UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-Q
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number: 811-04875

Name of Fund:   Royce Value Trust, Inc.
Fund Address:   745 Fifth Avenue
    New York, NY 10151

Name and address of agent for service:
John E. Denneen, Esq.
Royce & Associates, LLC
745 Fifth Avenue
New York, NY 10151

Registrant’s telephone number, including area code: (212) 508-4500

Date of fiscal year end: 12/31/2010

Date of reporting period: 3/31/2010



Item 1 - Schedule of Investments

SCHEDULE OF INVESTMENTS
ROYCE VALUE TRUST
MARCH 31, 2010 (UNAUDITED)

    SHARES   VALUE  

COMMON STOCKS – 114.3%

           
             

Consumer Products – 8.4%

           

Apparel, Shoes and Accessories - 2.1%

           

Aeropostale a

  46,000   $ 1,326,180  

Anta Sports Products

  103,200     170,134  

Bosideng International Holdings

  2,224,000     498,407  

Burberry Group

  115,000     1,246,891  

China Dongxiang Group

  145,000     104,022  

Columbia Sportswear

  56,600     2,973,198  

Daphne International Holdings

  519,500     505,834  

Hengdeli Holdings

  400,300     170,137  

K-Swiss Cl. A a

  163,600     1,711,256  

Lazare Kaplan International a,b

  95,437     190,874  

Luk Fook Holdings (International)

  475,000     479,022  

Stella International Holdings

  298,500     610,514  

Timberland Company (The) Cl. A a

  17,500     373,450  

Van De Velde

  20,000     898,453  

Volcom a

  71,300     1,391,776  

Warnaco Group (The) a

  33,500     1,598,285  

Weyco Group

  97,992     2,304,772  

Wolverine World Wide

  100,000     2,916,000  

Yue Yuen Industrial Holdings b

  17,000     59,117  
       
 
          19,528,322  
       
 

Collectibles - 0.1%

           

Kid Brands a

  96,600     835,590  
       
 

Consumer Electronics - 0.6%

           

Dolby Laboratories Cl. A a

  56,200     3,297,254  

DTS a

  64,100     2,181,964  
       
 
          5,479,218  
       
 

Food/Beverage/Tobacco - 1.4%

           

Asian Citrus Holdings

  292,000     239,279  

Binggrae Company

  13,222     553,327  

Cal-Maine Foods

  89,300     3,026,377  

China Yurun Food Group

  45,000     137,360  

Hershey Creamery

  709     1,187,575  

HQ Sustainable Maritime Industries a

  28,200     169,200  

Huabao International Holdings

  725,000     866,536  

J.M. Smucker Company (The)

  6,300     379,638  

KT&G Corporation

  8,500     470,281  

Ralcorp Holdings a

  1,800     122,004  

Seneca Foods Cl. A a

  110,000     3,203,200  

Seneca Foods Cl. B a

  13,251     388,387  

Thai Beverage PCL

  1,052,000     221,838  

Tootsie Roll Industries

  53,560     1,447,727  
       
 
          12,412,729  
       
 

Health, Beauty and Nutrition - 0.2%

           

Amorepacific Corporation

  715     520,080  

LG Household & Health Care

  1,280     342,216  

Sa Sa International Holdings

  1,219,000     945,150  
       
 
          1,807,446  
       
 

Home Furnishing and Appliances - 2.5%

           

American Woodmark

  123,335     2,391,466  

Ekornes

  90,500     1,964,346  

Ethan Allen Interiors

  345,800     7,133,854  

Hunter Douglas

  30,000     1,536,095  

Kimball International Cl. B

  286,180     1,988,951  

Mohawk Industries a

  108,200     5,883,916  

Samson Holding

  1,000,000     168,722  

Universal Electronics a

  10,000     223,400  

Woongjin Coway

  52,000     1,610,853  
       
 
          22,901,603  
       
 

Sports and Recreation - 1.4%

           

Beneteau a

  57,000     1,041,250  

Coachmen Industries a

  47,700     66,780  

RC2 Corporation a

  132,600     1,985,022  

Sturm, Ruger & Company

  245,600     2,944,744  

Thor Industries

  110,900     3,350,289  

Winnebago Industries a

  247,500     3,615,975  
       
 
          13,004,060  
       
 

Other Consumer Products - 0.1%

           

Societe BIC

  14,000     1,071,957  
       
 

Total

        77,040,925  
       
 

Consumer Services – 3.1%

           

Direct Marketing - 0.3%

           

Manutan International

  25,000     1,384,417  

Takkt

  110,000     1,277,715  
       
 
          2,662,132  
       
 

Online Commerce - 0.2%

           

Systemax

  75,000     1,630,500  
       
 

Restaurants and Lodgings - 0.5%

           

Ajisen China Holdings

  2,106,200     2,069,782  

Benihana a

  3,300     22,539  

Cafe de Coral Holdings

  67,000     157,226  

CEC Entertainment a

  64,100     2,441,569  
       
 
          4,691,116  
       
 

Retail Stores - 2.1%

           

Abercrombie & Fitch Cl. A

  3,000     136,920  

American Eagle Outfitters

  10,300     190,756  

Bed Bath & Beyond a

  4,650     203,484  

CarMax a

  160,000     4,019,200  

Charming Shoppes a

  321,900     1,757,574  

Dollar Tree a

  8,000     473,760  

Dover Saddlery a,c

  17,821     65,403  

Dress Barn (The) a

  68,280     1,786,205  

Golden Eagle Retail Group

  656,000     1,309,592  

Lewis Group

  250,000     1,939,248  

New World Department Store China

  85,000     81,560  

O’Reilly Automotive a

  6,200     258,602  

QKL Stores a

  16,260     104,877  

Ramayana Lestari Sentosa

  2,075,000     200,670  

Stein Mart a

  182,800     1,650,684  

Tiffany & Co.

