EVIBX
Eaton Vance Income Fund of Boston
Eaton Vance Series Trust II

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
CORPBOND 0 21,275,000 21,275,000 0.52% $22.24M
IRB Holding Corp, Term Loan B 0 21,746,674 21,746,674 0.51% $21.77M
ALBERTSONS COS INC SR UNSECURED 144A 03/32 5.625 0 17,880,000 17,880,000 0.42% $17.87M
SUNOCO LP SR UNSECURED 144A 05/30 4.625 0 14,752,000 14,752,000 0.34% $14.39M
GFL ENVIRONMENTAL HOLDINGS US INC 5.5% 02/01/2034 144A 0 12,470,000 12,470,000 0.29% $12.51M
ARGID 9.5% Secured Nts due 2030 144A 0 11,530,000 11,530,000 0.29% $12.47M
SYNRGY 7.875 12/01/30 144a 0 10,943,000 10,943,000 0.27% $11.44M
STONEBRIAR ABF LLC SR UNSECURED 144A 12/30 8.125 0 10,235,000 10,235,000 0.25% $10.64M
TRANSALTA CORP SR UNSECURED 02/34 5.875 0 9,345,000 9,345,000 0.22% $9.36M
XPLR Infrastructure Operating Partners, L.P. 7.75%, Due 04/15/2034 0 9,155,000 9,155,000 0.22% $9.34M
CONSTELLATION EN GEN LLC REGD P/P 5.00000000 0 9,190,000 9,190,000 0.22% $9.32M
LB 6.25 12/01/30 144A 0 9,025,000 9,025,000 0.22% $9.25M
MENS WEARHOUSE INC THE 2026 TERM LOAN B 0 8,762,000 8,762,000 0.20% $8.77M
Uniti Group LP / Uniti Group Finance 2019 Inc / CSL Capital LLC 0 8,668,000 8,668,000 0.20% $8.76M
THC 5 1/2 11/15/32 0 7,910,000 7,910,000 0.19% $8.00M
GOLF 5.625 12/01/33 144A 0 6,460,000 6,460,000 0.15% $6.54M
CHS/Community Health Systems, Inc. 0 7,275,000 7,275,000 0.15% $6.53M
CELANESE US HOLDINGS LLC SR UNSEC 7.375% 02-15-34 0 6,329,000 6,329,000 0.15% $6.44M
CIPHER COMPUTE LLC SR SECURED 144A 11/30 7.125 0 6,225,000 6,225,000 0.15% $6.42M
COMMERCIAL METALS CO SR UNSECURED 144A 12/35 6 0 6,075,000 6,075,000 0.14% $6.21M
COMMERCIAL METALS CO SR UNSECURED 144A 11/33 5.75 0 6,075,000 6,075,000 0.14% $6.18M
BRSL 5.75 01/15/33 144A 0 6,200,000 6,200,000 0.14% $6.17M
ASURION LLC/CO 0 5,362,000 5,362,000 0.13% $5.43M
UNITI GROUP LP / UNITI GROUP FINANCE INC / CSL CAPITAL LLC 8.625% 06/15/2032 144A 0 5,365,000 5,365,000 0.13% $5.41M
MOTION BONDCO DAC REGD 144A P/P 6.62500000 0 5,665,000 5,665,000 0.13% $5.38M
NATL MENTOR HLDG 0 5,058,000 5,058,000 0.12% $5.23M
TMHC 5.75 11/15/32 144A 0 4,464,000 4,464,000 0.11% $4.58M
MEN S WEARHOUSE LLC THE 0 4,270,000 4,270,000 0.10% $4.44M
CHARTER COMM OPT 0 6,615,000 6,615,000 0.10% $4.32M
THC 6 11/15/33 144A 0 4,110,000 4,110,000 0.10% $4.23M
AROC 6 02/01/34 0 4,005,000 4,005,000 0.09% $4.00M
UVN 8.5 07/31/31 144A 0 3,570,000 3,570,000 0.09% $3.73M
UWMLLC 5.5 04/15/29 144A 0 3,715,000 3,715,000 0.09% $3.67M
CRESCENT ENERGY FINANCE REGD 144A P/P 9.75000000 0 3,414,000 3,414,000 0.08% $3.63M
