AZNCX
Virtus Income & Growth Fund
Virtus Investment Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JOHNSON&JOHNSON 0 189,395 189,395 1.07% $46.30M
APPLIED MATERIALS INC 0 72,865 72,865 0.57% $24.90M
ROSS STORES INC 0 110,600 110,600 0.55% $23.96M
Oracle Corp., Series D 0 501,825 501,825 0.52% $22.59M
EXXON MOBIL CORP 0 132,740 132,740 0.52% $22.52M
COSTCO WHOLESALE CORP 0 22,340 22,340 0.51% $22.26M
Sirius XM Radio LLC 0 19,090,000 19,090,000 0.44% $18.96M
TransDigm Inc 0 17,865,000 17,865,000 0.41% $17.57M
ASURION LLC/CO 0 17,105,000 17,105,000 0.38% $16.61M
MTSI 0 12/15/29 0 11,210,000 11,210,000 0.38% $16.33M
STX 3.5 06/01/28 0 3,180,000 3,180,000 0.35% $15.10M
NORTHERN OIL & GAS INC 3.625000% 04/15/2029 0 13,685,000 13,685,000 0.35% $15.01M
Viavi Solutions, Inc., Convertible 0 5,860,000 5,860,000 0.34% $14.59M
CRGY 2.75 03/15/31 0 12,020,000 12,020,000 0.32% $13.80M
Tandem Diabetes Care, Inc., Series 2024 0 13,465,000 13,465,000 0.32% $13.68M
Ormat Technologies Inc 0 12,765,000 12,765,000 0.31% $13.24M
Envista Holdings Corporation, Convertible 0 12,970,000 12,970,000 0.30% $12.86M
Chemours Co/The 0 12,795,000 12,795,000 0.29% $12.79M
Intuitive Machines Inc 0 7,260,000 7,260,000 0.29% $12.76M
OAK-Eagle Acquireco Inc 0 11,925,000 11,925,000 0.29% $12.48M
CH ROBINSON WORLDWIDE INC 0 70,705 70,705 0.27% $11.74M
UCTT 0 03/15/31 0 11,095,000 11,095,000 0.27% $11.74M
Mirion Technologies (US), Inc. 0 10,750,000 10,750,000 0.27% $11.66M
MICROCHIP TECHNOLOGY INC SR UNSECURED 06/30 0.75 0 11,625,000 11,625,000 0.26% $11.49M
NBIS 1.25 03/15/31 0 11,725,000 11,725,000 0.26% $11.26M
COHU INC CONV 1.5% 01/15/2031 144A 0 8,350,000 8,350,000 0.26% $11.21M
BRIDGEBIO PHARMA INC CONV 2.25% 02/01/2029 0 10,015,000 10,015,000 0.26% $11.20M
PNC FINANCIAL SERVICES GRP INC 0 53,075 53,075 0.25% $11.04M
RALPH LAUREN CORP 0 30,075 30,075 0.24% $10.35M
CHTR 7 02/01/33 144A 0 10,155,000 10,155,000 0.23% $10.18M
NETFLIX INC 0 103,285 103,285 0.23% $9.93M
COHERENT CORP 0 41,155 41,155 0.23% $9.80M
Nexstar Media Inc 0 9,750,000 9,750,000 0.23% $9.78M
CHUBB LTD 0 29,940 29,940 0.23% $9.76M
MPUS 3 03/01/30 0 4,090,000 4,090,000 0.22% $9.73M
CHTR 7.375 02/01/36 144A 0 9,755,000 9,755,000 0.22% $9.71M
WESCO Distribution, Inc. 0 9,715,000 9,715,000 0.22% $9.57M
QXO INC PREFERRED STOCK 05/28 5.5 0 168,560 168,560 0.21% $9.27M
RIOT PLATFORMS INC CONV 0.75% 01/15/2030 0 7,995,000 7,995,000 0.21% $9.17M
DOW INC 0 219,675 219,675 0.21% $9.15M
ALIGNMENT HEALTHCARE INC CONV 4.25% 11/15/2029 0 6,420,000 6,420,000 0.21% $9.02M
VSE CORP 5.75% PC 02/01/2029 0 173,625 173,625 0.20% $8.73M
SANDISK CORPORATION 0 13,720 13,720 0.20% $8.72M
WESTERN DIGITAL CORP 0 31,555 31,555 0.20% $8.54M
VALERO ENERGY CORP 0 34,515 34,515 0.20% $8.53M
ORACLE CORP 0 57,045 57,045 0.19% $8.39M
TRANSMEDICS GROUP INC CONV 1.5% 06/01/2028 0 6,325,000 6,325,000 0.19% $8.18M
L3HARRIS TECHNOLOGIES INC 0 23,025 23,025 0.18% $7.95M
LINDE PLC 0 15,765 15,765 0.18% $7.82M
Liberty Energy, Inc. 0 7,040,000 7,040,000 0.18% $7.70M
COMPASS INC CONV 0.25% 04/15/2031 144A 0 9,160,000 9,160,000 0.18% $7.67M
VENTAS INC REIT 0 93,220 93,220 0.18% $7.62M
GFL ENVIRONMENTAL HOLDINGS US INC 5.5% 02/01/2034 144A 0 7,765,000 7,765,000 0.18% $7.62M
WT 4.625 08/15/30 0 6,855,000 6,855,000 0.17% $7.45M
BURLINGTON STORES INC SR UNSECURED 12/27 1.25 0 4,355,000 4,355,000 0.17% $7.19M
INDV 0.625 03/15/31 0 6,995,000 6,995,000 0.16% $7.12M
Akamai Technologies, Inc., Convertible 0 5,105,000 5,105,000 0.16% $7.07M
ARISTA NETWORKS INC 0 56,405 56,405 0.16% $6.93M
Nexstar Media Inc 0 6,855,000 6,855,000 0.16% $6.91M
SV RNO Property Owner 1 LLC 0 6,935,000 6,935,000 0.16% $6.86M
DAVE 0 04/01/31 0 7,225,000 7,225,000 0.16% $6.83M
ATEC 0.75 03/15/30 0 6,540,000 6,540,000 0.15% $6.69M
FRPT 3 04/01/28 0 5,580,000 5,580,000 0.15% $6.41M
HOUS 7 04/15/30 144A 0 6,300,000 6,300,000 0.15% $6.31M
SM Energy Co. 0 5,775,000 5,775,000 0.13% $5.76M