  90,200     4,283,598  

West Marine a

  131,100     1,422,435  
       
 
          19,884,568  
       
 

Other Consumer Services - 0.0%

           

Cambium Learning Group a

  84,466     337,864  
       
 

Total

        29,206,180  
       
 

Diversified Investment Companies – 0.3%

           

Closed-End Funds - 0.3%

           

Central Fund of Canada Cl. A

  211,500     2,961,000  
       
 

Total

        2,961,000  
       
 

Financial Intermediaries – 12.2%

           

Banking - 2.9%

           

Ameriana Bancorp

  40,000     106,000  

Banca Finnat Euramerica

  720,000     542,637  

Banca Generali

  86,000     961,771  

Bank of N.T. Butterfield & Son a

  464,886     674,085  

Bank Sarasin & Cie Cl. B

  33,120     1,374,241  

Banque Privee Edmond de Rothschild

  23     564,420  

BCB Holdings a

  598,676     976,627  

Cadence Financial a,c

  40,300     73,749  

Center Bancorp

  44,868     372,853  

Centrue Financial a

  82,200     283,590  

CFS Bancorp

  75,000     332,250  

Chuo Mitsui Trust Holdings

  118,000     443,021  

CNB Financial

  11,116     171,631  

Commercial National Financial

  54,900     936,045  

Farmers & Merchants Bank of Long Beach

  1,200     4,800,000  

Fauquier Bankshares

  160,800     2,389,488  

Hawthorn Bancshares

  46,176     556,421  

HopFed Bancorp

  104,500     1,254,000  

Jefferson Bancshares a

  32,226     147,273  

Kearny Financial

  50,862     530,491  

Mauritius Commercial Bank

  40,000     173,115  

Mechanics Bank

  200     2,270,000  

Old Point Financial

  25,000     369,000  

Peapack-Gladstone Financial

  10,500     164,955  

State Bank of Mauritius

  46,000     117,639  

Timberland Bancorp d

  469,200     1,876,800  

Vontobel Holding

  20,400     603,642  

Whitney Holding Corporation

  41,500     572,285  

Wilber Corporation (The)

  122,685     803,587  

Wilmington Trust

  143,500     2,377,795  
       
 
          26,819,411  
       
 

Insurance - 5.8%

           

Alleghany Corporation a

  28,658     8,333,723  

Amil Participacoes

  100,000     778,812  

Argo Group International Holdings

  64,751     2,110,235  

Aspen Insurance Holdings

  47,000     1,355,480  

China Taiping Insurance Holdings a

  20,000     69,678  

CNA Surety a

  100,600     1,789,674  

Discovery Holdings

  391,400     1,853,894  

E-L Financial

  7,400     3,242,259  

Enstar Group a

  20,217     1,398,208  

Erie Indemnity Cl. A

  131,800     5,684,534  

First American

  44,000     1,488,960  

Independence Holding

  317,658     3,014,574  

Leucadia National a

  44,940     1,114,961  

Markel Corporation a

  6,200     2,322,892  

Montpelier Re Holdings

  32,000     537,920  

NYMAGIC

  202,200     4,292,706  

Old Republic International

  20,000     253,600  

Platinum Underwriters Holdings

  38,000     1,409,040  

ProAssurance Corporation a

  42,000     2,458,680  

RLI

  90,724     5,173,083  

Validus Holdings

  56,808     1,563,924  

Zenith National Insurance

  80,100     3,069,432  
       
 
          53,316,269  
       
 

Real Estate Investment Trusts - 0.0%

           

Gladstone Commercial

  30,000     433,500  
       
 

Securities Brokers - 2.8%

           

Broadpoint Gleacher Securities Group a,c

  293,000     1,172,000  

Close Brothers Group

  43,000     505,707  

Cowen Group Cl. A a

  688,600     3,897,476  

Daewoo Securities

  5,000     90,150  

DundeeWealth

  33,300     488,852  

Egyptian Financial Group-Hermes Holding

  476,500     2,727,802  

FBR Capital Markets a

  249,600     1,135,680  

GFI Group

  166,247     960,908  

HQ

  40,000     731,241  

Interactive Brokers Group Cl. A a

  100,000     1,615,000  

Investcorp Bank GDR a

  27,000     97,200  

KBW a,c

  70,058     1,884,560  

Kim Eng Holdings

  240,000     346,546  

Lazard Cl. A

  109,300     3,902,010  

Mirae Asset Securities

  38,850     1,957,179  

Mizuho Securities

  492,300     1,558,678  

Oppenheimer Holdings Cl. A

  75,000     1,913,250  

Phatra Securities

  775,000     450,595  

UOB-Kay Hian Holdings

  190,000     229,529  

Woori Investment & Securities

  11,000     152,636  
       
 
          25,816,999  
       
 

Securities Exchanges - 0.1%

           

Hellenic Exchanges

  60,000     526,754  

Singapore Exchange

  16,500     90,228  
       
 
          616,982  
       
 

Other Financial Intermediaries - 0.6%

           

KKR & Company (Guernsey) L.P.

  105,000     1,207,500  

KKR Financial Holdings

  481,404     3,952,327  
       
 
          5,159,827  
       
 

Total

        112,162,988  
       
 

Financial Services – 12.8%

           

Diversified Financial Services - 0.8%

           

Encore Capital Group a

  88,000     1,447,600  

Franco-Nevada Corporation

  10,000     268,301  

IOOF Holdings

  123,592     773,485  

Ocwen Financial a

  123,600     1,370,724  

World Acceptance a,c

  105,700     3,813,656  
       
 
          7,673,766  
       
 

Information and Processing - 1.9%

           

Interactive Data

  112,300     3,593,600  

MoneyGram International a

  228,500     870,585  

Morningstar a

  109,800     5,280,282  

SEI Investments

  340,400     7,478,588  
       
 
          17,223,055  
       
 

Insurance Brokers - 0.8%

           

Brown & Brown

  264,900     4,747,008  

Crawford & Company Cl. B a

  1,160     4,721  

Gallagher (Arthur J.) & Co.