UNITED AIRLINES HOLDINGS INC SR UNSEC 5.375% 03-01-31 0 3,525,000 3,525,000 0.08% $3.56M
ARDAGH METAL PACKAGING SR SECURED 144A 01/31 6.25 0 2,915,000 2,915,000 0.07% $3.00M
WBD 3.625 05/15/30 * 0 3,161,000 3,161,000 0.07% $2.92M
HRI 6 03/15/34 144A 0 2,890,000 2,890,000 0.07% $2.91M
HRI 5.75 03/15/31 144A 0 2,410,000 2,410,000 0.06% $2.43M
CHARTER COMM OPT 0 3,485,000 3,485,000 0.05% $2.23M
Discovery Communications LLC 0 1,975,000 1,975,000 0.04% $1.92M
UWM HOLDINGS LLC REGD 144A P/P 6.62500000 0 1,850,000 1,850,000 0.04% $1.87M
Windstream Services LLC / Windstream Escrow Finance Corp. 0 1,706,000 1,706,000 0.04% $1.79M
WARNERMEDIA HOLDINGS INC SR UNSEC 4.054% 03-15-29 0 1,580,000 1,580,000 0.04% $1.53M
MEDLINE INC-A 0 16,105 16,105 0.02% $711.84K
KENNOVA THERAPEUTICS. 0 2,829 2,829 0.01% $272.43K
USD P ZAR C @16.70000 EO 0 1 1 0.00% $93.77K
PAR HEALTH, INC. PVE 0 2,829 2,829 0.00% $25.11K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
iShares Broad USD High Yield Corporate Bond ETF 4,055,000 0 -4,055,000 0.00% -$152.39M
IRB Holding Corp., First Lien, 2024 Second Replacement CME Term Loan, B 21,801,177 0 -21,801,177 0.00% -$21.86M
Triton Water Holdings, Inc., Term Loan B 15,392,824 0 -15,392,824 0.00% -$15.45M
CCO Holdings, LLC/CCO Holdings Capital Corp. 15,303,000 0 -15,303,000 0.00% -$15.43M
SUNOCO LP / SUNOCO FIN CORP 4.5% 04/30/2030 15,071,000 0 -15,071,000 0.00% -$14.61M
Parkland Corp 14,972,000 0 -14,972,000 0.00% -$14.54M
McAfee Corp 15,694,000 0 -15,694,000 0.00% -$14.39M
WHITE CAP BUYER LLC SR UNSECURED 144A 10/28 6.875 13,985,000 0 -13,985,000 0.00% -$13.99M
TRANSALTA CORP 7.75% 11/15/2029 12,211,000 0 -12,211,000 0.00% -$12.72M
Boost Newco Borrower, LLC 10,943,000 0 -10,943,000 0.00% -$11.63M
The Goodyear Tire & Rubber Company 10,878,000 0 -10,878,000 0.00% -$10.36M
CPN 5 02/01/31 144A 10,333,000 0 -10,333,000 0.00% -$10.36M
GOLF 7.375 10/15/28 144A 9,379,000 0 -9,379,000 0.00% -$9.74M
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC 8,530,000 0 -8,530,000 0.00% -$9.19M
RB Global Holdings Inc. 8,900,000 0 -8,900,000 0.00% -$9.10M
Bath & Body Works Inc 8,693,000 0 -8,693,000 0.00% -$9.02M
BRIGHTSTAR LOTTERY PLC 6.25% 01/15/2027 144A 8,872,000 0 -8,872,000 0.00% -$8.97M
Hanesbrands, Inc., First Lien, CME Term Loan, B 7,950,550 0 -7,950,550 0.00% -$7.99M
Allegheny Ludlum LLC 7,579,000 0 -7,579,000 0.00% -$7.63M
CP ATLAS BUYER INC SECURED 144A 01/31 12.75 7,596,000 0 -7,596,000 0.00% -$7.45M
CPN 4.5 02/15/28 144A 7,229,000 0 -7,229,000 0.00% -$7.22M