SERVICENOW INC 0 43,900 43,900 0.11% $4.59M
SUN 5.625 07/15/34 144A 0 4,575,000 4,575,000 0.10% $4.51M
OAK-Eagle Acquireco Inc 0 3,820,000 3,820,000 0.09% $3.96M
APLD ComputeCo 2 LLC 0 2,750,000 2,750,000 0.06% $2.73M
Bridgebio Pharma, Inc. 0 1,615,000 1,615,000 0.04% $1.60M
Joby Aviation Inc 0 1,775,000 1,775,000 0.04% $1.52M
WAYFAIR INC- A 0 13,999 13,999 0.02% $1.05M
VIACOM INC 0 1,100,000 1,100,000 0.02% $964.89K
GTT COMMUNICATIONS INC 0 8,647 8,647 0.00% $170.78K
ESC CB SUNNOVA ENERGY 0 17,395,000 17,395,000 0.00% $40.53K
CLOVIS LIQ TR 0 4,474,067 4,474,067 0.00% $24.79K
SANCHEZ ENERGY CORP PERP SR GLBL NT 0 6,240,000 6,240,000 0.00% $624
Cobalt International Energy Inc 0 9,216,000 9,216,000 0.00% $1
GTT Communications Inc 0 27,745 27,745 0.00% $0
Monitronics International Inc 0 6,450,000 6,450,000 0.00% $0
MARIPOSA BORROWER INC 0 6,810,000 6,810,000 0.00% $0
CCF HLDGS LLC WT CCF HLDGS LLC WTS C 0 2,911,361 2,911,361 0.00% $0
Micron Technology, Inc. 0 -193 -193 0.00% -$386
Common Stock 0 -189 -189 0.00% -$1.89K
ARISTA NETWORKS INC COMMON STOCK 0 -282 -282 0.00% -$1.97K
CFD COHERENT CORP 0 -206 -206 0.00% -$2.27K
Sandisk Corp 0 -69 -69 0.00% -$3.10K
BERKSHIRE HATHAWAY INC-CL B COMMON STOCK 0 -79 -79 0.00% -$3.71K
Palantir Technologies, Inc. 0 -304 -304 0.00% -$3.95K
Ralph Lauren Corp. 0 -75 -75 0.00% -$4.05K
GOOX TRS GOOG EQ 0 -192 -192 0.00% -$4.42K
Oracle Corp. 0 -325 -325 0.00% -$5.85K
Valero Energy Corp. 0 -86 -86 0.00% -$6.54K
TSLZ TRS TSLA EQ 0 -253 -253 0.00% -$6.58K
CH Robinson Worldwide, Inc. 0 -354 -354 0.00% -$7.79K
Rockwell Automation, Inc. 0 -140 -140 0.00% -$8.40K
Western Digital Corp. 0 -158 -158 0.00% -$8.69K
RTX CORPORATION COMMON STOCK 0 -402 -402 0.00% -$8.84K
Eli Lilly & Co. 0 -78 -78 0.00% -$9.67K
BROADCOM INC. BROADCOM INC. 0 -730 -730 0.00% -$10.22K
Parker-Hannifin Corp. 0 -76 -76 0.00% -$11.40K
APPLIED MATERIALS INC COMMON STOCK 0 -327 -327 0.00% -$11.44K
MasterCard, Inc. 0 -256 -256 0.00% -$11.78K
Gilead Sciences, Inc. 0 -870 -870 0.00% -$13.05K
Common Stock 0 -278 -278 0.00% -$14.60K
RECV NVDX TRS NVDA EQ 0 -3,838 -3,838 0.00% -$15.35K
Costco Wholesale Corp. 0 -112 -112 0.00% -$18.93K
GE Vernova Inc 0 -45 -45 0.00% -$20.25K
CALL WMT US Equity 11/07/25 C101 0 -940 -940 0.00% -$20.68K
PUT Alphabet, Inc. Class 04/04/2025 P150 0 -1,361 -1,361 0.00% -$21.78K
Dow, Inc. 0 -1,098 -1,098 0.00% -$25.25K
PUT Amazon.com, Inc. 01/02/2026 P205 0 -1,481 -1,481 0.00% -$28.14K
Merck & Co., Inc. 0 -973 -973 0.00% -$29.19K
CALL CAT US Equity 11/07/25 C580 0 -200 -200 0.00% -$29.80K
APPLE INC COMMON STOCK 0 -1,965 -1,965 0.00% -$33.40K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Expedia Group, Inc., Convertible 23,830,000 0 -23,830,000 0.00% -$26.58M
LUMEN TECHNOLOGIES INC REGD 144A P/P 5.37500000 23,075,000 0 -23,075,000 0.00% -$21.69M
BARCLAYS BANK PLC SR UNSECURED 02/29 1 19,620,000 0 -19,620,000 0.00% -$21.51M
Bank of America Corp., Series L, Conv. Pfd. 16,720 0 -16,720 0.00% -$20.93M
TransDigm, Inc. 18,550,000 0 -18,550,000 0.00% -$19.03M
JPMorgan Chase Financial Co LLC 14,725,000 0 -14,725,000 0.00% -$18.93M
GS Finance Corp 13,770,000 0 -13,770,000 0.00% -$18.48M
TJX COS INC 119,670 0 -119,670 0.00% -$18.38M
GS Finance Corp 16,000,000 0 -16,000,000 0.00% -$17.95M
GS Finance Corp 17,975,000 0 -17,975,000 0.00% -$17.76M
AIRBNB INC ZERO COUPON 03/15/2026 17,745,000 0 -17,745,000 0.00% -$17.56M
BRIDGEBIO PHARMA INC SR UNSECURED 144A 03/31 1.75 10,030,000 0 -10,030,000 0.00% -$17.41M
Barclays Bank PLC 16,205,000 0 -16,205,000 0.00% -$17.35M
CISCO SYSTEMS INC 218,520 0 -218,520 0.00% -$16.83M
CYBR 0 06/15/30 15,730,000 0 -15,730,000 0.00% -$16.81M
EXACT SCIENCES CORP CONV 1.75% 04/15/2031 144A 13,510,000 0 -13,510,000 0.00% -$16.49M
KKR & Company, Inc., Convertible, 6.250% 281,120 0 -281,120 0.00% -$14.57M
CCO Holdings, LLC/CCO Holdings Capital Corp. 14,405,000 0 -14,405,000 0.00% -$14.24M