  111,200     2,729,960  
       
 
          7,481,689  
       
 

Investment Management - 7.9%

           

A.F.P. Provida ADR

  22,100     1,007,760  

ABG Sundal Collier Holding

  115,000     164,474  

Affiliated Managers Group a

  42,800     3,381,200  

AllianceBernstein Holding L.P.

  273,600     8,388,576  

Altisource Portfolio Solutions a

  41,199     922,858  

AP Alternative Assets L.P. a

  233,200     1,679,040  

Artio Global Investors Cl. A

  150,000     3,711,000  

Ashmore Group

  240,000     960,395  

Azimut Holding

  71,000     899,027  

BKF Capital Group a

  130,000     119,600  

BT Investment Management

  207,000     548,966  

Coronation Fund Managers

  526,000     703,379  

Eaton Vance

  125,300     4,202,562  

Endeavour Financial a,c

  300,000     717,767  

Endeavour Financial (Warrants) a

  75,000     73,844  

Equity Trustees

  33,202     515,211  

Evercore Partners Cl. A

  141,200     4,236,000  

F&C Asset Management

  60,000     56,633  

Federated Investors Cl. B

  204,700     5,399,986  

Fiducian Portfolio Services

  227,000     291,629  

GAMCO Investors Cl. A

  110,575     5,031,162  

GIMV

  25,000     1,348,962  

GP Investments BDR a

  15,000     73,383  

Investec

  118,000     965,160  

MVC Capital

  424,200     5,756,394  

MyState

  152,000     467,267  

Onex Corporation

  50,000     1,422,242  

Partners Group Holding

  19,900     2,817,783  

Perpetual

  12,700     411,159  

Platinum Asset Management

  149,000     710,995  

Rathbone Brothers

  35,400     470,045  

Reinet Investments a

  51,825     836,470  

RHJ International a

  102,500     888,795  

Schroders

  41,100     877,535  

SHUAA Capital a

  485,000     191,465  

SPARX Group a

  1,320     166,888  

Sprott

  269,600     1,021,966  

Teton Advisors Cl. A

  723     7,953  

Treasury Group

  51,500     277,883  

Trust Company

  97,283     571,339  

Value Partners Group

  5,186,600     3,994,702  

VZ Holding

  8,500     723,516  

Waddell & Reed Financial Cl. A

  139,300     5,020,372  

Westwood Holdings Group

  23,460     863,328  
       
 
          72,896,671  
       
 

Special Purpose Acquisition Corporation - 0.1%

           

Liberty Acquisition Holdings a,c

  66,455     657,240  

Westway Group

  31,500     142,065  
       
 
          799,305  
       
 

Specialty Finance - 0.5%

           

Credit Acceptance a,c

  109,601     4,519,946  
       
 

Other Financial Services - 0.8%

           

E-House China Holdings ADR a,c

  107,000     2,036,210  

Hilltop Holdings a

  290,400     3,412,200  

Kennedy-Wilson Holdings a

  150,000     1,522,500  
       
 
          6,970,910  
       
 

Total

        117,565,342  
       
 

Health – 7.3%

           

Commercial Services - 1.1%

           

Affymetrix a

  10,000     73,400  

Chindex International a

  41,600     491,296  

OdontoPrev

  40,000     1,388,928  

PAREXEL International a

  332,400     7,748,244  
       
 
          9,701,868  
       
 

Drugs and Biotech - 1.7%

           

American Oriental Bioengineering a,c

  43,700     178,296  

Biogen Idec a

  7,080     406,109  

BioMarin Pharmaceuticals a,c

  9,100     212,667  

Boiron

  33,404     1,420,738  

Bukwang Pharmaceutical

  15,000     214,106  

China Nuokang Bio-Pharmaceutical ADR a,c

  27,500     170,500  

China Shineway Pharmaceutical Group

  102,000     282,448  

Daewoong Pharmaceutical

  2,884     127,447  

Endo Pharmaceuticals Holdings a

  158,300     3,750,127  

Green Cross

  9,800     1,043,705  

Hanmi Pharm

  3,211     310,756  

Hua Han Bio-Pharmaceutical Holdings

  988,000     356,300  

LG Life Sciences a

  8,500     428,963  

Luminex Corporation a,c

  20,000     336,600  

Pharmacyclics a

  208,746     1,302,575  

Simcere Pharmaceutical Group ADR a

  60,300     513,153  

Sino Biopharmaceutical

  2,940,500     1,166,467  

Sinovac Biotech a

  148,100     875,271  

Sunesis Pharmaceuticals a,c

  211,500     185,083  

3SBio ADR a

  115,100     1,424,938  

Virbac

  12,000     1,270,692  

Warner Chilcott Cl. A a,c

  4,600     117,530  

WuXi PharmaTech (Cayman) ADR a

  1,210     18,840  
       
 
          16,113,311  
       
 

Health Services - 2.0%

           

Advisory Board (The) a

  120,000     3,780,000  

Albany Molecular Research a

  85,000     709,750  

Bangkok Chain Hospital

  935,000     156,147  

Chem Rx a

  280,000     54,600  

Chem Rx (Warrants) a,b

  560,000     0  

Cross Country Healthcare a

  30,000     303,300  

eResearch Technology a

  67,624     467,282  

HMS Holdings a

  50,000     2,549,500  

ICON ADR a

  96,900     2,558,160  

On Assignment a

  375,400     2,676,602  

Pharmaceutical Product Development

  100,000     2,375,000  

Raffles Medical Group

  563,100     644,026  

Res-Care a

  90,460     1,084,615  

Sonic Healthcare

  2,000     26,373  

VCA Antech a

  45,000     1,261,350  

WellCare Health Plans a

  5,000     149,000  
       
 
          18,795,705  
       
 

