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

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

Investment Company Act file number: 811-04875

Name of Fund: Royce Value Trust, Inc.
Fund Address: 1414 Avenue of the Americas
New York, NY 10019

Name and address of agent for service:
John E. Denneen, Esq.
Royce & Associates, LLC
1414 Avenue of the Americas
New York, NY 10019

Registrant’s telephone number, including area code: (212) 486-1445

Date of fiscal year end: 12/31/2004

Date of reporting period: 9/30/2004

Item 1 - Schedule of Investments
Portfolio of Investments

Royce Value Trust, Inc.
September 30, 2004



ROYCE VALUE TRUST              
SCHEDULE OF INVESTMENTS              
SEPTEMBER 30, 2004 (UNAUDITED)              
               
COMMON STOCKS - 119.1%              
    SHARES       VALUE  
               
Consumer Products - 8.4%              
Apparel and Shoes - 3.3%              

Jones Apparel Group

  81,500     $ 2,917,700  

K-Swiss Cl. A

  240,700       4,633,475  

Steven Madden a

  74,000       1,306,100  

Oshkosh B’Gosh Cl. A

  104,300       2,106,860  

Polo Ralph Lauren Cl. A

  150,000       5,455,500  

Timberland Company Cl. A a

  30,000       1,704,000  

Tommy Hilfiger a

  226,000       2,230,620  

Warnaco Group (The) a

  42,000       933,660  

Weyco Group

  153,996       5,697,852  

Wolverine World Wide

  84,600       2,131,920  
         
 
            29,117,687  
         
 
Collectibles - 0.2%              

Action Performance Companies

  50,000       506,500  

The Boyds Collection a

  276,500       658,070  

Department 56 a

  15,000       244,500  

Enesco Group a

  47,200       323,320  
         
 
            1,732,390  
         
 
Food/Beverage/Tobacco - 0.4%              

Aaron Rents

  4,500       97,920  

Hain Celestial Group a

  37,800       668,304  

Hershey Creamery Company

  709       1,772,500  

Lancaster Colony

  16,900       712,589  
         
 
            3,251,313  
         
 
Home Furnishing and Appliances - 0.7%              

Bassett Furniture Industries

  102,975       1,944,168  

Ethan Allen Interiors

  15,000       521,250  

Falcon Products a,c

  791,600       1,527,788  

La-Z-Boy

  68,200       1,035,276  

Natuzzi ADR b

  67,200       725,760  

Select Comfort a,d

  45,000       819,000  
         
 
            6,573,242  
         
 
Publishing - 0.6%              

Journal Communications Cl. A

  100,200       1,757,508  

Scholastic Corporation a

  130,000       4,015,700  
         
 
            5,773,208  
         
 
Sports and Recreation - 1.3%              

Callaway Golf Company

  275,800       2,915,206  

Coachmen Industries

  47,700       752,706  

Monaco Coach

  141,050       3,053,733  

Oakley

  331,600       3,946,040  

Thor Industries

  43,100       1,140,857  
         
 
            11,808,542  
         
 
Other Consumer Products - 1.9%              

Blyth

  14,700       454,230  

Burnham Corporation Cl. B

  36,000       918,000  

Dorel Industries Cl. B a

  39,500       1,112,320  

Fossil a

  22,500       696,150  

Lazare Kaplan International a

  103,600       797,720  

Leapfrog Enterprises a,d

  30,000       607,500  

Matthews International Cl. A

  186,000       6,301,680  

RC2 Corporation a

  180,400       5,935,160  
         
 
            16,822,760  
         
 
Total           75,079,142  
         
 
Consumer Services - 7.1%              
Direct Marketing - 0.2%              

Sportsman’s Guide (The) a,d

  97,500       1,972,425  
         
 
Leisure and Entertainment - 0.5%              

Carmike Cinemas

  21,000       739,410  

Gemstar-TV Guide International a

  201,100       1,136,215  

Hasbro

  50,000       940,000  

Multimedia Games a,d

  10,000       155,000  

Steiner Leisure a

  47,500       1,049,750  
         
 
            4,020,375  
         
 
Restaurants and Lodgings - 1.6%              

Benihana Cl. A a

  56,900       761,322  

CEC Entertainment a

  45,000       1,653,750  

Four Seasons Hotels

  35,000       2,243,500  

IHOP Corporation

  161,700       6,178,557  

Jack in the Box a

  14,000       444,220  

Mandarin Oriental International ADR a,b

  638,000       385,990  

Prime Hospitality a

  106,100       1,291,237  

Ryan’s Restaurant Group a

  60,900       903,756  

Steak n Shake Company (The) a

  45,500       777,140  
         
 
            14,639,472  
         
 
Retail Stores - 3.3%              

BJ’s Wholesale Club a

  40,000       1,093,600  

Big Lots a

  232,200       2,839,806  

CarMax a,d