CAPITAL ONE FINANCIAL CORP 58,366 0 -58,366 0.00% -$14.15M
JPMorgan Chase Financial Co LLC 13,675,000 0 -13,675,000 0.00% -$14.05M
Morgan Stanley Finance LLC 14,030,000 0 -14,030,000 0.00% -$13.96M
BofA Finance LLC 14,205,000 0 -14,205,000 0.00% -$13.96M
BofA Finance LLC 13,975,000 0 -13,975,000 0.00% -$13.94M
UNITY SOFTWARE INC SR UNSECURED 144A 03/30 0.0000 9,515,000 0 -9,515,000 0.00% -$13.75M
MTSI 0 12/15/29 11,210,000 0 -11,210,000 0.00% -$13.59M
CBRE GROUP INC - CL A 83,905 0 -83,905 0.00% -$13.49M
ALNYLAM PHARMACEUTICALS INC CONV 1% 09/15/2027 8,560,000 0 -8,560,000 0.00% -$12.59M
3M CO 77,500 0 -77,500 0.00% -$12.41M
TRIP.COM GROUP LTD SR UNSECURED 06/29 0.75 9,765,000 0 -9,765,000 0.00% -$12.01M
NXST 5.625 07/15/27 144A 11,535,000 0 -11,535,000 0.00% -$11.57M
BofA Finance LLC 9,395,000 0 -9,395,000 0.00% -$11.48M
SIRIUS XM RADIO LLC REGD 144A P/P 4.12500000 11,990,000 0 -11,990,000 0.00% -$11.40M
IRHYTHM TECHNOLOGIES INC CONV 1.5% 09/01/2029 7,900,000 0 -7,900,000 0.00% -$11.02M
CYTOKINETICS INC SR UNSECURED 144A 10/31 1.75 8,680,000 0 -8,680,000 0.00% -$10.80M
INTUITIVE SURGICAL INC 18,585 0 -18,585 0.00% -$10.53M
FYBR 5 05/01/28 144A 10,165,000 0 -10,165,000 0.00% -$10.18M
CONSTELLATION ENERGY CORP 28,660 0 -28,660 0.00% -$10.12M
LAM RESEARCH CORP 58,560 0 -58,560 0.00% -$10.02M
Citigroup Global Markets Holdings Inc/United States 6,315,000 0 -6,315,000 0.00% -$9.96M
JAZZ INVTS I LTD CONV 2% 06/15/2026 8,470,000 0 -8,470,000 0.00% -$9.79M
NVMI 0 09/15/30 7,565,000 0 -7,565,000 0.00% -$9.41M
ARGENX SE SPONSORED ADR 11,140 0 -11,140 0.00% -$9.37M
AON PLC 25,985 0 -25,985 0.00% -$9.17M
XYLEM INC 65,090 0 -65,090 0.00% -$8.86M
Park Intermediate Holdings LLC / PK Domestic Property LLC / PK Finance Co-Issuer 9,060,000 0 -9,060,000 0.00% -$8.85M
Jazz Securities DAC 8,825,000 0 -8,825,000 0.00% -$8.70M
SIRIUS XM RADIO LLC REGD 144A P/P 5.50000000 8,595,000 0 -8,595,000 0.00% -$8.67M
Ares Management Corp., Series B, Conv. Pfd. 171,665 0 -171,665 0.00% -$8.65M
FREEPORT MCMORAN INC 168,350 0 -168,350 0.00% -$8.55M
VMED 4.5 08/15/30 144A 9,225,000 0 -9,225,000 0.00% -$8.54M
ATEC 0 3/4 03/15/30 5,550,000 0 -5,550,000 0.00% -$8.49M
ORGANON / ORGANON 5.125% 10,090,000 0 -10,090,000 0.00% -$8.36M
Lumen Technologies, Inc. 8,284,500 0 -8,284,500 0.00% -$8.33M
KRAFT HEINZ FOOD 8,175,000 0 -8,175,000 0.00% -$8.14M
GFL ENVIRONMENTAL INC REGD 144A P/P 4.75000000 8,100,000 0 -8,100,000 0.00% -$8.08M
GWRE 1.25 11/01/29 7,250,000 0 -7,250,000 0.00% -$7.97M
BOSTON SCIENTIFIC CORP 80,630 0 -80,630 0.00% -$7.69M
Medline Borrower, L.P. 7,490,000 0 -7,490,000 0.00% -$7.53M
COGT 1.625 11/15/31 6,370,000 0 -6,370,000 0.00% -$7.46M
ZTS 0.25 06/15/29 7,245,000 0 -7,245,000 0.00% -$7.44M
Impinj, Inc. 7,075,000 0 -7,075,000 0.00% -$7.26M
American Airlines Inc/AAdvantage Loyalty IP Ltd 7,125,000 0 -7,125,000 0.00% -$7.26M
Mirion Technologies, Inc., Convertible 6,680,000 0 -6,680,000 0.00% -$7.21M
OSI SYSTEMS INC CONV 2.25% 08/01/2029 4,800,000 0 -4,800,000 0.00% -$7.12M
EOS ENERGY ENTERPRISES INC CONV 1.75% 12/01/2031 144A 7,310,000 0 -7,310,000 0.00% -$7.07M
CHEWY INC- CL A 205,737 0 -205,737 0.00% -$6.80M
WESCO Distribution Inc 6,670,000 0 -6,670,000 0.00% -$6.77M
MARVELL TECHNOLOGY INC 78,605 0 -78,605 0.00% -$6.68M
ODDITY FINANCE LLC CONV 0% 06/15/2030 144A 7,730,000 0 -7,730,000 0.00% -$6.66M
TEMPUS AI INC CONV 0.75% 07/15/2030 144A 6,235,000 0 -6,235,000 0.00% -$6.64M
VMED 5 07/15/30 144A 7,505,000 0 -7,505,000 0.00% -$6.62M
SM ENERGY CO SR UNSECURED 144A 08/29 6.75 6,495,000 0 -6,495,000 0.00% -$6.54M
CCO Holdings, LLC/CCO Holdings Capital Corp. 7,105,000 0 -7,105,000 0.00% -$6.38M
JPMORGAN CHASE FINANCIAL SR UNSECURED 06/27 0.5 5,475,000 0 -5,475,000 0.00% -$6.32M
STANLEY BLACK and DECKER INC 82,623 0 -82,623 0.00% -$6.14M
RGEN 1 12/15/28 5,540,000 0 -5,540,000 0.00% -$6.05M
II VI INC COMPANY GUAR 144A 12/29 5 5,780,000 0 -5,780,000 0.00% -$5.76M
NXST 4.75 11/01/28 144A 5,800,000 0 -5,800,000 0.00% -$5.76M