LEVEL 3 FINANCING INC SECURED 144A 04/30 4.5 7,710,545 0 -7,710,545 0.00% -$7.16M
C&W SENIOR FINANCE LTD REGD 144A P/P 9.00000000 6,795,000 0 -6,795,000 0.00% -$6.93M
CSC HOLDINGS LLC REGD 144A P/P 5.50000000 7,135,000 0 -7,135,000 0.00% -$6.63M
PLAYTIKA HOLDING CORP REGD 144A P/P 4.25000000 7,148,000 0 -7,148,000 0.00% -$6.46M
PRECISION DRILLING CORP REGD 144A P/P 6.87500000 6,261,000 0 -6,261,000 0.00% -$6.30M
EquipmentShare.com Inc 6,006,000 0 -6,006,000 0.00% -$6.07M
Endo Finance Holdings, Inc. 5,459,000 0 -5,459,000 0.00% -$5.79M
HRT DNT/HRT FIN 5,333,000 0 -5,333,000 0.00% -$5.63M
MIWIDO 5.5 02/01/30 144A 5,685,000 0 -5,685,000 0.00% -$5.53M
ARCHES BUYER INC REGD 144A P/P 4.25000000 4,924,000 0 -4,924,000 0.00% -$4.82M
VAREX IMAGING CORP SR SECURED 144A 10/27 7.875 4,701,000 0 -4,701,000 0.00% -$4.81M
PKICN 4.5 10/01/29 144A 4,484,000 0 -4,484,000 0.00% -$4.34M
GLOBAL AUTO HOLDINGS LTD/AAG F SR UNSECURED 144A 01/32 8.75 4,401,000 0 -4,401,000 0.00% -$4.18M
Vital Energy Inc Sr Glbl Nt 9.75% Due 10/15/2030 3,838,000 0 -3,838,000 0.00% -$3.95M
CCO Holdings, LLC/CCO Holdings Capital Corp. 3,899,000 0 -3,899,000 0.00% -$3.85M
VSTJET 9.5% Sr Unsecured Nts due 2028 144A 3,594,000 0 -3,594,000 0.00% -$3.74M
RB Global Holdings Inc. 3,307,000 0 -3,307,000 0.00% -$3.46M
SUNOCO LP / SUNOCO FIN CORP 4.5% 05/15/2029 3,307,000 0 -3,307,000 0.00% -$3.25M
NUFARM AUSTRALIA LTD / NUFARM AMERICAS INC 5% 01/27/2030 144A 3,632,000 0 -3,632,000 0.00% -$3.24M
MOLINA HEALTHCARE INC REGD 144A P/P 3.87500000 3,315,000 0 -3,315,000 0.00% -$2.99M
T/L CMG MEDIA CORPORATION REGD 0.00000000 2,815,809 0 -2,815,809 0.00% -$2.61M
LEVEL 3 FINANCING INC 3.875% 10/15/2030 144A 2,385,000 0 -2,385,000 0.00% -$2.15M
Standard Industries, Inc. 1,330,225 0 -1,330,225 0.00% -$1.53M
SINCLAIR TELEVISION GROU REGD P/P 4.37500000 1,362,000 0 -1,362,000 0.00% -$999.37K
BOMBARDIER INC 7.875% 04/15/2027 144A 329,000 0 -329,000 0.00% -$330.31K
CONTRA MALLINCKRO 2,829 0 -2,829 0.00% -$291.39K
ZTO EXPRESS CAYMAN INC (GS) (CFD) 1 0 -1 0.00% -$147.45K
EndoDesign 6,987,000 0 -6,987,000 0.00% $0
GCB Endo 15,196,000 0 -15,196,000 0.00% $0
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ABC Technologies Inc Term Loan B 38,100,000 39,407,776 1,307,776 0.88% $1.12M
METIS MERGER SUB 23,502,000 25,333,000 1,831,000 0.59% $2.03M
VOLTAGRID LLC SECURED 144A 11/30 7.375 15,535,000 21,023,000 5,488,000 0.50% $5.49M
Cloud Software Group Inc 18,671,000 20,365,000 1,694,000 0.48% $1.26M
ALLIANT PRIVATE PLACEMENT 15,830,000 16,273,240 443,240 0.39% $438.96K
