UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549FORM N-Q
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANIESInvestment Company Act file number: 811-04875
Name of Fund: Royce Value Trust, Inc.
Fund Address: 1414 Avenue of the Americas
New York, NY 10019Name and address of agent for service:
John E. Denneen, Esq.
Royce & Associates, LLC
1414 Avenue of the Americas
New York, NY 10019Registrants telephone number, including area code: (212) 486-1445
Date of fiscal year end: 12/31/2005
Date of reporting period: 3/31/2005
Item 1 - Schedule of Investments
ROYCE VALUE TRUST MARCH 31, 2005 (UNAUDITED) COMMON STOCKS - 115.8% SHARES VALUE Consumer Products - 9.5% Apparel and Shoes - 3.4%Jones Apparel Group
81,500 $2,729,435K-Swiss Cl. A
212,400 7,015,572Steven Madden a,d
63,000 1,051,470Oshkosh BGosh Cl. A
104,300 3,181,150Polo Ralph Lauren Cl. A
150,000 5,820,000Tandy Brands Accessories
46,900 702,093Timberland Company Cl. A a
30,000 2,127,900Tommy Hilfiger a,d
141,000 1,649,700Warnaco Group (The) a
32,000 769,280Weyco Group
153,996 6,741,945
31,788,545
Collectibles - 1.0%Action Performance Companies a,d
300,600 3,976,938The Boyds Collection a,d
524,200 1,216,144Enesco Group a
47,200 313,880Topps Company (The)
410,500 3,780,705
9,287,667
Food/Beverage/Tobacco - 0.3%Hain Celestial Group a,d
37,800 704,592Hershey Creamery Company
709 1,630,700Lancaster Colony
16,900 719,095
3,054,387
Home Furnishing and Appliances - 0.6%Chromcraft Revington a
36,200 496,664Ethan Allen Interiors
45,000 1,440,000Falcon Products a,c
941,600 65,912La-Z-Boy
128,200 1,785,826Natuzzi ADR b
215,200 2,235,928
6,024,330
Publishing - 0.7%Journal Communications Cl. A
100,200 1,658,310Scholastic Corporation a,d
130,000 4,795,700
6,454,010
Sports and Recreation - 1.3%Callaway Golf Company
275,800 3,530,240Coachmen Industries
47,700 648,720Monaco Coach
161,050 2,600,957Nautilus Group
2,000 47,520Oakley
325,000 4,166,500Sturm, Ruger & Company
30,000 207,900Thor Industries
43,100 1,289,121
12,490,958
Other Consumer Products - 2.2%Blyth
14,700 468,048Burnham Holdings Cl. B a
36,000 959,400Dorel Industries Cl. B a,d
34,500 1,130,565Fossil a,d
127,000 3,292,475Lazare Kaplan International a
103,600 1,182,076Leapfrog Enterprises a,d
244,700 2,777,345Matthews International Cl. A
166,000 5,438,160RC2 Corporation a,d
170,400 5,793,600
21,041,669
Total 90,141,566
Consumer Services - 6.8% Direct Marketing - 0.3%Collegiate Pacific
36,500 403,325Sportsmans Guide (The) a
101,000 2,640,140
3,043,465
Leisure and Entertainment - 0.5%Carmike Cinemas
21,000 782,880Dover Downs Gaming & Entertainment
66,800 831,6604Kids Entertainment a,d
21,000 464,310Gemstar-TV Guide International a
201,100 874,785Hasbro
50,000 1,022,500Steiner Leisure a
22,800 745,332
4,721,467
Media and Broadcasting - 0.1%Cox Radio Cl. A a,d
23,000 386,630
Restaurants and Lodgings - 0.8%Benihana Cl. A a
6,600 100,056CEC Entertainment a
45,000 1,647,000IHOP Corporation
116,700 5,564,256Jack in the Box a
2,000 74,200Ryans Restaurant Group a
35,900 521,627
7,907,139
Retail Stores - 3.7%AnnTaylor Stores a,d
22,500 575,775BJs Wholesale Club a
26,000 807,560Big Lots a
255,300 3,068,706CarMax a,d
103,000 3,244,500Charming Shoppes a,d
494,400 4,019,472Claires Stores
167,200 3,852,288Dress Barn (The) a,d
100,000 1,822,000GameStop Corporation Cl. A a,d
69,800 1,546,768GameStop Corporation Cl. B a
3,100 69,130Hot Topic a,d
20,000 437,000Krispy Kreme Doughnuts a,d
17,000 129,710Movie Gallery