GTLS 7.5 01/01/30 144A 5,100,000 0 -5,100,000 0.00% -$5.32M
OneMain Finance Corp 5,085,000 0 -5,085,000 0.00% -$5.31M
DANAHER CORP 22,220 0 -22,220 0.00% -$5.09M
Ford Motor Company Zero Coupon, Due 03/15/2026 4,855,000 0 -4,855,000 0.00% -$5.04M
KENNEDY-WILSON INC SR UNSEC 5.0% 03-01-31 5,300,000 0 -5,300,000 0.00% -$4.98M
EXPEDITORS INTL OF WASH INC 32,840 0 -32,840 0.00% -$4.89M
DR HORTON INC 29,630 0 -29,630 0.00% -$4.27M
AS 6.75 02/16/31 144A 4,000,000 0 -4,000,000 0.00% -$4.18M
DUPONT DE NEMOURS INC 101,413 0 -101,413 0.00% -$4.08M
BLACKSTONE INC 26,215 0 -26,215 0.00% -$4.04M
MEDLINE BORROWER/MEDL CO SR SECURED 144A 04/29 6.25 3,690,000 0 -3,690,000 0.00% -$3.81M
CLEAR CHANNEL OUTDOOR HO REGD 144A P/P 7.75000000 3,465,000 0 -3,465,000 0.00% -$3.47M
SHIFT4 PMTS INC 6% MANDAT 42,980 0 -42,980 0.00% -$3.44M
Strategy Inc PREFERRED STOCK 42,025 0 -42,025 0.00% -$3.31M
CORPBOND 2,390,000 0 -2,390,000 0.00% -$2.43M
GTT COMMUNICATIONS 8,647 0 -8,647 0.00% -$171.05K
CLOVIS LIQUIDATION TRUST UNITS 4,474,067 0 -4,474,067 0.00% -$67.11K
SUNNOVA ENERGY INTERNATIONAL INC 17,395,000 0 -17,395,000 0.00% -$33.92K
SANCHEZ TERM 1LN DIP 12/31/2055 6,240,000 0 -6,240,000 0.00% -$624
COBALT INTERNATIONAL 9,216,000 0 -9,216,000 0.00% -$1
GTT COMMUNICATIONS WARRANT 27,745 0 -27,745 0.00% -$0
MONITRONICS INTERNATIONAL INC 04/20 FIXED 9.125 6,450,000 0 -6,450,000 0.00% $0
MARIPOSA BORROWER INC 10/21 FIXED 8 6,810,000 0 -6,810,000 0.00% $0
CCF HLDGS LLC WT CCF HLDGS LLC WTS C 2,911,361 0 -2,911,361 0.00% $0
TRUMP MEDIA & TECHNOLOGY GROUP CORP -194 0 194 0.00% $1.36K
WW GRAINGER INC -693 0 693 0.00% $19.40K
ZOOM COMMUNICATIONS INC -4,630 0 4,630 0.00% $146.94K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 753,837 767,607 13,770 3.09% -$6.72M
BlackRock Liquidity FedFund - Institutional Class 43,321,219 121,998,114 78,676,896 2.81% $78.68M
ALPHABET INC CL A 256,070 272,190 16,120 1.80% -$1.88M
BROADCOM INC 138,675 145,995 7,320 1.04% -$2.81M
Wells Fargo & Co., Series L, Conv. Pfd. 35,805 36,555 750 0.97% -$1.17M
NextEra Energy Capital Holdings, Inc., Convertible 5,870,000 25,820,000 19,950,000 0.83% $28.54M
LYV 2.875 01/15/30 28,255,000 32,315,000 4,060,000 0.80% $5.14M
Akamai Technologies, Inc., Convertible 9,720,000 26,520,000 16,800,000 0.71% $20.98M
Boeing Co. (The), Conv. Pfd. 335,335 445,350 110,015 0.67% $5.74M
NET 0 08/15/26 19,075,000 24,215,000 5,140,000 0.65% $5.95M
HALOZYME THERAPEUTICS INC CONV 0% 02/15/2031 144A 12,735,000 27,030,000 14,295,000 0.61% $13.61M
GILEAD SCIENCES INC 154,425 174,020 19,595 0.56% $5.30M
MERCK & CO 171,244 194,539 23,295 0.54% $5.38M
DaVita Inc. 20,740,000 22,940,000 2,200,000 0.54% $1.83M
JAZZ INVTS I LTD CONV 3.125% 09/15/2030 7,735,000 15,330,000 7,595,000 0.50% $11.41M
PG&E Corp., Series A, Conv. Pfd. 468,190 499,615 31,425 0.50% $2.28M
VMED O2 UK FINANCING I SR SECURED 144A 04/32 7.75 12,080,000 22,110,000 10,030,000 0.49% $8.60M
WEC ENERGY GROUP INC SR UNSECURED 144A 06/28 3.375 18,090,000 19,775,000 1,685,000 0.47% $2.19M
Cloud Software Group, Inc. 12,775,000 20,995,000 8,220,000 0.47% $7.54M
NRG Energy Inc 18,245,000 20,395,000 2,150,000 0.47% $1.72M
DDOG 0 12/01/29 18,560,000 20,735,000 2,175,000 0.46% $1.53M
OSI SYSTEMS INC SR UNSECURED 144A 02/31 0.5 11,635,000 19,305,000 7,670,000 0.45% $8.26M
COCA-COLA CO/THE 216,670 255,080 38,410 0.45% $4.25M
Restaurant Brands International Limited Partnership 14,615,000 18,605,000 3,990,000 0.44% $3.90M
Directv Financing LLC 14,515,000 18,515,000 4,000,000 0.43% $3.79M
THC 6 11/15/33 144A 5,535,000 18,155,000 12,620,000 0.42% $12.67M
WULF COMPUTE LLC SR SECURED 144A 10/30 7.75 15,250,000 17,375,000 2,125,000 0.42% $2.65M
NCL Corp. Ltd. 14,725,000 18,330,000 3,605,000 0.42% $3.11M
BLOOM ENERGY CORP CONV 0% 11/15/2030 144A 16,135,000 16,900,000 765,000 0.41% $3.96M
ANALOG DEVICES INC 41,010 55,510 14,500 0.41% $6.54M
