Form: 10-Q

Quarterly report pursuant to Section 13 or 15(d)

November 9, 2020

Table of Contents

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549 
__________________________________________________________
Form 10-Q
__________________________________________________________
(Mark One)
ý QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the quarterly period ended September 30, 2020
OR
¨
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from              to             
Commission file number 814-00733 
______________________________________________________________________
Barings BDC, Inc.
(Exact name of registrant as specified in its charter)
__________________________________________________________
Maryland   06-1798488
(State or other jurisdiction of   (I.R.S. Employer
incorporation or organization)   Identification No.)
300 South Tryon Street, Suite 2500
Charlotte, North Carolina
  28202
(Address of principal executive offices)   (Zip Code)
Registrant's telephone number, including area code: (704) 805-7200
Former Name, Former Address and Former Fiscal Year, if Changed Since Last Report: N/A
Securities registered pursuant to Section 12(b) of the Act:
Title of Each Class Trading Symbol Name of Each Exchange on Which Registered
Common Stock, par value $0.001 per share BBDC The New York Stock Exchange
________________________________________________________
Indicate by check mark whether the registrant: (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    Yes  ý    No  ¨
Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit such files).    Yes  ¨    No  ¨
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, a smaller reporting company, or an emerging growth company. See the definitions of "large accelerated filer," "accelerated filer," "smaller reporting company," and "emerging growth company" in Rule 12b-2 of the Exchange Act. (Check one):
Large accelerated filer
¨
Accelerated filer
ý
Non-accelerated filer
¨
Smaller reporting company
¨
Emerging growth company
¨
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.
¨
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).    Yes  ¨    No  ý
The number of shares outstanding of the registrant’s Common Stock on November 9, 2020 was 47,961,753.



BARINGS BDC, INC.
TABLE OF CONTENTS
QUARTERLY REPORT ON FORM 10-Q
    Page
PART I – FINANCIAL INFORMATION
Item 1.
Item 2.
Item 3.
Item 4.
PART II – OTHER INFORMATION
Item 1.
Item 1A.
Item 2.
Item 3.
Item 4.
Item 5.
Item 6.
2


PART I – FINANCIAL INFORMATION

Item 1. Financial Statements.
Barings BDC, Inc.
Consolidated Balance Sheets
September 30,
2020
December 31, 2019
(Unaudited)
Assets:
Investments at fair value:
Non-Control / Non-Affiliate investments (cost of $903,128,567 and $1,085,866,720 as of September 30, 2020 and December 31, 2019, respectively) $ 886,610,176  $ 1,066,845,054 
Affiliate investments (cost of $18,258,270 and $10,158,270 as of September 30, 2020 and December 31, 2019, respectively) 19,158,075  10,229,813 
Short-term investments (cost of $210,503,875 and $96,568,940 as of September 30, 2020 and December 31, 2019, respectively) 210,503,390  96,568,940 
Total investments at fair value 1,116,271,641  1,173,643,807 
Cash 7,112,312  13,567,849 
Foreign currencies (cost of $7,532,555 and $8,360,011 as of September 30, 2020 and December 31, 2019, respectively) 7,675,046  8,423,716 
Interest and fees receivable 7,749,841  5,265,980 
Prepaid expenses and other assets 3,831,057  1,112,559 
Deferred financing fees 4,440,269  5,366,119 
Receivable from unsettled transactions 75,486,443  45,254,808 
Total assets $ 1,222,566,609  $ 1,252,634,838 
Liabilities:
Accounts payable and accrued liabilities $ 1,373,856  $ 1,524,830 
Interest payable 766,815  2,491,534 
Administrative fees payable 300,000  400,000 
Base management fees payable 3,375,262  3,266,722 
Payable from unsettled transactions —  4,924,150 
Borrowings under credit facilities 463,703,208  352,488,419 
Debt securitization 177,536,048  316,664,474 
Notes payable 49,534,479  — 
Total liabilities 696,589,668  681,760,129 
Commitments and contingencies (Note 7)
Net Assets:
Common stock, $0.001 par value per share (150,000,000 shares authorized, 47,961,753 and 48,950,803 shares issued and outstanding as of September 30, 2020 and December 31, 2019, respectively) 47,962  48,951 
Additional paid-in capital 846,636,727  853,766,370 
Total distributable earnings (loss) (320,707,748) (282,940,612)
Total net assets 525,976,941  570,874,709 
Total liabilities and net assets $ 1,222,566,609  $ 1,252,634,838 
Net asset value per share $ 10.97  $ 11.66 
See accompanying notes.

3


Barings BDC, Inc.
Unaudited Consolidated Statements of Operations
Three Months
Ended
Three Months
Ended
Nine Months Ended Nine Months Ended
September 30,
2020
September 30,
2019
September 30,
2020
September 30,
2019
Investment income:
Interest income:
Non-Control / Non-Affiliate investments $ 15,205,310  $ 18,169,034  $ 47,850,786  $ 54,853,833 
Short-term investments 12,237  279,908  336,842  703,947 
Total interest income 15,217,547  18,448,942  48,187,628  55,557,780 
Dividend income:
Non-Control / Non-Affiliate investments —  4,221  2,603  8,932 
Total dividend income —  4,221  2,603  8,932 
Fee and other income:
Non-Control / Non-Affiliate investments 769,126  848,792  2,380,552  1,669,819 
Total fee and other income 769,126  848,792  2,380,552  1,669,819 
Payment-in-kind interest income:
Non-Control / Non-Affiliate investments 342,469  —  577,090  — 
Total payment-in-kind interest income 342,469  —  577,090  — 
Interest income from cash —  2,152  631  9,022 
Total investment income 16,329,142  19,304,107  51,148,504  57,245,553 
Operating expenses:
Interest and other financing fees 3,738,991  6,727,780  14,367,855  19,598,992 
Base management fee (Note 2) 3,375,262  3,263,803  10,904,422  8,845,753 
Compensation expenses —  107,779  48,410  334,869 
General and administrative expenses (Note 2) 1,254,723  1,217,570  4,044,453  5,108,595 
Total operating expenses 8,368,976  11,316,932  29,365,140  33,888,209 
Net investment income 7,960,166  7,987,175  21,783,364  23,357,344 
Realized and unrealized gains (losses) on investments and foreign currency transactions:
Net realized gains (losses):
Non-Control / Non-Affiliate investments (19,477,823) (1,066,536) (36,233,667) (1,146,287)
Net realized losses on investments (19,477,823) (1,066,536) (36,233,667) (1,146,287)
Foreign currency transactions (1,028,262) 83,037  (1,089,787) 83,037 
Net realized losses (20,506,085) (983,499) (37,323,454) (1,063,250)
Net unrealized appreciation (depreciation):
Non-Control / Non-Affiliate investments 56,467,202  (2,209,225) 2,522,789  25,202,059 
Affiliate investments 1,624,230  40,119  828,262  (121,970)
Net unrealized appreciation (depreciation) on investments 58,091,432  (2,169,106) 3,351,051  25,080,089 
Foreign currency transactions (2,144,050) 374,278  (1,756,412) 374,278 
Net unrealized appreciation (depreciation) 55,947,382  (1,794,828) 1,594,639  25,454,367 
Net realized losses and unrealized appreciation (depreciation) on investments and foreign currency transactions 35,441,297  (2,778,327) (35,728,815) 24,391,117 
Loss on extinguishment of debt (216,474) (13,357) (660,066) (143,108)
Benefit from (provision for) taxes (7,362) —  10,105  (499)
Net increase (decrease) in net assets resulting from operations $ 43,177,627  $ 5,195,491  $ (14,595,412) $ 47,604,854 
Net investment income per share—basic and diluted $ 0.17  $ 0.16  $ 0.45  $ 0.46 
Net increase (decrease) in net assets resulting from operations per share—basic and diluted $ 0.90  $ 0.10  $ (0.30) $ 0.94 
Dividends/distributions per share:
Total dividends/distributions per share $ 0.16  $ 0.14  $ 0.48  $ 0.39 
Weighted average shares outstanding—basic and diluted 47,961,753  49,987,312  48,274,397  50,535,246 
See accompanying notes.
4


