Keystone Private Income Fund

Schedule of Investments

June 30, 2026 (Unaudited)            

 

                Original        
Principal            Maturity  Acquisition        
Amount      Footnotes  Coupon Rate  Date  Date  Cost   Fair Value 
     Private Credit - 109.5%  1,2                   
     Corporate Finance - 25.6%                      
$8,000,000   Battle Motors, Inc.     14.00%  6/10/2028  6/10/2026  $8,000,000   $8,000,000 
 5,743,029   BluRoc Intermediate, LLC     13.50%  6/30/2027  7/25/2024   5,743,029    5,743,029 
 48,152,877   BPH Equipment, LLC     13.00%  7/3/2030  7/3/2025   48,152,877    48,646,681 
 17,852,622   Car Wash Holdco, LLC     15.00%  10/1/2026  9/16/2024   17,852,622    17,835,398 
 4,062,473   Evoke Entertainment Company, LLC     13.00%  5/13/2029  5/13/2026   4,062,473    4,062,473 
 12,907,904   FVP Funding I, LLC     12.00%  2/6/2027  2/7/2022   12,907,904    12,990,779 
 24,543,030   FVP Funding II, LLC     12.00%  10/12/2027  10/12/2022   24,543,030    25,011,036 
 32,500,000   GAC Media, LLC     12.50%  9/8/2028  9/8/2025   32,500,000    32,541,879 
 12,908,101   iApartments, Inc.  6  14.50%  12/31/2026  5/18/2023   12,908,101    14,350,130 
 17,327,462   Loop Inc.  3  8.00% PIK  4/1/2027  5/17/2022   17,327,462    12,156,966 
 30,400,930   Met Nonto Funding, LLC     12.00%  8/1/2028  4/21/2026   30,400,930    30,400,930 
 93,353,284   MH Leasing, LLC     11.38%  7/2/2029  7/2/2025   93,353,284    93,472,078 
 118,000,000   MV Cruise Offshore Holdings Ltd.     12.00%  7/10/2030  7/3/2024   118,000,000    117,704,066 
 26,725,725   Vanderhall, Inc.  3,8  12.00% PIK  8/31/2026  8/8/2025   26,725,725    24,614,683 
 10,000,000   Vantage Borrower SPV I LLC  4,5,8  11.00%  5/31/2024  3/7/2022   10,000,000    5,635,170 
                     462,477,437    453,165,298 
                            