Medical Products and Devices - 2.5%

           

Allied Healthcare Products a

  180,512     676,920  

Atrion Corporation

  15,750     2,252,880  

Biosensors International Group a

  1,260,000     630,473  

C.R. Bard

  1,800     155,916  

Carl Zeiss Meditec

  135,000     2,160,703  

CONMED Corporation a

  81,500     1,940,515  

DiaSorin

  13,000     489,354  

Edwards Lifesciences a

  1,300     128,544  

Fielmann

  2,500     201,281  

IDEXX Laboratories a

  55,201     3,176,818  

Kinetic Concepts a

  6,300     301,203  

Kossan Rubber Industries

  100,300     245,984  

Shandong Weigao Group Medical Polymer

  139,800     583,381  

St. Shine Optical

  137,000     996,505  

Straumann Holding

  6,700     1,668,010  

Techne Corporation

  71,000     4,521,990  

Urologix a,c

  445,500     743,985  

Young Innovations

  62,550     1,761,408  

Zoll Medical a

  400     10,544  
       
 
          22,646,414  
       
 

Total

        67,257,298  
       
 

Industrial Products – 22.5%

           

Automotive - 1.7%

           

Advance Auto Parts

  4,500     188,640  

Gentex Corporation

  93,500     1,815,770  

LKQ Corporation a

  300,000     6,090,000  

Minth Group

  97,500     163,499  

Nokian Renkaat

  65,000     1,688,246  

Norstar Founders Group a,b

  524,000     24,633  

SORL Auto Parts a

  32,723     302,361  

Superior Industries International

  40,000     643,200  

Tianneng Power International

  1,580,000     972,715  

WABCO Holdings a

  103,800     3,105,696  

Wonder Auto Technology a,c

  7,000     74,060  

Xinyi Glass Holdings

  200,000     182,374  
       
 
          15,251,194  
       
 

Building Systems and Components - 1.9%

           

Armstrong World Industries a

  133,200     4,836,492  

Decker Manufacturing

  6,022     132,484  

NCI Building Systems a

  2,780     30,691  

Preformed Line Products

  91,600     3,494,540  

Simpson Manufacturing

  309,000     8,577,840  
       
 
          17,072,047  
       
 

Construction Materials - 1.2%

           

Ash Grove Cement Cl. B

  50,518     8,588,060  

Duratex

  186,464     1,609,482  

USG Corporation a,c

  50,000     858,000  
       
 
          11,055,542  
       
 

Industrial Components - 2.4%

           

AMETEK

  6,300     261,198  

Bel Fuse Cl. A

  36,672     679,166  

CLARCOR

  92,500     3,190,325  

Donaldson Company

  92,800     4,187,136  

GrafTech International a

  372,690     5,094,672  

II-VI a

  13,500     456,840  

Mueller Water Products Cl. A

  72,500     346,550  

PerkinElmer

  185,800     4,440,620  

Powell Industries a

  92,400     3,005,772  

Precision Castparts

  2,300     291,433  
       
 
          21,953,712  
       
 

Machinery - 5.2%

           

Astec Industries a

  42,100     1,219,216  

Baldor Electric

  62,900     2,352,460  

Burckhardt Compression Holding

  15,000     2,959,029  

Burnham Holdings Cl. B

  36,000     482,400  

China High Speed Transmission Equipment Group

  44,200     97,688  

Columbus McKinnon a

  95,000     1,507,650  

Duoyuan Global Water ADR a,c

  12,000     333,240  

Duoyuan Printing a,c

  32,800     354,240  

Franklin Electric

  104,600     3,136,954  

Hardinge

  164,193     1,477,737  

Hollysys Automation Technologies a

  11,535     132,768  

Jinpan International

  24,600     511,680  

Lincoln Electric Holdings

  104,180     5,660,099  

Nordson Corporation

  102,100     6,934,632  

Rofin-Sinar Technologies a

  313,700     7,095,894  

Shanghai Prime Machinery

  250,000     51,518  

Spirax-Sarco Engineering

  50,000     1,064,525  

Takatori Corporation a

  40,000     256,712  

Wabtec Corporation

  111,225     4,684,797  

Wasion Group Holdings

  169,000     120,151  

Williams Controls a

  37,499     299,992  

Woodward Governor

  231,600     7,406,568  
       
 
          48,139,950  
       
 

Metal Fabrication and Distribution - 3.7%

           

Central Steel & Wire

  6,062     4,091,850  

Commercial Metals

  36,600     551,196  

CompX International Cl. A

  185,300     1,665,847  

Fushi Copperweld a

  13,145     147,487  

Haynes International

  24,000     852,720  

Kennametal

  100,000     2,812,000  

NN a

  197,100     1,084,050  

Nucor Corporation

  54,350     2,466,403  

RBC Bearings a

  47,000     1,497,890  

Reliance Steel & Aluminum

  178,420     8,783,617  

Schnitzer Steel Industries Cl. A

  100,000     5,253,000  

Sims Metal Management ADR

  197,875     3,886,265  

Sung Kwang Bend

  43,200     988,890  
       
 
          34,081,215  
       
 

Miscellaneous Manufacturing - 2.8%

           

AZZ

  27,500     930,875  

Barnes Group

  20,000     389,000  

Brady Corporation Cl. A

  124,600     3,877,552  

China Automation Group

  284,800     219,719  

Hana Microelectronics

  305,000     204,685  

Matthews International Cl. A

  37,000     1,313,500  

Mettler-Toledo International a

  33,500     3,658,200  

PMFG a

  344,900     4,563,027  

Rational

  6,500     1,139,544  

Raven Industries

  96,200     2,836,938  

Semperit AG Holding

  60,000     2,342,838  

Synalloy Corporation

  198,800     1,614,256  

Teleflex

  3,900     249,873  

Valmont Industries

  35,000     2,899,050  
       
 
          26,239,057  
       
 