31,000 889,080Neiman Marcus Group (The) Cl. A
20,800 1,903,40899 Cents Only Stores a,d
50,000 658,500Payless ShoeSource a
209,600 3,309,584Stein Mart a
172,800 3,888,000Urban Outfitters a
65,200 3,127,644Wet Seal (The) Cl. A a,d
202,000 702,960Wild Oats Markets a,d
79,000 839,770
34,891,855
Other Consumer Services - 1.4%Corinthian Colleges a,d
95,500 1,501,260MoneyGram International
217,100 4,101,019Sothebys Holdings Cl. A a,d
485,200 8,228,992
13,831,271
Total 64,781,827
Diversified Investment Companies - 0.1% Closed-End Mutual Funds - 0.1%Central Fund of Canada Cl. A
117,000 628,290
Total 628,290
Financial Intermediaries - 11.3% Banking - 3.6%BOK Financial a
129,327 5,261,022Bankrate a,d
44,000 589,160Citizens Bancorp
3,500 74,375Eurobancshares a,d
31,000 524,210Exchange National Bancshares
20,000 581,000Farmers & Merchants Bank of Long Beach
1,266 7,311,150First National Bank Alaska
2,130 4,792,500Heritage Financial
12,300 276,750HopFed Bancorp
25,000 415,000Jefferson Bancshares
25,000 308,750Mechanics Bank a
200 3,820,000Mercantile Bankshares
20,000 1,017,200NBC Capital
30,300 732,654NetBank
70,000 593,600Northeast Pennsylvania Financial
20,000 456,000Ocwen Financial a,d
47,000 379,290Old Point Financial
5,500 174,735Oriental Financial Group
54,147 1,268,123Partners Trust Financial Group
130,000 1,378,000Sun Bancorp a
38,000 869,630Tompkins Trustco
15,950 678,672Whitney Holding
27,000 1,201,770Wilber Corporation
31,700 385,789Wilmington Trust
31,000 1,088,100Yadkin Valley Bank and Trust Company
3,800 53,390
34,230,870
Insurance - 6.4%Alleghany Corporation a
9,180 2,542,860Argonaut Group a,d
187,000 3,968,140Aspen Insurance Holdings
75,000 1,890,750Baldwin & Lyons Cl. B
22,200 575,868Commerce Group
44,500 2,758,110Erie Indemnity Company Cl. A
139,900 7,291,588IPC Holdings
27,000 1,060,560Leucadia National
77,250 2,653,537Markel Corporation a,d
4,200 1,449,882Montpelier Re Holdings
77,000 2,706,550NYMAGIC
85,200 2,019,240Navigators Group a
83,200 2,757,664Ohio Casualty a,d
187,000 4,297,260PXRE Group
166,551 4,272,033Philadelphia Consolidated Holding a,d
35,000 2,713,550Phoenix Companies (The) d
81,900 1,046,682ProAssurance Corporation a,d
76,070 3,004,765RLI
99,724 4,133,560Reinsurance Group of America
30,000 1,277,400Transatlantic Holdings
5,000 331,10021st Century Insurance Group
62,000 864,900U.S.I. Holdings a,d
40,000 471,200Wesco Financial
7,750 2,983,595Zenith National Insurance
64,300 3,334,598
60,405,392
Real Estate Investment Trusts - 0.1%Gladstone Commercial
30,000 493,200Sun Communities
20,400 730,320
1,223,520
Securities Brokers - 1.1%E*TRADE Financial a
521,700 6,260,400First Albany
124,000 1,135,840Investment Technology Group a
94,300 1,650,250Knight Trading Group a,d
129,700 1,250,308
10,296,798
Other Financial Intermediaries - 0.1%Archipelago Holdings a,d
67,400 1,192,980
Total 107,349,560
Financial Services - 9.5% Information and Processing - 2.8%Advent Software a,d
171,100 3,110,598eFunds Corporation a
173,875 3,880,890FactSet Research Systems
117,750 3,886,927Fair Isaac
67,300 2,317,812Global Payments
68,500 4,417,565Interactive Data a
134,300 2,786,725SEI Investments
165,700 5,991,712
26,392,229
Insurance Brokers - 1.2%Crawford & Company Cl. A
289,100 2,023,700Crawford & Company Cl. B
60,300 431,145Gallagher (Arthur J.) & Company
111,200 3,202,560Hilb Rogal & Hobbs Company
155,050 5,550,790
11,208,195
Investment Management - 4.8%Alliance Capital Management Holding L.P.