     Equipment Leasing - 26.5%                      
 695,674   11:11 Systems, Inc.     14.50%  5/1/2027  6/18/2026   695,674    695,674 
 737,021   11:11 Systems, Inc.     14.50%  12/1/2026  6/18/2026   737,021    737,021 
 58,379   Agility Auto Parts Inc.     12.50%  4/1/2027  1/22/2025   58,379    58,379 
 5,219,500   Ammo International, LLC     12.50%  11/13/2027  11/14/2025   5,219,500    5,219,500 
 78,478   Arcade Silverado JV LLC     12.50%  12/1/2026  4/25/2024   78,478    78,478 
 527,880   B&R Purchaser, LLC     12.50%  7/1/2028  3/19/2026   527,880    527,880 
 1,003,627   BluRoc Mat Financing Draw     17.90%  6/30/2027  1/8/2025   642,579    642,579 
 2,052,356   BluRoc Mat Financing Draw     17.90%  6/30/2027  2/25/2025   1,867,020    1,867,020 
 870,905   BluRoc Mat Financing Draw     17.90%  6/30/2027  5/5/2025   800,869    800,869 
 593,348   BluRoc Mat Financing Draw     17.90%  6/30/2027  6/10/2025   548,164    548,164 
 1,921,838   BluRoc Mat Financing Draw     17.90%  6/30/2027  7/25/2025   1,782,968    1,782,969 
 1,678,668   BluRoc Onset     12.50%  7/1/2028  2/12/2025   1,678,668    1,678,668 
 267,120   Car Wash Holdco, LLC     17.90%  1/1/2028  1/29/2025   255,559    255,559 
 184,400   Car Wash Holdco, LLC     17.90%  5/1/2028  5/6/2025   177,954    177,954 
 563,371   Car Wash Holdco, LLC     17.90%  7/1/2028  7/1/2025   545,474    545,474 
 20,439,999   Carnaby FA, LLC  4,8  14.50%  6/1/2027  4/26/2024   20,439,999    16,531,790 
 9,161,213   Carnaby FA, LLC  4,8  14.50%  12/1/2025  11/27/2024   9,161,213    7,446,752 
 1,724,831   Coast Aluminum, Inc.     12.50%  7/1/2027  4/22/2025   1,724,831    1,724,831 
 1,247,838   Coast Aluminum, Inc.     12.50%  4/1/2028  6/20/2025   1,247,838    1,247,838 
 2,796,381   Coast Aluminum, Inc.     12.50%  10/1/2027  1/26/2026   2,796,381    2,796,381 
 248,776   DisplayIt, LLC     12.50%  7/1/2028  3/30/2026   248,776    248,776 
 214,027   Don's Cold Storage and Transportation, LLC     12.50%  6/30/2028  12/30/2025   214,027    214,027 
 1,406,804   Eagle Highwall Mining Systems, LLC     14.00%  4/1/2027  9/29/2023   1,406,804    1,406,804 
 97,786   EOS Fitness Opco Holdings, LLC     13.00%  3/1/2027  9/30/2024   97,786    97,786 
 976,068   EOS Fitness Opco Holdings, LLC     13.00%  4/1/2029  9/30/2024   976,068    976,068 
 219,229   EOS Fitness Opco Holdings, LLC     13.00%  4/1/2027  9/30/2024   219,229    219,229 
 532,790   EOS Fitness Opco Holdings, LLC     13.00%  7/1/2028  9/30/2024   532,790    532,790 
 635,961   EOS Fitness Opco Holdings, LLC     13.00%  7/1/2027  9/30/2024   635,961    635,961 
 1,100,536   EOS Fitness Opco Holdings, LLC     13.00%  7/1/2029  9/24/2025   1,100,536    1,100,536 
 534,315   EOS Fitness Opco Holdings, LLC     13.00%  7/1/2028  9/24/2025   534,315    534,315 
 1,410,663   EOS Fitness Opco Holdings, LLC     13.00%  8/1/2029  10/2/2025   1,410,663    1,410,663 
 545,790   EOS Fitness Opco Holdings, LLC     13.00%  8/1/2028  10/2/2025   545,790    545,790 
 1,209,799   EOS Fitness Opco Holdings, LLC     13.00%  9/1/2029  11/13/2025   1,209,799    1,209,799 
 551,108   EOS Fitness Opco Holdings, LLC     13.00%  9/1/2028  11/13/2025   551,108    551,108 
 1,118,634   EOS Fitness Opco Holdings, LLC     13.00%  9/1/2029  11/13/2025   1,118,634    1,118,634 