Paper and Packaging - 0.8%

           

Greif Cl. A

  82,499     4,530,845  

Mayr-Melnhof Karton

  25,000     2,363,638  

Taiwan Hon Chuan Enterprise

  360,285     675,010  
       
 
          7,569,493  
       
 

Pumps, Valves and Bearings - 1.3%

           

FAG Bearings India

  11,300     132,142  

Gardner Denver

  77,500     3,413,100  

Graco

  116,376     3,724,032  

IDEX Corporation

  67,400     2,230,940  

Pfeiffer Vacuum Technology

  25,000     1,907,794  

Rotork

  30,000     638,715  
       
 
          12,046,723  
       
 

Specialty Chemicals and Materials - 1.1%

           

Agrium

  3,700     261,331  

Chemspec International ADR

  35,000     267,400  

China BlueChemical

  158,400     103,230  

China XD Plastics a,c

  39,000     241,800  

FMC Corporation

  2,300     139,242  

Hawkins

  186,178     4,505,508  

Huchems Fine Chemical

  4,800     113,907  

Huchems Fine Chemical (Rights) a,b

  885     4,576  

Kingboard Chemical Holdings

  16,900     76,944  

OM Group a

  90,000     3,049,200  

Victrex

  85,000     1,135,734  
       
 
          9,898,872  
       
 

Textiles - 0.1%

           

Pacific Textile Holdings

  320,000     201,539  

Texwinca Holdings

  275,000     303,539  

Unifi a

  121,000     440,440  
       
 
          945,518  
       
 

Other Industrial Products - 0.3%

           

China Fire & Security Group a,c

  6,300     81,711  

Cooper Industries

  7,800     373,932  

Harbin Electric a,c

  18,335     395,853  

Vacon

  41,500     1,687,165  
       
 
          2,538,661  
       
 

Total

        206,791,984  
       
 

Industrial Services – 15.7%

           

Advertising and Publishing - 0.4%

           

Lamar Advertising Cl. A a

  51,000     1,751,850  

SinoMedia Holding

  350,000     96,919  

ValueClick a

  145,000     1,470,300  
       
 
          3,319,069  
       
 

Commercial Services - 8.4%

           

Anhanguera Educacional Participacoes a

  120,000     1,740,265  

Animal Health International a

  17,000     32,130  

Apollo Group Cl. A a

  4,100     251,289  

Brink’s Company (The)

  65,600     1,851,888  

ChinaCast Education a

  20,000     146,200  

Cintas Corporation

  74,500     2,092,705  

Convergys Corporation a

  121,000     1,483,460  

Copart a

  85,600     3,047,360  

Corinthian Colleges a

  210,900     3,709,731  

CRA International a

  47,087     1,079,234  

Diamond Management & Technology Consultants

  80,400     631,140  

Fidelity National Information Services

  9,800     229,712  

Forrester Research a

  40,300     1,211,821  

FTI Consulting a

  7,850     308,662  

Gartner a

  213,000     4,737,120  

Global Sources a,c

  19,936     129,783  

Hackett Group a

  655,000     1,820,900  

Hewitt Associates Cl. A a

  126,720     5,040,922  

ITT Educational Services a

  17,000     1,912,160  

Landauer

  75,500     4,924,110  

Manpower

  69,300     3,958,416  

ManTech International Cl. A a

  35,400     1,728,582  

MAXIMUS

  114,900     7,000,857  

MegaStudy Company

  17,700     2,917,540  

Michael Page International

  260,000     1,578,199  

Monster Worldwide a

  47,800     793,958  

Pico Far East Holdings

  3,438,000     624,346  

Raffles Education a

  1,083,900     282,800  

Ritchie Bros. Auctioneers c

  337,700     7,270,681  

Robert Half International

  80,000     2,434,400  

SFN Group a

  62,800     503,028  

Singapore Airport Terminal Services

  275,000     520,926  

Sotheby’s

  319,400     9,930,146  

Sound Global a

  50,000     33,775  

TeleTech Holdings a

  13,000     222,040  

Universal Technical Institute a

  43,100     983,542  
       
 
          77,163,828  
       
 

Engineering and Construction - 1.1%

           

Desarrolladora Homex ADR a

  14,100     398,748  

Integrated Electrical Services a

  355,400     2,008,010  

Jacobs Engineering Group a

  6,400     289,216  

KBR

  180,000     3,988,800  

NVR a

  5,000     3,632,500  
       
 
          10,317,274  
       
 

Food, Tobacco and Agriculture - 0.9%

           

Alico a,c

  27,000     681,750  

American Italian Pasta Cl. A a

  31,500     1,224,405  

Chaoda Modern Agriculture

  178,872     190,523  

China Green (Holdings)

  782,000     986,029  

Genting Plantations

  50,000     106,530  

Hanfeng Evergreen a

  52,700     405,245  

Intrepid Potash a

  80,427     2,439,351  

MGP Ingredients a

  127,400     978,432  

Origin Agritech a,c

  87,500     874,125  

Yuhe International a

  20,286     188,660  

Zhongpin a,c

  12,000     152,400  
       
 
          8,227,450  
       
 

Industrial Distribution - 0.7%

           

Lawson Products

  161,431     2,497,338  

MSC Industrial Direct Cl. A

  75,400     3,824,288  
       
 
          6,321,626  
       
 

Transportation and Logistics - 4.2%

           