Barings BDC, Inc.
Unaudited Consolidated Statements of Changes in Net Assets
 
Common Stock Additional
Paid-In
Capital
Total Distributable Earnings (Loss) Total
Net
Assets
Three Months Ended September 30, 2019 Number
of Shares
Par
Value
Balance, June 30, 2019 50,314,275  $ 50,314  $ 875,245,919  $ (292,216,528) $ 583,079,705 
Net investment income —  —  —  7,987,175  7,987,175 
Net realized gain on investments / foreign currency transactions —  —  —  (983,499) (983,499)
Net unrealized appreciation of investments / foreign currency transactions —  —  —  (1,794,828) (1,794,828)
Loss on extinguishment of debt —  —  —  (13,357) (13,357)
Dividends / distributions —  —  —  (6,935,311) (6,935,311)
Purchases of shares in repurchase plan (895,733) (895) (8,894,010) —  (8,894,905)
Balance, September 30, 2019 49,418,542  $ 49,419  $ 866,351,909  $ (293,956,348) $ 572,444,980 
Common Stock Additional
Paid-In
Capital
Total Distributable Earnings (Loss) Total
Net
Assets
Three Months Ended September 30, 2020 Number
of Shares
Par
Value
Balance, June 30, 2020 47,961,753  $ 47,962  $ 846,636,727  $ (356,211,495) $ 490,473,194 
Net investment income —  —  —  7,960,166  7,960,166 
Net realized loss on investments / foreign currency transactions —  —  —  (20,506,085) (20,506,085)
Net unrealized appreciation of investments / foreign currency transactions —  —  —  55,947,382  55,947,382 
Loss on extinguishment of debt —  —  —  (216,474) (216,474)
Provision for taxes —  —  —  (7,362) (7,362)
Dividends / distributions —  —  —  (7,673,880) (7,673,880)
Balance, September 30, 2020 47,961,753  $ 47,962  $ 846,636,727  $ (320,707,748) $ 525,976,941 
See accompanying notes.
5


Barings BDC, Inc.
Unaudited Consolidated Statements of Changes in Net Assets — (Continued)
Common Stock Additional
Paid-In
Capital
Total Distributable Earnings (Loss) Total
Net
Assets
Nine Months Ended September 30, 2019 Number
of Shares
Par
Value
Balance, December 31, 2018 51,284,064  $ 51,284  $ 884,894,249  $ (321,978,246) $ 562,967,287 
Net investment income —  —  —  23,357,344  23,357,344 
Net realized loss on investments / foreign currency transactions —  —  —  (1,063,250) (1,063,250)
Net unrealized appreciation of investments / foreign currency transactions —  —  —  25,454,367  25,454,367 
Loss on extinguishment of debt —  —  —  (143,108) (143,108)
Provision for taxes —  —  —  (499) (499)
Dividends / distributions —  —  —  (19,582,956) (19,582,956)
Purchases of shares in repurchase plan (1,865,522) (1,865) (18,542,340) —  (18,544,205)
Balance, September 30, 2019 49,418,542  $ 49,419  $ 866,351,909  $ (293,956,348) $ 572,444,980 
Common Stock Additional
Paid-In
Capital
Total Distributable Earnings (Loss) Total
Net
Assets
Nine Months Ended September 30, 2020 Number
of Shares
Par
Value
Balance, December 31, 2019 48,950,803  $ 48,951  $ 853,766,370  $ (282,940,612) $ 570,874,709 
Net investment income —  —  —  21,783,364  21,783,364 
Net realized loss on investments / foreign currency transactions —  —  —  (37,323,454) (37,323,454)
Net unrealized appreciation of investments / foreign currency transactions —  —  —  1,594,639  1,594,639 
Loss on extinguishment of debt —  —  —  (660,066) (660,066)
Income tax benefit —  —  —  10,105  10,105 
Dividends / distributions —  —  —  (23,171,724) (23,171,724)
Purchases of shares in repurchase plan (989,050) (989) (7,129,643) —  (7,130,632)
Balance, September 30, 2020 47,961,753  $ 47,962  $ 846,636,727  $ (320,707,748) $ 525,976,941 
See accompanying notes.
6


Barings BDC, Inc.
Unaudited Consolidated Statements of Cash Flows 
Nine Months Ended Nine Months Ended
September 30, 2020 September 30, 2019
Cash flows from operating activities:
Net increase (decrease) in net assets resulting from operations $ (14,595,412) $ 47,604,854 
Adjustments to reconcile net increase (decrease) in net assets resulting from operations to net cash provided by (used in) operating activities:
Purchases of portfolio investments (316,723,958) (294,160,380)
Repayments received / sales of portfolio investments 416,989,098  251,057,329 
Purchases of short-term investments (697,141,628) (577,451,108)
Sales of short-term investments 583,220,977  571,122,802 
Loan origination and other fees received 6,075,019  5,118,390 
Net realized loss on investments 36,233,667  1,146,287 
Net realized (gain) loss on foreign currency transactions 1,089,787  (83,037)
Net unrealized appreciation of investments (3,351,051) (25,080,089)
Net unrealized (appreciation) depreciation of foreign currency transactions 1,756,412  (374,278)
Payment-in-kind interest accrued, net of payments received (577,090) — 
Amortization of deferred financing fees 1,113,839  951,134 
Loss on extinguishment of debt 660,066  143,108 
Accretion of loan origination and other fees (1,676,063) (1,254,234)
Amortization / accretion of purchased loan premium / discount (1,138,000) (187,967)
Changes in operating assets and liabilities:
Interest and fees receivables (2,699,114) 595,826 
Prepaid expenses and other assets (2,569,056) 2,421,921 
Accounts payable and accrued liabilities (118,876) 65,869 
Interest payable (1,724,576) 2,141,975 
Net cash provided by (used in) operating activities 4,824,041  (16,221,598)
Cash flows from financing activities:
Borrowings under credit facilities 236,239,474  188,225,262 
Repayments of credit facilities (127,523,364) (466,000,000)
Proceeds from debt securitization —  348,250,000 
Repayment of debt securitization (139,897,128) (7,468,690)
Proceeds from notes 50,000,000  — 
Financing fees paid (544,874) (8,246,692)
Purchases of shares in repurchase plan (7,130,632) (18,544,205)
Cash dividends / distributions paid (23,171,724) (19,582,956)
Net cash provided by (used in) financing activities (12,028,248) 16,632,719 
Net increase (decrease) in cash and foreign currencies (7,204,207) 411,121 
Cash and foreign currencies, beginning of period 21,991,565  12,426,982 
Cash and foreign currencies, end of period $ 14,787,358  $ 12,838,103 
Supplemental disclosure of cash flow information:
Cash paid for interest $ 13,372,484  $ 14,398,249 
See accompanying notes.
7