 579,089   EOS Fitness Opco Holdings, LLC     13.00%  9/1/2028  11/13/2025   579,089    579,089 
 1,165,482   EOS Fitness Opco Holdings, LLC     13.00%  10/1/2029  12/4/2025   1,165,482    1,165,482 
 611,630   EOS Fitness Opco Holdings, LLC     13.00%  10/1/2028  12/4/2025   611,630    611,630 
 473,679   EOS Fitness Opco Holdings, LLC     13.00%  10/1/2029  12/4/2025   473,679    473,679 
 19,132   Falls Stamping & Welding Company     12.50%  10/1/2026  2/5/2024   19,132    19,132 
 7,347,320   FE XLS 6200, LLC     13.00%  2/1/2031  3/26/2026   7,347,320    7,347,320 
 551,810   Feel Good Brands, LLC     12.50%  1/1/2028  11/5/2025   551,810    551,810 
 588,695   Feel Good Brands, LLC     12.50%  1/1/2028  11/5/2025   588,695    588,695 
 135,726   Feel Good Brands, LLC     12.50%  4/1/2028  1/9/2026   135,726    135,726 
 27,100,532   Fermi High Voltage Warehouse, LLC     12.90%  8/19/2031  2/19/2026   27,100,532    27,124,631 
 50,819,593   Fermi High Voltage Warehouse, LLC     12.90%  8/19/2031  2/19/2026   50,819,593    50,864,974 
 6,878,957   First National and Cacique Food, LLC     11.15%  5/1/2031  3/30/2026   6,878,957    6,878,957 
 2,154,374   Fisher & Company, Inc.     14.50%  5/1/2027  4/9/2024   2,154,374    2,154,374 
 201,383   FPL Food LLC     12.50%  4/1/2027  2/28/2024   201,383    201,383 
 361,201   FPL Food LLC     12.50%  4/1/2027  3/7/2025   361,201    361,201 
 541,182   FPL Food LLC     12.50%  1/1/2028  6/6/2025   541,182    541,182 
 2,711,933   FPL Food LLC     12.50%  1/1/2029  8/8/2025   2,711,933    2,711,933 
 218,423   Genesis Metalworks USA Inc.     12.50%  9/1/2028  6/17/2026   218,423    218,423 
 255,457   Gregory Pharmaceutical Holdings, Inc.     14.50%  8/1/2026  7/14/2023   255,457    255,457 
 3,937,221   Information Technology Partners, Inc.  4,8  14.50%  1/1/2026  12/15/2023   3,937,221    3,118,125 
 48,900   Island Magic Catamaran Inc.     12.50%  10/1/2026  7/22/2024   48,900    48,900 
 307,082   Island Magic Catamaran Inc.     12.50%  7/1/2027  6/11/2025   307,082    307,082 
 9,790,528   JRL Energy, Inc.  4,8  14.50%  10/1/2026  4/19/2024   9,790,528    8,789,969 
 3,420,443   Kalon Capital, LLC     10.00%  3/1/2031  3/31/2026   3,420,443    3,420,443 
 651,770   Kalon Capital, LLC     10.00%  4/1/2029  4/30/2026   651,770    651,770 
 182,896   Kalon Capital, LLC     10.00%  4/1/2031  4/30/2026   182,896    182,896 
 26,846   Kalon Capital, LLC     10.00%  4/1/2031  4/30/2026   26,846    26,846 
 74,280   Kalon Capital, LLC     10.00%  4/1/2032  4/30/2026   74,280    74,280 
 1,798,265   Kent Distributors, Inc.     14.50%  7/1/2027  3/14/2024   1,798,265    1,798,265 
 5,225,427   Kent Distributors, Inc.     12.50%  11/1/2027  2/19/2025   5,225,427    5,225,427 
 99,058   Key Tronic Corporation     12.50%  1/1/2029  4/22/2026   99,058    99,058 
 193,683   Key Tronic Corporation     12.50%  7/1/2028  5/29/2026   193,683    193,683 
 24,178   Kinikini, LLC     12.50%  10/1/2027  12/13/2024   24,178    24,178 
 2,483,907   Mark 25, LLC     12.50%  4/1/2028  4/8/2026   2,483,907    2,483,907 
 401,940   MC Test Service, Inc.     12.50%  10/1/2026  12/8/2023   401,940    401,940 
 1,943,566   MC Test Service, Inc.     12.50%  7/8/2027  7/9/2025   1,943,566    1,943,566 
 4,038,625   Medshift, LLC     14.50%  11/1/2027  4/4/2024   4,038,625    4,038,625 