Alexander & Baldwin

  60,000     1,983,000  

C. H. Robinson Worldwide

  60,000     3,351,000  

Forward Air

  209,750     5,516,425  

Frozen Food Express Industries a

  286,635     1,117,877  

Hub Group Cl. A a

  174,400     4,879,712  

Kirby Corporation a

  89,000     3,395,350  

Landstar System

  145,400     6,103,892  

Patriot Transportation Holding a

  70,986     5,996,897  

Tidewater

  36,000     1,701,720  

Universal Truckload Services a

  129,576     2,277,946  

UTI Worldwide

  175,000     2,681,000  
       
 
          39,004,819  
       
 

Total

        144,354,066  
       
 

Natural Resources – 10.3%

           

Energy Services - 5.5%

           

Cal Dive International a

  50,000     366,500  

Calfrac Well Services

  60,500     1,262,836  

CARBO Ceramics

  83,700     5,217,858  

China Power New Energy Development a

  3,260,000     348,495  

Core Laboratories

  10,000     1,308,000  

Ensign Energy Services

  225,100     3,257,982  

Exterran Holdings a

  103,600     2,504,012  

Helmerich & Payne

  63,300     2,410,464  

ION Geophysical a

  361,500     1,778,580  

Lufkin Industries

  31,000     2,453,650  

Major Drilling Group International

  168,200     4,239,571  

Oil States International a

  175,000     7,934,500  

Pason Systems

  178,800     2,012,193  

SEACOR Holdings a

  101,300     8,170,858  

ShawCor Cl. A

  80,000     2,216,512  

TETRA Technologies a

  68,000     830,960  

Trican Well Service

  99,900     1,292,459  

Unit Corporation a

  46,000     1,944,880  

Willbros Group a

  103,800     1,246,638  
       
 
          50,796,948  
       
 

Oil and Gas - 0.9%

           

Bill Barrett a

  50,000     1,535,500  

China Integrated Energy a

  35,000     366,800  

Cimarex Energy

  95,490     5,670,196  

Frontier Oil a

  40,000     540,000  

Questar Corporation

  10,400     449,280  
       
 
          8,561,776  
       
 

Precious Metals and Mining - 2.3%

           

Aquarius Platinum

  250,000     1,633,967  

Cliffs Natural Resources

  25,500     1,809,225  

Etruscan Resources a

  745,900     304,779  

Fresnillo

  120,000     1,544,207  

Gammon Gold a

  198,300     1,425,777  

Hecla Mining a,c

  528,600     2,891,442  

Hochschild Mining

  450,000     1,924,341  

IAMGOLD Corporation

  95,620     1,264,097  

Kimber Resources a

  560,000     560,000  

New Gold a

  510,000     2,223,600  

Northam Platinum

  355,100     2,340,113  

Northgate Minerals a

  140,000     420,000  

Pan American Silver

  41,000     949,150  

Royal Gold

  34,400     1,589,624  

Zhaojin Mining Industry

  15,000     29,365  
       
 
          20,909,687  
       
 

Real Estate - 1.3%

           

Avatar Holdings a

  50,000     1,087,000  

Consolidated-Tomoka Land

  13,564     427,402  

Midland Holdings

  166,000     181,730  

PICO Holdings a

  106,100     3,945,859  

Shimao Property Holdings

  27,500     50,578  

St. Joe Company (The) a

  43,000     1,391,050  

Tejon Ranch a

  163,102     4,977,873  
       
 
          12,061,492  
       
 

Other Natural Resources - 0.3%

           

China Forestry Holdings a

  4,200,000     1,871,655  

Hidili Industry International Development a

  60,000     64,913  

Sino-Forest Corporation a

  11,900     233,161  
       
 
          2,169,729  
       
 

Total

        94,499,632  
       
 

Technology – 19.7%

           

Aerospace and Defense - 1.7%

           

AerCap Holdings a

  45,000     518,400  

Ducommun

  117,200     2,462,372  

FLIR Systems a

  75,000     2,115,000  

Goodrich Corporation

  3,800     267,976  

HEICO Corporation

  107,700     5,553,012  

HEICO Corporation Cl. A

  63,100     2,503,808  

Hexcel Corporation a

  47,500     685,900  

L-3 Communications Holdings

  2,800     256,564  

Mercury Computer Systems a

  40,500     555,660  

Moog Cl. A a

  25,000     885,500  
       
 
          15,804,192  
       
 

Components and Systems - 5.1%

           

AAC Acoustic Technologies Holdings

  90,200     150,793  

Analogic Corporation

  40,135     1,714,969  

Belden

  57,800     1,587,188  

Benchmark Electronics a

  165,200     3,426,248  

Checkpoint Systems a

  56,060     1,240,047  

China Digital TV Holding Company ADR a

  20,000     146,800  

Diebold

  151,600     4,814,816  

Dionex Corporation a

  52,900     3,955,862  

Electronics for Imaging a

  8,517     99,053  

Energy Conversion Devices a,c

  84,500     661,635  

EVS Broadcast Equipment

  20,000     1,135,627  

Intermec a

  23,000     326,140  

Newport Corporation a

  483,500     6,043,750  

Otsuka Corporation

  3,200     203,316  

Paragon Technologies

  165,800     457,336  

Perceptron a

  357,700     1,555,995  

Plexus Corporation a

  215,700     7,771,671  

Richardson Electronics

  520,712     4,139,660  

Shin Zu Shing

  74,500     316,692  

Technitrol

  261,200     1,379,136  

Teradata Corporation a

  54,000     1,560,060  

Vaisala Cl. A

  111,000     3,335,769  

VTech Holdings

  18,050     196,093  

Western Digital a

  8,950     348,960  
       
 
          46,567,616  
       
 

Distribution - 1.0%

           

Agilysys a

  165,125     1,844,446  

Anixter International a

  61,795     2,895,096  

Avnet a

  8,000     240,000  

China 3C Group a,c

  6,600     3,069  

Tech Data a

  86,500     3,624,350  

WPG Holdings

  401,000     655,328  
       
 
          9,262,289  
       
 