The New Home Company Inc. 13,338,000 13,766,000 428,000 0.33% $537.46K
Global Medical Response Inc 11,161,000 13,697,000 2,536,000 0.33% $2.49M
WHTCAP 7.375 11/15/30 144A 13,155,000 13,316,000 161,000 0.32% $523.70K
Peninsula Pacific Entertainment LLC 2022 Term Loan 12,858,409 13,279,742 421,333 0.31% $421.33K
US LUMBER/SPECIALTY BUILDING 10/21 COV-LITE 15-Oct-28 12,086,000 12,532,448 446,448 0.28% $326.22K
FTRE 7.5 07/01/30 144A 9,100,000 11,296,000 2,196,000 0.27% $2.76M
ARDAGH METAL PACKAGING SR UNSECURED 144A 09/29 4 9,647,000 11,447,000 1,800,000 0.25% $1.88M
US LBM TERM B 1LN 06/06/2031 10,558,270 11,229,768 671,498 0.25% $613.91K
T/L CP ATLAS BUYER INC REGD 0.00000000 7,448,000 10,582,478 3,134,478 0.24% $3.06M
EW SCRIPPS TERM B3 1LN 11/30/2029 9,479,742 10,141,361 661,620 0.23% $551.49K
VSNT 7.25 01/30/31 144A 7,910,000 8,513,000 603,000 0.20% $661.87K
SURGERY CENTER HOLDINGS REGD 144A P/P 7.25000000 6,349,000 8,655,000 2,306,000 0.20% $2.18M
K Hovnanian Enterprises Inc 5,965,000 6,258,000 293,000 0.15% $287.92K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
MSILF-GOVT-INS 162,281,127 117,771,337 -44,509,790 2.75% -$44.51M
SKX 10 07/15/33 144a 59,171,000 57,027,605 -2,143,395 1.46% -$895.82K
Medline Borrower, L.P. 40,669,000 36,142,000 -4,527,000 0.85% -$4.31M
SUN V7.875 PERP 144A 37,355,000 35,147,000 -2,208,000 0.85% -$1.74M
MINERVA MERGER SUB INC 36,396,000 32,346,000 -4,050,000 0.73% -$4.26M
SOLEIN 7.25 02/15/33 144* 35,225,000 31,073,000 -4,152,000 0.72% -$4.12M
BAUSCH HEALTH TERM B 1LN 10/08/2030 29,343,200 29,269,658 -73,542 0.67% -$603.88K
CELANESE US HLDS 29,754,000 25,219,000 -4,535,000 0.62% -$3.84M
Voyager Parent, LLC 25,955,000 23,079,000 -2,876,000 0.57% -$2.70M
Alliant Holdings Intermediate, LLC/Alliant Holdings Co-Issuer, Inc. 27,363,000 24,329,000 -3,034,000 0.57% -$3.07M
WINDSOR HOLDINGS III LLC SR SECURED 144A 06/30 8.5 25,883,000 23,019,000 -2,864,000 0.57% -$3.07M
Windstream Services LLC 24,805,000 22,056,000 -2,749,000 0.53% -$2.02M
ALPHA GENERATION LLC SR UNSECURED 144A 10/32 6.75 23,721,000 21,092,000 -2,629,000 0.51% -$2.52M
Chobani Holdco II LLC 22,915,528 20,375,528 -2,540,000 0.51% -$2.56M
TEVA PHARMACEUTICALS NE REGD 4.10000000 31,561,000 28,058,000 -3,503,000 0.50% -$2.25M
1261229 BC Ltd 23,288,000 20,707,000 -2,581,000 0.50% -$3.09M
WAND NEWCO 3 INC SR SECURED 144A 01/32 7.625 20,231,000 19,936,000 -295,000 0.49% -$191.50K
GFL ENVIRONMENTAL INC REGD 144A P/P 4.75000000 23,143,000 20,581,000 -2,562,000 0.48% -$2.46M
IMOLA MERGER CORP SR SECURED 144A 05/29 4.75 23,257,000 20,684,000 -2,573,000 0.48% -$2.58M
