CIMFX
Income Fund of America
Income Fund of America

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.

Oct 31, 2025 → Jan 31, 2026

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

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
US TREASURY N/B 0 627,488,800 627,488,800 0.43% $625.74M
UNILEVER PLC 0 8,000,000 8,000,000 0.37% $540.83M
ROCHE HOLDINGS AG (GENUSSCHEINE) 0 1,030,148 1,030,148 0.32% $467.33M
Uniform Mortgage-Backed Security, TBA 0 419,831,988 419,831,988 0.25% $356.23M
Vale S.A. SPONS ADS REPR 1 COM NPV 0 21,864,276 21,864,276 0.24% $351.36M
US TREASURY N/B 0 353,794,000 353,794,000 0.24% $346.61M
PRINCIPAL FINL GROUP INC 0 2,931,097 2,931,097 0.19% $277.63M
US TREASURY N/B 0 243,775,000 243,775,000 0.17% $241.93M
The Southern Company 0 4,000,000 4,000,000 0.14% $205.00M
WESTLAKE CORP 0 2,453,386 2,453,386 0.13% $194.60M
US TREASURY N/B 0 192,381,000 192,381,000 0.13% $191.83M
BEZEQ THE ISRAEL 0 67,500,000 67,500,000 0.12% $173.84M
Uniform Mortgage-Backed Security, TBA 0 146,325,000 146,325,000 0.10% $148.38M
SSE PLC 0 4,467,997 4,467,997 0.10% $148.08M
US TREASURY N/B 0 131,482,000 131,482,000 0.09% $130.36M
Uniform Mortgage-Backed Security, TBA 0 107,533,065 107,533,065 0.06% $91.29M
US TREASURY N/B 0 88,295,000 88,295,000 0.06% $85.89M
HOLCIM LTD 0 825,824 825,824 0.06% $84.97M
US TREASURY N/B 0 87,000,000 87,000,000 0.06% $83.37M
Techtronic Industries Company Limited 0 5,347,500 5,347,500 0.05% $72.90M
FNCL 5 3/24 0 71,739,812 71,739,812 0.05% $71.62M
Uniform Mortgage-Backed Security, TBA 0 73,235,534 73,235,534 0.04% $64.87M
ASCENT CNR CORPORATION CL A PP (PHYSICAL) (NOT LISTED OR TRADING) 0 1,102,146 1,102,146 0.04% $54.50M
Uniform Mortgage-Backed Security, TBA 0 62,981,836 62,981,836 0.04% $51.08M
FXI HOLDINGS INC SR SECURED 144A 11/30 11 0 43,027,903 43,027,903 0.03% $39.85M
NBR 7.625 11/15/32 144A 0 35,540,000 35,540,000 0.03% $36.23M
ALPHABET INC 0 34,852,000 34,852,000 0.02% $34.02M
Uniform Mortgage-Backed Security, TBA 0 33,760,188 33,760,188 0.02% $33.76M
FN 190445 0 32,530,113 32,530,113 0.02% $33.68M
SAUDI ARAB OIL 0 33,866,000 33,866,000 0.02% $33.59M
FORD MOTOR CRED 0 29,892,000 29,892,000 0.02% $30.18M
AMAZON.COM INC 0 29,507,000 29,507,000 0.02% $28.76M
BLACKSTONE PRIVA 0 28,052,000 28,052,000 0.02% $28.53M
POST HOLDINGS INC REGD 144A P/P 6.50000000 0 27,930,000 27,930,000 0.02% $27.97M
FN FA2841 0 30,934,402 30,934,402 0.02% $27.47M
CELANESE US HOLDINGS LLC SR UNSEC 7.375% 02-15-34 0 26,899,000 26,899,000 0.02% $27.39M
GOLDMAN SACHS GP 0 24,750,000 24,750,000 0.02% $24.77M
MORGAN STANLEY 0 24,081,000 24,081,000 0.02% $24.07M
BPCE SA 144A LIFE SR NON PREF 4.76% 01-13-32/31 0 24,033,000 24,033,000 0.02% $24.03M
GOLDMAN SACHS GP 0 23,775,000 23,775,000 0.02% $23.77M
GEN MOTORS FIN 0 23,083,000 23,083,000 0.02% $23.19M
ASURION LLC/CO 0 22,155,000 22,155,000 0.02% $22.42M
CHTR 7 02/01/33 144A 0 21,920,000 21,920,000 0.02% $22.15M
TOTALENERGI CAP 0 21,927,000 21,927,000 0.02% $21.93M
COMMERCIAL METALS CO SR UNSECURED 144A 12/35 6 0 20,910,000 20,910,000 0.01% $21.37M
CHTR 7.375 02/01/36 144A 0 20,965,000 20,965,000 0.01% $21.01M
ALPHABET INC 0 21,000,000 21,000,000 0.01% $20.63M
BLACKSTONE PRIVA 0 20,994,000 20,994,000 0.01% $20.52M
MORGAN STANLEY 0 20,500,000 20,500,000 0.01% $20.43M
ONEMAIN FIN. CORP 6.75% 0 20,090,000 20,090,000 0.01% $20.34M
BAT CAPITAL CORP 0 19,500,000 19,500,000 0.01% $20.26M
Directv Financing LLC / Directv Financing Co-Obligor Inc. 0 19,575,000 19,575,000 0.01% $20.18M
Uniform Mortgage-Backed Security, TBA 0 19,401,236 19,401,236 0.01% $19.87M
LYV 2.875 01/15/30 0 17,500,000 17,500,000 0.01% $18.57M
BPCE 0 18,552,000 18,552,000 0.01% $18.51M
ANTERO MIDSTREAM PARTNERS LP / COMPANY GUAR 144A 07/34 5.75 0 18,060,000 18,060,000 0.01% $18.25M
FXI HOLDINGS INC 144A LIFE 11.0% 11-15-30 0 18,302,738 18,302,738 0.01% $17.94M
APOLLO AVIATION SECURITIZATION AASET 2025 3A A 144A 0 17,408,930 17,408,930 0.01% $17.52M
AT&T INC 0 17,000,000 17,000,000 0.01% $17.01M
ALPHABET INC 0 16,899,000 16,899,000 0.01% $16.83M
TRANSDIGM INC SUB 4.625% 01-15-29 0 16,850,000 16,850,000 0.01% $16.76M
VOYAGER PARENT LLC TL-B 1ST LIEN (TSFR3M+425)(FLR 0.0) FRN 07-01-32 0 16,718,100 16,718,100 0.01% $16.73M
PFIZER INC 0 16,500,000 16,500,000 0.01% $16.56M
AMAZON.COM INC 0 17,000,000 17,000,000 0.01% $16.51M
SIEMENS FUNDING BV COMPANY GUAR 144A 05/32 4.9 0 16,000,000 16,000,000 0.01% $16.49M
VENTURE GLOBAL PLAQUE SR SECURED 144A 12/30 6.125 0 15,889,000 15,889,000 0.01% $16.36M
FNCL 3 2/26 0 18,362,442 18,362,442 0.01% $16.28M
GOLDMAN SACHS GP 0 16,500,000 16,500,000 0.01% $16.26M
ORACLE CORP 0 15,258,000 15,258,000 0.01% $15.93M
Ma'aden Sukuk Ltd 5.25 01/29/2036 0 15,738,000 15,738,000 0.01% $15.77M
Columbus McKinnon Corporation/NY 0 15,615,000 15,615,000 0.01% $15.71M
CMO 0 15,370,000 15,370,000 0.01% $15.47M
WELLS FARGO CO 0 15,450,000 15,450,000 0.01% $15.47M
Safeway Inc. 0 15,820,000 15,820,000 0.01% $15.19M
US TREASURY N/B 0 15,000,000 15,000,000 0.01% $14.96M
AMAZON.COM INC 0 14,422,000 14,422,000 0.01% $14.29M
Comision Federal de Electricidad 6.05 01/28/2034 0 14,248,000 14,248,000 0.01% $14.27M
BARRATT REDROW P 0 2,668,615 2,668,615 0.01% $14.18M
REXEL SA 0 336,180 336,180 0.01% $14.16M
MORGAN STANLEY 0 13,925,000 13,925,000 0.01% $13.95M
MOLINA HEALTHCARE INC SR UNSECURED 144A 02/31 6.5 0 13,455,000 13,455,000 0.01% $13.81M
FXI HOLDINGS INC SR SECURED 144A 11/29 14 0 23,763,229 23,763,229 0.01% $13.78M
ALBERTSONS COS INC SR UNSECURED 144A 03/32 5.625 0 13,760,000 13,760,000 0.01% $13.75M
BMRN 5 1/2 02/15/34 0 13,585,000 13,585,000 0.01% $13.64M
MIDEA GROUP CO L 0 1,231,200 1,231,200 0.01% $13.50M
INFORMA PLC 0 1,120,627 1,120,627 0.01% $13.49M
LYB INT FIN III 0 13,149,000 13,149,000 0.01% $13.01M
VERIZON COMM INC 0 13,135,000 13,135,000 0.01% $12.99M
HLT 5.5 03/31/34 144A 0 12,880,000 12,880,000 0.01% $12.95M
OSAIC HOLDINGS INC SR SECURED 144A 08/32 6.75 0 12,170,000 12,170,000 0.01% $12.62M
AMAZON.COM INC 0 12,250,000 12,250,000 0.01% $12.26M
AMAZON.COM INC 0 12,250,000 12,250,000 0.01% $12.20M
FR RQ0015 0 11,147,989 11,147,989 0.01% $11.54M
CITIGROUP INC 0 12,586,000 12,586,000 0.01% $11.42M
SAUDI ARABIAN OIL CO 144A LIFE SR UNSEC 4.0% 02-02-29 0 11,435,000 11,435,000 0.01% $11.37M
GOLDMAN SACHS GP 0 11,268,000 11,268,000 0.01% $11.22M
JPMORGAN CHASE 0 11,105,000 11,105,000 0.01% $11.02M
WR GRACE HOLDINGS LLC SR SECURED 144A 08/33 7 0 10,815,000 10,815,000 0.01% $10.84M
MERCEDES-BENZ GR 0 155,864 155,864 0.01% $10.68M
CSX CORP 0 10,713,000 10,713,000 0.01% $10.55M
MORGAN STANLEY 0 10,240,000 10,240,000 0.01% $10.24M
ALBERTSONS COS/SAFEWAY SR UNSECURED 144A 03/34 5.75 0 10,375,000 10,375,000 0.01% $10.22M
UMBS 0 9,806,669 9,806,669 0.01% $10.05M
MS V4.213 02/08/30 . 0 9,975,000 9,975,000 0.01% $9.98M
SYNIT 2025-A3 A 0 9,820,000 9,820,000 0.01% $9.87M
ALSN 5.875 12/01/33 144A 0 9,350,000 9,350,000 0.01% $9.49M
Uniform Mortgage-Backed Security, TBA 0 11,457,208 11,457,208 0.01% $9.30M
UNION PAC CORP 0 10,037,000 10,037,000 0.01% $9.24M
Uniform Mortgage-Backed Security, TBA 0 8,911,483 8,911,483 0.01% $9.23M
ORANGE SA SR UNSECURED 144A 01/33 4.75 0 9,245,000 9,245,000 0.01% $9.23M
Six Flags Entertainment Corp.'s Wonderland Co./Millennium Operations LLC 0 8,980,000 8,980,000 0.01% $9.17M
CYH 6.875 04/15/29 144A 0 9,850,000 9,850,000 0.01% $9.07M
ALPHABET INC 0 9,000,000 9,000,000 0.01% $8.88M
VENTURE GLOBAL PLAQUE SR SECURED 144A 06/34 6.5 0 8,475,000 8,475,000 0.01% $8.78M
FNMA 30YR 6.5% 07/01/2055#MA5762 0 8,310,632 8,310,632 0.01% $8.60M
BANK OF AMERICA CORP SR UNSECURED 03/32 VAR 0 9,325,000 9,325,000 0.01% $8.56M
AT&T INC 0 8,376,000 8,376,000 0.01% $8.36M
Vistra Operations Co. LLC 0 8,350,000 8,350,000 0.01% $8.25M
BANK OF AMER CRP 0 9,103,000 9,103,000 0.01% $8.19M
CELANESE US HOLDINGS LLC SR UNSEC 7.0% 02-15-31 0 7,865,000 7,865,000 0.01% $8.05M
BFCM 4.541 01/15/31 144A 0 8,000,000 8,000,000 0.01% $7.98M
ORANGE SA 144A LIFE SR UNSEC 4.25% 01-13-31 0 8,000,000 8,000,000 0.01% $7.93M
UNITED MEXICAN 0 7,748,000 7,748,000 0.01% $7.73M
COMMERCIAL METALS CO SR UNSECURED 144A 11/33 5.75 0 7,595,000 7,595,000 0.01% $7.73M
SYNOPSYS INC 0 7,467,000 7,467,000 0.01% $7.62M
JPMORGAN CHASE 0 7,500,000 7,500,000 0.01% $7.48M
CHS/Community Health Systems, Inc. 0 8,075,000 8,075,000 0.01% $7.25M
AFRMT 2026-1A A 144A 4.37% 02-15-34 0 7,147,000 7,147,000 0.00% $7.17M
GOLDMAN SACHS GP 0 7,182,000 7,182,000 0.00% $7.14M
PUBLIC SERVICE 0 7,060,000 7,060,000 0.00% $7.08M
WFRD 6.75 10/15/33 144A 0 6,800,000 6,800,000 0.00% $7.05M
GWCN 6.5 01/15/31 144A 0 6,830,000 6,830,000 0.00% $7.01M
FNCL UMBS 3.0 CB0998 07-01-51 0 7,702,978 7,702,978 0.00% $6.87M
HYUNDAI CAPITAL AMERICA 144A LIFE SR UNSEC 4.25% 01-08-29 0 6,745,000 6,745,000 0.00% $6.76M
AROC 6 02/01/34 0 6,385,000 6,385,000 0.00% $6.38M
BIOMARIN PHARMACEUTICAL TERM B 1LN 01/28/2033 0 6,180,000 6,180,000 0.00% $6.20M
MORGAN STANLEY 0 6,860,000 6,860,000 0.00% $6.02M
VERIZON COMM INC 0 5,984,000 5,984,000 0.00% $5.99M
US TREASURY N/B 0 6,000,000 6,000,000 0.00% $5.92M
BOCA Commercial Mortgage Trust, Series 2025-BOCA, Class A 0 5,823,000 5,823,000 0.00% $5.87M
BX Trust, Series 2025-DELC, Class A 0 5,618,000 5,618,000 0.00% $5.66M
FNCL UMBS 6.5 SL2625 07-01-55 0 5,428,610 5,428,610 0.00% $5.62M
FR SD0902 0 6,558,281 6,558,281 0.00% $5.58M
VERIZON COMM INC 0 5,539,000 5,539,000 0.00% $5.47M
APARK 2025-A A2 144A 4.43% 04-20-35 0 5,438,936 5,438,936 0.00% $5.47M
UNITED MEXICAN 0 5,541,000 5,541,000 0.00% $5.44M
SUNOCO LP SR UNSECURED 144A 05/30 4.625 0 5,545,000 5,545,000 0.00% $5.41M
Hilcorp Energy I, L.P. 0 5,350,000 5,350,000 0.00% $5.16M
JPMORGAN CHASE 0 5,000,000 5,000,000 0.00% $4.99M
ORACLE CORP 0 5,000,000 5,000,000 0.00% $4.91M
FNMA 30YR 2.5% 08/01/2051#FM8442 0 5,717,610 5,717,610 0.00% $4.88M
UNITED AIRLINES HOLDINGS INC SR UNSEC 5.375% 03-01-31 0 4,765,000 4,765,000 0.00% $4.82M
BANK OF AMER CRP 0 5,132,000 5,132,000 0.00% $4.63M
PUBLIC SERVICE 0 4,625,000 4,625,000 0.00% $4.61M
CONSUMERS ENERGY 0 4,475,000 4,475,000 0.00% $4.52M
DUKE ENERGY FLA 0 4,525,000 4,525,000 0.00% $4.50M
DEUTSCHE BANK NY 0 4,500,000 4,500,000 0.00% $4.50M
Osaic Holdings, Inc., Series Jan 0 4,230,000 4,230,000 0.00% $4.39M
Freddie Mac Pool 0 4,885,287 4,885,287 0.00% $4.16M
WELLS FARGO CO 0 4,000,000 4,000,000 0.00% $3.97M
FLORIDA POWER & 0 4,000,000 4,000,000 0.00% $3.95M
PACIFICORP 0 3,758,000 3,758,000 0.00% $3.95M
PCG 4.4 03/01/32 0 3,864,000 3,864,000 0.00% $3.79M
BRSL 5.75 01/15/33 144A 0 3,775,000 3,775,000 0.00% $3.75M
THC 5 1/8 11/01/27 0 3,750,000 3,750,000 0.00% $3.75M
BNP V4.916 01/15/34 144A 0 3,731,000 3,731,000 0.00% $3.71M
NRZT 2025-NQM5 A1 144A FRN 08-25-65 0 3,664,927 3,664,927 0.00% $3.69M
SAUDI INT BOND 0 3,738,000 3,738,000 0.00% $3.65M
VERIZON COMM INC 0 3,615,000 3,615,000 0.00% $3.58M
DOW CHEMICAL CO/THE REGD 5.60000000 0 4,000,000 4,000,000 0.00% $3.49M
Uniform Mortgage-Backed Security, TBA 0 3,500,000 3,500,000 0.00% $3.43M
VERIZON COMM INC 0 3,211,000 3,211,000 0.00% $3.19M
PACIFICORP 0 4,208,000 4,208,000 0.00% $3.16M
APOLLO DEBT SOLU 0 3,131,000 3,131,000 0.00% $3.12M
GOLF 5.625 12/01/33 144A 0 3,055,000 3,055,000 0.00% $3.09M
Hertz Vehicle Financing III LLC, Series 2025-5A, Class A 0 3,042,000 3,042,000 0.00% $3.06M
AERCAP IRELAND 0 3,000,000 3,000,000 0.00% $2.99M
PFIZER INC 0 3,000,000 3,000,000 0.00% $2.98M
JPMORGAN CHASE 0 3,275,000 3,275,000 0.00% $2.92M
MORGAN STANLEY 0 2,838,000 2,838,000 0.00% $2.87M
Saudi Arabian Oil Company 0 2,793,000 2,793,000 0.00% $2.75M
FNCL UMBS 2.0 CB2850 02-01-52 0 3,343,836 3,343,836 0.00% $2.72M
PAR HEALTH INC 144A (DRS) (NOT LISTED OR TRADING) 0 297,305 297,305 0.00% $2.64M
FNCL 3.5 2/26 0 2,794,133 2,794,133 0.00% $2.58M
GEN MOTORS FIN 0 2,500,000 2,500,000 0.00% $2.54M
VERUS 2026-R1 A1 0 2,529,000 2,529,000 0.00% $2.53M
GOLDMAN SACHS GP 0 2,425,000 2,425,000 0.00% $2.53M
GOLDMAN SACHS GP 0 2,750,000 2,750,000 0.00% $2.51M
MORGAN STANLEY 0 2,437,000 2,437,000 0.00% $2.50M
JPMORGAN CHASE 0 2,730,000 2,730,000 0.00% $2.49M
SAUDI ARAB OIL 0 2,500,000 2,500,000 0.00% $2.44M
BANK OF AMER CRP 0 2,550,000 2,550,000 0.00% $2.34M
BANK OF AMER CRP 0 2,375,000 2,375,000 0.00% $2.27M
