with the named company.
   
(b) Denominated in U.S. dollars unless otherwise noted.
   
(c) Fair value as of March 31, 2022 is determined by the board of trustees of FS Series Trust (the “Trust’’).
   
(d) Issued with a zero coupon. Income is recognized through the accretion of discount.
   
(e) Security is non-income producing.

 

See notes to unaudited consolidated schedule of investments.

 

34

 

 

 

 

FS Chiron Real Asset Fund

Unaudited Consolidated Schedule of Investments (continued)

As of March 31, 2022

(dollar values in thousands, except share and per share amounts)

 

(f) Exempt from registration under Rule 144A of the Securities Act of 1933, as amended. Such securities may be deemed liquid by the investment adviser and may be resold, normally to qualified institutional buyers in transactions exempt from registration. Total market value of Rule 144A securities amounts to $896, which represents approximately 3.4% of net assets as of March 31, 2022.
   
(g) Rate represents the seven-day yield as of March 31, 2022. The State Street Institutional Liquid Reserves Fund’s financial statements are available on the SEC’s website at http://www.sec.gov.
   
(h) The Fund pays or receives periodic payments in accordance with the total return swap contracts depending on the performance of the reference index. On reset dates and on the expiration date of the swap contracts, the Fund will either receive from or pay to the counterparty an amount equal to the net of (i) the accrued financing fees and (ii) the percentage change in price of the reference index times the notional amount, and (iii) if applicable any dividends received into the basket since the previous reset date. Valuations may be inclusive of interest and/or dividends receivable/payable and, as a result, the notional amounts presented may not recalculate directly with the fair value presented.

 

See notes to unaudited consolidated schedule of investments.

 

35

 

 

FS Series Trust
Notes to Unaudited Consolidated Schedule of Investments
(dollar values in thousands)

 

Investment Portfolio

 

The information contained in this section should be read in conjunction with the Fundsaudited consolidated financial statements contained in their annual report for the fiscal year ended December 31, 2021.

 

FS Series Trust (the “Trust”) was organized as a Delaware statutory trust under the Delaware Statutory Trust Act on November 28, 2016. The Trust is an open-end management investment company, registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of March 31, 2022, the Trust consists of three active series, which are presented in this book (collectively, the “Funds” and each individually a “Fund”): (i) FS Multi-Strategy Alternatives Fund (“FSMS”) and (ii) FS Managed Futures Fund (“Managed Futures”) and (iii) FS Chiron Real Asset Fund (“Real Asset” and, collectively with Managed Futures, the “Alt Beta Funds” and each individually, an “Alt Beta Fund”).

 

FSMS commenced investment operations on May 16, 2017. Each of the Alt Beta Funds commenced investment operations on December 31, 2018.

 

Each Fund represents two classes of shares of beneficial interest of the Trust in a separate portfolio of securities and other assets with their own investment objective and policies.

 

·FS Multi-Strategy Alternatives Fund seeks to provide shareholders with positive absolute returns over a complete market cycle.
   
·FS Managed Futures Fund seeks to provide positive absolute returns with low correlation to traditional investments.
   
·FS Chiron Real Asset Fund seeks to provide total returns consisting of capital appreciation and income.

 

The Funds use derivatives in executing their respective investment objectives for a variety of purposes, such as to seek economic exposure to one or more alternative strategies, enhance returns, increase investment flexibility, speculate on a targeted investment opportunity, or for hedging purposes. In attempting to achieve their investment objectives, the Funds primarily use total return basket swaps that seek both long and short exposure on variety of strategies, in a notional amount, that the Funds could not otherwise have exposure to on a name by name basis. The total return basket swaps include exposure to equity risk as well as foreign currency, commodity and interest rate risk.

 

Each Fund is classified as a non-diversified, open-end management investment company registered under the 1940 Act and has elected to be treated for U.S. federal income tax purposes, and intends to qualify annually thereafter, as a regulated investment company (“RIC”) as defined under Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”).

 

As of March 31, 2022, FSMS had one wholly owned subsidiary, FS Alternatives Fund (Cayman), Managed Futures had one wholly owned subsidiary, FS Managed Futures Fund (Cayman), and Real Asset had one wholly owned subsidiary FS Chiron Real Asset Fund (Cayman), (collectively, the “Subsidiaries”), through which they may gain exposure to commodities. The unaudited consolidated schedules of investments include both the Funds’ accounts and the accounts of the Subsidiaries. All intercompany balances have been eliminated in consolidation.