225,200 10,618,180Apollo Investment
755,473 12,676,841BKF Capital Group
7,500 300,075Eaton Vance
140,400 3,290,976Federated Investors Cl. B
101,900 2,884,789Gabelli Asset Management Cl. A
168,600 7,527,990International Assets Holding a
40,000 314,800MCG Capital
38,000 584,630MVC Capital
246,000 2,282,880National Financial Partners
21,000 835,800Nuveen Investments Cl. A
138,600 4,756,752
46,073,713
Other Financial Services - 0.7%CharterMac
59,600 1,281,400International Securities Exchange a,d
50,000 1,300,000Municipal Mortgage & Equity
47,300 1,151,282PRG-Schultz International a,d
467,000 2,339,670Van der Moolen Holding ADR a,b
21,000 149,940World Acceptance a,d
21,700 553,784
6,776,076
Total 90,450,213
Health - 9.6% Commercial Services - 2.1%Covance a
52,700 2,509,047First Consulting Group a
560,900 2,916,680ICON ADR a,b,d
33,100 1,241,912IDEXX Laboratories a,d
94,300 5,107,288PAREXEL International a
277,700 6,525,950TriZetto Group (The) a
215,200 2,003,512
20,304,389
Drugs and Biotech - 3.2%Abgenix a,d
38,000 266,000Affymetrix a,d
90,800 3,889,872Andrx Corporation a,d
15,000 340,050Antigenics a,d
99,300 665,310Applera Corporation- Celera Genomics Group a,d
139,200 1,426,800Cephalon a,d
4,900 229,467Cerus Corporation a,d
21,700 66,619Chiron Corporation a,d
21,800 764,308Connetics Corporation a,d
33,000 834,570DUSA Pharmaceuticals a
79,700 695,781Elan Corporation ADR a,b
332,100 1,076,004Endo Pharmaceuticals Holdings a
318,200 7,175,410Eon Labs a
3,000 90,720Gene Logic a,d
365,000 1,146,100Hi-Tech Pharmacal a,d
66,500 1,461,670Human Genome Sciences a,d
90,000 829,800Lexicon Genetics a
463,300 2,367,463Millennium Pharmaceuticals a,d
50,000 421,000Orchid BioSciences a
30,000 352,800Par Pharmaceutical Companies a
38,000 1,270,720Perrigo Company
171,750 3,289,012QLT a,d
38,000 488,680Shire Pharmaceuticals Group ADR b
20,853 714,841
29,862,997
Health Services - 0.9%Accredo Health a,d
8,705 386,589Albany Molecular Research a,d
85,000 873,800Eclipsys Corporation a,d
20,000 309,600Gentiva Health Services a
30,150 487,827HMS Holdings a
50,000 370,000Health Management Associates Cl. A
27,400 717,332Lincare Holdings a,d
34,600 1,530,358Mediware Information Systems a
58,700 629,264MedQuist a
73,893 942,136National Home Health Care
20,000 231,600On Assignment a
482,500 2,460,750Quovadx a
3,000 9,270
8,948,526
Medical Products and Devices - 3.3%Allied Healthcare Products a
69,600 449,616Arrow International
297,602 10,222,629ArthroCare Corporation a,d
10,000 285,000Bruker BioSciences a
390,200 1,373,504CONMED Corporation a
81,500 2,454,780Datascope
12,000 366,960Diagnostic Products
25,000 1,207,500Invacare Corporation
88,000 3,927,440Natus Medical a,d
93,500 781,660Novoste Corporation a
66,500 56,525Orthofix International a
20,000 783,000STERIS Corporation a,d
170,100 4,295,025Sybron Dental Specialties a,d
11,000 394,900Thoratec Corporation a,d
2,000 24,440Varian Medical Systems a
61,600 2,111,648Young Innovations
62,550 2,292,458Zoll Medical a
20,200 455,106
31,482,191
Personal Care - 0.1%Inter Parfums
500 7,200Nutraceutical International a
22,800 361,608
368,808
Total 90,966,911
Industrial Products - 19.9% Automotive - 1.2%Adesa
126,900 2,964,384CLARCOR
22,000 1,143,120Gentex Corporation
68,800 2,194,720LKQ Corporation a,d
188,000 3,773,160Quantam Fuel Systems Technologies Worldwide a,d
15,500 71,765Superior Industries International