DEVON ENERGY CORP 148,335 349,775 201,440 0.41% $12.17M
DLR 1.875 11/15/29 15,525,000 16,415,000 890,000 0.40% $1.64M
LVLT 8.5 01/15/36 144A 6,630,000 16,540,000 9,910,000 0.40% $10.47M
ROCKET COS INC REGD 144A P/P 7.12500000 15,585,000 16,365,000 780,000 0.39% $472.54K
Venture Global LNG Inc 14,045,000 16,340,000 2,295,000 0.38% $3.17M
FIRSTENERGY CORP SR UNSECURED 144A 01/29 3.625 10,055,000 14,690,000 4,635,000 0.38% $5.98M
RIVN 4.625 03/15/29 13,820,000 15,120,000 1,300,000 0.37% -$1.18M
WULF 0 05/01/32 7,210,000 15,655,000 8,445,000 0.37% $9.93M
SCHWAB CHARLES CORP 86,705 171,965 85,260 0.37% $7.50M
Coinbase Global, Inc., Convertible 12,035,000 18,260,000 6,225,000 0.37% $4.82M
TLN 6.5 02/01/36 144A 12,505,000 15,505,000 3,000,000 0.36% $2.68M
GE VERNOVA LLC 14,075 17,885 3,810 0.36% $6.41M
CELANESE US HOLDINGS LLC SR UNSEC 6.75% 04-15-33 14,715,000 15,085,000 370,000 0.36% $838.86K
The Southern Company 64,150 300,625 236,475 0.36% $12.22M
AST SPACEMOBILE INC SR UNSECURED 144A 01/36 2 9,455,000 14,515,000 5,060,000 0.35% $5.89M
GVA 3 1/4 06/15/30 3,000,000 9,285,000 6,285,000 0.35% $10.49M
MICROCHIP TECHNOLOGY INC SER A 7.5% PC 03/15/2028 201,250 265,755 64,505 0.35% $3.41M
PFGC 6.125 09/15/32 144A 13,080,000 14,850,000 1,770,000 0.34% $1.39M
EQUINIX INC 9,680 15,155 5,475 0.34% $7.44M
POWSOL 6.75 09/15/32 144A 9,625,000 14,625,000 5,000,000 0.34% $4.76M
SMTC 0 10/15/30 1,410,000 13,120,000 11,710,000 0.34% $13.15M
SOLARIS ENERGY INFRASTRUCTURE SR UNSECURED 10/31 0.25 10,100,000 11,650,000 1,550,000 0.34% $3.63M
NCLH 0.75 09/15/30 11,540,000 14,750,000 3,210,000 0.32% $2.59M
JBT MAREL CORP SR UNSECURED 144A 09/30 0.375 12,140,000 13,855,000 1,715,000 0.31% $854.52K
MOTOROLA SOLUTIONS INC 15,325 30,895 15,570 0.31% $7.53M
AXL 7.75 10/15/33 144A 12,110,000 13,600,000 1,490,000 0.31% $904.59K
ALBEMARLE CORP PFD 165,835 183,930 18,095 0.30% $3.37M
IMAX CORP SR UNSECURED 144A 11/30 0.75 6,370,000 11,815,000 5,445,000 0.30% $6.20M
POST HOLDINGS INC REGD 144A P/P 6.25000000 11,125,000 13,275,000 2,150,000 0.30% $1.81M
TIBX 6.625 08/15/33 144A 9,090,000 12,785,000 3,695,000 0.26% $2.36M
GOODYEAR TIRE & RUBBER REGD 6.62500000 7,190,000 11,290,000 4,100,000 0.25% $3.68M
GUARDANT HEALTH INC CONV 0% 05/15/2033 144A 2,885,000 10,265,000 7,380,000 0.25% $7.74M
ONEMAIN FIN. CORP 6.75% 11,105,000 11,355,000 250,000 0.25% -$357.47K
OWENS-BROCKWAY REGD 144A P/P 7.25000000 9,155,000 11,155,000 2,000,000 0.25% $1.34M
GEN DIGITAL INC SR UNSECURED 144A 04/33 6.25 8,715,000 10,895,000 2,180,000 0.24% $1.60M
INTERCONTINENTAL EXCHANGE INC 51,675 65,420 13,745 0.24% $1.92M
HOME DEPOT INC 29,025 30,380 1,355 0.23% $4.18K
SHIFT4 PAYMENTS LLC / SHIFT4 P COMPANY GUAR 144A 08/32 6.75 9,460,000 9,860,000 400,000 0.22% -$71.59K
AFRM 0.75 12/15/29 9,130,000 10,280,000 1,150,000 0.22% -$482.45K
CARNIVAL CORP 200,410 343,710 143,300 0.21% $2.77M
PALANTIR TECHNOLOGIES INC 59,930 60,745 815 0.20% -$1.77M
IONS 0 12/01/30 8,020,000 8,190,000 170,000 0.20% -$8.34K
LNW 7.5 09/01/31 144A 4,775,000 8,275,000 3,500,000 0.20% $3.51M
NAVIENT CORP SR UNSECURED 06/32 7.875 8,900,000 9,470,000 570,000 0.19% -$868.14K
GLXYLP 0.5 05/01/31 11,205,000 11,630,000 425,000 0.19% -$159.10K
Shift4 Payments, LLC 6,780,000 8,690,000 1,910,000 0.19% $1.63M
NRG Energy Inc 5,960,000 8,090,000 2,130,000 0.18% $1.96M
OLD DOMINION FRT 35,470 40,150 4,680 0.18% $2.28M
GMABDC 6.25 12/15/32 144A 3,825,000 7,195,000 3,370,000 0.17% $3.46M
CACI International Inc. 4,950,000 6,790,000 1,840,000 0.16% $1.79M
VSNT 7.25 01/30/31 144A 5,990,000 6,740,000 750,000 0.16% $717.90K
INSULET CORP 24,465 28,606 4,141 0.14% -$951.25K
ARRY 2 7/8 07/01/31 3,370,000 4,305,000 935,000 0.12% $485.05K
GMABDC 7.25 12/15/33 144A 4,735,000 5,040,000 305,000 0.12% $301.82K
HRI 6 03/15/34 144A 1,915,000 2,370,000 455,000 0.05% $350.67K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
APPLE INC 437,840 393,025 -44,815 2.30% -$19.29M