  111,000       2,392,050  

Charming Shoppes a

  584,400       4,160,928  

Children’s Place Retail Stores a

  18,000       430,380  

Christopher & Banks

  10,000       160,100  

Claire’s Stores

  183,400       4,592,336  

GameStop Corporation Cl. A a

  13,000       240,630  

Krispy Kreme Doughnuts a,d

  57,100       722,886  

Linens ’n Things a

  37,000       857,290  

Neiman Marcus Group (The ) Cl. A

  20,000       1,150,000  

Payless ShoeSource a,d

  209,600       2,123,248  

Stein Mart a

  192,800       2,934,416  

Urban Outfitters a

  165,200       5,682,880  

Wet Seal (The) Cl. A a,d

  25,000       41,500  
         
 
            29,422,050  
         
 
Other Consumer Services 1.5%              

Coinstar a.d

  34,000       792,200  

ITT Educational Services a

  128,000       4,614,400  

Sotheby’s Holdings Cl. A a

  510,200       8,020,344  
         
 
            13,426,944  
         
 
Total           63,481,266  
         
 
Financial Intermediaries - 12.9%              
Banking - 3.3%              

BOK Financial a

  129,327       5,769,277  

Bankrate a,d

  77,000       865,480  

Farmers & Merchants Bank of Long Beach

  1,266       7,184,550  

First National Bank Alaska

  2,130       4,686,000  

Mechanics Bank

  200       3,820,000  

Mercantile Bankshares

  20,000       959,200  

NetBank

  70,000       700,700  

Oriental Financial Group

  49,225       1,332,029  

Partners Trust Financial Group

  130,000       1,346,800  

Sun Bancorp a,d

  38,000       833,340  

Whitney Holding

  27,000       1,134,000  

Wilmington Trust

  31,000       1,122,510  
         
 
            29,753,886  
         
 
Insurance - 8.4%              

Alleghany Corporation a

  11,700       3,192,930  

Argonaut Group a,d

  197,000       3,677,990  

Aspen Insurance Holdings

  58,000       1,334,580  

Baldwin & Lyons Cl. B

  22,200       560,328  

Commerce Group

  49,500       2,395,800  

Erie Indemnity Company Cl. A

  169,900       8,668,298  

HCC Insurance Holdings

  17,000       512,550  

Leucadia National

  51,500       2,917,475  

Markel Corporation a

  4,200       1,295,280  

Montpelier Re Holdings

  74,000       2,714,320  

NYMAGIC

  85,200       1,865,028  

Navigators Group a

  83,200       2,432,768  

Ohio Casualty a

  187,000       3,913,910  

PICO Holdings a

  218,200       4,152,346  

PMA Capital Cl. A a

  171,700       1,296,335  

Philadelphia Consolidated Holding a

  35,000       1,929,200  

Phoenix Companies (The)

  81,900       853,398  

PXRE Group

  176,551       4,133,059  

ProAssurance Corporation a

  186,070       6,516,171  

RLI

  99,724       3,744,636  

Reinsurance Group of America

  30,000       1,236,000  

21st Century Insurance Group

  62,000       827,700  

Wesco Financial

  7,750       2,724,125  

White Mountains Insurance Group

  14,100       7,416,600  

Zenith National Insurance

  96,900       4,099,839  
         
 
            74,410,666  
         
 
Real Estate Investment Trusts - 0.2%              

Public Storage

  25,000       1,238,750  

Sun Communities

  20,400       799,476  
         
 
            2,038,226  
         
 
Securities Brokers - 0.8%              

E*TRADE Financial a

  485,700       5,546,694  

Knight Trading Group a

  129,700       1,197,131  
         
 
            6,743,825  
         
 
Other Financial Intermediaries - 0.2%              

Chicago Mercantile Exchange Holdings

  10,000       1,613,000  
         
 
Total           114,559,603  
         
 
Financial Services - 8.6%              
Information and Processing - 3.1%              

Advent Software a

  151,100       2,543,013  

CCC Information Services Group a,d

  26,214       463,726  

eFunds Corporation a

  224,275       4,169,272  

FactSet Research Systems

  93,500       4,506,700  

Fair Isaac

  59,000       1,722,800  

Global Payments

  68,500       3,668,175  

Interactive Data a

  134,300       2,527,526  

Moody’s Corporation

  30,000       2,197,500  

National Processing a

  20,000       530,400  

SEI Investments

  162,200       5,462,896  
         
 
            27,792,008  
         
 
Insurance Brokers - 1.4%              

Crawford & Company Cl. B

  60,300       404,010  

Crawford & Company Cl. A

  289,100       1,879,150  

Gallagher (Arthur J.) & Company

  121,200       4,015,356  

Hilb Rogal & Hobbs Company

  155,050       5,615,911  
         
 
            11,914,427  
         
 
Investment Management - 3.5%              

Alliance Capital Management Holding L.P.