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments
September 30, 2020


Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
Non–Control / Non–Affiliate Investments:
1WorldSync, Inc. (4.2%)*(5) (7) (8) (10)
IT Consulting & Other Services First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 07/19, Due 07/25) $ 858,894  $ 844,671  $ 841,716 
First Lien Senior Secured Term Loan (LIBOR + 5.75%, 7.0% Cash, Acquired 07/19, Due 07/25) 21,418,269  21,061,882  20,989,904 
22,277,163  21,906,553  21,831,620 
Accelerate Learning, Inc.
(1.4%)*(5) (7) (8) (11)
Education Services First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.6% Cash, Acquired 12/18, Due 12/24) 7,567,965  7,455,531  7,195,485 
7,567,965  7,455,531  7,195,485 
Accurus Aerospace Corporation (4.1%)*(5) (7) (8) (10)
Aerospace & Defense First Lien Senior Secured Term Loan (LIBOR + 5.5%, 6.5% Cash, Acquired 10/18, Due 10/24) 24,562,500  24,298,740  21,393,938 
24,562,500  24,298,740  21,393,938 
Acrisure, LLC (0.4%)*(5) (8) (9)
Property & Casualty Insurance First Lien Senior Secured Term Loan (LIBOR + 3.5%, 3.7% Cash, Acquired 03/20, Due 02/27) 1,990,000  1,714,306  1,917,863 
1,990,000  1,714,306  1,917,863 
ADE Holding (d/b/a AD Education) (1.0%)*(3) (5) (7) (8) (15)
Education Services First Lien Senior Secured Term Loan (EURIBOR + 5.0%, 5.0% Cash, Acquired 01/20, Due 01/27) 5,232,622  4,972,254  5,099,606 
5,232,622  4,972,254  5,099,606 
ADMI Corp. (0.6%)*(6) (8) (9)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 2.75%, 2.9% Cash, Acquired 08/18, Due 04/25) 3,421,732  3,431,035  3,281,441 
3,421,732  3,431,035  3,281,441 
Aftermath Bidco Corporation (2.2%)*(5) (7) (8) (10)
Professional Services First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 04/19, Due 04/25) 11,581,395  11,374,840  11,320,814 
11,581,395  11,374,840  11,320,814 
Air Canada 2020-2 Class B Pass Through Trust (1.5%)*(5)
Airlines Structured Secured Note - Class B (9.0% Cash, Acquired 09/20, Due 10/25) 7,500,000  7,500,000  7,852,969 
7,500,000  7,500,000  7,852,969 
Altice USA, Inc. (0.5%)*(3) (5) (8) (9)
Cable & Satellite First Lien Senior Secured Term Loan (LIBOR + 2.25%, 2.4% Cash, Acquired 09/18, Due 01/26) 2,487,374  2,212,589  2,399,793 
2,487,374  2,212,589  2,399,793 
American Dental Partners, Inc. (1.8%)*(5) (7) (8) (10)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 4.25%, 5.3% Cash, Acquired 11/18, Due 03/23) 9,825,000  9,810,201  9,271,001 
9,825,000  9,810,201  9,271,001 
American Scaffold, Inc. (1.8%)*(5) (7) (8) (10)
Aerospace & Defense First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 09/19, Due 09/25) 9,735,797  9,549,448  9,468,062 
9,735,797  9,549,448  9,468,062 
Anagram Holdings, LLC
(2.7%)*(3) (5) (7)
Chemicals, Plastics, & Rubber First Lien Senior Secured Note (10.0% Cash, 5.0% PIK, Acquired 08/20, Due 08/25) 13,673,780  12,526,549  14,220,731 
13,673,780  12,526,549  14,220,731 
Anchorage Capital CLO Ltd: Series 2013-1A (0.4%)*(3) (5) (8) (10)
Structured Finance Structured Secured Note - Class DR (LIBOR + 6.8%, 7.1% Cash, Acquired 03/20, Due 10/30) 2,000,000  1,738,801  1,914,828 
2,000,000  1,738,801  1,914,828 
Anju Software, Inc. (2.5%)*(5) (7) (8) (10)
Application Software First Lien Senior Secured Term Loan (LIBOR + 5.5%, 6.6% Cash, Acquired 02/19, Due 02/25) 13,701,182  13,428,607  13,008,014 
13,701,182  13,428,607  13,008,014 
Apex Bidco Limited (0.4%)*(3) (5) (7) (12)
Business Equipment & Services
First Lien Senior Secured Term Loan (GBP LIBOR + 6.50%, 7.0% Cash, Acquired 01/20, Due 01/27) (8)
1,883,976  1,846,562  1,827,457 
Subordinated Senior Unsecured Term Loan (8.0% PIK, Acquired 01/20, Due 07/27) 238,623  234,872  231,464 
2,122,599  2,081,434  2,058,921 
Apex Tool Group, LLC
(0.4%)*(5) (6) (8) (9)
Industrial Machinery First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.5% Cash, Acquired 08/18, Due 08/24) 2,041,814  1,999,069  1,931,556 
2,041,814  1,999,069  1,931,556 
AQA Acquisition Holding, Inc. (f/k/a SmartBear) (0.9%)*(5) (7) (8) (10)
High Tech Industries Second Lien Senior Secured Term Loan (LIBOR + 8.0%, 9.0% Cash, Acquired 10/18, Due 05/24) 4,959,088  4,872,484  4,865,857 
4,959,088  4,872,484  4,865,857 
8