Lumentum Holdings Inc., Conv. 23,510,000 22,485,000 -1,025,000 2.00% $36.25M
MICROSOFT CORP 228,611 167,556 -61,055 1.43% -$48.54M
AMAZON.COM INC 374,405 278,680 -95,725 1.34% -$28.38M
WESTERN DIGITAL CORPORATION SR UNSEC CV 3.0% 11-15-28 10,950,000 7,625,000 -3,325,000 1.26% $4.39M
Welltower OP, LLC, Convertible 24,835,000 24,170,000 -665,000 0.88% $755.38K
CATERPILLAR INC 41,840 40,035 -1,805 0.65% $4.39M
MASTERCARD INC CL A 66,380 51,265 -15,115 0.59% -$12.28M
META PLATFORMS INC CL A 54,208 43,158 -11,050 0.57% -$11.09M
Iron Mountain Inc. 24,940,000 24,340,000 -600,000 0.56% -$886.50K
WALMART INC 206,215 187,985 -18,230 0.54% $388.36K
CZR 6 10/15/32 144A 23,785,000 23,335,000 -450,000 0.50% -$1.66M
TIHLLC 7 1/8 06/01/31 23,790,000 20,790,000 -3,000,000 0.48% -$3.79M
STRATEGY INC CONV 0% 12/01/2029 144A 29,170,000 22,780,000 -6,390,000 0.44% -$4.98M
TESLA INC 60,348 50,613 -9,735 0.43% -$8.32M
SOUTHERN CO/THE SR UNSECURED 144A 06/28 3.25 21,045,000 18,060,000 -2,985,000 0.42% -$2.63M
JPMORGAN CHASE and CO 76,815 59,065 -17,750 0.40% -$7.38M
POST HOLDINGS INC REGD 144A P/P 6.37500000 17,980,000 17,580,000 -400,000 0.40% -$840.99K
MKS INC SR UNSECURED 06/30 1.25 12,070,000 10,175,000 -1,895,000 0.39% $1.41M
RTX CORP 92,230 83,525 -8,705 0.37% -$803.01K
COINBASE GLOBAL INC CV SR UNSEC 0.5% 06-01-26 22,920,000 16,230,000 -6,690,000 0.37% -$6.77M
BTSG 6.75 02/01/27 112,925 112,770 -155 0.37% $1.77M
OneMain Finance Corp. 18,070,000 15,695,000 -2,375,000 0.36% -$3.32M
CARDINAL HEALTH INC 93,450 71,455 -21,995 0.35% -$4.10M
LILLY ELI and CO 33,690 15,625 -18,065 0.33% -$21.83M
WELLS FARGO & CO 192,720 176,880 -15,840 0.32% -$3.88M
TRANSOCEAN LTD 15,705,000 13,355,000 -2,350,000 0.32% -$1.55M
PARKER HANNIFIN CORP 20,345 15,295 -5,050 0.32% -$4.19M
CUMMINS INC 26,465 24,740 -1,725 0.31% -$198.44K
WASTE MANAGEMENT INC 58,375 57,535 -840 0.30% $395.40K
TransDigm Inc 14,965,000 12,965,000 -2,000,000 0.30% -$2.45M
MICRON TECHNOLOGY INC 62,035 38,685 -23,350 0.30% -$4.64M
CITIGROUP INC 204,890 110,895 -93,995 0.29% -$11.33M
ULTI 6.875 02/01/31 144A 12,980,000 12,730,000 -250,000 0.29% -$892.00K
Rocket Cos., Inc. 13,065,000 12,065,000 -1,000,000 0.28% -$1.43M
Rexford Industrial Realty, LP, Convertible 14,135,000 11,750,000 -2,385,000 0.27% -$2.37M
McAfee Corp 15,875,000 14,095,000 -1,780,000 0.27% -$2.20M
MOODYS CORP 28,665 24,145 -4,520 0.24% -$4.11M
CAR 8 02/15/31 144A 10,660,000 10,490,000 -170,000 0.24% -$586.99K
ROCKWELL AUTOMATION INC 47,590 27,925 -19,665 0.23% -$8.49M
MORGAN STANLEY 83,920 54,845 -29,075 0.21% -$5.87M
IREN LTD SR UNSECURED 144A 07/31 0.0000 14,125,000 11,845,000 -2,280,000 0.20% -$1.83M
GPN 1.5 03/01/31 17,360,000 9,700,000 -7,660,000 0.20% -$7.03M
CRWV 1.75 12/01/31 11,560,000 8,405,000 -3,155,000 0.19% -$2.52M
UBER TECHNOLOGIES INC SR UNSECURED 12/28 0.875 11,450,000 6,995,000 -4,455,000 0.19% -$6.44M
SNOWFLAKE INC SR UNSECURED 10/29 0.00000 13,025,000 6,735,000 -6,290,000 0.19% -$11.87M
IONS 1.75 06/15/28 5,950,000 5,405,000 -545,000 0.19% -$1.31M
GENERAL ELECTRIC CO 51,095 28,645 -22,450 0.19% -$7.61M
UNITEDHEALTH GRP 38,570 28,900 -9,670 0.18% -$4.91M
SEAGATE DATA STOR REGD 144A P/P 8.50000000 7,495,000 7,245,000 -250,000 0.18% -$372.41K
ALPHABET INC CL C 78,850 26,410 -52,440 0.17% -$17.17M
BABA 0.5 06/01/31 9,225,000 5,385,000 -3,840,000 0.17% -$6.86M
NEXTERA ENERGY INC PREFFERD STOCK 581,645 132,765 -448,880 0.17% -$22.68M
MCKESSON CORP 28,505 8,480 -20,025 0.17% -$16.04M
LIGAND PHARMACEUTICALS INC CONV 0.75% 10/01/2030 144A 13,060,000 6,005,000 -7,055,000 0.17% -$8.03M
ZSCALER INC SR UNSECURED 144A 07/28 0.0000 12,495,000 7,990,000 -4,505,000 0.17% -$4.43M
BXP 2 10/01/30 10,950,000 7,970,000 -2,980,000 0.17% -$3.34M
LEU 0 08/15/32 7,550,000 6,800,000 -750,000 0.17% -$2.50M
DOORDASH INC SR UNSECURED 144A 05/30 0.0000 10,995,000 7,890,000 -3,105,000 0.17% -$4.30M
AMPHENOL CORPORATION CL A 61,285 56,635 -4,650 0.17% -$1.13M