UMBS 0 2,080,071 2,080,071 0.00% $2.15M
SFRFP 6.875 07/15/32 144A 0 2,200,000 2,200,000 0.00% $2.15M
Government National Mortgage Association 0 2,500,000 2,500,000 0.00% $2.08M
EXETER AUTOMOBILE RECEIVABLES TRUST 2026-1 SER 2026-1A CL A3 REGD 4.03000000 0 2,049,000 2,049,000 0.00% $2.05M
Uniform Mortgage-Backed Security, TBA 0 2,205,865 2,205,865 0.00% $2.04M
BX 2025-ARIA A 0 2,000,000 2,000,000 0.00% $2.04M
Exeter Automobile Receivables Trust 2026-1 0 2,026,000 2,026,000 0.00% $2.03M
BAXTER INTL 0 1,984,000 1,984,000 0.00% $2.00M
PFIZER INC 0 2,000,000 2,000,000 0.00% $1.97M
SSTRT 2026-A B 144A 4.284% 03-25-33 0 1,959,000 1,959,000 0.00% $1.96M
AMERICAN EXPRESS 0 2,000,000 2,000,000 0.00% $1.96M
SOUTHERN CAL ED 0 1,890,000 1,890,000 0.00% $1.94M
FNCL UMBS 2.5 FM7096 05-01-51 0 2,261,579 2,261,579 0.00% $1.93M
PIEDMONT OPERATING PARTNERSHIP LP SR UNSEC 5.625% 01-15-33 0 1,912,000 1,912,000 0.00% $1.92M
ENTERPRISE PRODU 0 1,842,000 1,842,000 0.00% $1.87M
MAUSER PACKAGING SOLUT SR SECURED 144A 04/30 7.875 0 1,835,000 1,835,000 0.00% $1.87M
MIDAMERICAN ENER 0 1,916,000 1,916,000 0.00% $1.82M
AFRMT 2026-1A C 144A 4.72% 02-15-34 0 1,773,000 1,773,000 0.00% $1.78M
SUNOCO LP SR UNSECURED 144A 10/29 4.5 0 1,735,000 1,735,000 0.00% $1.70M
EOG RESOURCES IN 0 1,673,000 1,673,000 0.00% $1.68M
G2 MA7533 0 2,007,687 2,007,687 0.00% $1.67M
INTERCONTINENT 0 1,639,000 1,639,000 0.00% $1.64M
LYB INT FIN III 0 1,544,000 1,544,000 0.00% $1.55M
AFRMT 2026-1A D 144A 4.91% 02-15-34 0 1,531,000 1,531,000 0.00% $1.54M
CITIGROUP INC 0 1,492,000 1,492,000 0.00% $1.52M
STELLANTIS FINANCIAL UNDERWRITTEN ENHANCED SER 2025-CA CL A2 REGD 144A P/P 4.06000000 0 1,513,000 1,513,000 0.00% $1.52M
GEN MOTORS FIN 0 1,500,000 1,500,000 0.00% $1.50M
GOLDMAN SACHS GP 0 1,676,000 1,676,000 0.00% $1.49M
LYB INT FIN III 0 1,440,000 1,440,000 0.00% $1.42M
Exeter Automobile Receivables Trust, Series 2025-5A, Class A3 0 1,341,000 1,341,000 0.00% $1.35M
VZMT 2025-9 A1A 3.96% 10-21-30 0 1,316,000 1,316,000 0.00% $1.32M
Bridgecrest Lending Auto Securitization Trust 2026-1 0 1,288,000 1,288,000 0.00% $1.29M
EART 2025-5A B 0 1,260,000 1,260,000 0.00% $1.27M
PACIFICORP 0 1,114,000 1,114,000 0.00% $1.17M
AFRMT 2026-1A B 144A 4.57% 02-15-34 0 1,127,000 1,127,000 0.00% $1.13M
XCEL ENERGY INC 0 1,071,000 1,071,000 0.00% $1.11M
SOUTHERN CAL ED 0 1,510,000 1,510,000 0.00% $1.01M
US TREASURY N/B 0 1,000,000 1,000,000 0.00% $997.50K
FNCL UMBS 2.5 QC9561 11-01-51 0 1,136,787 1,136,787 0.00% $966.51K
TYCO ELECTRONICS 0 952,000 952,000 0.00% $948.07K
EVERSOURCE ENERG 0 900,000 900,000 0.00% $926.19K
FNCL UMBS 3.5 RQ0081 01-01-56 0 994,594 994,594 0.00% $921.25K
Bridgecrest Lending Auto Securitization Trust, Series 2026-1, Class A3 0 878,000 878,000 0.00% $878.94K
WELLS FARGO CO 0 900,000 900,000 0.00% $857.67K
FNMA 30YR 2.5% 07/01/2052#FS7057 0 933,717 933,717 0.00% $795.30K
FORD MOTOR CRED 0 780,000 780,000 0.00% $784.29K
UMBS 0 916,562 916,562 0.00% $779.27K
ITA GB 10YR FUT IKH6 03-06-26 0 1,148 1,148 0.00% $770.72K
Reach Abs Trust, Series 2026-1A, Class A 0 766,000 766,000 0.00% $767.85K
Discovery Communications LLC 0 725,000 725,000 0.00% $704.87K
ENTERPRISE PRODU 0 657,000 657,000 0.00% $665.52K
ORANGE SA 144A LIFE SR UNSEC 5.75% 01-13-56 0 595,000 595,000 0.00% $597.11K
FLORIDA POWER & 0 525,000 525,000 0.00% $516.28K
REACH 2026-1A B 144A 4.37% 02-15-33 0 502,000 502,000 0.00% $503.44K
BX TRUST 2025-DELC SER 2025-DELC CL B V/R REGD 144A P/P 5.75724000 0 472,000 472,000 0.00% $474.64K
FNCL UMBS 6.0 QZ0219 08-01-55 0 448,407 448,407 0.00% $459.34K
GOLDMAN SACHS GP 0 500,000 500,000 0.00% $447.24K
SSTRT 2026-A C 144A 4.431% 03-25-33 0 431,000 431,000 0.00% $431.61K
SSTRT 2026-A D 144A 4.873% 03-25-33 0 430,000 430,000 0.00% $431.19K
PEAC SOLUTIONS RECEIVABLES 2026-1 LLC PEAC 2026-1A A2 0 429,000 429,000 0.00% $430.61K
BANK OF AMER CRP 0 475,000 475,000 0.00% $424.58K
FUT. EURO-BUND EUX MAR26 0 2,059 2,059 0.00% $423.68K
MORGAN STANLEY 0 475,000 475,000 0.00% $421.62K
BAXTER INTL 0 404,000 404,000 0.00% $407.58K
MIDAMERICAN ENERGY CO SR SEC 1ST LIEN 5.5% 11-15-56 0 409,000 409,000 0.00% $399.60K
VERIZON COMM INC 0 382,000 382,000 0.00% $385.56K
BAXTER INTL 0 369,000 369,000 0.00% $370.35K
FNCL UMBS 2.5 BT7826 05-01-52 0 370,308 370,308 0.00% $314.84K
FNCL UMBS 2.0 QD2900 12-01-51 0 362,630 362,630 0.00% $294.68K
FN MA5822 0 140,558 140,558 0.00% $142.62K
Freddie Mac Pool 0 125,802 125,802 0.00% $129.06K
FR SD5368 0 145,853 145,853 0.00% $124.22K
US TREASURY N/B 0 89,300 89,300 0.00% $89.06K
FN FM6965 0 92,256 92,256 0.00% $78.61K
FNCL UMBS 2.0 FS0353 01-01-52 0 84,411 84,411 0.00% $68.59K
FNMA 30YR 2.5% 01/01/2051#CA8609 0 60,843 60,843 0.00% $51.81K
VOLVO AB-A 0 1,207 1,207 0.00% $43.90K
MORGAN STANLEY 0 47,000 47,000 0.00% $42.20K
FNMA POOL CA8827 FN 02/51 FIXED 2.5 0 33,697 33,697 0.00% $28.69K
FNCL UMBS 2.5 BP4208 05-01-50 0 28,448 28,448 0.00% $24.83K
FR RQ0049 0 17,776 17,776 0.00% $18.04K
VERSANT MEDIA GROUP INC - A 0 0 0 0.00% $0
EXPAND ENERGY CORP WT EXPIRATION: 02/09/26 0 0 0 0.00% $0
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
DOMINION ENERGY INC 9,713,059 0 -9,713,059 0.00% -$570.06M
FNCL 2.5 11/25 643,047,925 0 -643,047,925 0.00% -$546.06M
PINNACLE WEST CAPITAL CORP 5,628,536 0 -5,628,536 0.00% -$498.24M
KIMBERLY CLARK CORP 2,980,456 0 -2,980,456 0.00% -$356.79M
PICC P&C-H 125,000,000 0 -125,000,000 0.00% -$295.54M
ZURICH INSURANCE 392,519 0 -392,519 0.00% -$272.76M
TEXAS INSTRUMENTS INC 1,678,152 0 -1,678,152 0.00% -$270.95M
UNILEVER PLC 4,000,000 0 -4,000,000 0.00% -$240.01M
BLACKROCK INC 204,624 0 -204,624 0.00% -$221.57M
US TREASURY N/B 202,737,000 0 -202,737,000 0.00% -$202.36M
MUENCHENER RUE-R 318,703 0 -318,703 0.00% -$197.03M
PROLOGIS INC REIT 1,367,687 0 -1,367,687 0.00% -$169.72M
MANULIFE FIN 4,595,192 0 -4,595,192 0.00% -$148.71M
EASTMAN CHEMICAL CO 2,387,834 0 -2,387,834 0.00% -$142.12M
CENTERPOINT ENERGY INC 3,500,244 0 -3,500,244 0.00% -$133.85M
UDR INC 3,826,358 0 -3,826,358 0.00% -$128.91M
NATL BANK GREECE 8,041,354 0 -8,041,354 0.00% -$118.04M
TAKEDA PHARMACEU 4,245,700 0 -4,245,700 0.00% -$114.83M
AES CORP 8,173,030 0 -8,173,030 0.00% -$113.36M
U.S. Treasury Notes 111,005,400 0 -111,005,400 0.00% -$112.00M
MONDELEZ INTL INC 1,827,808 0 -1,827,808 0.00% -$105.03M
MCDONALDS CORP 321,876 0 -321,876 0.00% -$96.06M
HALLIBURTON CO 3,247,392 0 -3,247,392 0.00% -$87.16M
FNCL UMBS 5.0 QF0103 09-01-52 81,405,340 0 -81,405,340 0.00% -$81.39M
CENOVUS ENERGY INC 4,733,185 0 -4,733,185 0.00% -$79.98M
FNCL 6 12/24 77,951,232 0 -77,951,232 0.00% -$79.70M
IMPERIAL BRANDS 1,999,525 0 -1,999,525 0.00% -$79.47M
Midea Group Company, Ltd. 7,391,465 0 -7,391,465 0.00% -$79.34M
Osaic Holdings, Inc. 77,127,000 0 -77,127,000 0.00% -$77.45M
FNCL 4 12/22 81,343,628 0 -81,343,628 0.00% -$77.16M
FNCL 5 11/25 76,819,425 0 -76,819,425 0.00% -$76.44M
WELLS FARGO & CO 869,127 0 -869,127 0.00% -$75.59M
FNCL UMBS 3.5 FS8509 03-01-53 80,468,426 0 -80,468,426 0.00% -$74.33M
SEAGATE TECHNOLOGY HOLDINGS PLC 287,573 0 -287,573 0.00% -$73.58M
FNCL 3 11/25 77,705,000 0 -77,705,000 0.00% -$68.87M
PUBLIC STORAGE 225,000 0 -225,000 0.00% -$62.68M
FNCL 4.5 11/25 63,849,474 0 -63,849,474 0.00% -$62.24M
Uniform Mortgage-Backed Security, TBA 59,472,896 0 -59,472,896 0.00% -$61.61M
CSC Holdings, LLC, Term Loan B6 59,189,979 0 -59,189,979 0.00% -$58.77M
COMMSCOPE LLC REGD 144A P/P 8.25000000 58,098,000 0 -58,098,000 0.00% -$58.52M
Ascent Resources LLC 1,102,146 0 -1,102,146 0.00% -$50.71M
FNCL 3.5 12/22 53,300,846 0 -53,300,846 0.00% -$49.11M
WH GROUP LTD 49,532,000 0 -49,532,000 0.00% -$47.49M
INTL FLVR & FRAG 753,785 0 -753,785 0.00% -$47.47M
VEOLIA ENVIRONNE 1,401,380 0 -1,401,380 0.00% -$46.29M
Uniform Mortgage-Backed Security, TBA 44,311,330 0 -44,311,330 0.00% -$45.32M
DOMINOS PIZZA GROUP PLC 16,887,433 0 -16,887,433 0.00% -$43.19M
GSK PLC 1,826,051 0 -1,826,051 0.00% -$42.79M
PACIFIC GAS&ELEC 42,725,000 0 -42,725,000 0.00% -$42.62M
FANNIE MAE OR FREDDIE MAC MBS 30YR TBA 43,947,177 0 -43,947,177 0.00% -$41.70M
ISPIM 5.71 01/15/26 41,358,000 0 -41,358,000 0.00% -$41.44M
US TREASURY N/B 36,749,000 0 -36,749,000 0.00% -$37.85M
BPER BANCA SPA 2,988,782 0 -2,988,782 0.00% -$35.73M
FNCL 2 11/25 42,133,453 0 -42,133,453 0.00% -$34.18M
Hanesbrands, Inc., First Lien, CME Term Loan, B 32,942,052 0 -32,942,052 0.00% -$33.15M
DEUTSCHE BANK NY 33,123,000 0 -33,123,000 0.00% -$33.10M
FXI Holdings, Inc. 35,598,000 0 -35,598,000 0.00% -$30.80M
BOUYGUES SA 663,597 0 -663,597 0.00% -$29.95M
TYSON FOODS INC CL A 577,683 0 -577,683 0.00% -$29.70M
FNCL UMBS 4.5 BW9347 09-01-52 30,267,351 0 -30,267,351 0.00% -$29.66M
FNCL 5 12/22 28,180,575 0 -28,180,575 0.00% -$28.02M
ORGANON / ORGANON 4.125% 28,670,000 0 -28,670,000 0.00% -$27.30M
FNCL 4.5 1/26 26,610,032 0 -26,610,032 0.00% -$25.92M
COMMSCOPE LLC TL 1ST LIEN (TSFR3M+475)(FLR 2.0) FRN 12-17-29 24,790,000 0 -24,790,000 0.00% -$25.05M
CHICAGO IL BOE 1.75% 12/15/25 23,140,000 0 -23,140,000 0.00% -$23.04M
MICROCHIP TECHNOLOGY 365,704 0 -365,704 0.00% -$22.83M
DUKE ENERGY CORP NEW 182,442 0 -182,442 0.00% -$22.68M
HOUS 7 04/15/30 144A 21,230,000 0 -21,230,000 0.00% -$21.40M
FXI Holdings Inc 12.25 11/15/2026 24,259,000 0 -24,259,000 0.00% -$21.34M
MARUBENI CORP 858,200 0 -858,200 0.00% -$21.10M
Post Holdings Inc 20,825,000 0 -20,825,000 0.00% -$20.86M
Kaiser Aluminum Corp 20,295,000 0 -20,295,000 0.00% -$20.29M
SABRE GLBL INC SR SECURED 144A 07/30 11.125 20,895,000 0 -20,895,000 0.00% -$19.77M
TRANSOCEAN POSEIDON LTD SR SECURED 144A 02/27 6.875 19,703,250 0 -19,703,250 0.00% -$19.70M
PETROLEOS MEXICANOS SR UNSEC 6.75% 09-21-47 23,557,000 0 -23,557,000 0.00% -$19.53M
BANCO BPM SPA 1,341,581 0 -1,341,581 0.00% -$19.52M
Ball Corp. 19,100,000 0 -19,100,000 0.00% -$19.45M
KKR & CO INC 164,019 0 -164,019 0.00% -$19.41M
REGAL REXNORD CORP 134,000 0 -134,000 0.00% -$18.88M
LIVE NATION ENTERTAINMENT INC SR UNSECURED 144A 01/30 2.875 17,500,000 0 -17,500,000 0.00% -$18.63M
US TREASURY N/B 18,500,000 0 -18,500,000 0.00% -$18.62M
COMMSCOPE TECHS. LL 5.00% 18,560,000 0 -18,560,000 0.00% -$18.50M
FANNIE MAE OR FREDDIE MAC MBS 30YR TBA 17,728,041 0 -17,728,041 0.00% -$18.36M
FORD MOTOR CRED 19,180,000 0 -19,180,000 0.00% -$18.35M
FXI HOLDINGS INC (UNFUNDED) 0.0% 10-24-28 18,302,738 0 -18,302,738 0.00% -$18.30M
FN MA5070 18,539,479 0 -18,539,479 0.00% -$18.14M
MICROCHIP TECHNOLOGY INC SER A 7.5% PC 03/15/2028 304,259 0 -304,259 0.00% -$17.62M
SKYWORKS SOLUTIONS INC 225,716 0 -225,716 0.00% -$17.54M
VZMT 2023-1 A 17,018,000 0 -17,018,000 0.00% -$17.03M
Voyager Parent LLC, Class Senior Secured First Lien Term Loan 16,760,000 0 -16,760,000 0.00% -$16.77M
COMMSCOPE LLC REGD 144A P/P 7.12500000 16,551,000 0 -16,551,000 0.00% -$16.64M
BOOZ ALLEN HAMILTON INC COMPANY GUAR 144A 07/29 4 17,037,000 0 -17,037,000 0.00% -$16.62M
Bath & Body Works Inc 16,000,000 0 -16,000,000 0.00% -$16.59M
Boost Newco Borrower, LLC 15,025,000 0 -15,025,000 0.00% -$15.97M
REPUBLIC OF COLOMBIA SR UNSECURED 11/35 8 14,314,000 0 -14,314,000 0.00% -$15.64M
L BRANDS INC 14,928,000 0 -14,928,000 0.00% -$15.63M
BPCE 14,300,000 0 -14,300,000 0.00% -$14.93M
Hanesbrands, Inc. 14,012,000 0 -14,012,000 0.00% -$14.79M
MCLO 2019-2A A1R2 CLO 144A FRN 01-20-33 14,403,877 0 -14,403,877 0.00% -$14.33M
OCCIDENTAL PETE 13,000,000 0 -13,000,000 0.00% -$13.70M
BPCE S.A. 11,909,000 0 -11,909,000 0.00% -$12.77M
FR SD8276 12,607,610 0 -12,607,610 0.00% -$12.61M
DT MIDSTREAM INC 113,913 0 -113,913 0.00% -$12.47M
HCA INC 12,399,000 0 -12,399,000 0.00% -$12.41M
NBR 7 3/8 05/15/27 11,677,000 0 -11,677,000 0.00% -$11.86M
RANGE RESOURCES CORP SR UNSEC 8.25% 01-15-29 11,472,000 0 -11,472,000 0.00% -$11.71M
HASBRO INC 153,315 0 -153,315 0.00% -$11.70M
BX 2021-ARIA A 11,621,000 0 -11,621,000 0.00% -$11.61M
GEN MOTORS FIN 10,852,000 0 -10,852,000 0.00% -$11.39M
US TREASURY N/B 11,000,000 0 -11,000,000 0.00% -$10.93M
FN MA4626 11,250,808 0 -11,250,808 0.00% -$10.74M
FNCL UMBS 6.5 CB9836 01-01-55 10,228,868 0 -10,228,868 0.00% -$10.68M
FNCL UMBS 6.0 DE2192 07-01-55 10,342,610 0 -10,342,610 0.00% -$10.58M
BANCO SANTANDER SA 1,033,615 0 -1,033,615 0.00% -$10.52M
OCCIDENTAL PETE 10,000,000 0 -10,000,000 0.00% -$10.48M