  135,000       4,792,500  

Apollo Investment

  771,800       10,920,970  

BKF Capital Group

  35,700       1,046,010  

BlackRock Cl. A

  25,000       1,837,250  

Eaton Vance

  70,200       2,835,378  

Federated Investors Cl. B

  51,500       1,464,660  

Gabelli Asset Management Cl. A

  93,100       3,989,335  

Nuveen Investments Cl. A

  138,600       4,102,560  
         
 
            30,988,663  
         
 
Other Financial Services 0.6%              

CharterMac

  59,600       1,310,604  

Municipal Mortgage & Equity

  47,300       1,192,906  

PRG-Schultz International a

  467,000       2,680,580  

Van der Moolen Holding ADR a,b

  41,000       270,600  
         
 
            5,454,690  
         
 
Total           76,149,788  
         
 
Health - 11.4%              
Commercial Services - 2.9%              

Covance a

  122,700       4,904,319  

First Consulting Group a

  520,900       2,469,066  

Gene Logic a

  340,100       1,265,172  

IDEXX Laboratories a,d

  94,300       4,784,782  

PAREXEL International a,d

  277,700       5,442,920  

Pharmaceutical Product Development a,d

  67,600       2,433,600  

Sybron Dental Specialties a,d

  26,500       786,785  

TriZetto Group (The) a

  215,200       1,254,616  

Young Innovations

  62,550       2,064,150  
         
 
            25,405,410  
         
 
Drugs and Biotech - 3.6%              

Abgenix a

  38,000       374,680  

Affymetrix a,d

  90,800       2,788,468  

Antigenics a,d

  38,500       232,155  

Applera Corporation- Celera Genomics Group a

  199,200       2,328,648  

Biogen Idec a

  28,100       1,718,877  

Biopure Corporation Cl. A a,d

  18,200       7,280  

Celgene Corporation a

  40,000       2,329,200  

Cephalon a,d

  4,900       234,710  

Cerus Corporation a,d

  21,700       52,297  

Chiron Corporation a

  21,800       963,560  

Corgentech a,d

  10,000       170,700  

DUSA Pharmaceuticals a,d

  79,700       914,956  

Endo Pharmaceuticals Holdings a

  318,200       5,842,152  

Genzyme Corporation a,d

  28,000       1,523,480  

Hi-Tech Pharmacal a,d

  79,000       1,257,680  

Human Genome Sciences a,d

  90,000       981,900  

Invitrogen Corporation a

  40,000       2,199,600  

Lexicon Genetics a,d

  463,300       3,053,147  

Matrixx Initiatives a,d

  40,000       416,000  

Millennium Pharmaceuticals a

  50,000       685,500  

Perrigo Company

  171,750       3,529,463  

Shire Pharmaceuticals Group ADR b

  20,853       597,438  
         
 
            32,201,891  
         
 
Health Services - 0.9%              

Accredo Health a

  8,705       205,177  

Albany Molecular Research a

  85,000       816,000  

Gentiva Health Services a

  30,150       493,556  

Health Management Associates Cl. A

  27,400       559,782  

Lincare Holdings a

  34,600       1,027,966  

Manor Care

  58,300       1,746,668  

MedQuist a

  73,893       964,304  

On Assignment a

  425,200       1,887,888  

Quovadx a

  3,000       5,730  
         
 
            7,707,071  
         
 
Medical Products and Devices - 3.0%              

Allied Healthcare Products a

  62,000       428,420  

Arrow International

  302,602       9,047,800  

CONMED Corporation a

  81,500       2,143,450  

Datascope

  12,000       447,600  

Diagnostic Products

  25,000       1,021,750  

Haemonetics a

  77,900       2,558,236  

Invacare Corporation

  88,000       4,048,000  

Novoste a

  66,500       109,060  

STERIS Corporation a

  200,100       4,390,194  

Thoratec Corporation a

  2,000       19,240  

Varian Medical Systems a

  61,600       2,129,512  

Zoll Medical a

  20,200       674,478  
         
 
            27,017,740  
         
 
Personal Care 1.0%              

Ocular Sciences a

  152,500       7,315,425  

Regis

  37,200       1,496,184  
         
 
            8,811,609  
         
 
Total           101,143,721  
         
 
Industrial Products - 18.7%              
Automotive - 0.5%              

Adesa a

  105,900       1,739,937  

CLARCOR

  22,000       1,048,740  

IMPCO Technologies a,d

  15,500       75,950  

LKQ Corporation a

  88,000       1,607,760  

Quantam Fuel Systems Technologies Worldwide a