40,000 1,056,400
11,203,549
Building Systems and Components - 1.2%AZZ a
5,600 101,640Decker Manufacturing
6,022 213,781Preformed Line Products Company
91,600 2,747,084Simpson Manufacturing
260,800 8,058,720Teleflex
14,800 757,464
11,878,689
Construction Materials - 2.2%Ash Grove Cement Company Cl. B
50,518 7,350,369Eagle Materials
5,000 404,700ElkCorp
28,000 1,076,880Florida Rock Industries
118,550 6,973,111Heywood Williams Group a
838,837 1,425,277Synalloy Corporation a,c
345,000 3,519,000
20,749,337
Industrial Components - 1.5%AMETEK
86,000 3,461,500Barnes Group
42,000 1,141,140Bel Fuse Cl. A
26,200 635,350C & D Technologies
50,000 502,500Donaldson Company
52,000 1,678,560Intermagnetics General a,d
4,350 105,879PerkinElmer
135,000 2,785,050Planar Systems a,d
82,900 747,758Powell Industries a
92,400 1,711,248Valmont Industries
22,000 491,040Woodhead Industries
45,400 617,440
13,877,465
Machinery - 5.1%Coherent a
228,500 7,714,160Federal Signal
58,600 888,962GSI Lumonics a
79,500 718,680Graco
96,825 3,907,857IDEX Corporation
36,000 1,452,600Lincoln Electric Holdings
275,380 8,283,430National Instruments
71,400 1,931,370Nordson Corporation
172,200 6,340,404PAXAR Corporation a
284,100 6,062,694Pason Systems
70,700 2,212,023Rofin-Sinar Technologies a,d
19,200 617,088T-3 Energy Services a,d
346,710 2,787,202UNOVA a,d
35,000 722,750Woodward Governor Company
73,600 5,277,120
48,916,340
Metal Fabrication and Distribution - 2.7%CompX International Cl. A
302,300 5,133,054IPSCO
6,000 306,000Kaydon Corporation
208,700 6,553,180Metal Management
77,900 2,000,472NN
127,100 1,565,872Oregon Steel Mills a
133,400 3,068,200Penn Engineering & Manufacturing
251,600 4,541,380Penn Engineering & Manufacturing Cl. A
77,600 1,404,560Schnitzer Steel Industries Cl. A
20,000 674,600
25,247,318
Paper and Packaging - 0.2%Peak International a
408,400 1,551,920
Pumps, Valves and Bearings - 0.6%Baldor Electric
62,900 1,623,449Conbraco Industries
7,630 1,472,590Franklin Electric
82,200 3,101,406
6,197,445
Specialty Chemicals and Materials - 2.3%Aceto Corporation
241,650 1,793,043Albemarle Corporation
34,000 1,236,240Bairnco Corporation
43,000 495,360Balchem Corporation
46,800 1,088,100CFC International a,d
123,500 2,730,585Cabot Corporation
56,500 1,888,795Hawkins
208,878 2,502,358Lydall a
50,000 555,000MacDermid
240,631 7,820,507Material Sciences a
23,800 320,110Schulman (A.)
41,000 714,220Sensient Technologies
22,000 474,320Spartech Corporation
32,000 635,200
22,253,838
Textiles - 0.2%Tag-It Pacific a
108,500 564,200Unifi a
315,100 1,055,585
1,619,785
Other Industrial Products - 2.7%Albany International Cl. A
45,500 1,405,040Brady Corporation Cl. A
228,800 7,401,680Diebold
85,000 4,662,250Imagistics International a,d
34,000 1,187,620Kimball International Cl. B
437,380 6,342,010Maxwell Technologies a
21,500 197,155Myers Industries
30,499 430,341Peerless Manufacturing a,c
158,600 2,212,470Quixote Corporation
12,000 260,040Steelcase Cl. A
50,000 690,000Trinity Industries
23,000 647,910
25,436,516
Total 188,932,202
Industrial Services - 15.2% Advertising and Publishing - 0.5%Interpublic Group of Companies a
380,000 4,666,400ValueClick a,d
20,000 212,200
4,878,600
Commercial Services - 5.7%ABM Industries
134,800 2,592,204Aaron Rents
4,500 90,000Administaff
94,200 1,375,320Allied Waste Industries a,d