CAIXABANK 10,191,000 0 -10,191,000 0.00% -$10.32M
REPUBLIC OF COLOMBIA SR UNSECURED 02/34 7.5 9,656,000 0 -9,656,000 0.00% -$10.26M
FORD MOTOR CRED 9,949,000 0 -9,949,000 0.00% -$10.17M
FNCL UMBS 5.0 RJ3017 12-01-54 10,047,857 0 -10,047,857 0.00% -$10.03M
BX TRUST 2021-ARIA BX 2021-ARIA B 9,946,000 0 -9,946,000 0.00% -$9.93M
TARGA RES PRTNRS 9,385,000 0 -9,385,000 0.00% -$9.53M
T-MOBILE USA INC 9,725,000 0 -9,725,000 0.00% -$9.29M
BAYTEX ENERGY CORP REGD 144A P/P 7.37500000 9,285,000 0 -9,285,000 0.00% -$9.15M
LAS VEGAS SANDS CORP 152,468 0 -152,468 0.00% -$9.05M
HYUNDAI CAPITAL AMERICA SR UNSECURED 144A 01/26 1.3 9,000,000 0 -9,000,000 0.00% -$8.95M
VZMT 2024-1 A1A 8,584,000 0 -8,584,000 0.00% -$8.59M
ENTERPRISE PRODU 8,571,000 0 -8,571,000 0.00% -$8.58M
OCCIDENTAL PETE 8,307,000 0 -8,307,000 0.00% -$8.49M
BAYTEX ENERGY CORP REGD 144A P/P 8.50000000 8,155,000 0 -8,155,000 0.00% -$8.37M
FNMA 30YR 3.5% 01/01/2055#MA5605 8,999,998 0 -8,999,998 0.00% -$8.31M
FN MA4803 8,755,728 0 -8,755,728 0.00% -$8.09M
BOCA COMMERCIAL MORTGAGE TRUST BOCA 2024 BOCA A 144A 8,000,000 0 -8,000,000 0.00% -$8.04M
TRUIST BANK F2F 8,000,000 0 -8,000,000 0.00% -$7.97M
SAUDI ARABIAN OIL CO SR UNSECURED 144A 07/54 5.75 7,910,000 0 -7,910,000 0.00% -$7.96M
AMERICREDIT AUTOMOBILE RECEIVABLES TRUST 2021-2 D 1.29% 06/18/2027 7,972,000 0 -7,972,000 0.00% -$7.92M
FORD MOTOR CREDIT CO LLC 3.375000% 11/13/2025 7,700,000 0 -7,700,000 0.00% -$7.70M
BX 2021-VOLT A 7,386,346 0 -7,386,346 0.00% -$7.38M
GREENSAIF PIPELI 7,000,000 0 -7,000,000 0.00% -$7.38M
SANDS CHINA LTD 7,075,000 0 -7,075,000 0.00% -$7.08M
US TREASURY N/B 7,000,000 0 -7,000,000 0.00% -$7.04M
BRISTOL-MYERS 7,000,000 0 -7,000,000 0.00% -$6.95M
KROGER CO 6,865,000 0 -6,865,000 0.00% -$6.92M
FNCL 4.5 12/23 7,040,494 0 -7,040,494 0.00% -$6.86M
VISA INC 6,750,000 0 -6,750,000 0.00% -$6.74M
PETROLEOS MEXICANOS SR UNSEC 6.35% 02-12-48 8,174,000 0 -8,174,000 0.00% -$6.56M
RRAM 2020-8A A1R CLO 144A FRN 07-15-37 6,482,000 0 -6,482,000 0.00% -$6.48M
UBS Group AG 6,152,000 0 -6,152,000 0.00% -$6.38M
FKH_20-SFR2 6,375,448 0 -6,375,448 0.00% -$6.36M
FNCL UMBS 5.0 RJ3163 12-01-54 5,920,490 0 -5,920,490 0.00% -$5.91M
AIR LEASE CORP 5,916,000 0 -5,916,000 0.00% -$5.90M
KWEICHOW MOUTAI CO LTD A 29,000 0 -29,000 0.00% -$5.83M
ELLUCIAN TERM 2LN 11/22/2032 5,650,000 0 -5,650,000 0.00% -$5.73M
MORGAN STANLEY 5,447,000 0 -5,447,000 0.00% -$5.51M
Ball Corp 4.88 03/15/2026 5,500,000 0 -5,500,000 0.00% -$5.50M
Parkland Corp 5,545,000 0 -5,545,000 0.00% -$5.38M
Uniform Mortgage-Backed Security, TBA 5,108,000 0 -5,108,000 0.00% -$5.16M
CREDIT AGRICOLE SA REGD V/R 144A P/P 1.24700000 4,900,000 0 -4,900,000 0.00% -$4.86M
FR SD8533 4,776,974 0 -4,776,974 0.00% -$4.83M
LLOYDS BK GR PLC 4,600,000 0 -4,600,000 0.00% -$4.60M
SOUTHWESTN EL PR 4,550,000 0 -4,550,000 0.00% -$4.51M
TRUIST FINANCIAL 4,572,000 0 -4,572,000 0.00% -$4.50M
ASTRAZENECA PLC 4,500,000 0 -4,500,000 0.00% -$4.50M
EQT CORP SR UNSECURED 01/31 4.75 4,445,000 0 -4,445,000 0.00% -$4.45M
UMBS 4,316,131 0 -4,316,131 0.00% -$4.22M
FNCL UMBS 4.0 CB4548 09-01-52 4,299,120 0 -4,299,120 0.00% -$4.10M
GREENSAIF PIPELI 3,825,000 0 -3,825,000 0.00% -$4.07M
ENEL FIN INTL NV 4,000,000 0 -4,000,000 0.00% -$3.95M
BROADCOM INC 3,569,000 0 -3,569,000 0.00% -$3.68M
FNMA POOL MA5699 FN 05/55 FIXED 5 3,587,042 0 -3,587,042 0.00% -$3.57M
FNCL UMBS 4.5 FS5554 11-01-52 3,446,723 0 -3,446,723 0.00% -$3.38M
LLOYDS BK GR PLC 3,355,000 0 -3,355,000 0.00% -$3.35M
FR SD8532 3,295,836 0 -3,295,836 0.00% -$3.28M
VW 1.25 11/24/25 144A 3,250,000 0 -3,250,000 0.00% -$3.24M
KROGER CO 3,130,000 0 -3,130,000 0.00% -$3.05M
FR SD8256 3,181,319 0 -3,181,319 0.00% -$3.03M
FNCL UMBS 5.0 CB9737 01-01-55 2,996,328 0 -2,996,328 0.00% -$2.99M
Fannie Mae Pool 3,217,686 0 -3,217,686 0.00% -$2.97M
FNCL UMBS 2.5 QD2621 12-01-51 3,468,680 0 -3,468,680 0.00% -$2.95M
MERCEDES-BENZ FINANCE NORTH AMERICA LLC 144A LIFE SR UNSEC 5.375% 11-26-25 2,850,000 0 -2,850,000 0.00% -$2.85M
ALLEG 2019-2A CR CLO 144A FRN 01-19-33 2,780,000 0 -2,780,000 0.00% -$2.79M
PETROLEOS MEXICANOS SR UNSEC 6.375% 01-23-45 3,384,000 0 -3,384,000 0.00% -$2.75M
UBS GRP. F2V 2,650,000 0 -2,650,000 0.00% -$2.63M
ALERGR TL B 1L USD 2,525,000 0 -2,525,000 0.00% -$2.54M
FNCL UMBS 4.5 RJ3264 02-01-55 2,586,637 0 -2,586,637 0.00% -$2.52M
VAC 4.5 06/15/29 144A 2,595,000 0 -2,595,000 0.00% -$2.50M
MIDAMERICAN ENER 2,325,000 0 -2,325,000 0.00% -$2.46M
FNCL UMBS 5.0 RA7938 09-01-52 2,252,158 0 -2,252,158 0.00% -$2.26M
ITA GB 10YR FUT IKZ5 12-08-25 1,214 0 -1,214 0.00% -$2.26M
SOUTHERN CAL ED 2,193,000 0 -2,193,000 0.00% -$2.24M
CAIXABANK SA REGD V/R 144A P/P 6.84000000 2,000,000 0 -2,000,000 0.00% -$2.23M
FNCL UMBS 2.5 SD5712 01-01-52 2,553,134 0 -2,553,134 0.00% -$2.18M
SPIRIT AEROSYSTEMS INC REGD 144A P/P 9.37500000 2,065,000 0 -2,065,000 0.00% -$2.17M
VOLKSWAGEN GROUP OF AMERICA FINANCE LLC 144A LIFE SR UNSEC 4.625% 11-13-25 2,075,000 0 -2,075,000 0.00% -$2.08M
SMB Private Education Loan Trust (Private Loans) 5.13 04/15/2054 2,005,534 0 -2,005,534 0.00% -$2.05M
UMBS 2,090,715 0 -2,090,715 0.00% -$2.04M
BPCE SA REGD V/R 144A P/P MTN 5.97500000 2,008,000 0 -2,008,000 0.00% -$2.01M
CONSTELLATION BR 1,930,000 0 -1,930,000 0.00% -$1.93M
GENERAL ELECTRIC 1,886,000 0 -1,886,000 0.00% -$1.90M
XCEL ENERGY INC 1,689,000 0 -1,689,000 0.00% -$1.75M
FNCL UMBS 5.0 BU5361 12-01-54 1,729,328 0 -1,729,328 0.00% -$1.73M
FN FS5520 1,728,673 0 -1,728,673 0.00% -$1.69M
CHASE AUTO OWNER TRUST CHAOT 2024 3A A2 144A 1,610,306 0 -1,610,306 0.00% -$1.61M
BANK 2024-BNK48 AS 1,531,813 0 -1,531,813 0.00% -$1.56M
JPMORGAN CHASE 1,470,000 0 -1,470,000 0.00% -$1.53M
FNCL UMBS 5.0 QX1743 12-01-54 1,504,771 0 -1,504,771 0.00% -$1.50M
PACIFIC GAS&ELEC 1,461,000 0 -1,461,000 0.00% -$1.48M
NOVA CHEMS. CORP 4.25% 1,505,000 0 -1,505,000 0.00% -$1.47M
FN BT9828 1,710,407 0 -1,710,407 0.00% -$1.45M
Freddie Mac Pool 1,651,579 0 -1,651,579 0.00% -$1.40M
Freddie Mac Pool 1,343,667 0 -1,343,667 0.00% -$1.32M
UNION PAC CORP 1,671,000 0 -1,671,000 0.00% -$1.21M
GOLDMAN SACHS GP 1,157,000 0 -1,157,000 0.00% -$1.19M
Mercer International Inc 1,435,000 0 -1,435,000 0.00% -$1.19M
CARMX 2024-2 A2A 5.65% 05-17-27 1,141,001 0 -1,141,001 0.00% -$1.14M
COMMSCOPE LLC REGD 144A P/P 9.50000000 1,065,000 0 -1,065,000 0.00% -$1.09M
VERISK ANALYTICS 1,035,000 0 -1,035,000 0.00% -$1.04M
MSC 2015-UBS8 AS 4.114% 12-15-48 1,000,000 0 -1,000,000 0.00% -$995.12K
FIRSTENERGY CORP SR UNSEC 1.6% 01-15-26 989,000 0 -989,000 0.00% -$982.24K
MORGAN STANLEY 1,001,000 0 -1,001,000 0.00% -$937.22K
TROX 9 1/8 09/30/30 1,005,000 0 -1,005,000 0.00% -$917.86K
FNCL UMBS 4.5 QF0212 09-01-52 929,699 0 -929,699 0.00% -$910.97K
UMBS 946,949 0 -946,949 0.00% -$902.53K
FR SD8329 861,911 0 -861,911 0.00% -$861.69K
FNCL UMBS 6.0 RJ3301 01-01-55 831,398 0 -831,398 0.00% -$860.74K
DEUTSCHE BANK AG SR NON PREF 4.1% 01-13-26 834,000 0 -834,000 0.00% -$833.51K
FNCL UMBS 4.5 QG2913 04-01-53 835,195 0 -835,195 0.00% -$815.84K
UNION PAC CORP 1,078,000 0 -1,078,000 0.00% -$798.92K
Fannie Mae Pool 861,516 0 -861,516 0.00% -$794.82K
MHC Commercial Mortgage Trust, Series 2021-MHC, Class A 785,397 0 -785,397 0.00% -$785.41K
FNMA, 30 Year 766,028 0 -766,028 0.00% -$748.08K
STACR 2024-DNA3 M1 144A FRN 10-25-44 714,898 0 -714,898 0.00% -$715.01K
FNCL UMBS 4.5 BW1192 09-01-52 727,619 0 -727,619 0.00% -$712.09K
SPIRIT AEROSYSTEMS INC REGD 144A P/P 9.75000000 625,000 0 -625,000 0.00% -$687.45K
Uniform Mortgage-Backed Security, TBA 819,547 0 -819,547 0.00% -$664.80K
BPCE SA REGD V/R 144A P/P 6.02700000 601,000 0 -601,000 0.00% -$633.65K
FNCL UMBS 4.0 FS4947 01-01-53 659,549 0 -659,549 0.00% -$629.17K
FNCL UMBS 6.0 RJ3305 01-01-55 597,818 0 -597,818 0.00% -$615.91K
UMBS 611,075 0 -611,075 0.00% -$580.11K
FNCL UMBS 3.5 DD9125 05-01-55 538,552 0 -538,552 0.00% -$496.86K
FNCL UMBS 5.0 QX2834 12-01-54 497,360 0 -497,360 0.00% -$496.40K
SDR Commercial Mortgage Trust, Series 2024-DSNY, Class B 486,000 0 -486,000 0.00% -$485.48K
UMBS 567,402 0 -567,402 0.00% -$482.31K
FNCL UMBS 3.5 QE0777 04-01-52 488,129 0 -488,129 0.00% -$450.45K
FNCL UMBS 2.5 QC4006 06-01-51 494,366 0 -494,366 0.00% -$420.23K
VERIZON COMM INC 382,000 0 -382,000 0.00% -$386.88K
FNMA 30YR 3.5% 08/01/2052#FS3955 402,305 0 -402,305 0.00% -$371.25K
BridgeCrest Lending Auto Securitization Trust 2024-4 349,215 0 -349,215 0.00% -$349.34K
AMERICAN CREDIT ACCEPTANCE RECEIVABLES TRUST 2024-3 SER 2024-3 CL A REGD 144A P/P 5.76000000 338,786 0 -338,786 0.00% -$338.89K
DSG TOPCO INC 36,863 0 -36,863 0.00% -$316.80K
BROADCOM INC 314,000 0 -314,000 0.00% -$313.80K
FNCL UMBS 3.5 CB3607 05-01-52 332,290 0 -332,290 0.00% -$306.97K
FNCL UMBS 4.5 CB9768 12-01-54 276,739 0 -276,739 0.00% -$269.93K
FR RQ0013 258,192 0 -258,192 0.00% -$260.97K
Freddie Mac Pool 279,933 0 -279,933 0.00% -$258.48K
TRNTS 2018-9A ARRR CLO 144A FRN 01-20-32 249,373 0 -249,373 0.00% -$249.56K
GMALT 2023-3 A3 241,786 0 -241,786 0.00% -$241.89K
FNMA POOL CA0770 FN 11/47 FIXED 3.5 250,627 0 -250,627 0.00% -$234.86K
MEG Energy Corp 5.88 02/01/2029 230,000 0 -230,000 0.00% -$230.33K
BX Commercial Mortgage Trust, Series 2021-VOLT, Class B 213,499 0 -213,499 0.00% -$213.42K
PEAC 2025-1A A1 144A 4.592% 02-20-26 201,791 0 -201,791 0.00% -$201.89K
FNMA POOL MA5670 FN 04/55 FIXED 4 200,052 0 -200,052 0.00% -$189.96K
MEXICO CITY ARPT TRUST REGD 144A P/P 5.50000000 215,000 0 -215,000 0.00% -$189.40K
FNCL UMBS 3.5 QX7596 03-01-55 199,154 0 -199,154 0.00% -$183.74K
CLAST 2017-1R A 144A 2.741% 08-15-41 174,341 0 -174,341 0.00% -$173.33K
FNCL UMBS 3.5 CB4370 07-01-52 161,448 0 -161,448 0.00% -$149.14K
FNCL UMBS 4.5 SD1608 09-01-52 135,027 0 -135,027 0.00% -$132.25K
Freddie Mac Pool 136,100 0 -136,100 0.00% -$125.56K
FNCL UMBS 3.5 MA5635 02-01-55 135,152 0 -135,152 0.00% -$124.72K
Freddie Mac Pool 128,015 0 -128,015 0.00% -$118.13K
Fannie Mae Pool 114,921 0 -114,921 0.00% -$106.02K
FNCL UMBS 2.5 QC6761 09-01-51 107,790 0 -107,790 0.00% -$91.63K
Freddie Mac Pool 91,971 0 -91,971 0.00% -$90.07K
FNMA 30YR 3.5% 04/01/2052#BV5392 85,681 0 -85,681 0.00% -$79.07K
FR SD8341 74,623 0 -74,623 0.00% -$74.58K
Fannie Mae Pool 71,008 0 -71,008 0.00% -$65.51K
FNCL UMBS 3.5 MA5693 04-01-55 56,591 0 -56,591 0.00% -$52.21K
FNCL UMBS 3.5 QE1079 04-01-52 53,210 0 -53,210 0.00% -$49.10K
FNCL UMBS 2.5 BN7443 03-01-50 53,604 0 -53,604 0.00% -$45.89K
FNCL UMBS 4.0 BV1089 02-01-52 41,989 0 -41,989 0.00% -$40.02K
FNCL UMBS 3.5 BV7255 06-01-52 32,289 0 -32,289 0.00% -$29.80K
FNCL UMBS 3.5 QD9838 04-01-52 31,383 0 -31,383 0.00% -$28.96K
FNCZ 947661 10-01-47 27,525 0 -27,525 0.00% -$28.32K
FNCL UMBS 2.5 BW6043 07-01-52 30,099 0 -30,099 0.00% -$25.66K
FNCL UMBS 3.5 QE8971 07-01-52 27,572 0 -27,572 0.00% -$25.44K
Freddie Mac Pool 26,084 0 -26,084 0.00% -$24.07K
Freddie Mac Pool 25,342 0 -25,342 0.00% -$23.39K
Fannie Mae Pool 22,402 0 -22,402 0.00% -$21.69K
Par Pharmaceutical, Inc. 79,502,000 0 -79,502,000 0.00% -$8
EURO-BUND FUTURE DEC25 RXZ5 2,126 0 -2,126 0.00% $2.06M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
CAPITAL GROUP CENTRAL CASH FUND 91,591,851 112,452,747 20,860,896 7.36% $2.64B
AMGEN INC 4,502,034 7,447,060 2,945,026 1.77% $1.20B
SOUTHERN CO 10,503,767 18,821,519 8,317,752 1.17% $693.18M
COMCAST CORP CL A 31,213,595 55,423,073 24,209,478 1.14% $780.01M
STARBUCKS CORP 15,701,806 17,282,066 1,580,260 1.10% $319.28M
INTL BUS MACH CORP 4,561,768 4,869,407 307,639 1.04% $91.11M
UNITEDHEALTH GRP 3,306,598 5,188,639 1,882,041 1.03% $359.37M
FIFTH THIRD BANCORP 22,133,775 25,484,756 3,350,981 0.89% $358.64M
NATWEST GROUP PLC 74,081,914 137,171,149 63,089,235 0.87% $680.09M
ABBVIE INC 4,874,540 5,407,062 532,522 0.84% $142.98M
DARDEN RESTAURANTS INC 5,361,414 6,024,507 663,093 0.83% $235.13M
FIRSTENERGY CORP 23,663,438 24,393,426 729,988 0.80% $70.29M
NATIONAL GRID PL 68,240,929 68,246,825 5,896 0.80% $132.14M
Boeing Co. (The), Conv. Pfd. 12,628,085 15,109,945 2,481,860 0.78% $311.73M
UNION PACIFIC CORP 1,115,362 4,679,923 3,564,561 0.76% $854.46M
SLB LTD 12,266,388 22,740,312 10,473,924 0.76% $657.85M
MEDTRONIC PLC 9,803,932 10,625,394 821,462 0.76% $204.77M
HOME DEPOT INC 2,624,193 2,797,859 173,666 0.73% $51.93M