 3,936,051   Medshift, LLC     14.50%  12/1/2027  5/3/2024   3,936,051    3,936,051 
 1,295,945   MIT45, Inc.     12.50%  7/9/2027  7/10/2025   1,295,945    1,295,945 
 61,047   MIT45, Inc.     12.50%  7/1/2027  6/20/2025   61,047    61,047 
 161,443   MIT45, Inc.     12.50%  7/1/2027  6/20/2025   161,443    161,443 
 3,321,597   Morris Packaging, LLC     11.88%  5/1/2031  5/19/2026   3,280,499    3,280,499 
 2,989,466   Morris Packaging, LLC     14.40%  6/1/2031  5/20/2026   2,989,466    2,989,466 
 4,631,005   NATT Tools Group Inc.     16.86%  12/1/2029  11/25/2024   4,631,005    4,631,005 
 271,927   Navajo Health Foundation - Sage Memorial Hospital, Inc.     12.50%  1/1/2027  8/8/2024   271,927    271,927 
 208,161   Next Century Rebar LLC and Century Steel Fabricators, LLC     12.50%  2/1/2027  6/7/2024   208,161    208,161 
 10,586   Nutritional Resources, Inc.     12.50%  1/1/2027  3/1/2024   10,586    10,586 
 145,341,721   Onset Financial, Inc. - Corporate Loan    11.00%  4/10/2028  4/4/2025   145,341,721    144,796,689 
 6,391,637   Onset Financial, Inc. Progress Funding Line     11.00%  9/10/2031  12/6/2024   6,391,637    6,355,612 
 821,380   Preco, LLC     12.50%  4/1/2028  3/13/2026   821,380    821,380 
 4,712,907   Prime Logistics, LLC     13.00%  9/1/2027  10/15/2024   4,712,907    4,712,907 
 796,055   Prince Signs     12.50%  10/1/2027  12/20/2024   796,055    796,055 
 471,532   Ray-Mont Logistics US Holding, Inc.     12.50%  4/1/2028  2/18/2026   471,532    471,532 
 7,871,856   Real Good Foods, LLC     12.50%  12/1/2029  12/31/2025   7,871,856    7,953,177 
 773,318   Real Good Foods, LLC     12.50%  3/1/2030  5/27/2026   773,318    773,318 
 500,000   Redline Hot Shot & Transportation LLC     12.50%  7/1/2028  6/5/2026   500,000    500,000 
 49,807   Southern Fabrication Works, LLC     14.50%  4/1/2027  8/16/2023   49,807    49,807 
 29,935,932   Tenere, Inc.     13.50%  9/17/2029  9/17/2025   29,935,932    29,935,932 
 841,945   Transcontinental Energy Services LLC     12.50%  10/1/2027  4/16/2025   841,945    841,945 
 438,708   Transcontinental Energy Services LLC     12.50%  12/31/2027  12/30/2025   438,708    438,708 
 1,358,359   Transportation Financial, LLC  4,8  12.50%  9/1/2027  8/20/2024   1,358,359    1,137,874 
 11,168,259   Trico Products Corporation  4,8  12.50%  12/1/2027  6/30/2022   11,168,259    11,168,259 
 1,193,143   Trico Products Corporation  4,8  14.50%  12/1/2025  5/5/2023   1,193,143    1,193,143 
 164,125   Trico Products Corporation  4,8  12.50%  4/1/2026  7/3/2023   164,125    164,125 
 2,490,909   Trico Products Corporation  4,8  14.50%  9/1/2026  2/29/2024   2,490,909    2,046,316 
 2,926,411   Trinity Products, LLC     12.50%  7/20/2028  1/20/2026   2,926,411    2,926,411 
 2,406,059   United Auto Supply of Syracuse, West, Inc.     12.00%  8/1/2026  6/30/2022   2,406,059    2,406,059 
 2,375,734   United Auto Supply of Syracuse, West, Inc.     12.00%  1/1/2027  6/30/2022   2,375,734    2,375,734 
 1,922,084   Value Truck of AZ, LLC     12.50%  1/1/2028  12/18/2025   1,922,084    1,922,084 
 168,818   Vensure Employer Services, Inc.     14.50%  3/1/2028  1/24/2023   168,818    168,818 
 186,449   Vensure Employer Services, Inc.     14.50%  2/1/2027  5/5/2023   186,449    186,449 
 795,992   Vensure Employer Services, Inc.     14.50%  4/1/2027  9/19/2023   795,992    795,992 