  15,500       84,475  
         
 
            4,556,862  
         
 
Building Systems and Components - 1.8%              

Decker Manufacturing

  6,022       207,759  

Preformed Line Products Company

  91,600       2,764,488  

Simpson Manufacturing

  180,400       11,401,280  

Teleflex

  29,000       1,232,500  
         
 
            15,606,027  
         
 
Construction Materials - 2.1%              

Ash Grove Cement Company Cl. B

  50,518       6,668,376  

ElkCorp

  43,000       1,193,680  

Florida Rock Industries

  123,000       6,025,770  

Heywood Williams Group a

  738,837       1,149,882  

Synalloy Corporation a,c

  345,000       3,450,000  
         
 
            18,487,708  
         
 
Industrial Components - 1.9%              

AMETEK

  86,000       2,607,520  

Bel Fuse Cl. A

  26,200       734,910  

C & D Technologies

  50,000       951,000  

Donaldson Company

  52,000       1,476,280  

Intermagnetics General a,d

  48,350       1,119,303  

Penn Engineering & Manufacturing

  251,600       4,684,792  

Penn Engineering & Manufacturing Cl. A

  77,600       1,198,920  

PerkinElmer

  135,000       2,324,700  

Powell Industries a

  57,400       967,190  

Woodhead Industries

  45,400       626,520  
         
 
            16,691,135  
         
 
Machinery - 5.1%              

Coherent a

  228,500       5,927,290  

Federal Signal

  58,600       1,088,788  

Global Power Equipment Group a

  40,000       296,400  

Graco

  96,825       3,243,638  

IDEX Corporation

  36,000       1,222,560  

Lincoln Electric Holdings

  265,880       8,337,997  

National Instruments

  71,400       2,161,278  

Nordson Corporation

  172,200       5,911,626  

Pason Systems

  79,000       1,939,956  

PAXAR Corporation a

  333,100       7,554,708  

T-3 Energy Services a,d

  346,710       2,080,260  

UNOVA a,d

  40,000       562,000  

Woodward Governor Company

  73,600       4,967,264  
         
 
            45,293,765  
         
 
Metal Fabrication and Distribution - 2.2%              

Commercial Metals Company

  5,000       198,600  

CompX International Cl. A a

  482,200       7,715,200  

Kaydon Corporation

  208,700       6,004,299  

NN

  127,100       1,455,295  

Oregon Steel Mills a

  247,900       4,122,577  
         
 
            19,495,971  
         
 
Paper and Packaging - 0.3%              

Glatfelter (P. H.) Company

  25,000       309,750  

Mod-Pac Corporation a

  10,000       113,000  

Peak International a

  408,400       2,123,680  
         
 
            2,546,430  
         
 
Pumps, Valves and Bearings - 0.5%              

Baldor Electric

  62,900       1,488,214  

Conbraco Industries

  7,630       1,159,760  

Franklin Electric

  47,200       1,869,120  
         
 
            4,517,094  
         
 
Specialty Chemicals and Materials - 1.6%              

Aceto

  35,000       504,000  

Albemarle Corporation

  34,000       1,193,060  

Arch Chemicals

  38,200       1,090,610  

Balchem Corporation

  31,200       929,760  

CFC International a

  123,500       864,500  

Cabot Corporation

  56,500       2,179,205  

Hawkins

  56,878       679,692  

Lydall a

  15,000       139,500  

MacDermid

  226,631       6,563,234  

Material Sciences a

  29,000       391,210  
         
 
            14,534,771  
         
 
Textiles - 0.1%              

Culp a

  60,000       441,000  

Unifi a

  315,100       718,428  
         
 
            1,159,428  
         
 
Other Industrial Products - 2.6%              

Albany International Cl. A

  45,500       1,356,355  

Brady Corporation Cl. A

  139,400       6,798,538  

Diebold

  100,000       4,670,000  

Kimball International Cl. B

  417,380       5,793,234  

Maxwell Technologies a

  21,500       221,665  

Myers Industries

  30,499       333,964  

Peerless Manufacturing a,c

  158,600       2,267,980  

Quixote Corporation

  4,300       82,904  

Steelcase Cl. A

  50,000       700,000  

Trinity Industries

  20,000       623,400  
         
 
            22,848,040  
         
 
Total           165,737,231  
         
 
Industrial Services - 15.2%              
Advertising and Publishing - 0.2%              