EXELON CORP 7,430,367 22,259,121 14,828,754 0.69% $654.07M
EXXON MOBIL CORP 5,991,682 6,338,623 346,941 0.62% $211.07M
COCA-COLA CO/THE 8,954,694 11,825,082 2,870,388 0.61% $267.66M
JOHNSON&JOHNSON 1,029,052 3,877,813 2,848,761 0.61% $686.88M
NOVO NORDISK-B 6,305,183 13,508,373 7,203,190 0.55% $481.26M
Southern Copper Corporation COM USD0.01 3,813,987 3,846,405 32,418 0.51% $202.67M
KPN (KONIN) NV 144,369,348 146,935,786 2,566,438 0.50% $47.30M
ENGIE 1,272,302 23,525,799 22,253,497 0.49% $670.17M
SIMON PROPERTY 3,207,729 3,591,652 383,923 0.48% $123.33M
BUNGE GLOBAL SA 3,446,797 5,984,731 2,537,934 0.47% $355.47M
VALE SA 4,744,941 41,783,616 37,038,675 0.46% $611.90M
MEDIATEK 10,410,000 11,911,000 1,501,000 0.46% $224.51M
TOTALENERGIES SE 2,456,700 9,104,059 6,647,359 0.46% $506.88M
PROGRESSIVE CORP OHIO 1,066,700 3,049,136 1,982,436 0.44% $414.48M
AMERICAN INTERNATIONAL GROUP 5,000,000 8,000,000 3,000,000 0.42% $204.24M
MS&AD INSURANCE 19,863,300 23,050,900 3,187,600 0.41% $176.60M
US TREASURY N/B 459,537,000 559,537,000 100,000,000 0.39% $99.20M
EXPAND ENERGY CORP 3,581,262 5,000,000 1,418,738 0.39% $192.07M
HERSHEY CO/THE 1,600,000 2,750,000 1,150,000 0.37% $264.15M
KEURIG DR PEPPER INC 17,269,764 19,321,543 2,051,779 0.37% $61.14M
MICHELIN 10,000,000 13,562,162 3,562,162 0.35% $184.69M
POWER CORP CDA 8,186,522 9,644,797 1,458,275 0.34% $102.92M
TOURMALINE OIL CORP 8,796,534 9,727,484 930,950 0.32% $73.44M
SMURFIT WESTROCK PLC 9,325,047 10,472,417 1,147,370 0.30% $91.69M
ITAU UNIBAN-PREF 45,000,000 46,350,000 1,350,000 0.28% $70.84M
VENTAS INC REIT 1,491,606 4,985,667 3,494,061 0.27% $277.17M
ITOCHU CORP 6,000,000 30,000,000 24,000,000 0.26% $36.21M
SIEMENS AG-REG 542,137 1,014,513 472,376 0.21% $154.79M
B3 SA 60,301,822 99,973,876 39,672,054 0.21% $164.89M
PARTNERS GROUP HOLDING AG COMMON STOCK 124,045 216,767 92,722 0.20% $142.81M
3I GROUP PLC 4,110,000 5,969,871 1,859,871 0.19% $36.19M
NIKE INC CL B 2,080,914 4,126,970 2,046,056 0.18% $120.68M
DHL GROUP 2,200,661 4,302,663 2,102,002 0.17% $140.33M
Eagle Funding LuxCo S.a.r.l. 200,428,000 208,185,000 7,757,000 0.15% $7.87M
TARGET CORP 1,633,848 1,983,000 349,152 0.14% $57.66M
HYUNDAI MOTOR CO 416,000 592,041 176,041 0.14% $121.25M
CONOCOPHILLIPS 1,715,000 1,898,845 183,845 0.14% $45.52M
TEVA PHARMACEUTICALS NE REGD SER WI 6.75000000 167,996,000 181,221,000 13,225,000 0.13% $13.71M
ISATLN 9 09/15/29 144A 167,611,000 168,586,000 975,000 0.12% $1.45M
SNAM SPA 2,564,660 26,006,808 23,442,148 0.12% $162.93M
UNITED PARCEL SERVICE INC CL B 1,000,000 1,500,000 500,000 0.11% $62.91M
US TREASURY N/B 141,000,000 159,498,000 18,498,000 0.11% $13.14M
IL ST TXB-PENSION 136,026,029 141,160,980 5,134,951 0.10% $5.55M
TEVA PHARMACEUTI TEVA 5 1/8 05/09/29 126,860,000 129,715,000 2,855,000 0.09% $3.28M
ICICI BANK LTD 7,315,730 8,343,795 1,028,065 0.09% $11.96M
BUREAU VERITAS S 1,218,228 3,707,174 2,488,946 0.08% $79.09M
HUGHES SATELLITE SYSTEMS CORP SR UNSEC 6.625% 08-01-26 124,614,000 133,366,000 8,752,000 0.08% -$938.28K
COINBASE GLOBAL INC REGD 144A P/P 3.37500000 115,458,000 121,973,000 6,515,000 0.08% $6.62M
PEPSICO INC 484,503 753,838 269,335 0.08% $45.03M
VIPER ENERGY INC A 2,055,633 2,677,733 622,100 0.08% $36.17M
FORD MOTOR CRED 64,710,000 112,761,000 48,051,000 0.08% $48.37M
MPT Operating Partnership L.P./ MPT Finance Corp. 99,141,000 100,351,000 1,210,000 0.07% $3.60M
SKANDINAVISK ENSKILDA BANKEN AB 3,739,101 4,671,341 932,240 0.07% $28.98M
WarnerMedia Holdings, Inc. 103,170,000 113,745,000 10,575,000 0.07% $5.61M
U.S. Treasury Inflation-Protected Indexed Bonds 55,451,520 103,743,160 48,291,640 0.07% $43.62M
US TREASURY N/B 11,883,000 86,883,000 75,000,000 0.06% $75.63M
UVN 4 1/2 05/01/29 87,729,000 90,729,000 3,000,000 0.06% $4.18M
Howard Hughes Corp/The 4.38 02/01/2031 88,270,000 91,075,000 2,805,000 0.06% $3.04M
WARNERMEDIA HOLDINGS INC SR UNSEC 4.054% 03-15-29 84,109,000 87,884,000 3,775,000 0.06% $3.57M
Cloud Software Group Inc 77,190,000 82,130,000 4,940,000 0.06% $3.12M
Howard Hughes Corp/The 5.38 08/01/2028 77,180,000 79,990,000 2,810,000 0.06% $2.91M
MOLINA HEALTHCARE INC REGD 144A P/P 3.87500000 86,195,000 88,220,000 2,025,000 0.06% $1.66M
CCO Holdings, LLC/CCO Holdings Capital Corp. 84,299,000 87,524,000 3,225,000 0.05% $3.58M
Venture Global LNG Inc 63,960,000 75,260,000 11,300,000 0.05% $11.31M
NSANY 8 1/8 07/17/35 61,170,000 67,010,000 5,840,000 0.05% $6.52M
SCIH SALT HOLDINGS INC SR SECURED 144A 05/28 4.875 64,170,000 69,970,000 5,800,000 0.05% $6.32M
1261229 BC Ltd 45,005,000 65,663,000 20,658,000 0.05% $20.37M
FR SL2621 11,266,926 72,451,612 61,184,686 0.04% $52.02M
FORD MOTOR CRED 52,680,000 56,470,000 3,790,000 0.04% $4.56M
COMPASS GRP LLC 55,580,937 63,094,381 7,513,444 0.04% $8.47M
PERCOR TL B 1L USD 34,010,319 62,877,416 28,867,098 0.04% $28.74M
BRIXMOR PROPERTY 1,655,326 2,079,681 424,355 0.04% $12.41M
PACIFIC GAS&ELEC 54,216,000 55,665,000 1,449,000 0.04% $1.64M
Univision Communications Inc. 44,300,000 51,550,000 7,250,000 0.04% $8.72M
SVC 8 3/8 06/15/29 52,506,000 54,156,000 1,650,000 0.04% $2.64M
Mexico Government International Bonds 30,841,000 53,815,000 22,974,000 0.04% $23.36M
XYZ 3.5 06/01/31 51,835,000 57,550,000 5,715,000 0.04% $5.55M
COSHSA 9 3/8 11/07/29 46,653,000 51,000,000 4,347,000 0.04% $5.31M
META PLATFORMS 11,374,000 55,305,000 43,931,000 0.04% $41.36M
B&G Foods Inc 39,680,000 54,190,000 14,510,000 0.04% $13.85M
Gray Media, Inc. 25,861,000 49,166,000 23,305,000 0.04% $24.71M
ERSTE GROUP BANK 211,451 387,799 176,348 0.03% $28.46M
Cloud Software Group, Inc. 48,410,000 50,210,000 1,800,000 0.03% $1.14M
ION PLATFORM FIN. U 8.75% 43,925,000 49,637,000 5,712,000 0.03% $2.61M
CCO Holdings, LLC/CCO Holdings Capital Corp. 43,414,000 55,359,000 11,945,000 0.03% $10.31M
NAVIENT CORP SR UNSECURED 06/32 7.875 42,110,000 45,070,000 2,960,000 0.03% $1.99M
NSANY 6 1/8 09/30/30 36,875,000 43,665,000 6,790,000 0.03% $6.99M
Endo Finance Holdings, Inc. 39,665,000 40,740,000 1,075,000 0.03% $1.07M
ORACLE CORP 23,577,000 44,577,000 21,000,000 0.03% $19.28M
SFRFP 6.5 04/15/32 144A 25,900,000 42,202,971 16,302,971 0.03% $16.42M
G2 MA7051 48,034,679 49,051,049 1,016,370 0.03% $857.38K
META PLATFORMS 16,464,000 39,169,000 22,705,000 0.03% $22.22M
CZR 7 02/15/30 144A 35,305,000 36,005,000 700,000 0.03% $848.35K
SURGERY CENTER HOLDINGS REGD 144A P/P 7.25000000 28,690,000 36,500,000 7,810,000 0.03% $7.24M
ION PLAT US/SARL 32,282,000 38,007,000 5,725,000 0.03% $3.68M
Voyager Parent, LLC 29,555,000 34,220,000 4,665,000 0.03% $5.36M
FINASTRA USA INC TL-B PP (TSFR3M+725)(FLR 1.0) FRN 09-13-29 37,141,385 37,477,068 335,683 0.03% -$849.15K
Fertitta Entertainment LLC / Fertitta Entertainment Finance Co Inc 35,920,000 37,058,000 1,138,000 0.02% $1.47M
Directv Financing LLC 32,800,000 35,150,000 2,350,000 0.02% $2.99M
Fair Isaac Corp. 33,225,000 34,600,000 1,375,000 0.02% $1.37M
ESSENTIAL PROPERTIES REALTY TRUST INC 729,238 1,149,357 420,119 0.02% $13.10M
CELANESE US HOLDINGS LLC SR UNSEC 6.75% 04-15-33 32,710,000 33,876,000 1,166,000 0.02% $2.09M
CHARTER COMM OPT 17,000,000 34,165,000 17,165,000 0.02% $17.06M
ORACLE CORP 4,000,000 35,000,000 31,000,000 0.02% $29.94M
EquipmentShare.com Inc 22,890,000 31,645,000 8,755,000 0.02% $10.74M
MOLINA HEALTHCARE INC SR UNSECURED 144A 01/33 6.25 29,460,000 33,245,000 3,785,000 0.02% $3.82M
CLVTSC 3.875 07/01/28 144A 12,595,000 35,250,000 22,655,000 0.02% $21.16M
TransDigm Inc 30,725,000 32,145,000 1,420,000 0.02% $1.42M
SNAP INC REGD 144A P/P 6.87500000 28,195,000 32,175,000 3,980,000 0.02% $4.18M
Venture Global Plaquemines LNG, LLC 30,550,000 31,050,000 500,000 0.02% $187.83K
ALLY FINANCIAL INC 567,155 767,081 199,926 0.02% $10.33M
Scientific Games Lottery Term Loan B 300 2029-04-01 28,354,785 32,138,422 3,783,637 0.02% $3.62M
FORD MOTOR CRED 16,159,000 29,159,000 13,000,000 0.02% $14.15M
CENTENE CORP 24,109,000 29,109,000 5,000,000 0.02% $5.17M
TransDigm, Inc. 25,665,000 28,120,000 2,455,000 0.02% $2.42M
AVTR 3.875 11/01/29 144A 28,430,000 29,725,000 1,295,000 0.02% $1.54M
Caesars Entertainment Inc 26,445,000 27,275,000 830,000 0.02% $1.22M
HUB INTL. LTD 7.375% 25,565,000 26,360,000 795,000 0.02% $1.12M
ORACLE CORP 17,264,000 31,264,000 14,000,000 0.02% $11.21M
CORPBOND 21,990,000 25,880,000 3,890,000 0.02% $4.15M
META PLATFORMS 8,346,000 26,833,000 18,487,000 0.02% $18.52M
LAMR 5 3/8 11/01/33 11,730,000 26,620,000 14,890,000 0.02% $14.96M
EquipmentShare.com Inc 16,535,000 25,230,000 8,695,000 0.02% $9.72M
ORACLE CORP 10,430,000 28,430,000 18,000,000 0.02% $15.53M
ARDONAGH GRP. FIN. 8.875% 19,535,000 24,085,000 4,550,000 0.02% $4.45M
CLEAR CHANNEL OUTDOOR HO REGD 144A P/P 7.75000000 23,480,000 24,535,000 1,055,000 0.02% $1.24M
ISPIM V8.248 11/21/33 144A 8,332,000 20,582,000 12,250,000 0.02% $14.60M
LONRID 8.75 02/15/32 144A 22,185,000 22,820,000 635,000 0.02% $1.30M
NWL 6.625 05/15/32 11,685,000 24,710,000 13,025,000 0.02% $13.20M
U.S. Treasury Notes 0.125%, Due 1/15/2030 25,188,600 25,195,600 7,000 0.02% $171.04K
Newell Brands Inc. 22,630,000 24,145,000 1,515,000 0.02% $2.33M
CANPCK 3.875 11/15/29 144A 23,887,000 24,597,000 710,000 0.02% $832.40K
COMPASS GRP LLC 25,178,037 25,971,780 793,743 0.02% $941.45K
Navient Corp. 19,710,000 23,210,000 3,500,000 0.02% $3.47M
Newell Brands Inc. 19,425,000 22,945,000 3,520,000 0.02% $3.96M
ARDONAGH FINCO LTD REGD 144A P/P 7.75000000 16,675,000 22,175,000 5,500,000 0.02% $5.48M
ALLWYN ENTERTAINMENT FIN SR SECURED 144A 04/29 7.875 21,147,000 21,802,000 655,000 0.02% $759.77K
Venture Global LNG, Inc. 15,640,000 21,190,000 5,550,000 0.02% $5.70M
Cougar JV Subsidiary, LLC 18,980,000 20,605,000 1,625,000 0.02% $1.78M
LIGADO NETWORKS LLC 144A LIFE SR SEC 1ST LIEN PIK 17.5% 05-05-28 71,468,917 77,722,447 6,253,530 0.02% $1.26M
Caesars Entertainment Inc 19,495,000 22,645,000 3,150,000 0.02% $3.40M
ABBVIE INC 1,175,000 20,925,000 19,750,000 0.01% $20.41M
BROWN & BROWN 982,000 21,232,000 20,250,000 0.01% $20.57M
CITIGROUP INC 18,363,000 23,118,000 4,755,000 0.01% $4.50M
MPW 4.625 08/01/29 17,080,000 24,890,000 7,810,000 0.01% $7.38M
Univision Communications Inc. 18,225,000 20,400,000 2,175,000 0.01% $2.29M
PLASTIPAK TLB 04/30/24 20,385,114 20,707,423 322,309 0.01% $361.69K
OWENS & MINOR INC REGD 144A P/P 6.62500000 35,705,000 36,597,000 892,000 0.01% -$6.59M
SOUTHERN CAL ED 19,194,000 20,391,000 1,197,000 0.01% $1.15M
TEVA PHARMACEUTICALS NE REGD SER .* 7.87500000 13,241,000 18,636,000 5,395,000 0.01% $5.95M
NAVIENT CORP SR UNSECURED 06/26 6.75 15,000,000 20,000,000 5,000,000 0.01% $4.93M
EquipmentShare.com Inc 13,290,000 18,890,000 5,600,000 0.01% $6.90M
Calpine Corp. 12,315,000 19,780,000 7,465,000 0.01% $7.46M
BRISTOL-MYERS 10,525,000 18,525,000 8,000,000 0.01% $8.24M
META PLATFORMS 10,858,000 19,858,000 9,000,000 0.01% $8.34M
JH North America Holdings Inc. 18,400,000 18,575,000 175,000 0.01% $55.30K
FNMA 30YR 2.5% 07/01/2052#FA2839 9,264,302 22,152,150 12,887,848 0.01% $10.96M
TIBX 6.625 08/15/33 144A 14,980,000 19,205,000 4,225,000 0.01% $3.40M
VSNT 7.25 01/30/31 144A 15,585,000 17,160,000 1,575,000 0.01% $1.70M
Safeway Inc. 7,700,000 17,675,000 9,975,000 0.01% $9.83M
GRAPHIC PACKAGING INTL INC 3.75% 02/01/2030 144A 5,740,000 17,825,000 12,085,000 0.01% $11.45M
PACIFIC GAS&ELEC 13,521,000 15,915,000 2,394,000 0.01% $2.41M
MS V4.892 10/22/36 I 5,707,000 16,539,000 10,832,000 0.01% $10.61M
AMGEN INC 7,168,000 15,668,000 8,500,000 0.01% $8.79M
NWL 8.5 06/01/28 144A 11,130,000 15,130,000 4,000,000 0.01% $4.43M
PACIFIC GAS&ELEC 6,315,000 23,364,000 17,049,000 0.01% $11.50M
VTLE 7.875 04/15/32 144A 15,130,000 15,465,000 335,000 0.01% $1.06M
Wynn Resorts Finance LLC / Wynn Resorts Capital Corp 12,820,000 13,965,000 1,145,000 0.01% $1.28M
ORACLE CORP 14,012,000 17,012,000 3,000,000 0.01% $1.46M
META PLATFORMS 11,162,000 15,162,000 4,000,000 0.01% $3.27M
CORPBOND 11,255,000 14,695,000 3,440,000 0.01% $3.48M
Block, Inc. 13,995,000 14,010,000 15,000 0.01% $51.86K
FR SD8507 10,351,765 13,835,718 3,483,953 0.01% $3.58M
DVA 4.625 06/01/30 144A 1,435,000 14,595,000 13,160,000 0.01% $12.66M
AVTR 4.625 07/15/28 144A 13,220,000 13,775,000 555,000 0.01% $659.97K