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
Arch Global Precision LLC (2.5%)*(5) (7) (8) (10)
Industrial Machinery First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.0% Cash, Acquired 04/19, Due 04/26) $ 13,472,831  $ 13,265,371  $ 13,278,284 
13,472,831  13,265,371  13,278,284 
Armstrong Transport Group (Pele Buyer, LLC ) (1.4%)*(5) (7) (8) (10)
Air Freight & Logistics First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 06/19, Due 06/24) 5,368,480  5,286,234  5,243,394 
First Lien Senior Secured Term Loan (LIBOR + 6.0%, 6.2% Cash, Acquired 07/20, Due 06/24) 2,000,318  1,961,993  2,000,318 
7,368,798  7,248,227  7,243,712 
Ascensus Specialties, LLC
(1.3%)*(5) (7) (8) (9)
Specialty Chemicals First Lien Senior Secured Term Loan (LIBOR + 4.75%, 4.9% Cash, Acquired 09/19, Due 09/26) 7,037,126  6,975,230  6,942,179 
7,037,126  6,975,230  6,942,179 
ASPEQ Heating Group LLC (1.7%)*(5) (7) (8) (17)
Building Products, Air and Heating First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 11/19, Due 11/25) 8,968,089  8,850,558  8,833,568 
8,968,089  8,850,558  8,833,568 
Auxi International (0.3%)*(3) (5) (7) (8) (14)
Commercial Finance First Lien Senior Secured Term Loan (EURIBOR + 5.5%, 5.5% Cash, Acquired 12/19, Due 12/26) 1,641,711  1,513,488  1,596,564 
1,641,711  1,513,488  1,596,564 
Aveanna Healthcare Holdings, Inc. (0.9%)*(6) (8) (10)
Health Care Facilities First Lien Senior Secured Term Loan (LIBOR + 4.25%, 5.3% Cash, Acquired 10/18, Due 03/24) 1,465,984  1,452,738  1,378,391 
First Lien Senior Secured Term Loan (LIBOR + 5.5%, 6.5% Cash, Acquired 10/18, Due 03/24) 3,511,966  3,512,719  3,299,211 
4,977,950  4,965,457  4,677,602 
AVSC Holding Corp.
(0.8%)* (5) (6) (8) (11)
Advertising First Lien Senior Secured Term Loan (LIBOR + 3.25%, 4.25% Cash, Acquired 08/18, Due 03/25) 4,917,073  4,895,932  3,650,926 
First Lien Senior Secured Term Loan (LIBOR + 4.50%, 5.5% Cash, Acquired 08/18, Due 03/25) (7)
750,000  550,978  562,500 
5,667,073  5,446,910  4,213,426 
Bass Pro Group, LLC (0.4%)*(5) (8) (10)
General Merchandise Stores First Lien Senior Secured Term Loan (LIBOR + 5.0%, 5.8% Cash, Acquired 03/20, Due 09/24) 1,984,655  1,787,822  1,963,578 
1,984,655  1,787,822  1,963,578 
BDP International, Inc. (f/k/a BDP Buyer, LLC) (4.7%)*(5) (7) (8) (10)
Air Freight & Logistics First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 12/18, Due 12/24) 24,562,500  24,197,584  24,562,500 
24,562,500  24,197,584  24,562,500 
Beacon Pointe Advisors, LLC (0.1%)*(5) (7) (8) (10)
Asset Manager & Custody Bank First Lien Senior Secured Term Loan (LIBOR + 5.0%, 6.0% Cash, Acquired 03/20, Due 03/26) 633,182  612,411  614,342 
633,182  612,411  614,342 
Benify (Bennevis AB)
(0.3%)*(3) (5) (7) (8) (16)
High Tech Industries First Lien Senior Secured Term Loan (STIBOR + 5.25%, 5.3% Cash, Acquired 07/19, Due 07/26) 1,458,053  1,365,873  1,436,182 
1,458,053  1,365,873  1,436,182 
Blackhawk Network Holdings Inc. (0.9%)*(6) (8) (9)
Data Processing & Outsourced Services First Lien Senior Secured Term Loan (LIBOR + 3.0%, 3.1% Cash, Acquired 11/18, Due 06/25) 4,924,433  4,924,433  4,630,494 
4,924,433  4,924,433  4,630,494 
Boxer Parent Company Inc.
(0.4%)*(5) (8) (9)
Software/Services First Lien Senior Secured Term Loan (LIBOR + 4.25%, 4.4% Cash, Acquired 03/20, Due 10/25) 1,984,848  1,800,811  1,922,147 
1,984,848  1,800,811  1,922,147 
Brown Machine Group Holdings, LLC (1.0%)*(5) (7) (8) (10)
Industrial Equipment First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 10/18, Due 10/24) 5,286,022  5,239,308  5,153,872 
5,286,022  5,239,308  5,153,872 
Cadent, LLC (f/k/a Cross MediaWorks) (1.4%)*(5) (7) (8) (10)
Media & Entertainment First Lien Senior Secured Term Loan (LIBOR + 5.5%, 6.5% Cash, Acquired 09/18, Due 09/23) 7,532,846  7,487,168  7,397,255 
7,532,846  7,487,168  7,397,255 
Carlson Travel, Inc (0.4%)*(5) (7)
Business Travel Management First Lien Senior Secured Note (6.8% Cash, Acquired 09/20, Due 12/25) 3,000,000  2,362,500  2,265,000 
3,000,000  2,362,500  2,265,000 
Carlyle Aviation Partners Ltd. (0.2%)*(5)
Structured Finance Structured Secured Note, Series 2019-2 - Class A (3.4% Cash, Acquired 3/20, Due 10/39) 929,148  841,103  870,716 
Structured Secured Note, Series 2018-2 - Class A (4.5% Cash, Acquired 03/20, Due 11/38) 434,772  393,979  404,368 
1,363,920  1,235,082  1,275,084 
9