188,800 1,380,128Brinks Company (The)
107,278 3,711,819Carlisle Holdings a
194,900 1,292,265Central Parking
75,800 1,302,244Century Business Services a
70,000 287,000Collectors Universe a
15,500 296,980Convergys Corporation a,d
121,000 1,806,530Copart a,d
138,100 3,253,636Digital Theater Systems a,d
38,600 699,046Harsco Corporation
9,000 536,490Hewitt Associates Cl. A a,d
59,000 1,569,400Hudson Highland Group a,d
61,098 1,044,165Iron Mountain a,d
191,175 5,513,487Kelly Services Cl. A
25,000 719,750Learning Tree International a,d
53,400 769,494MPS Group a,d
603,500 6,342,785Manpower
105,800 4,604,416Monster Worldwide a,d
79,000 2,215,950New Horizons Worldwide a
96,600 386,497Pemstar a,d
383,600 452,648RemedyTemp Cl. A a
77,500 763,375Renaissance Learning
15,000 256,800Reynolds & Reynolds Company Cl. A
27,000 730,620Rollins
130,500 2,427,300Spherion Corporation a
3,000 22,470TRC Companies a,d
64,200 943,740Viad Corporation
87,550 2,355,095Watson Wyatt & Company Holdings
74,800 2,034,560West Corporation a,d
75,000 2,400,000
54,176,214
Engineering and Construction - 2.1%Champion Enterprises a,d
135,000 1,269,000Chicago Bridge & Iron Company
16,000 704,480Dycom Industries a
34,000 781,660EMCOR Group a
47,900 2,242,678Fleetwood Enterprises a,d
234,300 2,038,410Insituform Technologies Cl. A a
207,200 3,006,472Jacobs Engineering Group a
38,000 1,972,960MasTec a
65,000 533,650McDermott International a
51,000 965,430Washington Group International a,d
148,000 6,658,520
20,173,260
Food and Tobacco Processors - 0.7%Farmer Bros.
150,000 3,592,500MGP Ingredients
216,400 1,804,776Seneca Foods Cl. A a
22,000 368,500Seneca Foods Cl. B a
6,500 109,200Sunopta a,d
54,000 275,400
6,150,376
Industrial Distribution - 1.5%Central Steel & Wire
3,799 2,127,440Ritchie Bros. Auctioneers
310,400 9,808,640Strategic Distribution a
115,000 1,495,000Watsco
16,000 673,600
14,104,680
Printing - 0.2%Bowne & Co.
68,100 1,024,224Ennis
62,700 1,060,884
2,085,108
Transportation and Logistics - 3.9%AirNet Systems a,d
219,000 1,035,870Alexander & Baldwin
60,000 2,472,000Atlas Air Worldwide Holdings a,e
60,500 1,633,500C. H. Robinson Worldwide
40,000 2,061,200Continental Airlines Cl. B a,d
100,000 1,204,000EGL a,d
153,125 3,491,250Forward Air
156,500 6,663,770Frozen Food Express Industries a
286,635 3,302,035Hub Group Cl. A a
77,000 4,825,590Landstar System a,d
11,200 366,800Pacer International a,d
54,000 1,290,060Patriot Transportation Holding a
101,300 5,274,691Swift Transportation Company a,d
37,400 828,036UTI Worldwide
35,000 2,430,750
36,879,552
Other Industrial Services - 0.6%Landauer
117,900 5,604,966
Total 144,052,756
Natural Resources - 11.0% Energy Services - 4.3%Atwood Oceanics a
19,700 1,310,838Carbo Ceramics
105,600 7,407,840Core Laboratories a
10,000 256,700ENSCO International
6,443 242,643Global Industries a
119,500 1,123,300Hanover Compressor Company a,d
160,000 1,931,200Helmerich & Payne
193,400 7,676,046Input/Output a,d
669,100 4,315,695Key Energy Services a
10,000 114,700Precision Drilling a
27,500 2,053,150TETRA Technologies a
50,750 1,443,330Tidewater
51,100 1,985,746Universal Compression Holdings a
105,000 3,976,350Veritas DGC a
38,700 1,159,452W-H Energy Services a
33,000 789,690Willbros Group a
254,600 5,142,920
40,929,600
Oil and Gas - 3.6%Chesapeake Energy
26,000 570,440Cimarex Energy a,d
132,041 5,149,599Delta Petroleum a,d