MOLINA HEALTHCARE INC SR UNSECURED 144A 11/30 3.875 12,815,000 14,335,000 1,520,000 0.01% $1.40M
PACIFIC GAS&ELEC 14,916,000 15,557,000 641,000 0.01% $349.98K
SIRIUS XM RADIO LLC REGD 144A P/P 5.50000000 9,130,000 12,905,000 3,775,000 0.01% $3.82M
VENTURE GLOBAL LNG INC SR SECURED 144A 06/28 8.125 1,040,000 12,415,000 11,375,000 0.01% $11.65M
CCL 5.125 05/01/29 144A 10,915,000 12,325,000 1,410,000 0.01% $1.42M
Graphic Packaging International, LLC 5,685,000 11,745,000 6,060,000 0.01% $6.12M
PHILIP MORRIS IN 3,805,000 12,091,000 8,286,000 0.01% $8.10M
EDISON INTL 11,336,000 11,546,000 210,000 0.01% $323.67K
SOUTHERN CAL ED 12,607,000 13,120,000 513,000 0.01% $320.16K
PACIFIC GAS&ELEC 6,404,000 12,130,000 5,726,000 0.01% $5.39M
NVRI 5.75 07/31/27 144A 10,085,000 11,130,000 1,045,000 0.01% $1.13M
MORGAN STANLEY 3,175,000 10,870,000 7,695,000 0.01% $7.65M
PACIFICORP 9,023,000 11,127,000 2,104,000 0.01% $1.49M
OWENS & MINOR TL B-1 1ST LIEN (TSFR3M+385)(FLR 0.5) 7.76572% 03-29-29 1,908,000 10,773,000 8,865,000 0.01% $7.81M
PACIFIC GAS&ELEC 8,362,000 9,120,000 758,000 0.01% $844.43K
PETROLEOS MEXICANOS SR UNSEC 6.5% 03-13-27 117,000 9,370,000 9,253,000 0.01% $9.43M
PRESTIGE BRANDS INC REGD 144A P/P 5.12500000 8,162,000 9,532,000 1,370,000 0.01% $1.38M
VENTURE GLOBAL CALCASIEU SR SECURED 144A 01/30 6.25 7,746,000 9,201,000 1,455,000 0.01% $1.53M
ARLP 8.625 06/15/29 144A 7,629,000 8,629,000 1,000,000 0.01% $1.04M
Coty Inc/HFC Prestige Products Inc/HFC Prestige International US LLC 5.60 01/15/2031 4,198,000 8,841,000 4,643,000 0.01% $4.74M
TALOS PRODUCTION INC SECURED 144A 02/29 9 7,985,000 8,450,000 465,000 0.01% $595.39K
RWNYNY 7.25 10/01/29 144A 5,525,000 8,280,000 2,755,000 0.01% $2.84M
HSBC HOLDINGS 6,495,000 8,495,000 2,000,000 0.01% $2.03M
GOLDMAN SACHS GP 4,111,000 8,268,000 4,157,000 0.01% $4.06M
CITIGROUP INC 3,775,000 8,975,000 5,200,000 0.01% $4.68M
US TREASURY N/B 3,000,000 8,000,000 5,000,000 0.01% $4.96M
US TREASURY N/B 2,000,000 8,000,000 6,000,000 0.01% $5.90M
ADVANCE AUTO PAR 5,680,000 8,270,000 2,590,000 0.01% $2.43M
QUIKRETE HOLDINGS INC SR SECURED 144A 03/32 6.375 6,685,000 7,235,000 550,000 0.01% $568.28K
UNSEAM 6.875 06/15/30 144A 4,795,000 7,180,000 2,385,000 0.01% $2.54M
AXON ENT. INC 6.125% 4,825,000 7,230,000 2,405,000 0.01% $2.48M
VERIZON COMM INC 5,696,000 7,841,000 2,145,000 0.00% $1.93M
FR SD8455 5,749,727 6,649,444 899,717 0.00% $928.13K
Service Corporation International/US 4,805,000 7,200,000 2,395,000 0.00% $2.30M
Consolidated Energy Finance SA 3,465,000 7,865,000 4,400,000 0.00% $4.13M
PACIFICORP 9,589,000 9,984,000 395,000 0.00% $63.28K
SCIENTIFIC GAMES HOLDINGS LP/SCIENTIFIC GAMES US FINCO INC 6.625% 03/01/2030 144A 5,755,000 6,735,000 980,000 0.00% $888.97K
PACIFICORP 2,275,000 5,703,000 3,428,000 0.00% $3.51M
Service Corporation International 4.625%, due 12/15/2027 3,810,000 5,715,000 1,905,000 0.00% $1.92M
FR SD8454 3,510,865 5,061,255 1,550,390 0.00% $1.59M
GREAT CAN/RAPTOR 3,355,000 5,025,000 1,670,000 0.00% $1.83M
VENATOR TERM EXIT 1LN 10/12/2028 15,596,057 15,941,499 345,441 0.00% $1.18M
PETROLEOS MEXICANOS SR UNSEC 5.35% 02-12-28 1,715,000 4,967,000 3,252,000 0.00% $3.29M
HUDSON PACIFIC 3,340,000 5,875,000 2,535,000 0.00% $2.13M
XYZ 6.5 05/15/32 4,680,000 4,785,000 105,000 0.00% $115.07K
JH North America Holdings Inc. 4,385,000 4,565,000 180,000 0.00% $170.53K
VOLTAGRID LLC SECURED 144A 11/30 7.375 3,015,000 4,520,000 1,505,000 0.00% $1.51M
BOEING CO/THE 3,564,000 3,872,000 308,000 0.00% $308.20K
NEWELL RUBBERMAI 3,360,000 4,510,000 1,150,000 0.00% $1.19M
SOUTHERN CAL ED 2,411,000 4,813,000 2,402,000 0.00% $2.19M
FNMA 30YR 2.5% 03/01/2052#FS1978 4,937,416 4,971,841 34,424 0.00% $30.09K
TRANSDIGM INC SR SECURED 144A 03/32 6.625 2,580,000 3,870,000 1,290,000 0.00% $1.34M
NESCO Holdings II, Inc. 2,570,000 3,850,000 1,280,000 0.00% $1.28M
VICI PROPERTIES / NOTE REGD 144A P/P 3.87500000 2,535,000 3,800,000 1,265,000 0.00% $1.26M
ARCHROCK PARTNERS LP/FIN REGD 144A P/P 6.62500000 2,345,000 3,520,000 1,175,000 0.00% $1.24M
UNSEAM 7.875 02/15/31 144A 2,280,000 3,415,000 1,135,000 0.00% $1.22M
Advance Auto Parts, Inc. 1,525,000 3,355,000 1,830,000 0.00% $1.89M
Aimbridge Acquisition Co., Inc., Term Loan 3,289,191 3,342,653 53,462 0.00% $53.46K
Invesco Government & Agency Portfolio, Institutional Class 2,223,195 3,241,713 1,018,518 0.00% $1.02M
SBA Communications Corp. 2,170,000 3,255,000 1,085,000 0.00% $1.06M
Service Corporation International/US 2,215,000 3,320,000 1,105,000 0.00% $1.05M
Venator Materials LLC, 1st Lien Term Loan B 9,475,444 9,741,622 266,178 0.00% $736.24K
Venator Materials LLC 2024 First Out Term Loan 9,424,067 9,629,048 204,981 0.00% $713.31K
JPMORGAN CHASE 1,075,000 2,950,000 1,875,000 0.00% $1.84M
TransDigm, Inc. 2,630,000 2,775,000 145,000 0.00% $149.17K
ADVANCE AUTO PAR 2,739,000 3,289,000 550,000 0.00% $469.44K
FR SD8463 775,153 2,596,387 1,821,235 0.00% $1.87M
MONEYMKT 1,900,000 2,400,000 500,000 0.00% $500.00K
Short-Term Investment 1,900,000 2,400,000 500,000 0.00% $500.00K
BlackRock Liquidity FedFund - Institutional Class 1,900,000 2,400,000 500,000 0.00% $500.00K
ADVANCE AUTO PARTS REGD 144A P/P 7.37500000 1,460,000 2,120,000 660,000 0.00% $673.49K
SAMARCO MINERACAO SA REG S SR UNSEC PIK 9.0% 06-30-31/12-30-25 2,053,065 2,099,258 46,193 0.00% $54.47K
SAMMIN 9.5 06/30/31 144A 528,747 1,859,668 1,330,921 0.00% $1.34M
X Corp., Term Loan B 1,132,090 1,692,727 560,637 0.00% $589.01K
FN CB3744 1,911,418 1,930,035 18,617 0.00% $19.34K
MORGAN STANLEY 276,000 1,835,000 1,559,000 0.00% $1.37M
ADT Security Corp/The 4.13 08/01/2029 920,000 1,380,000 460,000 0.00% $453.51K
Transocean Inc. 922,500 1,267,500 345,000 0.00% $353.21K
FREDDIE MAC POOL FR SD0566 289,563 1,284,742 995,179 0.00% $846.18K
EXPAND ENRGY 650,000 975,000 325,000 0.00% $327.94K
SPIRIT AEROSYSTE 485,000 730,000 245,000 0.00% $246.27K
LXU 6.25 10/15/28 144A 445,000 665,000 220,000 0.00% $227.28K
SOUTHERN CAL ED 124,000 565,000 441,000 0.00% $399.15K
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC 310,000 465,000 155,000 0.00% $155.27K
T/L DIAMOND SPORTS GROUP LLC 0.00000000 745,930 774,524 28,594 0.00% -$349.12K
ARD FIN SA PIK VAR 06/30/2027 144A 17,714,484 18,356,634 642,150 0.00% -$82.15K
FNCL UMBS 2.5 FP0015 09-01-50 82,100 119,828 37,728 0.00% $32.14K
MERCURY AGGREGATOR LP PIK TL-2 1ST LIEN 19% 02-03-26/36 1,761,328 1,987,518 226,190 0.00% -$672.48K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PHILIP MORRIS INTL INC 24,590,854 20,021,862 -4,568,992 2.49% $43.52M
GILEAD SCIENCES INC 19,619,859 15,698,550 -3,921,309 1.54% -$121.85M
TSMC 42,710,786 36,292,170 -6,418,616 1.42% -$19.57M
BROADCOM INC 9,522,735 5,486,281 -4,036,454 1.26% -$1.70B
BAE SYSTEMS PLC 81,296,131 67,013,192 -14,282,939 1.25% -$191.56M
CITIGROUP INC 15,366,816 14,406,464 -960,352 1.16% $111.39M
JPMORGAN CHASE and CO 6,901,108 4,758,179 -2,142,929 1.01% -$691.59M
INDITEX SA 23,389,534 19,070,578 -4,318,956 0.86% -$46.12M
CME GROUP INC CL A 4,700,084 4,138,465 -561,619 0.83% -$51.56M
EOG RESOURCES INC 17,028,366 10,296,040 -6,732,326 0.80% -$647.79M
NESTLE SA (REG) 15,800,358 12,056,422 -3,743,936 0.79% -$364.19M
CAIXABANK SA 100,828,680 85,656,777 -15,171,903 0.79% $67.59M
PUBLICIS GROUPE 10,812,492 10,497,034 -315,458 0.73% -$34.99M
Sanofi SA 12,484,389 9,713,284 -2,771,105 0.63% -$351.18M
ASTRAZENECA PLC 5,226,420 4,541,614 -684,806 0.59% -$15.76M
UNICREDIT SPA 9,723,645 9,457,391 -266,254 0.57% $104.14M
MICROSOFT CORP 3,082,685 1,888,770 -1,193,915 0.56% -$783.53M
CARLYLE GROUP INC (THE) 14,424,698 13,088,570 -1,336,128 0.53% $221.25K
CITIZENS FINANCIAL GROUP INC 12,133,604 11,437,584 -696,020 0.50% $103.10M
AT&T INC 37,463,018 26,897,255 -10,565,763 0.49% -$222.23M
SYNCHRONY FINANCIAL 11,083,201 9,656,720 -1,426,481 0.49% -$123.00M
CHEVRON CORP 5,785,543 3,919,325 -1,866,218 0.48% -$219.17M
BROOKFIELD INFRASTRUCTURE PARTNERS LP (CAD) 22,376,603 18,529,681 -3,846,922 0.47% -$92.66M
RTX CORP 3,737,072 3,297,652 -439,420 0.46% -$4.47M
ARES MANAGEMENT CORP CL A 4,955,917 4,086,544 -869,373 0.42% -$125.36M
SYSCO CORP 8,133,138 7,000,000 -1,133,138 0.41% -$17.18M
RESTAURANT BRANDS INTERNATIONAL INC 10,712,603 8,680,414 -2,032,189 0.40% -$122.21M
LOCKHEED MARTIN CORP 1,887,338 847,439 -1,039,899 0.37% -$390.88M
PROCTER & GAMBLE 3,221,904 2,987,423 -234,481 0.31% -$31.08M
GOLDMAN SACHS GROUP INC 898,702 464,335 -434,367 0.30% -$275.06M
PACCAR INC 3,795,216 3,500,000 -295,216 0.30% $56.74M
BANK OF AMERICA CORPORATION 9,670,212 7,328,965 -2,341,247 0.27% -$126.97M
DTE ENERGY CO 5,101,717 2,899,859 -2,201,858 0.27% -$301.80M
AMERICAN TOWER CORP 2,634,601 2,112,020 -522,581 0.26% -$92.90M
SHELL PLC 16,093,645 9,458,998 -6,634,647 0.25% -$239.62M
NEWMONT CORP 4,138,953 3,195,827 -943,126 0.25% $23.92M
BBVA 18,146,919 11,703,946 -6,442,973 0.21% -$68.38M
NEXTERA ENERGY INC 3,718,769 2,460,803 -1,257,966 0.15% -$86.40M
DIAMONDBACK ENERGY INC 1,388,555 1,217,911 -170,644 0.14% $849.32K
TAIWAN SEMIC MFG CO LTD SP ADR 1,471,300 601,499 -869,801 0.14% -$243.19M
GENERAL MILLS INC 4,390,196 4,093,134 -297,062 0.13% -$15.28M
VERIZON COMMUNICATIONS INC 4,492,000 4,250,000 -242,000 0.13% $10.70M
APOLLO GLOBAL MANAGEMENT INC 2,993,772 1,182,784 -1,810,988 0.11% -$213.02M
VENTIA SERVICES 34,829,353 33,763,282 -1,066,071 0.09% $5.55M
EXTRA SPACE STORAGE INC 1,642,792 960,602 -682,190 0.09% -$86.84M
FN MA4325 164,384,408 161,690,632 -2,693,776 0.09% -$2.19M
EVOLUTION AB 4,550,000 2,021,398 -2,528,602 0.09% -$172.88M
SIRIUS XM RADIO LLC REGD 144A P/P 3.87500000 140,140,000 130,190,000 -9,950,000 0.08% -$8.26M
MORGAN STANLEY 3,252,020 608,950 -2,643,070 0.08% -$422.02M
ISLANDSBANKI HF 100,744,765 90,724,484 -10,020,281 0.07% $10.08M
BRITISH AMERICAN TOBACCO PLC 4,136,368 1,435,639 -2,700,729 0.06% -$125.77M
GTN 10.5 07/15/29 144A 88,400,000 79,560,000 -8,840,000 0.06% -$9.82M
JOHNSON CONTROLS INTERNATIONAL PLC 2,779,737 700,000 -2,079,737 0.06% -$234.49M
BROOKFIELD ASSET MANAGEMENT LTD A 12,146,556 1,630,666 -10,515,890 0.06% -$575.58M
WarnerMedia Holdings, Inc. 141,371,000 107,332,000 -34,039,000 0.05% -$37.97M
GEN MOTORS FIN 70,148,000 69,000,000 -1,148,000 0.05% -$990.29K
FMCN 9.375 03/01/29 144A 75,515,000 67,790,000 -7,725,000 0.05% -$8.80M
NATL BK CANADA 2,181,865 567,578 -1,614,287 0.05% -$176.14M
EchoStar Corp 86,853,231 60,328,231 -26,525,000 0.05% -$29.51M
T/L ENDO FINANCE HOLDINGS INC REGD TERM LOAN 0.00000000 65,864,700 65,698,375 -166,325 0.05% $247.40K
BLACKSTONE INC 1,477,751 449,261 -1,028,490 0.04% -$152.71M
CTP NV 9,654,732 2,494,911 -7,159,821 0.04% -$147.24M
PUUILO OYJ COMMON STOCK 5,509,640 3,618,631 -1,891,009 0.04% -$37.38M
COINBASE GLOBAL INC REGD 144A P/P 3.62500000 62,595,000 58,814,000 -3,781,000 0.04% -$3.99M
OIS RECFIX USD 4.9005% 04-17-24/04-17-26 LCH 61 47 -14 0.04% $26.69M
T/L RADIOLOGY PARTNERS INC REGD 0.00000000 50,000,000 49,875,000 -125,000 0.03% -$12.92K
FNCL UMBS 3.0 FS0647 02-01-52 52,972,505 51,627,694 -1,344,811 0.03% -$1.06M
FNMDI4 3.0 BF0332 01-01-59 52,579,434 51,506,697 -1,072,737 0.03% -$1.18M
FREDDIE MAC POOL UMBS P#SD7551 3.00000000 51,035,743 49,913,145 -1,122,598 0.03% -$963.84K
VICI PROPERTIES 13,457,755 1,573,119 -11,884,636 0.03% -$359.42M
BORR IHC LTD / BORR FIN REGD 144A P/P 10.00000000 45,304,512 42,700,074 -2,604,438 0.03% -$1.64M
LINEAGE INC 2,378,276 1,103,188 -1,275,088 0.03% -$54.31M
US TREASURY N/B 404,056,800 39,055,000 -365,001,800 0.03% -$366.54M
FR SD8106 45,243,482 44,523,751 -719,731 0.03% -$572.47K
INWIDO AB 2,500,000 2,110,169 -389,831 0.03% -$1.44M
Ecopetrol SA 65,810,000 33,219,000 -32,591,000 0.02% -$35.59M
HUB INTL LTD 35,383,056 35,278,858 -104,198 0.02% -$203.16K
LIGADO NETWORKS LLC TL 1ST LIEN PIK DIP (FUNDED) 17.50% 12-31-27 34,674,589 34,303,443 -371,145 0.02% -$371.15K
FNCL UMBS 2.5 CA8601 01-01-51 40,409,307 39,644,251 -765,056 0.02% -$536.42K
Cloud Software Group, Inc. 34,950,000 30,225,000 -4,725,000 0.02% -$5.99M
PETROLEOS MEXICANOS SR UNSEC 6.95% 01-28-60 44,625,000 36,928,000 -7,697,000 0.02% -$6.68M
FNCL UMBS 2.5 CA8828 02-01-51 34,600,546 33,907,692 -692,854 0.02% -$555.94K
BELRON TL B 1L USD 29,067,732 28,994,881 -72,851 0.02% -$142.79K
MALLINCKRODT PVE DUMMY 13,546,702,325 297,305 -13,546,405,020 0.02% -$1.99M