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
Centralis Finco S.a.r.l. (0.2%)*(3) (5) (7) (8) (14)
Diversified Financial Services First Lien Senior Secured Term Loan (EURIBOR + 5.25%, 5.3% Cash, Acquired 5/20, Due 5/27) $ 831,808  $ 731,243  $ 806,450 
831,808  731,243  806,450 
Cineworld Group PLC
(0.4%)*(3) (5) (8) (11)
Leisure Products First Lien Senior Secured Term Loan (LIBOR + 2.25%, 2.5% Cash, Acquired 4/20, Due 2/25) 2,981,586  1,989,848  1,971,156 
2,981,586  1,989,848  1,971,156 
Clarios Global LP (0.4%)*(5) (8) (9)
Auto Parts & Equipment First Lien Senior Secured Term Loan (LIBOR + 3.5%, 3.6% Cash, Acquired 3/20, Due 4/26) 1,984,962  1,801,408  1,930,991 
1,984,962  1,801,408  1,930,991 
Classic Collision (Summit Buyer, LLC) (1.1%)*(5) (7) (8) (10)
Auto Collision Repair Centers First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.5% Cash, Acquired 01/20, Due 01/26) 5,582,424  5,303,593  5,582,424 
5,582,424  5,303,593  5,582,424 
CM Acquisitions Holdings Inc. (3.9%)*(5) (7) (8) (11)
Internet & Direct Marketing
First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.5% Cash, Acquired 05/19, Due 05/25) 20,434,481  20,129,562  20,264,435 
20,434,481  20,129,562  20,264,435 
CMT Opco Holding, LLC (Concept Machine) (1.0%)*(5) (7) (8) (11)
Distributors First Lien Senior Secured Term Loan (LIBOR + 5.0%, 6.0% Cash, Acquired 01/20, Due 01/25) 5,437,083  5,340,979  5,007,553 
LLC Units (10,185 units, Acquired 01/20) 407,915  306,379 
5,437,083  5,748,894  5,313,932 
Confie Seguros Holding II Co. (0.4%)*(5) (8) (9)
Insurance Brokerage Services Second Lien Senior Secured Term Loan (LIBOR + 8.5%, 8.7% Cash, Acquired 10/19, Due 11/25) 2,500,000  2,365,231  1,906,250 
2,500,000  2,365,231  1,906,250 
Contabo Finco S.À R.L (0.3%)*(3) (5) (7) (8) (14)
Internet Software and Services First Lien Senior Secured Term Loan (EURIBOR + 5.75%, 5.8% Cash, Acquired 10/19, Due 10/26) 1,421,669  1,308,924  1,376,558 
1,421,669  1,308,924  1,376,558 
Container Store Group, Inc., (The) (0.5%)*(3) (6) (8) (10)
Retail First Lien Senior Secured Term Loan (LIBOR + 5.0%, 6.0% Cash, Acquired 09/18, Due 09/23) 2,869,873  2,871,724  2,704,855 
2,869,873  2,871,724  2,704,855 
CSL DualCom (2.4%)*(3) (5) (7) (8) (12)
Tele-communications First Lien Senior Secured Term Loan (GBP LIBOR + 5.5%, 5.6% Cash, Acquired 09/20, Due 09/27) 12,829,485  12,128,593  12,341,964 
12,829,485  12,128,593  12,341,964 
Dart Buyer, Inc. (2.3%)*(3) (5) (7) (8) (10)
Aerospace & Defense First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 04/19, Due 04/25) 12,354,672  12,124,446  12,058,967 
12,354,672  12,124,446  12,058,967 
Diamond Sports Group, LLC (0.2%)* (5) (8) (9)
Broadcasting First Lien Senior Secured Term Loan (LIBOR + 3.25%, 3.4% Cash, Acquired 03/20, Due 08/26) 992,481  785,480  765,868 
992,481  785,480  765,868 
Distinct Holdings, Inc. (1.4%)*(5) (7) (8) (10)
Systems Software First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 04/19, Due 12/23) 7,535,774  7,467,659  7,396,362 
7,535,774  7,467,659  7,396,362 
DreamStart Bidco SAS (d/b/a SmartTrade) (0.5%)*(3) (5) (7) (8) (15)
Diversified Financial Services First Lien Senior Secured Term Loan (EURIBOR + 4.5%, 4.5% Cash, 1.8% PIK, Acquired 03/20, Due 03/27) 2,862,667  2,597,617  2,757,703 
2,862,667  2,597,617  2,757,703 
Elmwood CLO: Series 2019-1A (0.6%)*(3) (5) (8) (10)
Structured Finance Structured Secured Note - Class E (LIBOR + 7.10%, 7.4% Cash, Acquired 03/20, Due 04/30) 3,000,000  2,673,958  2,923,074 
3,000,000  2,673,958  2,923,074 
Endo International PLC
(0.9%)*(3) (5) (6) (8) (10)
Pharmaceuticals First Lien Senior Secured Term Loan (LIBOR + 4.25%, 5.0% Cash, Acquired 09/18, Due 04/24) 4,825,914  4,861,718  4,584,618 
4,825,914  4,861,718  4,584,618 
Envision Healthcare Corp.
(0.4%)* (5) (8) (9)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 3.75%, 3.9% Cash, Acquired 03/20, Due 10/25) 3,164,825  2,231,579  2,275,857 
3,164,825  2,231,579  2,275,857 
Exeter Property Group, LLC (2.2%)*(5) (7) (8) (9)
Real Estate First Lien Senior Secured Term Loan (LIBOR + 4.5%, 4.7% Cash, Acquired 02/19, Due 08/24) 11,893,750  11,763,359  11,655,875 
11,893,750  11,763,359  11,655,875 
Eyemart Express LLC (0.3%)*(6) (8) (9)
Retail First Lien Senior Secured Term Loan (LIBOR + 3.0%, 4.0% Cash, Acquired 08/18, Due 08/24) 1,422,131  1,425,756  1,373,537 
1,422,131  1,425,756  1,373,537 
10

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
F24 (Stairway BidCo Gmbh)) (0.7%)*(3) (5) (7) (8) (14)
Software Services First Lien Senior Secured Term Loan (EURIBOR + 6.5%, 6.5% Cash, Acquired 08/20, Due 08/27) $ 3,912,838  $ 3,770,493  $ 3,731,425 
3,912,838  3,770,493  3,731,425 
Foundation Risk Partners, Corp.
(0.3%)*(5) (8) (10)
Financial Services First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 09/20, Due 11/23) 1,458,333  1,195,833  1,195,833 
Second Lien Senior Secured Term Loan (LIBOR + 8.50%, 9.5% Cash, Acquired 09/20, Due 11/24) 486,111  325,694  325,694 
1,944,444  1,521,527  1,521,527 
Frazer Consultants, LLC (d/b/a Tribute Technology) (1.3%)*(5) (7) (8) (11)
Software Services First Lien Senior Secured Term Loan (LIBOR + 4.5%, 4.9% Cash, Acquired 11/19, Due 08/23) 6,688,791  6,633,268  6,688,791 
6,688,791  6,633,268  6,688,791 
GoldenTree Loan Opportunities IX, Limited: Series 2014-9A (0.2%)*(3) (5) (8) (10)
Structured Finance Structured Secured Note - Class DR2 (LIBOR + 3.0%, 3.3% Cash, Acquired 03/20, Due 10/29) 1,250,000  909,635  1,187,548 
1,250,000  909,635  1,187,548 
Gulf Finance, LLC (0.1%)*(5) (8) (9)
Oil & Gas Exploration & Production First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 10/18, Due 08/23) 1,050,973  938,230  738,309 
1,050,973  938,230  738,309 
Hawaiian Airlines 2020-1 Class B Pass Through Certificates (1.4%)*(5)
Airlines Structured Secured Note - Class B (11.3% Cash, Acquired 08/20, Due 09/25) 7,500,000  7,500,000  7,544,657 
7,500,000  7,500,000  7,544,657 
Heartland, LLC (0.9%)*(5) (7) (8) (11)
Commercial Services & Supplies First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 08/19, Due 08/25) 5,462,750  5,289,830  4,954,660 
5,462,750  5,289,830  4,954,660 
Heilbron (f/k/a Sucsez (Bolt Bidco B.V.)) (2.0%)*(3) (5) (7) (8) (15) (20)
Insurance First Lien Senior Secured Term Loan (EURIBOR + 5.0%, 5.0% Cash, Acquired 09/19, Due 09/26) 9,980,450  9,208,134  9,730,939 
First Lien Senior Secured Term Loan (EURIBOR + 6.0%, 6.0% Cash, Acquired 07/20, Due 09/26) 1,047,298  809,090  820,844 
11,027,748  10,017,224  10,551,783 
Highbridge Loan Management Ltd: Series 2014A-19 (0.2%)*(3) (5) (8) (10)
Structured Finance Structured Secured Note - Class E (LIBOR + 6.75%, 7.0% Cash, Acquired 03/20, Due 07/30) 1,000,000  833,957  953,633 
1,000,000  833,957  953,633 
Holley Performance Products (Holley Purchaser, Inc.) (4.2%)*(5) (7) (8) (10)
Automotive Parts & Equipment First Lien Senior Secured Term Loan (LIBOR + 5.0%, 5.3% Cash, Acquired 10/18, Due 10/25) 22,140,638  21,885,536  22,091,928 
22,140,638  21,885,536  22,091,928 
HW Holdco, LLC (Hanley Wood LLC) (1.4%)*(5) (7) (8) (10)
Advertising First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.5% Cash, Acquired 12/18, Due 12/24) 7,527,218  7,388,421  7,339,037 
7,527,218  7,388,421  7,339,037 
Hyperion Materials & Technologies, Inc. (2.5%)*(5) (7) (8) (10)
Industrial Machinery First Lien Senior Secured Term Loan (LIBOR + 5.5%, 6.5% Cash, Acquired 08/19, Due 08/26) 13,890,785  13,670,491  13,197,635 
13,890,785  13,670,491  13,197,635 
IM Analytics Holding, LLC (d/b/a NVT) (1.4%)*(5) (7) (8) (10)
Electronic Instruments & Components First Lien Senior Secured Term Loan (LIBOR + 7.0%, 8.1% Cash, Acquired 11/19, Due 11/23) 8,229,921  8,163,688  7,214,349 
Warrant (68,950 units, Acquired 11/19) —  — 
8,229,921  8,163,688  7,214,349 
Institutional Shareholder Services, Inc. (0.9%)*(5) (7) (8) (10)
Diversified Support Services Second Lien Senior Secured Term Loan (LIBOR + 8.5%, 8.7% Cash, Acquired 03/19, Due 03/27) 4,951,685  4,826,396  4,803,134 
4,951,685  4,826,396  4,803,134 
International Wire Group Inc. (0.4%)*(5)
Electrical Components & Equipment Second Lien Senior Secured Note (10.8% Cash, Acquired 08/20, Due 08/21) 2,500,000  2,262,170  2,237,500 
2,500,000  2,262,170  2,237,500 
ISS#2, LLC (d/b/a Industrial Services Solutions) (1.4%)*(5) (7) (8) (11)
Commercial Services & Supplies First Lien Senior Secured Term Loan (LIBOR + 5.5%, 6.8% Cash, Acquired 02/20, Due 02/26) 7,856,419  7,713,534  7,463,598 
7,856,419  7,713,534  7,463,598 
Jade Bidco Limited (Jane's)
(2.3%)*(3) (5) (7) (8)
Aerospace & Defense
First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.0% Cash, 2.0% PIK, Acquired 11/19, Due 12/26)(11)
10,432,352  10,176,058  10,145,462 
First Lien Senior Secured Term Loan (EURIBOR + 4.5%, 4.5% Cash, 2.0% PIK, Acquired 11/19, Due 12/26)(15)
1,951,595  1,791,142  1,897,926 
12,383,947  11,967,200  12,043,388 
11