SM Energy Company 11,705,000 6,745,000 -4,960,000 0.16% -$5.09M
SOFI TECHNOLOGIES INC CONV 0% 10/15/2026 144A 14,365,000 6,605,000 -7,760,000 0.16% -$11.76M
PSN 2.625 03/01/29 10,205,000 6,795,000 -3,410,000 0.15% -$3.80M
CORPBOND 7,620,000 6,420,000 -1,200,000 0.15% -$1.25M
TAKE-TWO INTERACTV SOFTWR INC 49,688 31,898 -17,790 0.15% -$6.42M
AVAV 0 07/15/30 8,840,000 6,430,000 -2,410,000 0.15% -$3.30M
Synaptics, Inc., Convertible 7,920,000 5,975,000 -1,945,000 0.14% -$2.17M
NORTHERN OIL & GAS INC REGD 144A P/P 8.75000000 6,370,000 5,695,000 -675,000 0.14% -$509.20K
ADT Security Corp/The 4.13 08/01/2029 14,625,000 5,865,000 -8,760,000 0.13% -$8.66M
REGENERON PHARMACEUTICALS INC 7,325 6,760 -565 0.12% -$430.90K
WAYFAIR INC SR UNSECURED 09/27 3.25 7,625,000 3,745,000 -3,880,000 0.12% -$7.64M
CLF 7.625 01/15/34 144A 5,625,000 5,125,000 -500,000 0.12% -$871.28K
INTUIT INC 12,740 11,430 -1,310 0.11% -$3.50M
NIKE INC CL B 110,605 92,445 -18,160 0.11% -$2.16M
PRA GRP. INC 8.375% 5,285,000 4,815,000 -470,000 0.11% -$551.95K
CADENCE DESIGN SYSTEMS INC 38,795 17,425 -21,370 0.11% -$7.28M
INTL BUS MACH CORP 25,745 19,825 -5,920 0.11% -$2.82M
THC 6 1/8 10/01/28 9,373,000 4,728,000 -4,645,000 0.11% -$4.68M
CROWDSTRIKE HOLDINGS INC 15,675 10,775 -4,900 0.10% -$3.14M
PFSI 7.875 12/15/29 144A 4,860,000 3,860,000 -1,000,000 0.09% -$1.22M
ABBVIE INC 62,947 18,097 -44,850 0.09% -$10.45M
GENERAC HOLDINGS INC 49,720 11,080 -38,640 0.05% -$4.62M
HERTZ CORP/THE REGD 144A P/P 5.00000000 7,285,000 4,145,000 -3,140,000 0.04% -$3.20M
GUARDANT HEALTH INC SR UNSECURED 02/31 1.25 8,330,000 820,000 -7,510,000 0.03% -$13.86M
AVANTOR INC 280,592 172,528 -108,064 0.03% -$1.86M
CHEMOURS CO/THE COMPANY GUAR 144A 01/33 8 13,150,000 930,000 -12,220,000 0.02% -$11.80M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Bombardier Inc 21,615,000 21,615,000 0 0.52% -$100.27K
FTAI AVIATION INVESTORS REGD 144A P/P 7.00000000 18,530,000 18,530,000 0 0.44% -$484.32K
QUIKRETE HOLDINGS INC SR SECURED 144A 03/32 6.375 18,335,000 18,335,000 0 0.43% -$492.79K
XYZ 0.25 11/01/27 18,790,000 18,790,000 0 0.40% $187.90K
Cleveland-Cliffs Inc. 18,085,000 18,085,000 0 0.40% -$1.04M
MAUSER PACKAGING SOLUT SR SECURED 144A 04/30 7.875 15,595,000 15,595,000 0 0.36% $123.04K
BERKSHIRE HATH-B 31,530 31,530 0 0.35% -$739.38K
Carnival Corp. 14,350,000 14,350,000 0 0.33% -$381.80K
URI 5.25 01/15/30 13,650,000 13,650,000 0 0.31% -$264.72K
PFSI 6.875 02/15/33 144A 13,925,000 13,925,000 0 0.31% -$1.21M
Sunoco L.P. 13,245,000 13,245,000 0 0.31% -$264.38K
SNAP INC REGD 144A P/P 6.87500000 13,430,000 13,430,000 0 0.29% -$1.24M
VALEANT PHARMACEUTICALS INTL COMPANY GUAR 144A 01/27 8.5 12,710,000 12,710,000 0 0.29% $5.93K
ADVANCE AUTO PARTS REGD 144A P/P 7.37500000 11,920,000 11,920,000 0 0.28% $105.25K
CITGO PETROLEUM CORP SR SECURED 144A 01/29 8.375 11,480,000 11,480,000 0 0.27% -$81.97K
CCO Holdings, LLC/CCO Holdings Capital Corp. 11,735,000 11,735,000 0 0.27% -$125.29K
BWX Technologies, Inc., Convertible 10,620,000 10,620,000 0 0.25% $881.46K
EquipmentShare.com Inc 10,585,000 10,585,000 0 0.25% -$174.85K
STATION CASINOS LLC REGD 144A P/P 6.62500000 10,850,000 10,850,000 0 0.25% -$214.65K
QUIKRETE HOLDINGS INC SR UNSECURED 144A 03/33 6.75 10,710,000 10,710,000 0 0.25% -$306.85K
HRI 7.25 06/15/33 144A 10,230,000 10,230,000 0 0.24% -$364.62K
FORD MOTOR CO 9,690,000 9,690,000 0 0.24% -$255.12K
GTN 5.375 11/15/31 144A 14,095,000 14,095,000 0 0.24% -$115.30K
FTAI AVIATION INVESTORS REGD 144A P/P 5.87500000 10,680,000 10,680,000 0 0.24% -$403.63K
BILL HOLDINGS INC SR UNSECURED 144A 04/30 0.0000 11,660,000 11,660,000 0 0.24% -$354.46K
CHURCHILL DOWNS INC SR UNSECURED 144A 04/30 5.75 10,035,000 10,035,000 0 0.23% -$208.49K
ADNT 7.5 02/15/33 144A 9,765,000 9,765,000 0 0.23% -$205.55K
Iron Mountain Inc. 9,595,000 9,595,000 0 0.23% -$76.76K
DraftKings Holdings, Inc., Convertible 10,755,000 10,755,000 0 0.22% -$145.19K