 

36

 

 

FS Series Trust
Notes to Unaudited Consolidated Schedule of Investments (continued)
(dollar values in thousands)

 

The following tables summarize the composition of each Fund’s investment portfolio at cost and fair value as of March 31, 2022:

 

FS Multi-Strategy Alternatives Fund  Amortized Cost(1)   Fair Value   Percentage
of Portfolio
 
Corporate Bonds  $44,124   $43,246    50%
Convertible Bonds   769    766    1%
Common Stocks   39,507    41,587    49%
Total  $84,400   $85,599    100%

 

FS Chiron Real Asset Fund  Amortized Cost(1)   Fair Value   Percentage
of Portfolio
 
Convertible Bonds  $508   $497    3%
Common Stocks   15,146    15,473    84%
Convertible Preferred Stocks   277    275    1%
Preferred Stocks   271    289    2%
U.S. Treasury & Government Agencies   1,898    1,822    10%
Short-Term Investments   4    4    0%
Total  $18,104   $18,360    100%

 

 

(1) Amortized cost represents the original cost adjusted for the amortization of premiums and/or accretion of discounts, applicable, on investments.

 

In general, under the 1940 Act, a Fund would be presumed to “control” a portfolio company if such Fund owned more than 25% of its voting securities or had the power to exercise control over the management or policies of such portfolio company, and would be an “affiliated person” of a portfolio company if such owned 5% or more of its voting securities.

 

37

 

 

FS Series Trust
Notes to Unaudited Consolidated Schedule of Investments (continued)
(dollar values in thousands)

 

The table below describes investments by industry classification and enumerates the percentage, by fair value, of the total portfolio assets of FSMS in such industries as of March 31, 2022:

 

Industry Classification  Fair Value   Percentage
of Portfolio
 
Retail  $10,933    12.8%
Packaging & Containers   8,084    9.4%
Transportation   5,446    6.4%
Commercial Services   5,246    6.1%
Real Estate Investment Trusts   4,972    5.8%
Software   4,949    5.8%
Chemicals   4,320    5.0%
Healthcare-Services   3,427    4.0%
Environmental Control   2,813    3.3%
Internet   2,440    2.8%
Healthcare-Products   2,315    2.7%
Entertainment   2,298    2.7%
Diversified Financial Services   2,189    2.6%
Telecommunications   1,722    2.0%
Aerospace/Defense   1,672    2.0%
Machinery-Diversified   1,609    1.9%
Electronics   1,420    1.7%
Agriculture   1,418    1.7%
Distribution/Wholesale   1,408    1.6%
Home Builders   1,362    1.6%
Media Entertainment   1,283    1.5%
Oil & Gas   1,173    1.4%
Real Estate   1,162    1.4%
Beverages   1,147    1.3%
Advertising   1,032    1.2%
Airlines   1,029    1.2%
Leisure Time   979    1.1%
Insurance   941    1.1%
Private Equity   913    1.1%
Pharmaceuticals   810    0.9%
Trucking & Leasing   587    0.7%
Building Materials   565    0.7%
Cosmetics/Personal Care   549    0.6%
Food Service   523    0.6%
Miscellaneous Manufacturing   520    0.6%
Apparel   474    0.6%
Housewares   386    0.4%
Holding Companies-Diversified   332    0.4%
Food   296    0.3%
Auto Parts & Equipment   273    0.3%
Investment Companies   264    0.3%
Household Products/Wares   221    0.3%
Engineering & Construction   97    0.1%
Total  $85,599    100.0%

 

38

 

 

FS Series Trust
Notes to Unaudited Consolidated Schedule of Investments (continued)
(dollar values in thousands)

 

The table below describes investments by industry classification and enumerates the percentage, by fair value, of the total portfolio assets of Real Asset in such industries as of March 31, 2022:

 