Interpublic Group of Companies a

  180,000       1,906,200  
         
 
Commercial Services - 5.9%              

ABM Industries

  134,800       2,716,220  

Administaff a

  32,000       374,400  

Allied Waste Industries a

  188,800       1,670,880  

Carlisle Holdings a,d

  194,900       1,239,564  

Central Parking

  83,800       1,107,836  

Collectors Universe a,d

  10,000       145,800

Convergys Corporation a

  121,000       1,625,030  

Copart a

  138,100       2,614,233  

Harsco Corporation

  22,000       987,800  

Hewitt Associates Cl. A a,d

  59,000       1,561,140  

Hudson Highland Group a

  50,549       1,475,525  

iGATE Corporation a

  168,000       618,240  

Iron Mountain a

  206,175       6,979,024  

Learning Tree International a,d

  53,400       752,940  

MPS Group a

  648,500       5,453,885  

Manpower

  55,800       2,482,542  

Metro One Telecommunications a,d

  25,000       40,250  

MoneyGram International

  217,100       3,708,068  

Monster Worldwide a

  79,000       1,946,560  

Nam Tai Electronics

  30,000       640,500  

New Horizons Worldwide a

  198,000       849,420  

Pemstar a

  351,900       640,458  

Portfolio Recovery Associates a,d

  5,000       146,950  

RemedyTemp Cl. A a

  62,500       652,500  

Renaissance Learning

  15,000       325,050  

Reynolds & Reynolds Company Cl. A

  52,000       1,282,840  

Rollins

  87,000       2,113,230  

SOURCECORP a

  35,000       774,900  

Spherion Corporation a

  3,000       23,460  

TRC Companies a

  43,000       807,110  

Viad Corporation

  78,525       1,863,398  

Watson Wyatt & Company Holdings

  81,000       2,130,300  

West Corporation a

  75,000       2,184,750  
         
            51,934,803  
         
               
Engineering and Construction - 2.0%              

Champion Enterprises a

  120,000       1,234,800  

Chicago Bridge & Iron Company

  35,000       1,049,650  

EMCOR Group a

  48,100       1,809,522  

Fleetwood Enterprises a

  234,300       3,556,674  

Insituform Technologies Cl. A a,d

  214,200       3,999,114  

Integrated Electrical Services a

  31,500       151,515  

Jacobs Engineering Group a

  47,000       1,799,630  

McDermott International a

  71,000       837,800  

Washington Group International a,d

  100,000       3,462,000  
         
 
            17,900,705  
         
 
               
Food and Tobacco Processors - 0.8%              

Farmer Bros.

  150,000       4,009,500  

MGP Ingredients

  286,400       2,841,088  

Seneca Foods Cl. B a

  6,500       118,625  
         
 
            6,969,213  
         
 
               
Industrial Distribution - 1.5%              

Central Steel & Wire

  3,799       2,013,470  

Ritchie Bros. Auctioneers

  310,400       9,513,760  

Strategic Distribution a

  115,000       1,725,000  
         
 
            13,252,230  
         
 
               
Printing - 0.4%              

Bowne & Co.

  68,100       884,619  

R.R. Donnelley & Sons

  44,541       1,395,024  

Ennis

  62,700       1,343,034  
         
 
            3,622,677  
         
 
               
Transportation and Logistics - 3.8%              

AirNet Systems a,d

  219,000       941,700  

Alexander & Baldwin

  60,000       2,036,400  

FLYi a

  108,000       422,280  

Brink’s Company (The)

  122,278       3,689,127  

C. H. Robinson Worldwide

  40,000       1,855,600  

Continental Airlines Cl. B a,d

  100,000       852,000  

EGL a

  173,125       5,238,763  

General Maritime a,d

  7,000       243,810  

Forward Air a

  166,500       6,663,330  

Frozen Food Express Industries a

  306,635       2,327,360  

Hawaiian Holdings a,d

  30,000       184,800  

Hub Group Cl. A a

  77,000       2,868,250  

Landstar System a

  5,600       328,608  

Patriot Transportation Holding a

  101,300       3,328,718  

UTI Worldwide

  45,000       2,646,450  
         
 
            33,627,196  
         
 
               
Other Industrial Services - 0.6%              

Landauer

  117,900       5,533,047  

Team a

  4,700       72,662  
         
 
            5,605,709  
         
 
Total           134,818,733  
         
 
               