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
JetBlue 2019-1 Class B Pass Through Trust (1.0%)*(5)
Airlines Structured Secured Note - Class B (8.0% Cash, Acquired 08/20, Due 11/27) $ 5,000,000  $ 5,000,000  $ 5,163,463 
5,000,000  5,000,000  5,163,463 
Kenan Advantage Group Inc. (0.8%)*(6) (8) (9)
Trucking First Lien Senior Secured Term Loan (LIBOR + 3.0%, 4.0% Cash, Acquired 08/18, Due 07/22) 4,276,698  4,274,962  4,103,363 
4,276,698  4,274,962  4,103,363 
Kene Acquisition, Inc. (En Engineering) (1.4%)*(5) (7) (8) (10)
Oil & Gas Equipment & Services First Lien Senior Secured Term Loan (LIBOR + 4.25%, 5.3% Cash, Acquired 08/19, Due 08/26) 7,317,225  7,187,235  7,151,434 
7,317,225  7,187,235  7,151,434 
LAC Intermediate, LLC (f/k/a Lighthouse Autism Center) (1.7%)*(5) (7) (8) (10)
Healthcare & Pharmaceuticals First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 10/18, Due 10/24) 9,261,163  9,075,623  8,866,605 
Class A LLC Units (154,320 units, Acquired 10/18) 154,320  166,574 
9,261,163  9,229,943  9,033,179 
Learfield Communications, LLC (1.3%)*(5) (8) (9) (19)
Broadcasting
First Lien Senior Secured Term Loan (LIBOR + 3.25%, 4.3% Cash, Acquired 08/20, Due 12/23) 137,159  96,697  116,184 
First Lien Senior Secured Term Loan (PRIME + 2.00%, 5.3% Cash, 10.0% PIK, Acquired 08/20, Due 12/23) 7,000,000  6,931,678  6,947,500 
7,137,159  7,028,375  7,063,684 
LTI Holdings, Inc. (Boyd Corporation) (2.1%)*(5) (6) (8) (9)
Industrial Conglomerates First Lien Senior Secured Term Loan (LIBOR + 3.5%, 3.6% Cash, Acquired 09/18, Due 09/25) 11,760,000  11,809,119  10,905,518 
11,760,000  11,809,119  10,905,518 
Mallinckrodt Plc (0.5%)* (5) (6) (8) (10)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 2.75%, 3.5% Cash, Acquired 08/18, Due 09/24) 3,229,053  3,220,610  2,702,329 
3,229,053  3,220,610  2,702,329 
MB2 Dental Solutions, LLC (1.5%)*(5) (7) (8) (10)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 6.5%, 7.6% Cash, Acquired 09/19, Due 09/23) 7,970,743  7,900,309  7,869,116 
7,970,743  7,900,309  7,869,116 
Media Recovery, Inc. (SpotSee) (0.4%)*(5) (7) (8) (10)
Containers, Packaging and Glass First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 11/19, Due 11/25) 2,227,543  2,188,757  2,135,693 
2,227,543  2,188,757  2,135,693 
Music Reports, Inc. (1.2%)*(5) (7) (8) (10)
Media & Entertainment First Lien Senior Secured Term Loan (LIBOR + 6.25%, 7.3% Cash, Acquired 08/20, Due 08/26) 6,592,972  6,428,148  6,428,148 
6,592,972  6,428,148  6,428,148 
Neuberger Berman CLO Ltd: Series 2020-36A (0.5%)*(3) (5) (8) (10)
Structured Finance Structured Secured Note - Class E (LIBOR + 7.81%, 8.1% Cash, Acquired 03/20, Due 04/33) 2,500,000  2,476,304  2,499,470 
2,500,000  2,476,304  2,499,470 
NGS US Finco, LLC (f/k/a Dresser Natural Gas Solutions) (2.3%)*(5) (7) (8) (9)
Energy Equipment & Services First Lien Senior Secured Term Loan (LIBOR + 4.25%, 5.3% Cash, Acquired 10/18, Due 10/25) 11,916,381  11,871,673  11,878,249 
11,916,381  11,871,673  11,878,249 
Nouryon Finance B.V. (Starfruit US Holdco, LLC) (0.4%)*(3) (5) (8) (9)
Specialty Chemicals First Lien Senior Secured Term Loan (LIBOR + 3.0%, 3.2% Cash, Acquired 03/20, Due 10/25) 1,984,491  1,790,303  1,918,586 
1,984,491  1,790,303  1,918,586 
Options Technology Ltd.
(2.1%)*(3) (5) (7) (8) (10)
Computer Services First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.5% Cash, Acquired 12/19, Due 12/25) 11,034,649  10,787,963  10,755,587 
11,034,649  10,787,963  10,755,587 
Pare SAS (SAS Maurice MARLE) (0.9%)*(3) (5) (7) (8) (14)
Health Care Equipment First Lien Senior Secured Term Loan (EURIBOR + 5.25%, 6.8% Cash, 1.5% PIK, Acquired 12/19, Due 12/26) 4,734,565  4,413,816  4,637,507 
4,734,565  4,413,816  4,637,507 
Patriot New Midco 1 Limited (Forensic Risk Alliance) (1.6%)*(3) (5) (7) (8)
Diversified Financial Services
First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 02/20, Due 02/27)(11)
4,720,287  4,591,360  4,445,391 
First Lien Senior Secured Term Loan (EURIBOR + 5.75%, 5.8% Cash, Acquired 02/20, Due 02/27) (15)
4,158,610  3,758,277  3,916,425 
8,878,897  8,349,637  8,361,816 
Phoenix Services International LLC (0.5%)*(6) (8) (9)
Steel First Lien Senior Secured Term Loan (LIBOR + 3.75%, 4.8% Cash, Acquired 08/18, Due 03/25) 2,932,331  2,941,028  2,800,376 
2,932,331  2,941,028  2,800,376 
12