PHOENIX AVIATION CAPITAL REGD 144A P/P 9.25000000 21,145,000 18,803,000 -2,342,000 0.46% -$2.57M
PSDO TL B 1L USD 19,714,038 19,664,753 -49,285 0.45% -$442.76K
Smyrna Ready Mix Concrete LLC 24,200,000 19,100,000 -5,100,000 0.45% -$4.97M
RGCARE 5.375 01/15/29 144A 21,560,000 19,172,000 -2,388,000 0.43% -$2.29M
BELRON UK FINANCE PLC SR SECURED 144A 10/29 5.75 18,438,000 18,168,000 -270,000 0.43% -$170.40K
PFGC 4.25 08/01/29 144A 21,242,000 18,890,000 -2,352,000 0.43% -$2.23M
BUILDERS FIRSTSOURCE INC REGD 144A P/P 4.25000000 21,637,000 19,242,000 -2,395,000 0.43% -$2.13M
Savers Inc., Term Loan 18,749,000 18,249,027 -499,973 0.43% -$471.38K
Peloton Interactive, Inc., First Lien Term Loan 17,885,162 17,839,884 -45,279 0.42% -$58.85K
QUIKRETE HOLDINGS INC SR UNSECURED 144A 03/33 6.75 19,486,000 17,330,000 -2,156,000 0.42% -$2.28M
CALDERYS FINANCING LLC SR SECURED 144A 06/28 11.25 19,268,000 17,134,000 -2,134,000 0.42% -$2.51M
VVV 3 5/8 06/15/31 21,844,000 19,423,000 -2,421,000 0.42% -$2.09M
Chobani LLC / Chobani Finance Corp Inc 19,046,000 16,938,000 -2,108,000 0.41% -$2.19M
IQVIA INC REGD 144A P/P 6.25000000 18,500,000 16,451,000 -2,049,000 0.40% -$2.19M
MASTERBRAND INC REGD 144A P/P 7.00000000 18,506,000 16,456,000 -2,050,000 0.40% -$2.15M
Vistra Operations Co. LLC 19,159,000 17,035,000 -2,124,000 0.40% -$2.12M
ALLY FINL. INC F2V 19,279,000 17,144,000 -2,135,000 0.40% -$1.86M
TEMPUR SEALY INTL. 3.875% 20,366,000 18,110,000 -2,256,000 0.39% -$1.93M
EMRLD Borrower L.P./ Emerald Co-Issuer Inc. 18,255,000 16,235,000 -2,020,000 0.39% -$1.96M
Greystar Real Estate Partners, LLC 17,772,000 15,804,000 -1,968,000 0.39% -$2.12M
ARSENAL AIC PARENT LLC UNSECURED 144A 10/31 11.5 20,962,000 15,048,000 -5,914,000 0.39% -$6.72M
US ACUTE CARE SOLUTIONS SR SECURED 144A 05/29 9.75 18,498,000 16,449,000 -2,049,000 0.39% -$2.32M
Clydesdale Acquisition Holdings Inc 16,969,000 16,270,000 -699,000 0.38% -$722.97K
QUIKRETE HOLDINGS INC SR SECURED 144A 03/32 6.375 17,662,000 15,704,000 -1,958,000 0.38% -$2.04M
Zegona Finance PLC 16,997,000 15,114,000 -1,883,000 0.37% -$2.13M
HEALTHEQUITY INC REGD 144A P/P 4.50000000 18,385,000 16,347,000 -2,038,000 0.37% -$1.96M
Restaurant Brands International Limited Partnership 18,775,000 16,694,000 -2,081,000 0.37% -$1.84M
USLBMH 9 1/2 06/15/31 16,952,000 15,074,000 -1,878,000 0.37% -$1.86M
ALLWYN ENTERTAINMENT FIN SR SECURED 144A 04/29 7.875 17,067,000 15,177,000 -1,890,000 0.37% -$1.91M
DIEBOLD NIXDORF INC SR SECURED 144A 03/30 7.75 16,501,000 14,672,000 -1,829,000 0.36% -$1.94M