Freddie Mac Pool 32,429,783 27,306,403 -5,123,380 0.02% -$5.32M
AERO CAPITAL SOLUTIONS INC TL (TSFR1M+300) FRN 11-17-29 30,498,867 28,233,249 -2,265,618 0.02% -$2.25M
G2 MA7534 32,583,684 31,867,375 -716,310 0.02% -$596.48K
FNCL UMBS 4.0 CA3976 08-01-49 42,895,112 28,333,492 -14,561,620 0.02% -$13.90M
FN FS0305 32,483,373 31,870,190 -613,183 0.02% -$586.56K
Clear Channel Outdoor Holdings, Inc. 30,110,000 25,300,000 -4,810,000 0.02% -$4.68M
VSAT TL B 1L USD 26,430,866 26,362,569 -68,297 0.02% $69.40K
SOUTHERN CALIFORNIA EDISON CO SR SEC 1ST LIEN 5.25% 03-15-30 27,932,000 24,794,000 -3,138,000 0.02% -$3.12M
FNCL UMBS 3.5 CA4112 09-01-49 27,411,142 26,898,860 -512,282 0.02% -$436.42K
FNCL UMBS 5.5 SD4571 11-01-53 25,837,591 24,943,463 -894,129 0.02% -$831.58K
FNCL UMBS 2.5 CA8480 01-01-51 29,290,905 28,590,528 -700,378 0.02% -$612.85K
BX Commercial Mortgage Trust, Series 2024-AIRC, Class A 26,484,962 24,534,535 -1,950,427 0.02% -$1.94M
UNITED STATES OF AMERICA 4.425% 05-01-31 26,920,000 26,845,000 -75,000 0.02% $32.87K
FN FA0287 26,472,121 22,947,717 -3,524,404 0.02% -$3.58M
FR RB5071 26,751,887 26,116,642 -635,245 0.02% -$157.69K
FNCL UMBS 3.5 CA3814 07-01-49 25,103,149 24,447,331 -655,818 0.02% -$592.97K
FR SD8448 24,337,560 22,020,506 -2,317,054 0.02% -$2.41M
SORT 2022-1A A1 22,966,938 22,799,921 -167,017 0.02% $202.86K
INTL PAPER CO 8,310,980 562,606 -7,748,374 0.02% -$298.45M
G2 MA8799 23,669,136 23,045,614 -623,523 0.02% -$565.04K
UNISYS CORP SR SECURED 144A 01/31 10.625 25,298,000 23,393,000 -1,905,000 0.02% -$4.67M
UNITED STATES OF AMERICA 4.95% 03-01-34 22,310,000 22,260,000 -50,000 0.02% -$104.12K
DEUTSCHE TELEKOM 4,843,672 657,889 -4,185,783 0.02% -$128.18M
HARVEST MIDSTREAM I LP SR UNSECURED 144A 09/28 7.5 23,275,000 21,620,000 -1,655,000 0.02% -$1.69M
FNMDI4 3.5 BF0784 12-01-63 23,985,535 23,375,850 -609,684 0.01% -$481.84K
US TREASURY N/B 31,144,000 21,144,000 -10,000,000 0.01% -$10.06M
VAIL RESORTS INC REGD 144A P/P 6.50000000 22,380,000 19,955,000 -2,425,000 0.01% -$2.50M
FNCT UMBS 2.0 SC0149 03-01-41 23,821,358 23,242,766 -578,593 0.01% -$179.74K
FNCL UMBS 6.5 FA2842 07-01-55 22,997,673 19,618,800 -3,378,873 0.01% -$3.51M
Uniform Mortgage-Backed Securities 21,929,335 21,433,121 -496,214 0.01% -$475.57K
SORT 2020-1 A1 23,790,839 23,617,830 -173,009 0.01% -$446.28K
ION PLATFORM FINANCE US SR SECURED 144A 09/32 7.875 23,465,000 22,790,000 -675,000 0.01% -$2.90M
FR RA5971 22,252,123 21,686,109 -566,014 0.01% -$455.25K
CYH 10.875 01/15/32 144A 19,870,000 17,882,000 -1,988,000 0.01% -$2.17M
AMENTUM HOLDINGS TERM 1LN 09/29/2031 19,199,994 19,139,994 -60,000 0.01% $145.41K
FN MA5701 21,265,595 18,600,945 -2,664,650 0.01% -$2.70M
Petroleos Mexicanos 27,894,000 21,028,000 -6,866,000 0.01% -$6.39M
VALMET OYJ 2,850,000 549,697 -2,300,303 0.01% -$74.00M
SORT 2022-1A A2 144A 6.11% 08-15-62 19,004,244 18,866,043 -138,200 0.01% $201.14K
REALOGY GROUP LLC / REALOGY CO-ISSUER CORP 5.75% 01/15/2029 144A 46,200,000 18,200,000 -28,000,000 0.01% -$26.54M
REALOGY GROUP LLC / REALOGY CO-ISSUER CORP 5.25% 04/15/2030 144A 23,345,000 18,410,000 -4,935,000 0.01% -$3.94M
FNCL UMBS 5.5 FS6666 08-01-53 18,014,952 17,017,927 -997,025 0.01% -$965.00K
RCAP 10 08/15/30 144A 17,750,000 15,974,000 -1,776,000 0.01% -$2.11M
FNMDI4 4.5 BM6736 11-01-59 17,745,511 17,358,812 -386,700 0.01% -$292.52K
CSC HOLDINGS LLC REGD 144A P/P 5.50000000 28,125,000 19,450,000 -8,675,000 0.01% -$8.94M
FNCL UMBS 5.5 CB7332 10-01-53 17,093,181 16,736,530 -356,650 0.01% -$315.19K
FNCL UMBS 5.5 RA8544 02-01-53 17,297,458 16,693,161 -604,297 0.01% -$571.27K
TALEN ENERGY SUPPLY TERM TLB-EXIT 1LN 05/17/2030 16,734,800 16,692,000 -42,800 0.01% -$48.15K
CFMT 2024-RM5 A 144A FRN 10-25-54 18,228,750 16,867,490 -1,361,260 0.01% -$1.24M
VIVA WINE GROUP AB 4,500,000 4,324,454 -175,546 0.01% -$1.70M
FNCL UMBS 3.5 CA4804 12-01-49 17,840,698 17,300,659 -540,039 0.01% -$466.09K
United Natural Foods Term Loan B 475 2031-04-15 16,534,206 16,114,804 -419,402 0.01% -$417.52K
TRITON CONTAINER FINANCE VIII TCF 2020 1A A 144A 17,761,594 17,097,000 -664,594 0.01% -$511.87K
REWORLD HOLDING CORP REGD 144A P/P 4.87500000 19,365,000 16,655,000 -2,710,000 0.01% -$2.11M
FN CB1394 19,056,028 18,833,533 -222,495 0.01% -$186.01K
OBX 2022-NQM5 TRUST SER 2022-NQM5 CL A1 V/R REGD 144A P/P 4.31000000 16,393,364 16,004,693 -388,672 0.01% -$329.83K
WOLFSPEED INC SR SECURED 144A 06/30 VAR 17,249,144 14,646,318 -2,602,826 0.01% -$3.43M
FR RQ0056 16,005,435 15,476,998 -528,437 0.01% -$473.86K
SEACO 2021-1A A 144A 1.86% 04-17-41 17,308,297 16,442,572 -865,725 0.01% -$655.26K
FNCL UMBS 5.5 CB8337 04-01-54 15,886,216 15,092,370 -793,846 0.01% -$744.27K
BROADCOM INC 20,750,000 14,887,000 -5,863,000 0.01% -$6.16M
Icahn Enterprises LP / Icahn Enterprises Finance Corp 21,525,000 16,595,000 -4,930,000 0.01% -$3.93M
FR SD7528 17,947,942 17,571,224 -376,718 0.01% -$203.06K
APOLLO AVIATION SECURITIZATION AASET 2025 2A A 144A 14,608,717 14,335,104 -273,613 0.01% -$223.96K
ONSLOW BAY FINANCIAL LLC OBX 2022 NQM6 A1 144A 15,211,894 14,488,718 -723,176 0.01% -$707.45K
FNCL UMBS 5.0 CB4620 09-01-52 14,591,594 14,282,931 -308,663 0.01% -$223.51K
FMCN 7.25 02/15/34 144A 14,555,000 13,545,000 -1,010,000 0.01% -$886.65K
PACIFIC GAS&ELEC 17,952,000 14,063,000 -3,889,000 0.01% -$3.81M
PACIFIC GAS&ELEC 18,384,000 15,545,000 -2,839,000 0.01% -$2.40M
FNCL UMBS 6.5 CB9840 01-01-55 14,529,525 13,360,890 -1,168,635 0.01% -$1.23M
FNCL UMBS 3.5 QA5125 12-01-49 14,953,812 14,572,468 -381,344 0.01% -$329.11K
SORT 2021-1A A1 16,768,685 16,646,742 -121,943 0.01% -$401.05K
Finance of America Structured Securities Trust Series 2025-PC1 14,326,085 13,893,353 -432,733 0.01% -$386.81K
FNCL UMBS 2.5 CA7737 11-01-50 16,013,600 15,560,336 -453,263 0.01% -$374.08K
SEACO 2021-2A A 144A 1.95% 08-17-41 14,804,007 14,057,010 -746,997 0.01% -$534.86K
FNCL UMBS 3.5 CA4802 12-01-49 14,614,874 14,219,193 -395,682 0.01% -$339.54K
FNCL UMBS 6.5 FS6873 01-01-54 14,978,341 12,831,021 -2,147,319 0.01% -$2.21M
TRICON RESIDENTIAL 2024-SFR4 TRUST TCN 2024-SFR4 A 13,395,877 13,361,264 -34,613 0.01% -$22.81K
PHILIP MORRIS IN 21,167,000 12,667,000 -8,500,000 0.01% -$8.52M
NAVTR 2021-1 A 144A 2.771% 11-15-46 13,689,987 13,183,830 -506,157 0.01% -$458.62K
ADAPTHEALTH LLC REGD 144A P/P 4.62500000 17,155,000 12,905,000 -4,250,000 0.01% -$3.89M
CLAST 2025-3A A 144A 5.087% 11-15-50 12,562,000 12,397,377 -164,623 0.01% -$138.54K
WMRK COMMERCIAL MORTGAGE TRUST 2022-WMRK WMRK 2022-WMRK A 13,994,000 12,241,174 -1,752,826 0.01% -$1.75M
BAT CAPITAL CORP 16,750,000 12,000,000 -4,750,000 0.01% -$5.11M
Clsec Holdings 22t LLC 12,562,052 12,385,574 -176,478 0.01% $347.58K
AOMT 2024-7 A1 144A 5.621% 05-25-69 13,288,222 12,155,727 -1,132,495 0.01% -$1.09M
THC 6 1/8 10/01/28 17,500,000 12,250,000 -5,250,000 0.01% -$5.26M
PACIFIC GAS&ELEC 12,557,000 12,394,000 -163,000 0.01% -$83.51K
SHEARE 9.625 09/15/32 144A 18,730,000 11,910,000 -6,820,000 0.01% -$8.12M
FNCL UMBS 2.5 CA5968 06-01-50 14,310,630 13,852,296 -458,335 0.01% -$393.62K
ROYAL CARIBBEAN 28,919,000 11,919,000 -17,000,000 0.01% -$17.18M
OBX 2025-NQM16 Trust 12,707,668 11,800,137 -907,531 0.01% -$879.70K
TMCL 2021-2A A 4/46 12,854,400 12,452,700 -401,700 0.01% -$298.51K
FNCL UMBS 4.0 RA1744 11-01-49 18,588,838 11,989,239 -6,599,599 0.01% -$6.29M
VOLVO AB-B 3,436,750 316,339 -3,120,411 0.01% -$83.30M
FNMA 30YR 2.5% 12/01/2050#CA8130 13,556,325 13,291,418 -264,908 0.01% -$187.06K
SEACO 2025-1H A 144A 6.169% 09-20-45 11,336,302 11,262,209 -74,093 0.01% -$13.49K
FR RJ2860 11,508,345 11,274,630 -233,715 0.01% -$171.51K
BOEING CO/THE 26,605,000 10,192,000 -16,413,000 0.01% -$18.17M
SDR Commercial Mortgage Trust, Series 2024-DSNY, Class A 12,566,000 11,150,000 -1,416,000 0.01% -$1.39M
FR RA4206 13,346,424 13,032,254 -314,169 0.01% -$260.05K
FR SD5856 12,074,105 11,906,508 -167,598 0.01% -$110.90K
Freddie Mac Pool 12,273,809 10,540,405 -1,733,405 0.01% -$1.76M
FNMDI6 3.0 BF0497 07-01-60 12,491,812 12,261,185 -230,626 0.01% -$195.00K
UMBS 10,814,035 10,627,878 -186,157 0.01% -$129.68K
STACR 2024-DNA2 A1 144A FRN 05-25-44 10,880,009 10,381,630 -498,378 0.01% -$508.38K
GENERAL DYNAMICS CORPORATION 35,000 29,422 -5,578 0.01% -$1.74M
PSTAT 2024-2A A1N CLO 144A FRN 01-15-33 11,119,697 10,303,971 -815,726 0.01% -$810.19K
FN MA5674 11,520,933 10,047,555 -1,473,378 0.01% -$1.50M
FR SD7525 12,039,528 11,737,147 -302,381 0.01% -$272.32K
ONSLOW BAY FINANCIAL LLC 11,090,918 10,047,434 -1,043,483 0.01% -$1.01M
FNCL UMBS 5.5 CC0859 08-01-55 10,127,380 9,922,338 -205,042 0.01% -$145.92K
MID AMERICA APT CMNTY INC 1,453,466 75,492 -1,377,974 0.01% -$176.24M
FNCL UMBS 2.0 BV3076 02-01-52 12,761,413 12,442,379 -319,034 0.01% -$280.05K
FR SD7508 10,955,571 10,653,547 -302,024 0.01% -$311.04K
FN MA4465 12,478,243 12,275,498 -202,745 0.01% -$184.99K
ORACLE CORP 21,706,000 10,956,000 -10,750,000 0.01% -$11.18M
Clsec Holdings 22t LLC 10,231,532 10,053,736 -177,796 0.01% -$88.12K
UMBS 11,467,853 11,193,246 -274,607 0.01% -$207.90K
FNCL UMBS 3.5 FM2092 12-01-49 10,178,905 10,093,385 -85,520 0.01% -$56.50K
FN MA4237 11,750,056 11,551,014 -199,042 0.01% -$158.57K
JPMORGAN CHASE 12,034,000 9,034,000 -3,000,000 0.01% -$3.26M
CLAST 2025-1A A 144A 5.783% 02-15-50 9,365,854 9,173,873 -191,981 0.01% -$212.83K
FN MA4119 11,533,231 11,336,522 -196,709 0.01% -$153.60K
EDISON INTL 9,314,000 9,089,000 -225,000 0.01% -$136.23K
FNMDI4 3.5 BF0264 05-01-58 10,234,230 10,043,116 -191,114 0.01% -$144.04K
FNCL UMBS 3.0 FS1194 02-01-52 10,412,350 10,132,572 -279,778 0.01% -$218.38K
FNCL UMBS 3.0 CB0191 04-01-51 10,374,346 10,168,249 -206,097 0.01% -$179.37K
SEACO 2020-2A A 144A 2.26% 11-19-40 9,931,234 9,394,370 -536,864 0.01% -$438.00K
FNCL UMBS 4.5 SD0045 11-01-48 13,713,771 9,026,405 -4,687,366 0.01% -$4.61M
CLI Funding VIII LLC, Series 2021-1A, Class A 10,217,423 9,622,980 -594,443 0.01% -$503.94K
FNMDI4 2.5 BF0546 07-01-61 10,992,854 10,762,082 -230,772 0.01% -$134.49K
FNCL UMBS 3.5 AB5377 06-01-42 9,358,004 9,213,731 -144,273 0.01% -$165.42K
TRITON CONTAINER FINANCE VIII TCF 2021 1A A 144A 9,765,446 9,425,488 -339,958 0.01% -$271.48K
BIG RIVER STEEL LLC 4.5% 09-01-49 9,165,000 8,965,000 -200,000 0.01% -$133.46K
BX Trust, Series 2024-CNYN, Class A 8,945,384 8,685,543 -259,840 0.01% -$252.94K
FR SD8469 9,173,265 8,565,742 -607,523 0.01% -$583.84K
FNCL UMBS 5.5 CB7108 09-01-53 8,763,579 8,481,887 -281,692 0.01% -$262.39K
SOUTHERN CAL ED 10,190,000 8,300,000 -1,890,000 0.01% -$1.92M
Onslow Bay Financial LLC 8,938,000 8,551,795 -386,205 0.01% -$332.06K
TMCL 2021-1A A 144A 1.68% 02-20-46 9,385,587 9,086,047 -299,540 0.01% -$204.78K
US TREASURY N/B 169,143,000 8,500,000 -160,643,000 0.01% -$160.21M
FNCL UMBS 5.5 RJ2913 11-01-54 8,822,561 8,294,877 -527,684 0.01% -$501.16K
FN MA5445 9,511,427 8,203,848 -1,307,579 0.01% -$1.33M
SANDOZ GROUP AG 167,000 105,300 -61,700 0.01% -$2.78M
FNCL UMBS 3.0 CA9302 02-01-51 9,405,148 9,074,705 -330,443 0.01% -$292.21K
FN MA4387 9,645,932 9,413,002 -232,930 0.01% -$168.12K
NORFOLK SOUTHERN 17,005,000 8,613,000 -8,392,000 0.01% -$8.41M
Chase Auto Owner Trust, Series 2024-3A, Class A3 8,384,000 8,149,672 -234,328 0.01% -$239.24K
MI Windows & Doors LLC 8,221,146 8,200,541 -20,604 0.01% -$39.89K
VM FUND I LLC 144A LIFE SR SEC 1ST LIEN SF 8.625% 01-15-28 11,535,686 8,193,938 -3,341,748 0.01% -$3.17M
AIR PRODUCTS and CHEMICALS INC 640,174 29,680 -610,494 0.01% -$147.21M
OBX 2024-NQM10 Trust 8,918,487 7,940,025 -978,462 0.01% -$972.08K
FNMA 30YR 6% 01/01/2055#MA5587 8,842,781 7,816,036 -1,026,745 0.01% -$1.04M
FNCL UMBS 6.5 SD6404 09-01-54 9,144,031 7,700,323 -1,443,708 0.01% -$1.49M
FR SD7556 9,105,703 8,882,169 -223,534 0.01% -$178.06K
Freddie Mac Pool 9,818,572 9,644,979 -173,593 0.01% -$144.27K
BX TRUST BX 2021 ACNT A 144A 8,197,943 7,907,584 -290,359 0.01% -$280.87K
FR SD8496 8,781,560 7,587,273 -1,194,287 0.01% -$1.22M
FNCL UMBS 6.0 SL1413 04-01-55 9,226,840 7,512,266 -1,714,574 0.01% -$1.76M
PACIFIC GAS&ELEC 8,150,000 7,874,000 -276,000 0.01% -$196.21K
FNCL UMBS 6.0 SL0796 04-01-55 8,246,699 7,456,234 -790,465 0.01% -$796.71K
OWN Equipment Fund I LLC, Series 2024-2M, Class A 7,902,152 7,480,378 -421,774 0.01% -$285.02K