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
Playtika Holding Corp. (0.7%)*(5) (8) (10)
Leisure, Amusement & Entertainment First Lien Senior Secured Term Loan (LIBOR + 6.0%, 7.1% Cash, Acquired 03/20, Due 12/24) $ 3,850,000  $ 3,569,560  $ 3,848,576 
3,850,000  3,569,560  3,848,576 
Premier Technical Services Group (Project Graphite) (0.5%)*(3) (5) (7) (8) (13)
Construction & Engineering First Lien Senior Secured Term Loan (GBP LIBOR + 6.75%, 7.5% Cash, Acquired 08/19, Due 06/26) 2,940,259  2,677,987  2,706,073 
2,940,259  2,677,987  2,706,073 
Process Equipment, Inc. (ProcessBarron) (1.2%)*(5) (7) (8) (10) (11)
Industrial Air & Material Handling Equipment First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 03/19, Due 03/25) 6,684,916  6,588,875  6,063,219 
6,684,916  6,588,875  6,063,219 
Professional Datasolutions, Inc. (PDI) (4.4%)*(5) (7) (8) (10)
Application Software First Lien Senior Secured Term Loan (LIBOR + 4.5%, 5.5% Cash, Acquired 03/19, Due 10/24) 22,983,010  22,955,060  22,946,238 
22,983,010  22,955,060  22,946,238 
Project Potter Buyer, LLC (Command Alkon) (1.9%)*(5) (7) (8) (9)
Software First Lien Senior Secured Term Loan (LIBOR + 8.25%, 9.3% Cash, Acquired 04/20, Due 04/27) 9,870,877  9,588,196  9,662,601 
Class A Units (104.4 units, Acquired 04/20) 104,384  136,564 
Class B Units (38,426.7 units, Acquired 4/20) —  — 
9,870,877  9,692,580  9,799,165 
PSC UK Pty Ltd. (0.4%)*(3) (5) (7) (8) (12)
Insurance Services First Lien Senior Secured Term Loan (GBP LIBOR + 6.0%, 6.5% Cash, Acquired 11/19, Due 11/24) 2,062,238  1,983,472  1,996,942 
2,062,238  1,983,472  1,996,942 
Radiate HoldCo, LLC (0.3%)*(5) (8) (9)
Cable & Satellite First Lien Senior Secured Term Loan (LIBOR + 3.5%, 4.3% Cash, Acquired 09/20, Due 09/26) 1,746,415  1,746,415  1,713,669 
1,746,415  1,746,415  1,713,669 
Recovery Point Systems, Inc. (2.2%)*(5) (7) (8) (10)
Technology First Lien Senior Secured Term Loan (LIBOR + 6.5%, 7.5% Cash, Acquired 08/20, Due 07/26) 11,795,776  11,564,165  11,559,860 
11,795,776  11,564,165  11,559,860 
Refinitiv US Holdings, Inc.
(0.6%)*(5) (9)
Data Processing & Outsourced Services First Lien Senior Secured Term Loan (LIBOR + 3.25%, 3.4% Cash, Acquired 03/20, Due 10/25) 3,012,716  2,745,948  2,979,908 
3,012,716  2,745,948  2,979,908 
RR Ltd: Series 2019-6A
(0.4%)*(3) (5) (10)
Structured Finance Structured Secured Note - Class D (LIBOR + 6.75%, 7.0% Cash, Acquired 03/20, Due 04/30) 2,000,000  1,649,961  1,849,426 
2,000,000  1,649,961  1,849,426 
Ruffalo Noel Levitz, LLC
(1.8%)*(5) (7) (8) (10)
Media Services First Lien Senior Secured Term Loan (LIBOR + 6.0%, 7.0% Cash, Acquired 01/19, Due 05/22) 9,641,206  9,566,226  9,496,588 
9,641,206  9,566,226  9,496,588 
Scaled Agile, Inc. (0.9%)*(5) (7) (8) (9)
Research & Consulting Services First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 06/19, Due 06/24) 4,857,479  4,817,601  4,808,905 
4,857,479  4,817,601  4,808,905 
SCI Packaging Inc. (0.9%)*(6) (8) (10)
Metal & Glass Containers First Lien Senior Secured Term Loan (LIBOR + 3.25%, 3.5% Cash, Acquired 08/18, Due 04/24) 4,923,664  4,915,618  4,612,882 
4,923,664  4,915,618  4,612,882 
Seaworld Entertainment, Inc. (1.1%)*(3) (6) (8) (9)
Leisure Facilities First Lien Senior Secured Term Loan (LIBOR + 3.0%, 3.1% Cash, Acquired 08/18, Due 03/24) 5,923,469  5,916,134  5,498,934 
5,923,469  5,916,134  5,498,934 
Serta Simmons Bedding LLC
(2.0%)* (5) (8) (9)
Home Furnishings Super Priority First Out (LIBOR + 7.5%, 8.5% Cash, Acquired 6/20, Due 08/23) 7,443,107  7,235,952  7,331,460 
Super Priority Second Out (LIBOR + 7.5%, 8.5% Cash, Acquired 6/20, Due 08/23) 3,652,949  3,381,618  2,969,848 
11,096,056  10,617,570  10,301,308 
Smile Brands Group Inc.
(1.1%)*(5) (7) (8) (10) (11)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 4.5%, 4.9% Cash, Acquired 10/18, Due 10/24) 5,851,605  5,808,132  5,657,743 
5,851,605  5,808,132  5,657,743 
Springbrook Software (SBRK Intermediate, Inc.) (1.9%)*(5) (7) (8) (10)
Enterprise Software and Services First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 12/19, Due 12/26) 10,442,083  10,214,537  10,191,155 
10,442,083  10,214,537  10,191,155 
Syniverse Holdings, Inc. (1.5%)*(5) (6) (8) (10)
Technology Distributors First Lien Senior Secured Term Loan (LIBOR + 5.0%, 6.0% Cash, Acquired 08/18, Due 03/23) 10,263,158  10,235,328  7,876,974 
10,263,158  10,235,328  7,876,974 
13