Natural Resources - 10.0%              
Energy Services - 4.3%              

Atwood Oceanics a

  19,700       936,538  

Carbo Ceramics

  105,600       7,617,984  

Core Laboratories a

  10,000       245,900  

ENSCO International

  6,443       210,493  

Global Industries a

  119,500       738,510  

Hanover Compressor Company a

  160,000       2,152,000  

Helmerich & Payne

  172,400       4,946,156  

Input/Output a

  669,100       6,898,421  

Key Energy Services a

  10,000       110,500  

Lufkin Industries

  15,000       558,300  

Precision Drilling a

  29,500       1,696,250  

TETRA Technologies a,d

  61,000       1,894,050  

Tidewater

  32,600       1,061,130  

Universal Compression Holdings a

  115,000       3,918,050  

Veritas DGC a

  38,700       881,586  

Willbros Group a

  289,600       4,317,936  
         
 
            38,183,804  
         
 
               
Oil and Gas - 3.3%              

Chesapeake Energy

  75,000       1,187,250  

Cimarex Energy a

  115,041       4,019,533  

Delta Petroleum a,d

  39,000       508,560  

Denbury Resources a

  174,100       4,422,140  

EOG Resources

  5,000       329,250  

Houston Exploration Company (The) a

  57,000       3,382,950  

Husky Energy

  75,000       1,825,133  

Penn Virginia

  33,000       1,306,470  

Plains Exploration & Production Company a

  76,500       1,825,290  

Remington Oil & Gas a

  78,500       2,060,625  

SEACOR Holdings a

  159,500       7,456,625  

Toreador Resources a,d

  100,300       956,862  
         
 
            29,280,688  
         
 
               
Precious Metals and Mining - 1.3%              

AngloGold Ashanti ADR b

  49,900       1,941,110  

Aurizon Mines a

  62,000       68,820  

Bema Gold a,d

  270,000       861,300  

Glamis Gold a

  155,000       2,903,150  

Gold Fields ADR b

  57,800       788,970  

Hecla Mining Company a,d

  198,000       1,473,120  

MK Resources Company a

  431,700       1,187,175  

Meridian Gold a

  147,000       2,457,840  

Miramar Mining a

  110,000       139,700  

Stillwater Mining Company a

  10,780       167,090  
         
 
            11,988,275  
         
 
               
Real Estate 1.1%              

Alico

  52,000       2,215,200  

CB Richard Ellis Group Cl.A a

  75,000       1,732,500  

Consolidated-Tomoka Land

  13,564       471,756  

Trammell Crow Company a

  315,900       4,965,948  
         
 
            9,385,404  
         
 
Total           88,838,171  
         
 
               
Technology - 21.7%              
Aerospace and Defense - 1.0%              

Armor Holdings a

  23,000       957,030  

Curtiss-Wright

  86,600       4,956,118  

Ducommun a

  117,200       2,619,420  

Herley Industries a

  2,000       37,380  
         
 
            8,569,948  
         
 
               
Components and Systems - 6.2%              

Advanced Digital Information a

  46,000       400,200  

American Power Conversion

  151,200       2,629,368  

Analogic Corporation

  21,000       875,490  

Belden CDT

  57,800       1,260,040  

Checkpoint Systems a

  103,000       1,603,710  

Dionex Corporation a

  81,000       4,430,700  

Excel Technology a

  168,500       4,350,670  

Hutchinson Technology a,d

  47,500       1,269,675  

Imation Corporation

  15,700       558,763  

InFocus Corporation a

  79,000       723,640  

KEMET Corporation a

  110,000       889,900  

Kronos a

  38,775       1,717,345  

Methode Electronics Cl. A

  50,000       639,500  

Metrologic Instruments a,d

  25,000       396,250  

Neoware Systems a,d

  28,000       232,400  

Newport Corporation a,d

  191,900       2,201,093  

Perceptron a

  397,400       2,658,606  

Plexus Corporation a

  399,700       4,412,688  

Radiant Systems a

  32,500       130,650  

REMEC a,d

  189,200       891,132  

Symbol Technologies

  259,600       3,281,344  

TTM Technologies a

  192,600       1,712,214  

Technitrol a

  348,900       6,803,550  

Tektronix

  65,000       2,161,250  

Vishay Intertechnology a

  231,000       2,979,900  

Zebra Technologies Cl. A a

  96,525       5,888,990  
         
 
            55,099,068  
         
 
               
Distribution - 1.6%              

Agilysys

  185,125       3,200,811  

Anixter International a

  41,900       1,470,271  

Arrow Electronics a

  114,700       2,589,926  

Avnet a

  52,355       896,318  

Benchmark Electronics a

  36,000       1,072,800  

Insight Enterprises a

  64,000       1,077,760  

Tech Data a

  96,500       3,720,075  
         
 
            14,027,961  
         
 
               