 128,686   Vensure Employer Services, Inc.     12.50%  8/1/2026  5/8/2024   128,686    128,686 
 9,593   Vensure Employer Services, Inc.     14.50%  5/1/2027  9/17/2024   9,593    9,593 
 2,891,292   Vensure Employer Services, Inc.     14.50%  5/1/2027  10/25/2024   2,891,292    2,891,292 
 3,163,165   Vensure Employer Services, Inc.     14.50%  6/1/2027  12/6/2024   3,163,165    3,163,165 
 4,368,059   Vensure Employer Services, Inc.     14.50%  11/1/2027  3/11/2025   4,368,059    4,368,059 
 3,801,829   Vensure Employer Services, Inc.     14.50%  12/1/2027  5/12/2025   3,801,829    3,801,829 
 4,005,374   Vensure Employer Services, Inc.     14.50%  1/1/2028  6/23/2025   4,005,374    4,005,374 
 4,149,674   Vensure Employer Services, Inc.     14.50%  8/1/2028  7/24/2025   4,149,674    4,149,674 
 4,914,325   Vensure Employer Services, Inc.     14.50%  8/1/2028  8/29/2025   4,914,325    4,914,325 
 111,182   Vensure Employer Services, Inc.     14.50%  10/31/2027  10/6/2025   111,182    111,182 
 914,959   Voltron Global, LLC     12.50%  7/29/2027  7/30/2025   914,959    914,959 
 2,652,295   West Liberty Foods     14.50%  2/1/2027  8/5/2024   2,652,295    2,652,295 
 3,814,961   West Liberty Foods     14.50%  6/1/2027  11/25/2024   3,814,961    3,814,961 
                     477,027,612    468,489,954 
     Financial Assets - 30.9%                      
 10,250,000   Aspire SPE1 LLC     13.00%  3/17/2029  3/17/2026   10,250,000    10,250,000 
 124,479,112   BizFund LLC  6  11.85% (SOFR + 7.50%)  12/31/2029  12/30/2024   124,479,112    124,121,025 
 8,534,448   CapitalPlus Construction Services, LLC  4,8  12.00%  10/1/2023  9/2/2020   8,534,448    - 
 2,349,892   CapitalPlus Supply Chain Partners  4,8  12.00%  7/31/2024  8/31/2021   2,349,892    - 
 949,059   Channel Partners Capital, LLC     12.00%  4/30/2029  4/30/2026   949,059    949,059 
 41,672,905   Cocolalla, LLC  4  14.00%  4/27/2026  3/16/2023   41,672,905    39,958,372 
 329,371   Dallas Growth Capital and Funding, LLC  4,8  13.00%  2/23/2024  2/24/2021   329,371    - 
 45,000,000   Fox Funding Management, Inc.     11.25%  6/30/2029  9/30/2025   45,000,000    45,000,000 
 40,058,824   Kensington Private Equity Fund  5,6  12.73% (SOFR + 9.50%)  3/31/2028  3/28/2023   40,058,824    39,964,519 
 18,138,034   Leyline Renewable Capital, LLC     13.00%  10/28/2026  5/26/2023   18,138,034    21,433,437 
 70,854,534   Lienstar LLC     12.00%  7/18/2029  3/13/2023   70,854,534    69,989,421 
 75,776,253   Met SPV Holdings, LLC - Series Sutton     13.00%  6/1/2027  8/1/2025   75,776,253    75,999,544 
 18,274,935   Metropolitan Partners Fund VIII, LP - Axiom     12.50%  8/1/2028  12/5/2025   18,274,935    18,252,935 
 4,643,261   Propel Holdings, Inc.  9  13.60%  3/31/2030  6/8/2023   4,643,261    4,927,321 
 12,331,115   Simply Funding SPV, LLC     13.00%  10/7/2027  6/23/2021   12,331,115    12,393,850 
 16,844,425   SP Technologies, LLC  6  11.85% (SOFR + 7.50%)  5/28/2028  5/29/2025   16,844,425    16,912,303 
 42,166,667   Spring Oaks Capital, LLC     11.51%  9/21/2027  2/18/2026   42,166,667    42,161,478 
 24,806,218   Unique Funding Solutions, LLC     13.50%  2/5/2028  2/5/2025   24,806,218    24,865,162 
                     557,459,053    547,178,426 
                            