34,000 494,360EOG Resources
10,000 487,400Houston Exploration Company (The) a
50,000 2,847,500Magnum Hunter Resources a,d
250,000 4,027,500Penn Virginia
39,000 1,790,100Pioneer Drilling Company a
108,800 1,498,176Plains Exploration & Production Company a
76,500 2,669,850Pogo Producing Company
1,700 83,708Remington Oil & Gas a
78,500 2,474,320SEACOR Holdings a,d
149,500 9,530,625Stone Energy a,d
19,000 922,830Toreador Resources a
80,300 1,457,445Whiting Petroleum a,d
6,000 244,680
34,248,533
Precious Metals and Mining - 1.8%Agnico-Eagle Mines
50,000 727,500Arizona Star Resource a
30,000 146,807Apex Silver Mines a,d
14,500 232,290Aurizon Mines a
187,000 198,220Bema Gold a
300,000 804,000Coeur dAlene Mines a
120,000 440,400Cumberland Resources a,d
200,000 268,000Etruscan Resources a
100,000 123,993Gammon Lake Resources a
200,000 1,176,000Glamis Gold a
240,000 3,746,400Golden Star Resources a
80,000 229,600Hecla Mining Company a,d
648,000 3,551,040IAMGOLD Corporation
240,000 1,473,600Kingsgate Consolidated
175,747 307,206MK Resources Company a
431,700 712,305Meridian Gold a,d
124,500 2,096,580Metallica Resources a
50,000 66,000Minefinders Corporation a
70,000 467,600Miramar Mining a
245,000 262,150Northern Orion Resources a
20,000 58,000Stillwater Mining Company a
10,780 106,183
17,193,874
Real Estate - 0.7%Alico a
27,000 1,422,900CB Richard Ellis Group Cl. A a
95,000 3,324,050Consolidated-Tomoka Land
13,564 776,268Trammell Crow Company a
46,500 956,505
6,479,723
Other Natural Resources - 0.6%PICO Holdings a
198,200 5,135,362
Total 103,987,092
Technology - 21.9% Aerospace and Defense - 0.8%Allied Defense Group (The) a
72,600 1,777,974Armor Holdings a
42,000 1,557,780Astronics Corporation a
52,400 365,752Ducommun a
117,200 2,344,000Herley Industries a,d
2,000 34,220Hexcel Corporation a,d
35,000 542,850Integral Systems
49,800 1,143,408
7,765,984
Components and Systems - 6.0%Adaptec a
67,000 320,930American Power Conversion
151,200 3,947,832Analogic Corporation
23,000 994,750Belden CDT
57,800 1,283,738Checkpoint Systems a
110,000 1,856,800Creative Technology
64,000 620,800Daktronics a,d
20,000 433,000Dionex Corporation a,d
81,000 4,414,500Excel Technology a,d
168,500 4,141,730Imation Corporation
15,700 545,575InFocus Corporation a,d
79,000 453,460KEMET Corporation a,d
186,000 1,441,500Kronos a,d
38,775 1,981,790Methode Electronics
50,000 605,500Metrologic Instruments a,d
15,000 337,200Nam Tai Electronics
48,000 1,276,800Neoware Systems a,d
28,000 292,040Newport Corporation a,d
152,900 2,215,521Perceptron a
397,400 3,139,460Plexus Corporation a,d
387,700 4,462,427Power-One a
10,000 48,600Radiant Systems a
32,500 318,500REMEC a,d
189,200 998,976SafeNet a,d
36,240 1,062,194SanDisk Corporation a,d
31,000 861,800Symbol Technologies
96,700 1,401,183TTM Technologies a,d
253,600 2,652,656Technitrol
370,300 5,524,876Tektronix
77,480 1,900,584Vishay Intertechnology a
280,000 3,480,400Western Digital a,d
5,000 63,750Zebra Technologies Cl. A a
76,525 3,634,172
56,713,044
Distribution - 1.5%Agilysys
185,125 3,639,557Anixter International a
41,900 1,514,685Arrow Electronics a
85,700 2,172,495Avnet a,d
52,355 964,379Benchmark Electronics a
25,000 795,750Electronics for Imaging a,d
26,000 463,840GTECH Holdings
22,000 517,660Tech Data a
104,500 3,872,770
13,941,136
Internet Software and Services - 1.2%CNET Networks a,d