Internet Software and Services - 0.2%

           

NetEase.com ADR a

  3,500     124,145  

Perficient a

  10,000     112,700  

RealNetworks a

  245,400     1,185,282  

Sohu.com a

  4,000     218,400  
       
 
          1,640,527  
       
 

IT Services - 2.3%

           

AsiaInfo Holdings a

  9,900     262,152  

Black Box

  43,798     1,347,227  

Sapient Corporation

  756,602     6,915,342  

SRA International Cl. A a

  248,800     5,172,552  

Syntel

  122,379     4,707,920  

Total System Services

  130,500     2,043,630  

Yucheng Technologies a

  89,840     350,376  
       
 
          20,799,199  
       
 

Semiconductors and Equipment - 3.4%

           

ASM Pacific Technology

  9,000     84,850  

BE Semiconductor Industries a

  58,000     246,500  

Brooks Automation a

  5,152     45,441  

Chroma ATE

  156,315     339,623  

Cognex Corporation

  236,200     4,367,338  

Coherent a

  215,500     6,887,380  

Comba Telecom Systems Holdings

  361,570     462,891  

Delta Electronics

  204,400     646,835  

Diodes a

  252,450     5,654,880  

Exar Corporation a

  157,576     1,110,911  

Himax Technologies ADR

  80,500     251,965  

Image Sensing Systems a

  8,310     108,612  

Integrated Device Technology a

  140,000     858,200  

International Rectifier a

  120,000     2,748,000  

Intevac a

  57,450     793,959  

Power Integrations

  49,000     2,018,800  

Seoul Semiconductor

  13,800     531,778  

TTM Technologies a

  221,400     1,966,032  

Vimicro International ADR a

  240,000     1,106,400  

Virage Logic a

  158,100     1,242,666  
       
 
          31,473,061  
       
 

Software - 4.1%

           

ACI Worldwide a

  201,150     4,145,701  

Activision Blizzard

  23,100     278,586  

Advent Software a,c

  130,300     5,830,925  

ANSYS a

  100,000     4,314,000  

Aspen Technology a

  42,100     431,525  

Aveva Group

  60,000     1,078,942  

Avid Technology a

  186,000     2,563,080  

Blackbaud

  36,890     929,259  

CA

  8,100     190,107  

Epicor Software a

  79,900     763,844  

Fair Isaac

  44,500     1,127,630  

JDA Software Group a

  99,900     2,779,218  

Majesco Entertainment a

  36,255     32,267  

National Instruments

  167,900     5,599,465  

NCSoft Corporation

  3,200     405,851  

Net 1 UEPS Technologies a

  50,000     919,500  

Novell a

  470,000     2,815,300  

Parametric Technology a

  59,300     1,070,365  

Sybase a

  57,600     2,685,312  

THQ a

  20,000     140,200  
       
 
          38,101,077  
       
 

Telecommunications - 1.9%

           

Adaptec a

  1,568,800     5,129,976  

ADTRAN

  65,000     1,712,750  

Citic 1616 Holdings

  8,286,500     2,785,557  

Comtech Telecommunications a

  68,627     2,195,378  

Globecomm Systems a

  233,700     1,797,153  

LiveWire Mobile

  38,000     134,900  

Sonus Networks a

  604,000     1,576,440  

Sycamore Networks

  32,100     645,531  

Tandberg a

  30,000     855,600  

Zhone Technologies a

  224,000     616,000  
       
 
          17,449,285  
       
 

Total

        181,097,246  
       
 

Utilities – 0.0%

           

EQT Corporation

  6,000     246,000  
       
 

Total

        246,000  
       
 

Miscellaneous e – 2.0%

           

Total

        18,212,940  
       
 

TOTAL COMMON STOCKS

           

(Cost $826,924,950)

        1,051,395,601  
       
 

PREFERRED STOCK – 0.2%

           

Seneca Foods Conv. a,b

           

(Cost $796,469)

  55,000     1,441,550  
       
 

REPURCHASE AGREEMENT – 9.3%

           
State Street Bank & Trust Company,            

0.005% dated 3/31/10, due 4/1/10,

           

maturity value $85,217,012 (collateralized

           

by obligations of various U.S. Government

           

Agencies, due 11/9/10, valued at $87,350,675)

           

(Cost $85,217,000)

        85,217,000  
       
 

COLLATERAL RECEIVED FOR SECURITIES LOANED – 1.7%

           
Money Market Funds            

Federated Government Obligations Fund

           

(7 day yield-0.0150%)

           

(Cost $16,048,461)

        16,048,461  
       
 

TOTAL INVESTMENTS – 125.5%

           

(Cost $928,986,880)

        1,154,102,612  
             

LIABILITIES LESS CASH AND OTHER ASSETS – (1.6)%

        (14,598,773 )
             

PREFERRED STOCK – (23.9)%

        (220,000,000 )
       
 

NET ASSETS APPLICABLE TO COMMON STOCKHOLDERS – 100.0%

      $ 919,503,839  
       
 
     
a  
Non-income producing.
b  
Securities for which market quotations are not readily available represent 0.2% of net assets. These securities have been valued at their fair value under procedures established by the Fund’s Board of Directors.
c  
All or a portion of these securities were on loan at March 31, 2010. Total market value of loaned securities at March 31, 2010 was $15,474,326.
d  
At March 31, 2010, the Fund owned 5% or more of the Company’s outstanding voting securities thereby making the Company an Affiliated Company as that term is defined in the Investment Company Act of 1940.
e  
Includes securities first acquired in 2010 and less than 1% of net assets applicable to Common Stockholders.
     