     Specialty Real Estate Finance - 26.5%                      
 22,820,927   410 Rhode Island, LLC     10.85%  3/26/2029  3/26/2026   22,820,927    22,820,927 
 19,441,280   750 Main Street LP     11.05%  7/3/2026  5/9/2022   19,441,280    19,711,474 
 15,691,147   Apple Valley BV Road, LLC     11.00%  8/23/2026  12/23/2024   15,691,147    15,869,548 
 31,766,591   Ashton Oak Homes (Black Locust), LLC  6  9.75%  (Prime + 3.00%)  7/23/2026  3/23/2023   31,766,591    32,224,380 
 4,562,791   BD RC Jacksonville Normandy, LP  6  10.50%  (Prime + 3.00%)  7/18/2026  9/28/2023   4,562,791    4,562,791 
 16,988,984   Capital Miller Pref NewCo, LLC     16.00%  12/5/2027  12/5/2022   16,988,984    17,438,099 
 848,106   Chase Surprise, LP     9.50%  6/1/2028  5/14/2026   848,106    848,106 
 7,980,265   Corta Stevens Point, LLC  4  18.00%  12/1/2025  4/13/2023   7,980,265    8,092,915 
 2,099,536   FVP Galaxy 2026, LLC     8.00%  4/13/2030  5/1/2026   2,099,536    2,099,536 
 587,157   HD Cougar, LLC     9.65%  11/1/2027  4/24/2026   587,157    587,157 
 8,752,973   Hi Lebec, LLC     9.75%  3/1/2027  2/23/2026   8,752,973    8,748,595 
 7,144,445   Highland Mains Partners, LLC     9.25%  9/1/2027  2/26/2026   7,144,445    7,169,211 
 25,703,237   HSM Hawley LLC     10.50%  5/1/2027  1/10/2024   25,703,237    25,538,151 
 10,876,904   JDI Pasadena Logistics Center SPE, LLC     11.15%  8/28/2026  8/30/2024   10,876,904    10,990,654 
 718,445   JF Wonderblock Phase 2, LLC     10.99%  2/20/2028  12/20/2023   718,445    718,445 
 24,503,647   MC Oslo Aurora, LLC  4,8  13.25%  7/11/2025  7/11/2022   24,503,647    19,035,464 
 22,076,672   MC Oslo Hermitage, LLC  4,8  13.00%  11/7/2024  5/19/2022   22,076,672    21,939,336 
 12,803,297   MC Oslo SFM Two, LLC  4,8  13.00%  7/11/2025  5/19/2022   12,803,297    11,303,549 
 7,808,979   MC Oslo SFQ, LLC  4,8  13.25%  7/11/2025  7/11/2022   7,808,979    2,907,577 
 10,790,399   MC Rye Northwest, LLC  4,8  13.25%  8/9/2025  8/9/2022   10,790,399    10,446,429 
 12,861,719   MC Rye Westchase, LLC  4,8  13.25%  8/9/2025  8/9/2022   12,861,719    11,404,018 
 9,646,505   Merced Security Storage, LLC     10.50%  11/6/2026  5/6/2024   9,646,505    9,646,505 