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
Tahoe Subco 1 Ltd. (Almonde, Inc.) (2.1%)*(3) (5) (6) (8) (11)
Internet Software & Services First Lien Senior Secured Term Loan (LIBOR + 3.5%, 4.5% Cash, Acquired 09/18, Due 06/24) $ 11,828,390  $ 11,836,116  $ 11,032,931 
11,828,390  11,836,116  11,032,931 
Team Health Holdings, Inc. (1.1%)*(5) (6) (8) (9)
Health Care Services First Lien Senior Secured Term Loan (LIBOR + 2.75%, 3.8% Cash, Acquired 09/18, Due 02/24) 6,840,506  6,664,086  5,719,416 
6,840,506  6,664,086  5,719,416 
The Hilb Group, LLC
(1.8%)*(5) (7) (8) (9) (10)
Insurance Brokerage First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 12/19, Due 12/26) 9,767,134  9,503,409  9,474,877 
9,767,134  9,503,409  9,474,877 
Total Safety U.S. Inc. (1.3%)*(5) (8) (10)
Diversified Support Services First Lien Senior Secured Term Loan (LIBOR + 6.0%, 7.0% Cash, Acquired 11/19, Due 08/25) 6,948,915  6,687,013  6,611,893 
6,948,915  6,687,013  6,611,893 
Transit Technologies LLC
(1.1%)*(5) (7) (8) (10)
Software First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.0% Cash, Acquired 02/20, Due 02/25) 6,785,305  6,575,927  6,014,494 
6,785,305  6,575,927  6,014,494 
Transportation Insight, LLC (4.6%)*(5) (7) (8) (10)
Air Freight & Logistics First Lien Senior Secured Term Loan (LIBOR + 4.5%, 4.8% Cash, Acquired 08/18, Due 12/24) 24,589,328  24,418,931  24,343,435 
24,589,328  24,418,931  24,343,435 
Triumph Group Inc. (0.7%)*(3) (5)
Aerospace & Defense First Lien Senior Secured Note (8.9% Cash, Acquired 08/20, Due 06/24) 3,266,000  3,266,000  3,478,290 
3,266,000  3,266,000  3,478,290 
Truck-Lite Co., LLC (3.4%)*(5) (7) (8) (10)
Automotive Parts and Equipment First Lien Senior Secured Term Loan (LIBOR + 6.25%, 7.3% Cash, Acquired 12/19, Due 12/26) 19,468,270  19,062,504  18,080,155 
19,468,270  19,062,504  18,080,155 
Trystar, LLC (3.0%)*(5) (7) (8) (10)
Power Distribution Solutions First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.8% Cash, Acquired 09/18, Due 09/23) 15,637,813  15,464,677  15,345,385 
Class A LLC Units (361.5 units, Acquired 09/18) 361,505  365,533 
15,637,813  15,826,182  15,710,918 
U.S. Anesthesia Partners, Inc. (2.4%)*(5) (6) (8) (11)
Managed Health Care First Lien Senior Secured Term Loan (LIBOR + 3.0%, 4.0% Cash, Acquired 09/18, Due 06/24) 13,481,027  13,524,906  12,705,868 
13,481,027  13,524,906  12,705,868 
U.S. Silica Company (0.2%)*(5) (8) (9)
Metal & Glass Containers First Lien Senior Secured Term Loan (LIBOR + 4.0%, 5.0% Cash, Acquired 08/18, Due 05/25) 1,491,380  1,494,324  1,242,036 
1,491,380  1,494,324  1,242,036 
UKFast Leaders Limited (5.4%)*(3) (5) (7) (8) (18)
Technology First Lien Senior Secured Term Loan (GBP LIBOR + 6.75%, 6.8% Cash, Acquired 09/20, Due 9/27) 22,912,134  22,121,627  22,224,770 
Super Senior Secured Term Loan (GBP LIBOR + 3.25%, 3.3% Cash, Acquired 09/20, Due 3/27) 6,248,763  6,033,283  6,061,300 
29,160,897  28,154,910  28,286,070 
USF Holdings LLC (U.S. Farathane, LLC) (0.5%)*(6) (8) (10)
Auto Parts & Equipment First Lien Senior Secured Term Loan (LIBOR + 3.5%, 4.5% Cash, Acquired 08/18, Due 12/21) 3,088,580  3,093,550  2,665,444 
3,088,580  3,093,550  2,665,444 
USLS Acquisition, Inc. (f/k/a US Legal Support, Inc.) (2.8%)*(5) (7) (8) (10) (11)
Legal Services First Lien Senior Secured Term Loan (LIBOR + 5.75%, 6.8% Cash, Acquired 11/18, Due 11/24) 16,430,096  16,194,004  14,884,078 
16,430,096  16,194,004  14,884,078 
Utac Ceram (2.6%)*(3) (5) (8) (14)
Business Services First Lien Senior Secured Term Loan (EURIBOR + 5.75%, 5.8% Cash, Acquired 09/20, Due 09/27) 14,071,806  13,503,424  13,597,762 
14,071,806  13,503,424  13,597,762 
Validity, Inc. (0.9%)*(5) (7) (8) (10)
IT Consulting & Other Services First Lien Senior Secured Term Loan (LIBOR + 4.75%, 5.1% Cash, Acquired 07/19, Due 05/25) 5,051,351  4,915,036  4,724,276 
5,051,351  4,915,036  4,724,276 
Winebow Group, LLC, (The) (2.6%)*(5) (8) (9)
Consumer Goods First Lien Senior Secured Term Loan (LIBOR + 3.75%, 4.8% Cash, Acquired 11/19, Due 07/21) 10,787,718  10,070,655  8,896,525 
Second Lien Senior Secured Term Loan (LIBOR + 7.5%, 8.5% Cash, Acquired 10/19, Due 01/22) (7)
7,141,980  4,813,864  4,999,386 
17,929,698  14,884,519  13,895,911 
14

Barings BDC, Inc.
Unaudited Consolidated Schedule of Investments — (Continued)
September 30, 2020
Portfolio Company Industry
Type of Investment(1) (2)
Principal
Amount
Cost Fair
Value
World 50, Inc. (2.6%)*(5) (7) (8) (9)
Professional Services First Lien Senior Secured Term Loan (LIBOR + 5.25%, 6.3% Cash, Acquired 01/20, Due 01/26) $ 13,945,025  $ 13,607,509  $ 13,535,173 
13,945,025  13,607,509  13,535,173 
Subtotal Non–Control / Non–Affiliate Investments 929,268,108  903,128,567  886,610,176 
Affiliate Investments:(4)
Jocassee Partners LLC (3.0%)*(3) (5)
Investment Funds & Vehicles 9.1% Member Interest, Acquired 06/19 15,158,270  15,952,545 
15,158,270  15,952,545 
Thompson Rivers LLC (0.6%)*(3) (5)
Investment Funds & Vehicles 10% Member Interest, Acquired 06/20 3,100,000  3,205,530 
3,100,000  3,205,530 
Subtotal Affiliate Investments 18,258,270  19,158,075 
Short-Term Investments:
BlackRock, Inc.
(4.0%)*(5)
Money Market Fund BlackRock Liquidity Temporary Fund (0.13% yield) 21,000,000  21,000,000 
21,000,000  21,000,000 
Federated Investment Management Company (30.4%)* (6)
Money Market Fund