155,400 1,466,976CryptoLogic
202,000 6,257,960CyberSource Corporation a
10,000 51,500DoubleClick a,d
181,700 1,399,090eResearch Technology a,d
35,000 412,300Lionbridge Technologies a,d
37,500 213,375RealNetworks a,d
85,400 493,612S1 Corporation a
20,000 138,800Satyam Computer Services ADR b
20,000 467,200
10,900,813
IT Services - 4.6%answerthink a,d
655,000 2,705,150BearingPoint a,d
524,000 4,595,480Black Box
47,000 1,758,270CACI International Cl. A a,d
10,000 552,300CGI Group Cl. A a
106,700 673,277CIBER a
10,000 72,700Computer Task Group a
101,100 402,378Covansys Corporation a
258,900 3,861,493DiamondCluster International a
80,400 1,294,440Forrester Research a
97,300 1,369,984Gartner Cl. A a
288,000 2,756,160Keane a
495,000 6,449,850MAXIMUS
145,900 4,886,191Perot Systems Cl. A a,d
165,100 2,218,944Sapient Corporation a,d
719,400 5,283,993Syntel
148,500 2,628,450Unisys Corporation a
325,000 2,294,500
43,803,560
Semiconductors and Equipment - 3.3%BE Semiconductor Industries a,d
58,000 300,440Cabot Microelectronics a,d
180,800 5,673,504CEVA a,d
31,666 234,328Cognex Corporation
118,400 2,945,792Conexant Systems a
11,980 17,970Credence Systems a,d
53,600 423,976Cymer a,d
14,500 388,165DSP Group a,d
115,000 2,962,400DuPont Photomasks a,d
35,000 933,450Exar Corporation a
247,700 3,319,180Fairchild Semiconductor International Cl. A a
51,200 784,896Helix Technology
36,900 570,843Integrated Circuit Systems a,d
75,000 1,434,000Intevac a,d
57,450 541,753Kulicke & Soffa Industries a,d
105,800 665,482Lattice Semiconductor a,d
254,000 1,363,980MEMC Electronic Materials a,d
92,000 1,237,400Mentor Graphics a,d
210,700 2,886,590National Semiconductor
76,400 1,574,604Novellus Systems a
12,000 320,760Semitool a,d
50,000 510,000Silicon Storage Technology a
269,000 1,000,680Staktek Holdings a
134,800 533,808Veeco Instruments a
65,000 978,250
31,602,251
Software - 2.5%ANSYS a
20,000 684,200Aspen Technology a
27,100 153,928Autodesk
122,000 3,630,720Business Objects ADR a,b,d
20,500 551,245HPL Technologies a
379,400 299,726iPass a,d
175,100 1,071,612JDA Software Group a
99,900 1,402,596MRO Software a
46,000 645,380Macromedia a,d
51,600 1,728,600ManTech International Cl. A a,d
135,000 3,114,450Manugistics Group a
49,200 82,656Novell a,d
20,000 119,200Progress Software a
30,500 799,710SPSS a
179,600 3,123,244Sybase a
82,600 1,524,796Transaction Systems Architects Cl. A a
213,150 4,934,422
23,866,485
Telecommunications - 2.0%ADTRAN
82,000 1,446,480Broadwing Corporation a,d
1,000 4,140Catapult Communications a,d
75,100 1,603,385Covad Communications Group a,d
35,000 42,000Foundry Networks a,d
192,400 1,904,760Globecomm Systems a,d
233,700 1,390,515IDT Corporation a
25,000 355,000IDT Corporation Cl. B a,d
40,000 591,600ITT Educational Services a
113,000 5,480,500Level 3 Communications a,d
280,400 577,624Metro One Telecommunications a,d
25,000 33,475North Pittsburgh Systems
25,000 494,125PECO II a
93,600 100,152Powerwave Technologies a
16,700 129,258Scientific-Atlanta
145,300 4,100,366Time Warner Telecom Cl. A a
179,000 710,630Tollgrade Communications a
20,000 138,000
19,102,010
Total 207,695,283
Utilities - 0.2%CH Energy Group
44,500 2,033,650Southern Union a
11,025 276,838
Total 2,310,488
Miscellaneous - 0.8% Total 7,351,732
TOTAL COMMON STOCKS(Cost $773,462,744)
1,098,647,920
PREFERRED STOCK - 0.1%Aristotle Corporation 11.00% Conv.