BUILDERS FIRSTSOURCE INC REGD 144A P/P 4.25000000 10,405,000 10,405,000 0 0.22% -$327.49K
Bath & Body Works, Inc. 9,455,000 9,455,000 0 0.22% -$122.68K
VENTURE GLOBAL LNG INC SR SECURED 144A 06/28 8.125 9,190,000 9,190,000 0 0.22% $90.22K
CONFLUENT INC ZERO COUPON 01/15/2027 8,720,000 8,720,000 0 0.20% $231.08K
ARSENAL AIC PARENT LLC REGD 144A P/P 8.00000000 8,340,000 8,340,000 0 0.20% -$166.75K
NGL Energy Operating LLC / NGL Energy Finance Corp. 8,265,000 8,265,000 0 0.20% -$41.50K
CIPHER MINING INC CONV 0% 10/01/2031 144A 7,585,000 7,585,000 0 0.19% -$552.31K
CSC HOLDINGS LLC SR UNSECURED 144A 04/28 7.5 14,490,000 14,490,000 0 0.18% -$465.79K
COMMERCIAL METALS CO SR UNSECURED 144A 12/35 6 8,080,000 8,080,000 0 0.18% -$317.63K
NORTONLIFELOCK INC 7,815,000 7,815,000 0 0.18% -$179.41K
ADV MICRO DEVICE 37,890 37,890 0 0.18% -$406.56K
SCRIPPS ESCROW SSP 5 3/8 01/15/31 10,495,000 10,495,000 0 0.18% -$237.88K
WESCO DISTRIBUTION INC REGD 144A P/P 6.37500000 7,525,000 7,525,000 0 0.18% -$190.55K
TLN 6.25 02/01/34 144A 7,740,000 7,740,000 0 0.18% -$240.37K
Carnival Corp. 7,570,000 7,570,000 0 0.18% -$170.82K
OCCIDENTAL PETE 6,600,000 6,600,000 0 0.17% -$118.96K
MGM RESORTS INTL REGD 4.75000000 7,595,000 7,595,000 0 0.17% -$123.81K
AXON ENT. INC 6.25% 7,270,000 7,270,000 0 0.17% -$142.36K
SM ENERGY CO SR UNSECURED 144A 08/32 7 6,935,000 6,935,000 0 0.16% $263.71K
BUILDERS FIRSTSOURCE INC REGD 144A P/P 6.37500000 7,065,000 7,065,000 0 0.16% -$265.57K
BOMBARDIER INC REGD 144A P/P 7.00000000 6,530,000 6,530,000 0 0.16% -$122.76K
Gray Media, Inc. 6,605,000 6,605,000 0 0.15% -$249.88K
Starz Capital Holdings 1, Inc. 7,195,000 7,195,000 0 0.15% -$269.81K
United Parks And Resorts Inc. 6,825,000 6,825,000 0 0.15% -$119.44K
USA PART/USA FIN 6,325,000 6,325,000 0 0.15% -$75.49K
LNW 6.25 10/01/33 144A 6,395,000 6,395,000 0 0.14% -$209.17K
AXON ENT. INC 6.125% 6,070,000 6,070,000 0 0.14% -$95.89K
XPO INC REGD 144A P/P 7.12500000 5,950,000 5,950,000 0 0.14% -$75.01K
CCO Holdings, LLC/CCO Holdings Capital Corp. 5,750,000 5,750,000 0 0.13% -$14.45K
DLX 8 06/01/29 144A 5,540,000 5,540,000 0 0.13% -$66.74K
TENNECO INC SR SECURED 144A 11/28 8 5,295,000 5,295,000 0 0.12% -$35.78K
YUM! BRANDS INC SR UNSECURED 01/32 4.625 5,310,000 5,310,000 0 0.12% -$133.10K
CNX RESOURCES CORP REGD 144A P/P 7.37500000 4,810,000 4,810,000 0 0.11% -$38.53K
Advance Auto Parts, Inc. 4,735,000 4,735,000 0 0.11% $36.70K
HUDBAY MINERALS INC REGD 144A P/P 6.12500000 4,675,000 4,675,000 0 0.11% -$64.27K
CLARIOS GLOBAL LP/US FIN REGD 144A P/P 6.75000000 4,250,000 4,250,000 0 0.10% -$66.49K
COMMERCIAL METALS CO SR UNSECURED 144A 11/33 5.75 4,075,000 4,075,000 0 0.09% -$134.66K
FYBR 8.75 05/15/30 144A 3,920,000 3,920,000 0 0.09% -$71.24K
HRI 7 06/15/30 144A 3,665,000 3,665,000 0 0.09% -$99.17K
CAR 8 3/8 06/15/32 3,710,000 3,710,000 0 0.09% -$141.29K
HILTON GRAND VAC LLC/INC SR UNSECURED 144A 06/29 5 3,300,000 3,300,000 0 0.07% -$71.90K
EPAM SYSTEMS INC 20,020 20,020 0 0.06% -$1.39M
L BRANDS INC 2,255,000 2,255,000 0 0.05% -$63.13K
FORTESCUE TSY. PTY 4.375% 2,312,000 2,312,000 0 0.05% -$51.51K
The Goodyear Tire & Rubber Company 2,415,000 2,415,000 0 0.05% -$130.80K
XPO INC REGD 144A P/P 7.12500000 2,015,000 2,015,000 0 0.05% -$41.05K
BOMBARDIER INC SR UNSECURED 144A 06/33 6.75 1,875,000 1,875,000 0 0.04% -$45.52K
CLARIVATE PLC 540,468 540,468 0 0.03% -$437.78K
CSC HOLDINGS LLC SR UNSECURED 144A 01/30 5.75 3,000,000 3,000,000 0 0.03% $29.56K
PLUG POWER INC 437,288 437,288 0 0.02% $126.81K
Postmedia Network Canada Corp 1,018,823 1,018,823 0 0.02% $136.84K
WORKDAY INC CL A 4,974 4,974 0 0.01% -$422.09K
CCF Holdings LLC 7,416,755 7,416,755 0 0.01% $0
CCF HOLDINGS LLC CLASS M EQUITY 1,759,917 1,759,917 0 0.00% -$17.60K
LiveStyle Inc. Common Stock 202,319 202,319 0 0.00% $0
LiveStyle Inc. Series B Preferred 9,389 9,389 0 0.00% $0
Erickson Inc 10,866 10,866 0 0.00% $0

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