   
TAX INFORMATION: The cost of total investments for Federal income tax purposes was $929,867,109. At March 31, 2010, net unrealized appreciation for all securities was $224,235,503, consisting of aggregate gross unrealized appreciation of $325,098,591 and aggregate gross unrealized depreciation of $100,863,088. The primary difference between book and tax basis cost is the timing of the recognition of losses on securities sold.
     
   
Valuation of Investments:
   
Investment transactions are accounted for on the trade date. Securities are valued as of the close of trading on the New York Stock Exchange (NYSE) (generally 4:00 p.m. Eastern time) on the valuation date. Securities that trade on an exchange, and securities traded on Nasdaq’s Electronic Bulletin Board, are valued at their last reported sales price or Nasdaq official closing 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 highest bid price, except in the case of some bonds and other fixed income securities which may be valued by reference to other securities with comparable ratings, interest rates and maturities, using established independent pricing services. The Fund values its non-U.S. dollar denominated securities in U.S. dollars daily at the prevailing foreign currency exchange rates as quoted by a major bank. Securities for which market quotations are not readily available are valued at their fair value under procedures established by the Fund’s Board of Directors. In addition, if, between the time trading ends on a particular security and the close of the customary trading session on the NYSE, events occur that are significant and may make the closing price unreliable, the Fund may fair value the security. The Fund uses an independent pricing service to provide fair value estimates for relevant non-U.S. equity securities on days when the U.S. market volatility exceeds a certain threshold. This pricing service uses proprietary correlations it has developed between the movement of prices of non-U.S. equity securities and indices of U.S.-traded securities, futures contracts and other indications to estimate the fair value of relevant non-U.S. securities. When fair value pricing is employed, the prices of securities used by the Fund may differ from quoted or published prices for the same security. Investments in money market funds are valued at net asset value per share.
     
   
Various inputs are used in determining the value of the Fund’s investments, as noted above. These inputs are summarized in the three broad levels below:
   

Level 1 – quoted prices in active markets for identical securities

   

Level 2 – other significant observable inputs (including quoted prices for similar securities, foreign securities that may be fair valued and repurchase agreements)

   

Level 3 – significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)

   
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
   
The following is a summary of the inputs used to value the Fund’s investments as of March 31, 2010:
        Level 1   Level 2   Level 3   Total
   
          

Common stocks

    $ 864,475,473       $ 186,640,928       $ 279,200       $ 1,051,395,601  
   

Preferred stocks

                      1,441,550         1,441,550  
   

Cash equivalents

      16,048,461         85,217,000                 101,265,461  
   

    Level 3 Reconciliation:                                                            
                                                Realized and          
        Balance as of                                 Unrealized   Balance as of
        12/31/09   Purchases   Transfers In   Sales   Gain (Loss)   3/31/10
   
          

Common stocks

    $ 215,542       $       $ 49,316       $       $ 14,342       $ 279,200  
   

Preferred stocks

      1,826,055                         482,781         98,276         1,441,550  
   
     
    Repurchase Agreements:
   
The Fund may enter into repurchase agreements with institutions that the Fund’s investment adviser has determined are creditworthy. The Fund restricts repurchase agreements to maturities of no more than seven days. Securities pledged as collateral for repurchase agreements, which are held until maturity of the repurchase agreements, are marked-to-market daily and maintained at a value at least equal to the principal amount of the repurchase agreement (including accrued interest). Repurchase agreements could involve certain risks in the event of default or insolvency of the counter-party, including possible delays or restrictions upon the ability of the Fund to dispose of its underlying securities.
     
    Securities Lending:
   
The Fund loans securities to qualified institutional investors for the purpose of realizing additional income. Collateral for the Fund on all securities loaned is accepted in cash and cash equivalents and invested temporarily by the custodian. The collateral maintained is at least 100% of the current market value of the loaned securities. The market value of the loaned securities is determined at the close of business of the Fund and any additional required collateral is delivered to the Fund on the next business day. The Fund retains the risk of any loss on the securities on loan as well as incurring the potential loss on investments purchased with cash collateral received for securities lending.
     
    Transactions in Affiliated Companies:
   
An “Affiliated Company” as defined in the Investment Company Act of 1940, is a company in which a fund owns 5% or more of the company’s outstanding voting securities at any time during the period. The Fund effected the following transactions in shares of such companies for the three months ended March 31, 2010:
     
        Shares   Market Value   Cost of   Cost of   Realized   Dividend   Shares   Market Value
    Affiliated Company   12/31/09   12/31/09   Purchases   Sales   Gain (Loss)   Income   3/31/10   3/31/10
   
          Timberland Bancorp   469,200     $ 2,083,248             $ 4,692     469,200     $ 1,876,800  
   
              $ 2,083,248                 $ 4,692           $ 1,876,800  
   
     
   
Other information regarding the Fund is available in the Fund’s most recent Report to Stockholders. This information is available through The Royce Funds (www.roycefunds.com) and on the Securities and Exchange Commission’s website (www.sec.gov).



Item 2 - Controls and Procedures

(a)        The Registrant’s principal executive and principal financial officers have concluded, based on their evaluation of the Registrant’s disclosure controls and procedures as of a date within 90 days of the filing date of this report (as required by Rule 30a-3(b) under the Investment Company Act of 1940 (the “Act”)), that the Registrant’s disclosure controls and procedures (as defined by Rule 30a-3(c) under the Act) 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 Registrant’s 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 Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) during the Registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the internal control over financial reporting.

Item 3 - Exhibits

              Certifications pursuant to Rule 30a-2(a) under the Act 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. Royce
Charles M. Royce
President, Royce Value Trust, Inc.
Date: May 26, 2010

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

By:

/s/Charles M. Royce
Charles M. Royce
President, Royce Value Trust, Inc.
Date: May 26, 2010

By:

/s/John D. Diederich
John D. Diederich
Treasurer, Royce Value Trust, Inc.
Date: May 26, 2010