FR RA3987 8,907,913 8,766,965 -140,948 0.01% -$94.20K
ING GROEP NV 10,499,909 253,427 -10,246,482 0.01% -$255.77M
TEVA PHARMACEUTICALS NE REGD 4.10000000 80,110,000 9,734,000 -70,376,000 0.01% -$52.80M
FNCL UMBS 6.0 CB7932 02-01-54 7,632,262 7,210,182 -422,079 0.01% -$421.96K
SEQUOIA MORTGAGE TRUST SEMT 2025 HYB1 A1A 144A 8,610,498 7,359,936 -1,250,562 0.01% -$1.25M
FNCT UMBS 3.0 AS8554 12-01-36 8,053,726 7,735,648 -318,079 0.01% -$292.35K
AS 6.75 02/16/31 144A 7,135,000 7,060,000 -75,000 0.01% -$78.43K
FN MA5421 8,263,176 7,102,699 -1,160,477 0.01% -$1.18M
NSLT 2021-CA AFX 144A 1.32% 04-20-62 8,275,999 7,614,733 -661,266 0.00% -$562.62K
FNMA UMBS, 30 Year 8,026,172 6,999,927 -1,026,245 0.00% -$1.04M
GGAMMT 2025-1A A 144A 5.923% 09-30-60 7,791,000 7,124,140 -666,860 0.00% -$640.11K
SOLRR 2021-1 A 144A 2.636% 10-15-46 7,623,214 7,433,801 -189,413 0.00% -$124.72K
FR QY0236 7,688,248 6,859,063 -829,185 0.00% -$838.59K
HYATT HOTELS 23,992,000 6,694,000 -17,298,000 0.00% -$18.05M
FR SD8220 7,966,698 7,834,090 -132,608 0.00% -$109.25K
US TREASURY N/B 226,655,000 7,000,000 -219,655,000 0.00% -$218.90M
FNCL UMBS 2.5 CA7599 11-01-50 8,133,338 7,929,713 -203,626 0.00% -$180.73K
UMBS 8,100,783 8,031,698 -69,085 0.00% -$59.30K
NSLT 2021-BA AFX 144A 1.42% 04-20-62 7,820,328 7,178,129 -642,200 0.00% -$566.96K
FNCI UMBS 3.5 AL8522 05-01-46 7,305,721 7,121,457 -184,264 0.00% -$171.93K
FN MA5105 21,049,980 6,796,687 -14,253,293 0.00% -$13.91M
PACIFICORP 13,200,000 6,575,000 -6,625,000 0.00% -$6.90M
FNCL UMBS 6.0 CB7617 12-01-53 7,381,780 6,484,653 -897,127 0.00% -$919.07K
Freddie Mac Pool 7,919,456 7,762,067 -157,389 0.00% -$132.51K
SVC 4.95 02/15/27 26,398,000 6,598,000 -19,800,000 0.00% -$19.78M
NRZT 2025-NQM2 A1 144A 5.566% 04-25-65 6,752,338 6,424,333 -328,005 0.00% -$299.14K
US TREASURY N/B 294,254,000 6,500,000 -287,754,000 0.00% -$291.40M
TRIVIUM PACK FIN 6,750,000 6,074,000 -676,000 0.00% -$514.09K
TMCL VII Holdings Ltd., Series 2025-1H, Class A 6,734,048 6,361,556 -372,493 0.00% -$364.82K
FNCL UMBS 3.0 CA8046 12-01-50 7,153,522 7,022,640 -130,882 0.00% -$164.29K
FNMDI3 3.0 BF0293 07-01-48 6,902,708 6,826,313 -76,395 0.00% -$66.65K
BPCE 12,679,000 6,029,000 -6,650,000 0.00% -$6.80M
American Credit Acceptance Receivables Trust, Series 2024-2, Class C 6,289,000 6,129,887 -159,113 0.00% -$170.30K
SLAM 2021-1 LTD / SLAM 2021-1 LLC 2.434% 06/15/2046 144A 6,548,744 6,398,478 -150,267 0.00% -$102.77K
FNCL UMBS 6.5 FA2843 03-01-55 6,681,295 5,828,406 -852,889 0.00% -$890.57K
OBX 2025-NQM18 Trust 6,441,000 5,959,065 -481,935 0.00% -$483.27K
FR RA3771 7,122,310 7,018,012 -104,298 0.00% -$71.73K
US TREASURY N/B 8,835,000 6,100,000 -2,735,000 0.00% -$2.98M
UMBS 7,154,814 6,981,099 -173,715 0.00% -$146.52K
IEP 6 1/4 05/15/26 6,728,000 5,893,000 -835,000 0.00% -$833.33K
CLI FUNDING VI LLC CLIF 2020 3A A 144A 6,598,235 6,235,960 -362,275 0.00% -$320.61K
OWN Equipment Fund II LLC, Series 2025-1M, Class A 6,075,661 5,851,731 -223,930 0.00% -$84.85K
NAVSL 2021-GA A 144A 1.58% 04-15-70 6,780,808 6,446,951 -333,857 0.00% -$271.21K
FNMA POOL FM8692 FN 09/51 FIXED VAR 7,066,042 6,930,481 -135,560 0.00% -$114.08K
CLSEC HOLDINGS 22T LLC SER 2021-1 CL B REGD 144A P/P 3.46400000 6,290,038 6,184,753 -105,286 0.00% -$91.51K
FNCL UMBS 6.0 RJ0668 01-01-54 6,300,161 5,687,874 -612,287 0.00% -$622.98K
ADAPTHEALTH LLC REGD 144A P/P 5.12500000 9,115,000 6,015,000 -3,100,000 0.00% -$2.88M
FR SD8213 9,063,069 6,516,570 -2,546,499 0.00% -$2.27M
VERUS SECURITIZATION TRUST VERUS 2024 3 A1 144A 6,551,542 5,711,109 -840,433 0.00% -$839.66K
CORELOGIC INC TL 1ST LIEN (TSFR3M+361.448) (FLR 0.5) 7.28640% 06-02-28 24,689,023 5,800,000 -18,889,023 0.00% -$18.92M
Verus Securitization Trust 2025-8 5,962,826 5,741,503 -221,323 0.00% -$212.82K
Blackbird Capital II Aircraft Lease Ltd., Series 2021-1A, Class A 6,160,560 6,001,172 -159,388 0.00% -$96.89K
COLT Mortgage Loan Trust 2024-INV3 5,896,358 5,644,278 -252,080 0.00% -$230.98K

Top 300 of 1096, by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AGNICO EAGLE MINES LTD 9,830,897 9,830,897 0 1.30% $287.63M
CVS HEALTH CORP 23,692,996 23,692,996 0 1.22% -$86.01M
CAN NATURAL RES 39,270,006 39,270,006 0 1.01% $203.85M
BARRICK MINING CORP 16,415,500 16,415,500 0 0.52% $213.24M
BAKER HUGHES CO 13,079,995 13,079,995 0 0.51% $99.80M
SINGAPORE TELECO (LOT SIZE 100) 175,434,500 175,434,500 0 0.44% $60.95M
LUNDIN MINING CORP 24,403,237 24,403,237 0 0.43% $223.09M
L3HARRIS TECHNOLOGIES INC 1,393,700 1,393,700 0 0.33% $74.91M
AXA 7,381,189 7,381,189 0 0.23% $16.09M
3M CO 2,181,535 2,181,535 0 0.23% -$29.10M
ALTRIA GROUP INC 5,273,988 5,273,988 0 0.23% $29.59M
DIEBOLD NIXDORF INC 4,521,627 4,521,627 0 0.22% $44.58M
VAIL RESORTS INC 2,185,425 2,185,425 0 0.20% -$33.35M
DBS GROUP HLDGS 6,105,477 6,105,477 0 0.20% $31.48M
PACKAGING CORP OF AMERICA 1,229,648 1,229,648 0 0.19% $32.94M
CATERPILLAR INC 415,639 415,639 0 0.19% $33.29M
ALLIANZ SE (REGD) 619,243 619,243 0 0.19% $24.24M
RIO TINTO PLC 2,830,600 2,830,600 0 0.18% $58.33M
KKR & Company, Inc., Convertible, 6.250% 5,207,215 5,207,215 0 0.18% -$416.58K
ENBRIDGE INC 5,000,000 5,000,000 0 0.17% $11.10M
NORFOLK SOUTHERN CORP 818,000 818,000 0 0.17% $6.43M
NETEASE INC 8,012,100 8,012,100 0 0.15% -$13.95M
MIZUHO FINANCIAL 4,631,100 4,631,100 0 0.14% $48.36M
IRON MOUNTAIN INC 2,117,169 2,117,169 0 0.14% -$22.91M
NORDNET AB PUBL 6,000,000 6,000,000 0 0.13% $20.66M
TOKYO ELECTRON 658,350 658,350 0 0.12% $29.68M
GLENCORE PLC 25,624,217 25,624,217 0 0.12% $52.55M
US TREASURY N/B 169,500,000 169,500,000 0 0.12% -$379.51K
CIE FINANCI-REG 888,595 888,595 0 0.12% -$3.71M
WATSCO INC 434,018 434,018 0 0.12% $8.00M
US TREASURY N/B 180,573,000 180,573,000 0 0.11% -$5.78M
KB FINANCIAL GRO 1,721,838 1,721,838 0 0.11% $21.42M
MPW 5 10/15/27 162,821,000 162,821,000 0 0.11% $2.51M
AVIVA PLC 18,123,287 18,123,287 0 0.11% -$1.80M
TC ENERGY CORP 2,668,721 2,668,721 0 0.11% $22.56M
NetEase Inc. SPON ADS EACH REP 25 ORD SH 1,198,161 1,198,161 0 0.11% -$13.50M
PUB SERV ENTERP 1,750,000 1,750,000 0 0.10% $3.15M
HUGHES SATELLITE SYSTEMS SR SECURED 08/26 5.25 149,996,000 149,996,000 0 0.10% -$5.74M
ENDEAVOUR MINING 2,595,110 2,595,110 0 0.10% $37.71M
CROWN CASTLE INC 1,580,000 1,580,000 0 0.10% -$5.39M
DIEBOLD NIXDORF INC SR SECURED 144A 03/30 7.75 118,485,000 118,485,000 0 0.09% $14.34K
ORANGE 6,788,944 6,788,944 0 0.09% $17.58M
PETROLEOS MEXICANOS SR UNSEC SF 6.7% 02-16-32 123,631,000 123,631,000 0 0.09% -$93.71K
FORD MOTOR CRED 114,398,000 114,398,000 0 0.08% $1.19M
LAMAR ADVERTISING CO CL A 903,020 903,020 0 0.08% $8.78M
BANK LEUMI LE-IS 4,727,319 4,727,319 0 0.08% $17.99M
US TREASURY N/B 112,695,000 112,695,000 0 0.08% -$2.52M
NXST 4.75 11/01/28 144A 107,725,000 107,725,000 0 0.07% $1.02M
CREDICORP LTD 300,095 300,095 0 0.07% $28.76M
NFE FINC. LLC 12.00% 296,697,902 296,697,902 0 0.07% $32.52M
AURA MINERALS INC 1,620,102 1,620,102 0 0.07% $50.81M
CPFL ENERGIA SA 10,301,000 10,301,000 0 0.07% $21.07M
BANK HAPOALIM 4,024,613 4,024,613 0 0.07% $18.06M
AIA Group Ltd 8,619,200 8,619,200 0 0.07% $15.82M
VSAT 5.625 04/15/27 144A 95,464,000 95,464,000 0 0.07% $117.61K
NAVIENT CORP SR UNSECURED 03/29 5.5 95,140,000 95,140,000 0 0.06% -$541.06K
ROYAL BANK OF CANADA 547,058 547,058 0 0.06% $10.94M
DISH Network Corp 87,435,000 87,435,000 0 0.06% -$1.57M
PERNOD RICARD SA 1,000,000 1,000,000 0 0.06% -$8.98M
CHTR 4.25 02/01/31 144A 95,503,000 95,503,000 0 0.06% $980.91K
US TREASURY N/B 84,371,000 84,371,000 0 0.06% -$837.11K
LYONDELLBASELL INDS CLASS A 1,750,000 1,750,000 0 0.06% $4.52M
CORELOGIC INC SR SECURED 144A 05/28 4.5 81,186,000 81,186,000 0 0.06% $1.26M
NORTHERN STAR RE 4,207,456 4,207,456 0 0.05% $11.27M
QUALITAS CONTROL 8,439,995 8,439,995 0 0.05% $2.19M
FORD MOTOR CO 88,550,000 88,550,000 0 0.05% $1.44M
FTR 6 3/4 05/01/29 75,465,000 75,465,000 0 0.05% -$494.45K
PG&E CORP SR SEC 1ST LIEN 5.25% 07-01-30 72,720,000 72,720,000 0 0.05% $305.86K
CCO Holdings, LLC/CCO Holdings Capital Corp. 81,159,000 81,159,000 0 0.05% $634.01K
ACCOR SA 1,294,017 1,294,017 0 0.05% $4.34M
RADPAR 8.5 07/15/32 144A 65,015,000 65,015,000 0 0.05% $650.67K
MACQUARIE GROUP 457,380 457,380 0 0.05% $2.32M
Viasat Inc 68,280,000 68,280,000 0 0.05% $2.24M
Alliant Holdings Intermediate, LLC/Alliant Holdings Co-Issuer, Inc. 65,526,000 65,526,000 0 0.05% -$68.47K
SIRIUS XM RADIO LLC REGD 144A P/P 4.12500000 68,223,000 68,223,000 0 0.04% $114.34K
NCR Atleos Corp 59,983,000 59,983,000 0 0.04% -$505.00K
KENNEDY-WILSON INC SR UNSEC 4.75% 02-01-30 66,356,000 66,356,000 0 0.04% $2.49M
UVN 7 3/8 06/30/30 62,096,000 62,096,000 0 0.04% $588.61K
CLF 7.5 09/15/31 144A 58,500,000 58,500,000 0 0.04% $484.96K
SIRIUS XM RADIO LLC REGD 144A P/P 4.00000000 63,125,000 63,125,000 0 0.04% $303.57K
POST HOLDINGS INC REGD 144A P/P 4.62500000 62,941,000 62,941,000 0 0.04% $417.24K
ARETEC GRP. INC 7.50% 61,410,000 61,410,000 0 0.04% -$651.74K
TALEN ENERGY CORP 175,287 175,287 0 0.04% -$9.01M
Howard Hughes Corp/The 4.13 02/01/2029 62,975,000 62,975,000 0 0.04% $382.76K
USRE 2021-1 A1 71,561,000 71,561,000 0 0.04% -$311.00K
FYBR 6 01/15/30 144A 59,229,000 59,229,000 0 0.04% -$311.13K
UNITED MEXICAN 58,740,000 58,740,000 0 0.04% -$1.15M
Carnival Corp. 56,810,000 56,810,000 0 0.04% -$14.71K
FYBR 5.875 11/01/29 57,407,000 57,407,000 0 0.04% -$295.53K
MXCN 5 1/8 10/15/27 57,263,000 57,263,000 0 0.04% $16.32K
PG+E CORP SR SECURED 07/28 5 55,565,000 55,565,000 0 0.04% $260.93K
FORD MOTOR CRED 53,551,000 53,551,000 0 0.04% $574.55K
AMWINS GRP. INC 4.875% 55,605,000 55,605,000 0 0.04% $1.14M
SERVICE PROPERTIES TRUST SR UNSECURED 01/28 3.95 56,065,000 56,065,000 0 0.04% $884.37K
FORD MOTOR CRED 51,692,000 51,692,000 0 0.04% $552.85K
PETROLEOS MEXICANOS SR UNSEC 5.95% 01-28-31 54,032,000 54,032,000 0 0.04% -$141.83K
SONIC AUTOMOTIVE INC REGD 144A P/P 4.62500000 53,085,000 53,085,000 0 0.04% $550.01K
CHICAGO IL BRD OF EDU 54,555,000 54,555,000 0 0.04% -$138.52K
CCO Holdings, LLC/CCO Holdings Capital Corp. 55,115,000 55,115,000 0 0.03% $442.35K
PACIFIC GAS&ELEC 46,065,000 46,065,000 0 0.03% $41.37K
FORD MOTOR CRED 51,645,000 51,645,000 0 0.03% $686.26K
DARLING INGREDIENTS INC REGD 144A P/P 6.00000000 47,150,000 47,150,000 0 0.03% $102.74K
NAVIENT CORP SR UNSECURED 03/31 11.5 43,790,000 43,790,000 0 0.03% -$1.49M
Asbury Automotive Group, Inc. 48,325,000 48,325,000 0 0.03% $633.98K
TRUIST INSURANCE TERM 2LN 05/06/2032 46,810,526 46,810,526 0 0.03% -$431.55K
Teva Pharmaceutical Industries Ltd. 47,053,000 47,053,000 0 0.03% -$15.01K
SOLIDCORE RESOURCES PLC (USD) 6,162,000 6,162,000 0 0.03% $11.58M
GTN 5.375 11/15/31 144A 61,198,000 61,198,000 0 0.03% $2.96M
PAYCHEX INC 440,000 440,000 0 0.03% -$6.12M
LCM Investments Holdings II, LLC 45,987,000 45,987,000 0 0.03% $532.02K
SONIC AUTOMOTIVE INC REGD 144A P/P 4.87500000 46,860,000 46,860,000 0 0.03% $585.38K
OCCIDENTAL PETE 42,000,000 42,000,000 0 0.03% $61.66K
NSANY 7.5 07/17/30 144A 42,905,000 42,905,000 0 0.03% $162.95K
FORD MOTOR CRED 43,407,000 43,407,000 0 0.03% $422.65K
NSANY 7.75 07/17/32 144A 41,940,000 41,940,000 0 0.03% -$22.19K
OWENS & MINOR INC REGD 144A P/P 4.50000000 66,750,000 66,750,000 0 0.03% -$7.46M
Iron Mountain Information Management Services, Inc. 45,895,000 45,895,000 0 0.03% -$472.26K
US TREASURY N/B 43,266,000 43,266,000 0 0.03% $25.30K
PG&E CORP SUB (H) 7.375% 03-15-55/30 41,205,000 41,205,000 0 0.03% $113.27K
US TREASURY N/B 42,316,000 42,316,000 0 0.03% -$962.02K
FORD MOTOR CRED 40,957,000 40,957,000 0 0.03% $425.63K
Icahn Enterprises LP / Icahn Enterprises Finance Corp 42,205,000 42,205,000 0 0.03% $275.98K
SVC 8.625 11/15/31 144A 39,615,000 39,615,000 0 0.03% -$185.28K
LW 4.125 01/31/30 144A 43,025,000 43,025,000 0 0.03% -$136.65K
Iron Mountain Inc. 43,400,000 43,400,000 0 0.03% -$158.58K
Hightower Holdings LLC 39,065,000 39,065,000 0 0.03% -$637.46K
NORTHERN OIL & GAS INC REGD 144A P/P 8.75000000 39,610,000 39,610,000 0 0.03% $576.33K
CHARTER COMM OPT 63,939,000 63,939,000 0 0.03% -$897.38K
NBR 9 1/8 01/31/30 38,225,000 38,225,000 0 0.03% $195.71K
OCCIDENTAL PETE 34,900,000 34,900,000 0 0.03% -$91.93K
ANGLO AMER PLC 856,931 856,931 0 0.03% $7.66M