 10,919,175   Nancy Jay Industrial Center, LLC     12.95%  5/31/2027  6/3/2022   10,919,175    11,437,699 
 5,400,000   Olympus Bluffs 4, LLC     11.95%  8/4/2026  9/9/2022   5,400,000    5,536,810 
 6,640,000   Olympus Oaks 2, LLC     12.50%  7/14/2026  7/13/2023   6,640,000    6,640,000 
 6,661,000   Olympus Oaks 4, LLC     12.50%  7/13/2026  7/13/2023   6,661,000    6,661,000 
 6,543,796   Olympus Oaks 5, LLC     12.50%  7/14/2026  7/13/2023   6,543,796    6,543,796 
 5,398,000   Olympus Oaks 6, LLC     12.50%  2/16/2027  2/16/2024   5,398,000    5,398,000 
 5,500,000   Olympus Oaks 7, LLC     12.50%  2/16/2027  2/16/2024   5,500,000    5,500,000 
 4,356,000   Olympus Oaks 8, LLC     12.50%  2/16/2027  2/16/2024   4,356,000    4,356,000 
 4,708,733   Olympus Oaks 9, LLC     12.50%  2/16/2027  2/16/2024   4,708,733    4,763,599 
 5,235,134   Olympus Palms 1, LLC     12.50%  7/2/2027  7/1/2022   5,235,134    5,235,134 
 5,637,454   Olympus Palms 3, LLC     11.95%  7/2/2027  8/3/2022   5,637,454    5,637,454 
 5,066,886   Olympus Palms 4, LLC     12.00%  8/4/2026  10/4/2022   5,066,886    5,066,886 
 599,447   Pierce Street Holdings LLC  4,8  10.50%  11/25/2025  3/15/2022   599,447    477,319 
 8,160,908   Romeria Pointe, LLC     11.09%  9/4/2026  3/4/2024   8,160,908    8,326,182 
 22,064,979   Roseville Senior Affordable 2 LP     11.25%  11/30/2026  11/26/2024   22,064,979    22,259,403 
 10,704,309   Scarborough Hotel Holdings, LLC     12.00%  9/30/2026  6/24/2024   10,704,309    10,732,740 
 12,000,000   Skylark USA Automotive Partners Real Estate Caldwell, LLC     12.00%  8/22/2027  5/22/2026   12,000,000    12,000,000 
 12,651,885   Turner Rock Apartments, LLC     10.85%  4/15/2028  4/18/2025   12,651,885    13,161,571 
 34,063,115   VG Pines Residential LLC     11.15%  9/1/2026  3/1/2024   34,063,115    34,574,029 
 13,821,866   WB Commerce 100, LLC     9.99%  10/23/2027  10/23/2025   13,821,866    13,990,266 
 16,460,633   West Creek II, LLC     10.00%  10/8/2026  7/8/2025   16,460,633    16,808,942 
 51,354   Westgate Village North, LLC     11.50%  3/9/2028  3/9/2026   51,354    51,354 
                     479,118,680    469,261,051 
     Total Private Credit               1,976,082,782    1,938,094,729 
                            