Internet Software and Services - 0.8%              

CNET Networks a

  155,400       1,421,910  

CryptoLogic

  202,000       3,128,980  

CyberSource Corporation a

  10,000       48,300  

DoubleClick a

  181,700       1,073,847  

Intraware a,d

  130,000       153,400  

RealNetworks a

  85,400       397,964  

S1 Corporation a,d

  20,000       159,600  

Satyam Computer Services ADR b

  20,000       462,400  

Vastera a

  15,000       26,550  
         
 
            6,872,951  
         
 
               
IT Services - 5.4%              

answerthink a

  655,000       3,504,250  

BearingPoint a

  524,000       4,684,560  

Black Box

  47,000       1,736,650  

CACI International Cl. A a

  10,000       527,800  

CIBER a

  109,000       819,680  

Computer Task Group a

  101,100       314,421  

Covansys Corporation a

  251,600       2,903,464  

DiamondCluster International a

  80,400       980,880  

Forrester Research a

  79,300       1,208,532  

Gartner Cl. A a

  316,000       3,694,040  

CGI Group Cl. A a,d

  106,700       717,024  

Keane a

  480,000       7,372,800  

MAXIMUS a

  160,300       4,618,243  

Perot Systems Cl. A a

  165,100       2,651,506  

QRS Corporation a

  57,500       397,900  

Sapient Corporation a

  819,400       6,252,022  

Syntel

  148,500       2,454,705  

Unisys Corporation a

  325,000       3,354,000  
         
 
            48,192,477  
         
 
               
Semiconductors and Equipment - 3.5%              

Artisan Components a

  15,000       436,650  

BE Semiconductor Industries a

  58,000       292,320  

Cabot Microelectronics a,d

  167,900       6,086,375  

CEVA a,d

  31,666       250,161  

Cognex Corporation

  118,400       3,102,080  

Credence Systems a

  70,600       508,320  

Cymer a

  14,500       415,570  

DSP Group a

  115,000       2,420,750  

DuPont Photomasks a

  35,000       596,400  

Electroglas a,d

  281,700       839,466  

Exar Corporation a

  207,400       2,936,784  

Fairchild Semiconductor International Cl. A a

  51,200       725,504  

Helix Technology

  36,900       501,656  

Integrated Circuit Systems a

  75,000       1,612,500  

Intevac a,d

  216,050       1,356,794  

Kulicke & Soffa Industries a,d

  105,800       597,770  

Lattice Semiconductor a

  254,000       1,247,140  

Mentor Graphics a

  225,700       2,474,801  

National Semiconductor a

  76,400       1,183,436  

Novellus Systems a

  12,000       319,080  

Omnivision Technologies a,d

  11,000       155,650  

Qlogic Corporation a

  37,500       1,110,375  

Semitool a

  50,000       379,500  

Silicon Storage Technology a

  15,000       95,550  

Veeco Instruments a

  65,000       1,363,050  
         
 
            31,007,682  
         
 
Software - 2.1%              

ANSYS a,d

  10,000       497,300  

Aspen Technology a

  27,100       189,429  

Autodesk

  81,000       3,939,030  

Business Objects ADR a,b,d

  20,500       477,855  

Integral Systems

  59,800       1,166,698  

JDA Software Group a

  74,900       810,418  

MRO Software a

  46,000       460,000  

Macromedia a

  51,600       1,036,128  

ManTech International Cl. A a

  135,000       2,527,200  

Manugistics Group a

  49,200       117,096  

Novell a

  85,000       536,350  

Progress Software a

  30,500       606,950  

SPSS a

  117,500       1,566,275  

Sybase a

  82,600       1,139,054  

Synopsys a

  5,000       79,150  

Transaction Systems Architects Cl. A a

  213,150       3,961,393  

Verisity a,d

  5,000       34,750  
         
 
            19,145,076  
         
 
Telecommunications - 1.1%              

Andrew Corporation a

  30,000       367,200  

Corvis Corporation a

  10,000       8,000  

Catapult Communications a

  75,100       1,414,884  

Covad Communications Group a,d

  35,000       58,800  

Globecomm Systems a,d

  233,700       1,549,431  

IDT Corporation a

  25,000       364,500  

IDT Corporation Cl. B a

  40,000       601,200  

Inet Technologies a

  65,000       817,700  

Level 3 Communications a,d

  280,400       726,236  

PECO II a

  93,600       62,712  

Scientific-Atlanta

  117,300       3,040,416  

Time Warner Telecom Cl. A a,d

  179,000       859,200  
         
 
            9,870,279  
         
 
Total           192,785,442  
         
 
Utilities - 0.2%              

CH Energy Group

  44,500       2,038,100  

Southern Union a

  11,025       226,013  
         
 
Total           2,264,113  
         
 
Miscellaneous - 4.9%              
Total           43,626,730  
         
 
TOTAL COMMON STOCKS              

(Cost $745,192,680)

          1,058,483,940  
         
 
PREFERRED STOCK - 0.1%              

Aristotle Corporation 11.00% Conv.