4,800 42,432
TOTAL PREFERRED STOCK(Cost $31,005)
42,432
PRINCIPAL
AMOUNT CORPORATE BONDS - 0.1% Athena Neurosciences Finance 7.25%Senior Note due 2/21/08
$1,000,000 818,332 Dixie Group 7.00%Conv. Sub. Deb. due 5/15/12
490,000 480,200
TOTAL CORPORATE BONDS(Cost $1,201,936)
1,298,532
U.S. TREASURY OBLIGATIONS - 2.7% U.S. Treasury Notes5.625% due 2/15/06
25,000,000 25,489,250
TOTAL U.S. TREASURY OBLIGATIONS(Cost $25,772,522)
25,489,250
REPURCHASE AGREEMENT - 5.0%State Street Bank & Trust Company, 2.30% dated 3/31/05, due 4/1/05, maturity value $47,319,023 (collateralized by Federal Home Loan Bank, 2.375% due 2/15/06, valued at $48,500,525)
47,316,000
(Cost $47,316,000)
COLLATERAL RECEIVED FOR SECURITIES LOANED - 7.5% U.S. Treasury Billsdue 4/28/05-9/1/05
5,295 U.S. Treasury Bonds5.25%-13.875% due 5/15/11-5/15/30
152,861 U.S. Treasury Notes2.00%-3.625% due 5/15/06-1/15/11
6,270 U.S. Treasury Strip-Interestdue 8/15/12
387 U.S. Treasury Strip-Principal7.625%-9.00% due 5/15/17-11/15/22
6,557 Money Market FundsState Street Navigator Securities Lending
Prime Portfolio
71,207,668
(Cost $71,379,038)
71,379,038
TOTAL INVESTMENTS - 131.2%(Cost $919,163,245)
1,244,173,172 LIABILITIES LESS CASHAND OTHER ASSETS - (8.0)%
(76,142,985 ) PREFERRED STOCK - (23.2)% (220,000,000 )
NET ASSETS APPLICABLE TOCOMMON STOCKHOLDERS - 100.0%
$948,030,187
a Non-income producing. b American Depository Receipt. c At March 31, 2005, the Fund owned 5% or more of the Companys outstanding voting securities thereby making the Company an Affiliated Company as that term is defined in the Investment Company Act of 1940. The Fund effected the following transactions in shares of such companies during the period ended March 31, 2005:
Shares Market Value Cost of Cost of Realized Dividend Shares Market Value Affiliated Company 12/31/2004 12/31/2004 Purchases Sales Gain (Loss) Income 3/31/2005 3/31/2005 Falcon Products 941,600 $197,736 - - - - 941,600 $65,912 Peerless Mfg. 158,600 2,299,700 - - - - 158,600 2,212,470 Synalloy Corporation 345,000 3,415,500 - - - - 345,000 3,519,000
$5,912,936 - - - - $5,797,382
d A portion of these securities were on loan at March 31, 2005. Total market value of loaned securities at March 31, 2005 was $69,554,330. e When Issued. INCOME TAX INFORMATION: The cost of total investments for Federal income tax purposes was $921,265,989. At March 31, 2005, net unrealized appreciation for all securities was $322,907,183, consisting of aggregate gross unrealized appreciation of $377,484,510 and aggregate gross unrealized depreciation of $54,577,327. The primary differences in book and tax basis cost is the timing of the recognition of losses on securities sold and amortization of discount for book and tax purposes. Valuation of investments: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4:00 p.m. Eastern time) on the valuation date. Securities that trade on an exchange or Nasdaq are valued at their last reported sales price taken from the primary market in which each security trades or, if no sale is reported for such day, at their bid price. Other over-the-counter securities for which market quotations are readily available are valued at their bid price. Securities for which market quotations are not readily available are valued at their fair value under procedures established by the Funds Board of Directors. Bonds and other fixed income securities may be valued by reference to other securities with comparable ratings, interest rates and maturities, using established independent pricing services. Other information regarding the Fund is available in the Funds most recent Prospectus and Report to Shareholders. This information is available through The Royce Funds (www.roycefunds.com) and on the Securities and Exchange Commissions website (www.sec.gov).
Item 2 - Controls and Procedures
(a) The Registrants principal executive and principal financial officers have concluded, based on their evaluation of the Registrants disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the Registrants disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the Registrant on Form N-Q is recorded, processed, summarized and reported within the required time periods and that information required to be disclosed by the Registrant in the reports that it files or submits on Form N-Q is accumulated and communicated to the Registrants management, including its principal executive and principal financial officers, as appropriate to allow timely decisions regarding required disclosure. (b) There were no changes in the Registrants internal controls over financial reporting during the Registrants last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the internal controls over financial reporting.Item 3 - Exhibits
Certifications pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto.SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
Royce Value Trust, Inc.
By: /s/ Charles M. RoyceCharles M. Royce
President, Royce Value Trust, Inc.
Date: May 23, 2005Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.
By: /s/ Charles M. Royce
Charles M. Royce
President, Royce Value Trust, Inc.
Date: May 23, 2005By: /s/ John D. Diederich
John D. Diederich
Treasurer, Royce Value Trust, Inc.
Date: May 23, 2005