     REO Properties - 2.2%  1,2                   
 13,994,250   Atomic Orchard Experiment LLC        N/A  11/10/2022   13,994,250    14,069,250 
 14,008,259   Vivo Living Durham LLC        N/A  10/14/2022   14,008,259    12,431,250 
 14,188,839   Vivo Living Raleigh 1 LLC        N/A  11/18/2022   14,188,839    12,333,750 
     Total REO Properties               42,191,348    38,834,250 

 

 

 

 Shares         Investment Type          
     Private Companies - 0.7%  1,2             
 4,550,000   MC Rye Katy, LLC     Preferred Units   4,550,000    3,965,110 
 12,299,239   TNP HC 3, LLC     Common Units   12,299,239    8,019,417 
     Total Private Companies         16,849,239    11,984,527 
                      
     Warrants - 0.0%  1,2             
 73,274   Sovrn Holdings, Inc         -    - 
                      
     Total Investments - 112.4%  7     $2,035,123,369   $1,988,913,506 
     Liabilities in excess of other assets - (12.3%)              (218,024,417)
     Net Assets - 100%             $1,770,889,089 

 

REO - Real Estate Owned

SOFR - Secured Overnight Financing Rate

 

1Restricted securities. The total value of these securities is $1,988,913,506, which represents 112.3% of total net assets of the Fund.
2Level 3 securities fair valued under procedures established by the board of trustees of the Fund. The total value of these securities is $1,988,913,506, which represents 112.3% of total net assets of the Fund.
3Principal includes accumulated payment in kind (“PIK”) interest and is net of repayments, if any.
4In default.
5This investment was made through a participation. See notes to financial statements.
6Variable rate.
7Entire portfolio is pledged as collateral for line of credit.
8Non-income producing.
9This investment is held through KPIF CFP, LLC, a wholly owned SPV and has been consolidated in accordance with ASC 810.

 

See accompanying notes to schedule of investments.

 

 

 

Keystone Private Income Fund

 

 

Notes to Schedule of Investments

June 30, 2026 (Unaudited)

 

Note 1 - Valuation of Investments

 

The Fund’s Board of Trustees (the “Board”) has approved valuation procedures for the Fund (the “Valuation Procedures”). Under the Valuation Procedures adopted by the Board has delegated day-to-day responsibility for the fair value determinations and pricing of the Fund’s investments to the Investment Manager (the “Valuation Designee”), subject to the oversight of the Board. The Valuation Designee oversees the valuation of the Fund’s investments on behalf of the Fund in accordance with the Valuation Procedures, which provide that investments will be valued at fair value. Furthermore, the valuation of the Fund’s assets will be done in accordance with the FASB ASC Topic 820, Fair Value Measurements and Disclosures.

 

In general, fair value represents a good faith approximation of the current value of an asset and is used when there is no public market or possibly no market at all for the asset. As a result, the fair values of one or more assets may not be the prices at which those assets are ultimately sold. Prospective investors should be aware that situations involving uncertainties as to the value of investments could have an adverse effect on the Fund’s net asset value (“NAV”) if the judgments of the Valuation Designee regarding appropriate valuations should prove incorrect.

 

The Fund holds a high proportion of illiquid investments relative to its total investments, which is directly related to the Fund’s investment objectives and strategy. The valuation approach will likely vary by investment, but may include comparable public market valuations, comparable transaction valuations and discounted cash flow analyses. All factors that might materially impact the value of an investment (i.e., underlying collateral, operating results, financial condition, achievement of milestones, and economic and/or market events) may be considered. In certain circumstances the Valuation Designee may determine that cost best approximates the fair value of the particular investment.

 

Note 2 – Fair Value Measurements and Disclosure

 

The Fund uses a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The objective of a fair value measurement is to determine the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). Accordingly, the fair value hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The three levels of the fair value hierarchy are as follows:

 

Level 1 – Valuations based on unadjusted quoted prices in active markets that are accessible at the measurement date for identical, unrestricted assets or liabilities.

 

Level 2 – Valuations based on inputs, other than quoted prices included in Level 1, that are observable either directly or indirectly.

 

Level 3 – Valuations based on inputs that are both significant and unobservable to the overall fair value measurement.

 

The availability of valuation techniques and observable inputs can vary from investment to investment and are affected by a wide variety of factors, including type of investment, whether the investment is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the transaction. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, determining fair value requires more judgment. Because of the inherent uncertainly of valuation, estimated values may be materially higher or lower than the values that would have been used had a ready market for the investments existed. Accordingly, the degree of judgment exercised by the Investment Manager in determining fair value is greatest for investments categorized in Level 3.

 

The Fund’s assets recorded at fair value have been categorized based on a fair value hierarchy as described in the Fund’s significant accounting policies. The following table presents information about the Fund’s assets and liabilities measured at fair value as of June 30, 2026:

 

Investments  Level 1   Level 2   Level 3   Total 
Private Credit  $   $   $1,938,094,729   $1,938,094,729 
REO Properties           38,834,250    38,834,250 
Private Companies           11,984,527    11,984,527 
Warrants                
Total Investments, at fair value  $   $   $1,988,913,506   $1,988,913,506