Industry Classification  Fair Value   Percentage
of Portfolio
 
Sovereign  $1,822    9.9%
Telecommunications   1,599    8.7%
Oil & Gas   1,355    7.4%
Mining   1,173    6.4%
Machinery-Diversified   950    5.2%
Semiconductors   942    5.1%
Food   807    4.4%
Metal Fabricate/Hardware   701    3.8%
Diversified Financial Services   646    3.5%
Iron/Steel   637    3.5%
Agriculture   623    3.4%
Aerospace/Defense   616    3.4%
Chemicals   604    3.3%
Transportation   445    2.4%
Insurance   442    2.4%
Pipelines   442    2.4%
Auto Manufacturers   429    2.3%
Private Equity   409    2.2%
Electric   408    2.2%
Computers   355    1.9%
Oil & Gas Services   340    1.9%
Banks   321    1.8%
Media Entertainment   319    1.7%
Commercial Banks   271    1.5%
Building Materials   265    1.5%
Toys/Games/Hobbies   253    1.4%
Investment Companies   225    1.2%
Internet   212    1.2%
Software   208    1.1%
Airlines   204    1.1%
Electronics   150    0.8%
Water   110    0.6%
Energy-Alternate Sources   66    0.4%
Environmental Control   7    0.0%
Short-Term Investments   4    0.0%
Total  $18,360    100.0%

 

Under existing accounting guidance, fair value is defined as the price that a Fund would receive upon selling an investment or pay to transfer a liability in an orderly transaction to a market participant in the principal or most advantageous market for the investment. This accounting guidance emphasizes that valuation techniques maximize the use of observable market inputs and minimize the use of unobservable inputs. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on market data obtained from sources independent of the Fund. Unobservable inputs are inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on the best information available in the circumstances. The Funds classify the inputs used to measure these fair values into the following hierarchy as defined by current accounting guidance:

 

Level 1: Inputs that are quoted prices (unadjusted) in active markets for identical assets or liabilities.

 

Level 2: Inputs that are quoted prices for similar assets or liabilities in active markets.

 

Level 3: Inputs that are unobservable for an asset or liability.

 

39

 

 

FS Series Trust
Notes to Unaudited Consolidated Schedule of Investments (continued)
(dollar values in thousands)

 

A financial instrument’s categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement.

 

As of March 31, 2022, the Funds’ investments and derivatives were categorized as follows in the fair value hierarchy:

 

FS Multi-Strategy Alternatives Fund  

 

Asset Description  Level 1   Level 2   Level 3   Total 
Corporate Bonds  $   $43,246   $   $43,246 
Convertible Bonds       766        766 
Common Stocks   41,587            41,587 
Forward Foreign Currency Exchange Contracts       150        150 
Long Futures   1,663            1,663 
Short Futures   206            206 
Total Return Index Swaps       4,623        4,623 
Total Assets  $43,456   $48,785   $   $92,241 
                     
Liability Description                    
Mutual Funds Sold Short  $(14,969)  $   $   $(14,969)
Corporate Bonds Sold Short       (7,931)       (7,931)
Common Stocks Sold Short   (3,764)           (3,764)
Forward Foreign Currency Exchange Contracts       (296)       (296)
Long Futures   (163)           (163)
Short Futures   (1,620)           (1,620)
Total Return Index Swaps       (2,240)       (2,240)
Total Liabilities  $(20,516)  $(10,467)  $   $(30,983)

 

FS Managed Futures Fund  

 

Asset Description  Level 1   Level 2   Level 3   Total 
Total Return Index Swaps  $   $59   $   $59 
                     
Liability Description                    
Total Return Index Swaps  $   $(5)  $   $(5)

 

FS Chiron Real Asset Fund  

 

Asset Description  Level 1   Level 2   Level 3   Total 
Convertible Bonds  $   $497   $   $497 
Common Stocks   15,220    253        15,473 
Convertible Preferred Stocks   275            275 
Preferred Stocks   289            289 
U.S. Treasury & Government Agencies       1,822        1,822 
Short-Term Investments   4            4 
Long Futures   21            21 
Total Return Index Swaps       54        54 
Total Assets  $15,809   $2,626   $   $18,435 
                     
Liability Description                    
Long Futures  $(17)  $   $   $(17)
Total Return Index Swaps       (81)       (81)
Total Liabilities  $(17)  $(81)  $   $(98)

 

40

 

 

FS Series Trust
Notes to Unaudited Consolidated Schedule of Investments (continued)
(dollar values in thousands)

 

The Funds’ investments as of March 31, 2022 primarily consisted of Exchange-Traded Securities or OTC Securities. All of the common equity investments, each of which was traded on an active public market, were valued at their closing price as of March 31, 2022. All of the fixed income investments were valued by using the midpoint of the prevailing bid and ask prices from dealers on the date of the relevant period end, which were provided by an independent third-party pricing service and screened for validity by such service.

 

41

 



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