US TREASURY N/B 38,862,000 38,862,000 0 0.03% -$183.66K
LEVI STRAUSS + CO SR UNSECURED 144A 03/31 3.5 42,030,000 42,030,000 0 0.03% $335.95K
CORPBOND 39,000,000 39,000,000 0 0.03% $12.83K
IQVIA INC REGD 144A P/P 6.50000000 37,505,000 37,505,000 0 0.03% -$103.44K
AMSSW 12.25 03/30/29 144A 36,330,000 36,330,000 0 0.03% -$490.42K
Cleveland-Cliffs Inc. 37,251,000 37,251,000 0 0.03% $451.59K
FORESTAR GROUP INC REGD 144A P/P 6.50000000 37,785,000 37,785,000 0 0.03% -$84.60K
CCO Holdings LLC / CCO Holdings Capital Corp 41,075,000 41,075,000 0 0.03% $100.72K
KW 4 3/4 03/01/29 39,392,000 39,392,000 0 0.03% $1.25M
CENTRAL GARDEN & PET CO SR UNSEC 4.125% 10-15-30 40,146,000 40,146,000 0 0.03% $298.32K
Jane Street Group / JSG Finance Inc. 36,875,000 36,875,000 0 0.03% -$122.83K
RADIOLOGY PARTNERS INC SECURED 144A 02/30 9.781 38,252,557 38,252,557 0 0.03% $965.92K
INTERNATIONAL GAME TECHNOLOGY PLC 38,300,000 38,300,000 0 0.03% $30.10K
SCIH SALT HOLDINGS INC REGD 144A P/P 6.62500000 38,225,000 38,225,000 0 0.03% $319.26K
KENNEDY-WILSON INC SR UNSEC 5.0% 03-01-31 39,753,000 39,753,000 0 0.03% $1.49M
ROTECH HEALTHCARE INC PP (NEW) (NOT LISTED OR TRADING) (DRS) 543,172 543,172 0 0.03% -$1.11M
CORPBOND 36,895,000 36,895,000 0 0.03% $13.72K
VENTURE GLOBAL CALCASIEU SR SECURED 144A 08/31 4.125 40,865,000 40,865,000 0 0.03% -$82.47K
VALEANT PHARMACEUTICALS INTL COMPANY GUAR 144A 01/27 8.5 37,720,000 37,720,000 0 0.03% -$36.02K
CNX RESOURCES CORP REGD 144A P/P 6.00000000 37,027,000 37,027,000 0 0.03% $37.84K
FRST STU BID/FRST TRANS SR SECURED 144A 07/29 4 38,200,000 38,200,000 0 0.03% $268.62K
CELANESE US HLDS 34,843,000 34,843,000 0 0.03% $1.40M
LYV 4.75 10/15/27 144A 36,840,000 36,840,000 0 0.03% $101.20K
OSAIC HOLDINGS INC TL 1ST LIEN (TSFR3M+300)(FLR 0) FRN 07-30-32 36,855,000 36,855,000 0 0.03% -$309.32K
CQP HOLDCO LP/BIP V CHIN SR SECURED 144A 06/31 5.5 36,675,000 36,675,000 0 0.03% $180.84K
US TREASURY N/B 34,810,000 34,810,000 0 0.03% -$187.63K
ONEMAIN FIN. CORP 6.125% 35,623,000 35,623,000 0 0.03% $271.45K
SALLY HOLDINGS/SALLY CAP REGD 6.75000000 34,980,000 34,980,000 0 0.03% -$159.05K
LITHIA MOTORS INC SR UNSECURED 144A 06/29 3.875 37,385,000 37,385,000 0 0.03% $452.69K
EMERA INC SUB (H) 6.75% 06-15-76/26 35,774,000 35,774,000 0 0.02% -$23.47K
OneMain Finance Corp 34,750,000 34,750,000 0 0.02% -$6.29K
CHS/Community Health Systems, Inc. 38,125,000 38,125,000 0 0.02% $205.57K
BLACKSTONE PRIVA 35,920,000 35,920,000 0 0.02% -$758.92K
OCCIDENTAL PETE 34,622,000 34,622,000 0 0.02% $339.47K
CELANESE US HLDS 34,028,000 34,028,000 0 0.02% $329.97K
Alliant Holdings Intermediate, LLC/Alliant Holdings Co-Issuer, Inc. 35,215,000 35,215,000 0 0.02% -$13.77K
Petroleos Mexicanos 32,208,000 32,208,000 0 0.02% -$175.08K
NOBLE FIN. II LLC 8.00% 33,050,000 33,050,000 0 0.02% $147.14K
Directv Financing LLC / Directv Financing Co-Obligor Inc. 34,187,000 34,187,000 0 0.02% $161.16K
CITGO PETROLEUM CORP SR SECURED 144A 01/29 8.375 32,845,000 32,845,000 0 0.02% -$854
GEN MOTORS FIN 32,462,000 32,462,000 0 0.02% -$13.44K
IRON MOUNTAIN INC REGD 144A P/P 5.25000000 33,830,000 33,830,000 0 0.02% -$180.35K
Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer 32,120,000 32,120,000 0 0.02% $22.61K
CLEVELAND-CLIFFS INC REGD 144A P/P 4.62500000 33,580,000 33,580,000 0 0.02% $227.97K
SM Energy Company 31,405,000 31,405,000 0 0.02% $700.43K
PFSI 6.875 05/15/32 144A 32,290,000 32,290,000 0 0.02% -$684.87K
GENESIS ENERGY LP SR UNSEC 8.875% 04-15-30 31,359,000 31,359,000 0 0.02% -$51.68K
Teva Pharmaceutical Finance Netherlands IV B.V. 31,820,000 31,820,000 0 0.02% $47.13K
HIGTOW 6.75% Sr Unsecured Nts due 2029 144A 32,820,000 32,820,000 0 0.02% -$71.15K
STWD 4 3/8 01/15/27 33,055,000 33,055,000 0 0.02% $73.71K
Hilton Domestic Operating Co. Inc. 31,890,000 31,890,000 0 0.02% -$3.35K
WFRD 8.625 04/30/30 144A 31,671,000 31,671,000 0 0.02% $47.38K
OneMain Finance Corp. 31,150,000 31,150,000 0 0.02% $75.35K
BOYNE USA INC SR UNSECURED 144A 05/29 4.75 31,780,000 31,780,000 0 0.02% $188.04K
SEE 6.125 02/01/28 144A 30,890,000 30,890,000 0 0.02% $40.74K
Medline Borrower, L.P. 31,235,000 31,235,000 0 0.02% $172.35K
FORDR 2024-1 A 144A FRN 08-15-36 30,500,000 30,500,000 0 0.02% $76.46K
MEDLINE BORROWER/MEDL CO SR SECURED 144A 04/29 6.25 30,169,000 30,169,000 0 0.02% $101.31K
CRGYFN 7 3/8 01/15/33 32,175,000 32,175,000 0 0.02% $735.78K
Lumen Technologies, Inc. 78,221,000 78,221,000 0 0.02% -$4.95M
HILTON DOMESTIC OPERATIN REGD SER WI 4.87500000 30,661,000 30,661,000 0 0.02% $99.43K
TREEHOUSE FOODS INC SR UNSEC 4.0% 09-01-28 30,565,000 30,565,000 0 0.02% $591.56K
FTAI AVIATION INVESTORS REGD 144A P/P 5.50000000 30,400,000 30,400,000 0 0.02% $5.38K
URI 6.125 03/15/34 144A 29,140,000 29,140,000 0 0.02% -$129.47K
SERVICE PROPS. TRU 4.375% 34,840,000 34,840,000 0 0.02% $826.06K
GENESIS ENERGY LP SR UNSEC 8.25% 01-15-29 28,935,000 28,935,000 0 0.02% -$69.88K
Pebblebrook Hotel Trust 29,400,000 29,400,000 0 0.02% $368.53K
HSBC HOLDINGS 29,241,000 29,241,000 0 0.02% -$170.09K
ATI INC SR UNSEC 4.875% 10-01-29 30,055,000 30,055,000 0 0.02% $47.85K
EL PASO PIPELINE 33,265,000 33,265,000 0 0.02% $171.21K
Avis Budget Rental Car Funding AESOP LLC 29,959,000 29,959,000 0 0.02% $241.47K
RYAN SPECIALTY LLC SR SECURED 144A 02/30 4.375 30,295,000 30,295,000 0 0.02% -$101.52K
OneMain Finance Corp. 28,370,000 28,370,000 0 0.02% $98.78K
WMG ACQUISITION CORP SR SECURED 144A 07/30 3.875 30,599,000 30,599,000 0 0.02% $174.44K
ION PLAT US/SARL 30,259,000 30,259,000 0 0.02% -$1.58M
ENTG 3.625 05/01/29 144A 30,000,000 30,000,000 0 0.02% $293.19K
CENTRAL GARDEN & PET CO REGD 144A P/P 4.12500000 29,890,000 29,890,000 0 0.02% $286.88K
CLF 7.625 01/15/34 144A 27,010,000 27,010,000 0 0.02% $204.87K
Hertz Vehicle Financing LP, Series 2021-2A, Class A 28,555,000 28,555,000 0 0.02% $240.95K
CENTENE CORP 32,360,000 32,360,000 0 0.02% $121.19K
CHICAGO ILL BRD ED QUALIFIED SCH CONST BD 28,045,000 28,045,000 0 0.02% $150.27K
HY 2025-SPRL A 144A FRN 01-13-40 26,828,000 26,828,000 0 0.02% $28.71K
ONEMAIN FIN. CORP 7.875% 26,250,000 26,250,000 0 0.02% $17.51K
CRL 4.25 05/01/28 144A 27,840,000 27,840,000 0 0.02% -$37.42K
Ball Corp. 26,955,000 26,955,000 0 0.02% $109.30K
SVC 4.95 10/01/29 30,822,000 30,822,000 0 0.02% $542.78K
VSAT 6.5 07/15/28 144A 27,508,000 27,508,000 0 0.02% $453.91K
HWDGRP 7.25 02/15/31 144A 26,210,000 26,210,000 0 0.02% $87.46K
CRESCENT ENERGY FINANCE REGD 144A P/P 9.25000000 26,270,000 26,270,000 0 0.02% -$197.52K
SVC 5 1/2 12/15/27 27,165,000 27,165,000 0 0.02% $489.21K
WESCO DISTRIBUTION INC REGD 144A P/P 6.37500000 25,770,000 25,770,000 0 0.02% -$97.49K
CNX RESOURCES CORP REGD 144A P/P 7.37500000 25,699,000 25,699,000 0 0.02% $20.33K
BIG RIVER STEEL LLC 4.75% 09-01-49 27,070,000 27,070,000 0 0.02% $177.23K
PETROLEOS MEXICANOS SR UNSEC 6.84% 01-23-30 25,862,000 25,862,000 0 0.02% -$18.91K
LADR 4.25 02/01/27 144A 26,434,000 26,434,000 0 0.02% $116.39K
B&G Foods Inc 27,125,000 27,125,000 0 0.02% $126.67K
US TREASURY N/B 25,400,000 25,400,000 0 0.02% -$287.26K
VVV 3 5/8 06/15/31 28,499,000 28,499,000 0 0.02% $173.13K
ASCRES 6.625 10/15/32 144A 25,230,000 25,230,000 0 0.02% $384.08K
BXP 6.75 12/01/27 25,000,000 25,000,000 0 0.02% -$26.70K
Transocean Titan Financing Ltd. 25,070,143 25,070,143 0 0.02% -$125.05K
BALL CORP SR UNSEC 6.0% 06-15-29 24,810,000 24,810,000 0 0.02% $128.07K
AMNTEC 7.25 08/01/32 144A 24,235,000 24,235,000 0 0.02% $310.40K
MOLINA HEALTHCARE INC SR UNSECURED 144A 06/28 4.375 25,995,000 25,995,000 0 0.02% $209.78K
SATS 6.75 11/30/30 24,860,518 24,860,518 0 0.02% -$347.85K
HYUNDAI CAPITAL AMERICA SR UNSECURED 144A 03/27 4.85 25,000,000 25,000,000 0 0.02% $28.15K
ALLIANT HOLDINGS INTERMEDIATE SR UNSECURED 144A 10/32 7.375 24,135,000 24,135,000 0 0.02% $82.45K
HUB INTL LTD 25,020,000 25,020,000 0 0.02% $47.79K
LYV 2.875 10/15/31 25,000,000 25,000,000 0 0.02% $125.00K
ASCENT RES. UTICA 5.875% 24,790,000 24,790,000 0 0.02% $166.64K
Venture Global Plaquemines LNG, LLC 22,745,000 22,745,000 0 0.02% -$77.81K
Sinclair Television Group, Inc. 24,070,000 24,070,000 0 0.02% $353.59K
Cleveland-Cliffs Inc. 24,110,000 24,110,000 0 0.02% $90.24K
US TREASURY N/B 24,603,000 24,603,000 0 0.02% -$32.20K
Avis Budget Rental Car Funding AESOP LLC 23,741,000 23,741,000 0 0.02% -$14.29K
Sensata Technologies, Inc. 26,288,000 26,288,000 0 0.02% $222.19K
PFSI 6.875 02/15/33 144A 24,030,000 24,030,000 0 0.02% -$358.10K
MINERAL RESOURCES LTD SR UNSECURED 144A 10/28 9.25 23,240,000 23,240,000 0 0.02% $36.09K
INGLES MKTS. INC 4.00% 25,700,000 25,700,000 0 0.02% $231.35K
HILCRP 6 02/01/31 144A 25,185,000 25,185,000 0 0.02% $399.56K
ONEMAIN FIN. CORP 6.50% 24,160,000 24,160,000 0 0.02% $174.15K
CENTENE CORP 24,871,000 24,871,000 0 0.02% $113.04K
OSAIC HOLDINGS INC REGD 144A P/P 8.00000000 23,345,000 23,345,000 0 0.02% $235.39K
IQVIA INC REGD 144A P/P 6.25000000 23,110,000 23,110,000 0 0.02% -$76.63K
LAMAR MEDIA CORP SR UNSEC 3.625% 01-15-31 25,415,000 25,415,000 0 0.02% $213.33K
ALERA GROUP INTERMEDIATE HOLDINGS TL 2ND LIEN (TSFR3M+550) (FLR 0.5) FRN 05-30-33 23,485,000 23,485,000 0 0.02% -$240.72K
Allison Transmission, Inc. 25,185,000 25,185,000 0 0.02% $478.36K
OCCIDENTAL PETE 23,000,000 23,000,000 0 0.02% $256.93K
WARRIOR MET COAL INC REGD 144A P/P 7.87500000 23,007,000 23,007,000 0 0.02% $55.10K
LCM Investments Holdings II, LLC 22,295,000 22,295,000 0 0.02% $23.05K
Genesis Energy L.P./ Genesis Energy Finance Corp. 22,295,000 22,295,000 0 0.02% $297.64K
CELANESE US HLDS 22,109,000 22,109,000 0 0.02% $309.48K
Teva Pharmaceuticals Finance Netherlands B.V. 22,170,000 22,170,000 0 0.02% $66.35K
SBA TOWER TRUST 23,592,000 23,592,000 0 0.02% $215.65K
ALLIED UNVL HOLDCO LLC / ALLIED UNVL FIN CORP 6% 06/01/2029 144A 23,230,000 23,230,000 0 0.02% $320.41K
Comstock Resources, Inc. 22,880,000 22,880,000 0 0.02% $339.79K
CHENIERE ENERGY 22,775,000 22,775,000 0 0.02% $44.94K
FYBR 8.75 05/15/30 144A 22,025,000 22,025,000 0 0.02% -$349.93K
MSBAM 25-5C1 AS 6.011% 03-15-30 21,684,000 21,684,000 0 0.02% $45.10K
UNSEAM 4.625 06/01/28 144A 22,900,000 22,900,000 0 0.02% $173.19K
CHARTER COMM OPT 34,569,000 34,569,000 0 0.02% -$104.12K
BYD 4 3/4 12/01/27 22,590,000 22,590,000 0 0.02% $78.73K
LPL HOLDINGS INC REGD 144A P/P 4.62500000 22,510,000 22,510,000 0 0.02% -$24.74K
FHMS K755 A2 21,362,000 21,362,000 0 0.02% -$52.91K
Clarivate Science Holdings Corp. 25,820,000 25,820,000 0 0.02% -$1.89M
Park Intermediate Holdings LLC / PK Domestic Property LLC / PK Finance Co-Issuer 22,600,000 22,600,000 0 0.02% $133.72K
STWD 6.5 10/15/30 144A 21,170,000 21,170,000 0 0.02% -$18.27K
RHP HOTEL PROPS. LP 4.50% 22,335,000 22,335,000 0 0.02% $40.23K
AIMBRIDGE TOPCO LLC (DRS) (NOT LISTED OR TRADING) 297,303 297,303 0 0.02% -$579.74K
WESCO DISTRIBUTION INC REGD 144A P/P 6.62500000 20,920,000 20,920,000 0 0.02% -$6.38K
FORD MOTOR CRED 20,880,000 20,880,000 0 0.02% $170.15K
NORTHERN OIL + GAS INC SR UNSECURED 144A 10/33 7.875 21,455,000 21,455,000 0 0.02% $760.06K
HLT 4 05/01/31 144A 22,520,000 22,520,000 0 0.01% $94.04K
LNW 6.25 10/01/33 144A 21,235,000 21,235,000 0 0.01% $348.47K
PCG 2.95 03/01/26 21,350,000 21,350,000 0 0.01% $87.49K
DaVita Inc. 20,730,000 20,730,000 0 0.01% -$219.20K
LPL HOLDINGS INC 144A LIFE SR UNSEC 4.375% 05-15-31 21,690,000 21,690,000 0 0.01% $78.89K
CHRD 6.75 03/15/33 144A 20,320,000 20,320,000 0 0.01% $309.72K
PETROLEOS MEXICANOS SR UNSEC 10.0% 02-07-33 18,000,000 18,000,000 0 0.01% -$72.00K
AMPHENOL CORP 21,297,000 21,297,000 0 0.01% -$100.91K
OSAIC HOLDINGS INC SR SECURED 144A 08/32 6.75 20,000,000 20,000,000 0 0.01% $65.10K
State of Kuwait 21,000,000 21,000,000 0 0.01% -$373.67K
US FOODS INC REGD 144A P/P 4.62500000 20,951,000 20,951,000 0 0.01% $72.05K
VZMT 2023-3 A 144A 4.73% 04-21-31 20,266,000 20,266,000 0 0.01% -$1.62K
URI 3.875 02/15/31 21,600,000 21,600,000 0 0.01% $86.59K
ESI 3.875 09/01/28 144A 21,085,000 21,085,000 0 0.01% $138.17K
Summit Midstream Holdings, LLC 19,570,000 19,570,000 0 0.01% $532.50K
CHTR 4.75 03/01/30 144A 21,307,000 21,307,000 0 0.01% $94.20K
US TREASURY N/B 20,071,000 20,071,000 0 0.01% -$49.11K

Top 300 of 1476, by weight.

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