  4,800       38,112  
         
 
TOTAL PREFERRED STOCK              

(Cost $31,005)

          38,112  
         
 
    PRINCIPAL
AMOUNT
         
CORPORATE BONDS - 0.2%              
Dixie Group 7.00%              

Conv. Sub. Deb. due 5/15/12

$ 490,000       460,600  
Richardson Electronics 7.25%              

Conv. Sub. Deb. due 12/15/06

  1,319,000       1,319,000  
         
 
TOTAL CORPORATE BONDS              

(Cost $1,576,256)

          1,779,600  
         
 
U.S TREASURY OBLIGATIONS - 2.9%              
U. S. Treasury Notes              

5.625%, due 2/15/06

  25,000,000       26,108,400  
         
 
               
TOTAL U.S. TREASURY OBLIGATIONS              

(Cost $26,204,762)

          26,108,400  
         
 
REPURCHASE AGREEMENT - 2.7%              
State Street Bank & Trust Company,              

1.30% dated 9/30/04, due 10/1/04,

             

maturity value $23,652,854

             

(collateralized by Federal National Mortgage Association

             

5.25% due at 1/15/06, valued at $24,127,426)

             

(Cost $23,652,000)

          23,652,000  
         
 
COLLATERAL RECEIVED FOR SECURITIES LOANED - 2.5%              
U.S. Treasury Bonds              

5.50%-7.25% due 8/15/22-8/15/28

          7,326  
U.S. Treasury Notes              

1.875% due 1/31/06

          152,370  
Money Market Funds              

State Street Navigator Securities Lending

             

Prime Portfolio

          22,028,311  
         
 
Total (Cost $22,188,007)           22,188,007  
         
 
TOTAL INVESTMENTS - 127.5%              

(Cost $818,844,710)

          1,132,250,059  
               
LIABILITIES LESS CASH              

AND OTHER ASSETS - (2.7)%

          (23,849,302 )
               
PREFERRED STOCK - (24.8)%           (220,000,000 )
         
 
NET ASSETS APPLICABLE TO              

COMMON STOCKHOLDERS - 100.0%

        $ 888,400,757  
         
 
 
a Non-income producing.
 
b American Depository Receipt.
 
c At September 30, 2004, 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. The Fund effected the following transactions in shares of such companies during the nine months ended September 30, 2004:
 

    Shares   Market Value           Realized       Shares   Market Value
Affiliated Company   12/31/2003   12/31/2003   Purchases   Sales   Gain (Loss)   Dividend Income   9/30/2004   9/30/2004
CompX International*   482,200   3,086,080   -        -            -             
                                 
Falcon Products   761,600   3,351,040   109,500   -            -        791,600   1,527,788
                                 
MGP Ingredients*   417,322   6,572,822   -        2,682,904   5,043,390   -             
                                 
Peerless Mfg.   158,600   2,045,940   -        -            -        158,600   2,267,980
                                 
Richardson Electronics*                                
    7.25% Conv. Due 12/15/06   1,319,000   1,213,480   -        -                -         
                                 
Synalloy Corporation   345,000   2,387,400   -        -            -        345,000   3,450,000

        18,656,762           5,043,390   -            7,245,768
       
         
         
*Not an affilated issuer at September 30, 2004.
 
d A portion of these securities were on loan at September 30, 2004. Total market value of loaned securities at September 30, 2004 was $21,729,071.
 
INCOME TAX INFORMATION: The cost of total investments for Federal income tax purposes was $820,875,723. At September 30, 2004, net unrealized appreciation for all securities was $311,374,336, consisting of aggregate gross unrealized appreciation of $370,240,622 and aggregate gross unrealized depreciation of $58,866,286. 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 Board of Trustees. 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 Fund's most recent Prospectus and Report to Shareholders.
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, that the Registrant’s 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 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 controls over financial reporting during the Registrant’s 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. Royce


Charles M. Royce
President, Royce Value Trust, Inc.
Date: November 29, 2004

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: November 29, 2004

By: /s/ John D. Diederich


John D. Diederich
Treasurer, Royce Value Trust, Inc.
Date: November 29, 2004