SNAP INC REGD 144A P/P 6.87500000 17,002,000 15,119,000 -1,883,000 0.36% -$1.88M
SM ENERGY CO 144A LIFE SR UNSEC 8.625% 11-01-30 16,417,000 14,601,000 -1,816,000 0.36% -$1.53M
EchoStar Corp 15,584,000 14,064,000 -1,520,000 0.36% -$1.74M
VSTJET 6.375% Sr Unsecured Nts due 2030 144A 21,803,000 16,079,000 -5,724,000 0.36% -$5.81M
CORPBOND 14,919,000 14,699,000 -220,000 0.35% -$193.36K
NEW AMI I LLC, 1st Lien Term Loan 17,178,213 17,133,825 -44,388 0.35% -$1.24M
SUPERIOR PLUS LP / SUPERIOR GEN PARTNER INC 4.5% 03/15/2029 144A 17,270,000 15,356,000 -1,914,000 0.35% -$1.75M
VMED 4.5 08/15/30 144A 16,524,000 16,149,000 -375,000 0.35% -$440.08K
Hightower Holdings LLC 15,794,000 14,044,000 -1,750,000 0.35% -$2.11M
STANDRD INDS NY 17,344,000 15,422,000 -1,922,000 0.35% -$1.86M
Rocket Cos., Inc. 16,030,000 14,257,000 -1,773,000 0.35% -$1.91M
OPTION CARE HEALTH INC REGD 144A P/P 4.37500000 16,978,000 15,097,000 -1,881,000 0.34% -$1.61M
PILGRIM'S PRIDE 17,892,000 15,912,000 -1,980,000 0.34% -$1.69M
ROCKETMTGE CO-ISSUER INC REGD 144A P/P 3.62500000 16,844,000 14,976,000 -1,868,000 0.34% -$1.72M
MHED 8 08/01/29 144A 16,010,000 14,238,000 -1,772,000 0.34% -$1.74M
ARCHES BUYER INC SR UNSECURED 144A 12/28 6.125 16,553,000 14,719,000 -1,834,000 0.34% -$1.76M
PLAINS ALL AMERN PIPELINE LP TSFR3M+437.161 PERP 15,883,000 14,124,000 -1,759,000 0.33% -$1.82M
TEAM HEALTH HOLDINGS INC 144A 13.500000% 06/30/2028 14,369,511 13,095,825 -1,273,686 0.32% -$1.66M
Cougar JV Subsidiary, LLC 14,420,000 12,824,000 -1,596,000 0.32% -$1.67M
SSW 5.5 08/01/29 144A 16,119,000 14,332,000 -1,787,000 0.32% -$1.89M
CCO Holdings, LLC/CCO Holdings Capital Corp. 18,102,000 16,096,000 -2,006,000 0.32% -$1.61M
MOHEGN 8.25 04/15/30 144A 14,499,000 12,895,000 -1,604,000 0.31% -$1.61M
Clydesdale Acquisition Holdings Inc 19,039,000 13,253,000 -5,786,000 0.31% -$5.75M
CCO Holdings LLC / CCO Holdings Capital Corp 38,391,000 14,201,000 -24,190,000 0.31% -$22.66M
NRG V10.25 PERP 144A 13,525,000 12,026,000 -1,499,000 0.31% -$1.63M
BCULC 3.875 01/15/28 144A 15,055,000 13,387,000 -1,668,000 0.31% -$1.60M
MOLINA HEALTHCARE INC SR UNSECURED 144A 11/30 3.875 21,176,000 14,284,000 -6,892,000 0.31% -$6.37M
SPECTACLE GARY HOLDINGS LLC 2021 TERM LOAN B 13,754,314 13,513,010 -241,304 0.31% -$331.45K
VMED O2 UK FINC. I 4.75% 15,900,000 14,139,000 -1,761,000 0.30% -$1.80M
PRMWCN 6.25% Sr Unsecured Nts due 2029 144A 14,437,000 12,839,000 -1,598,000 0.30% -$1.61M
TransDigm Inc 12,600,000 12,415,000 -185,000 0.30% -$210.56K
POINDEXTER JB INC 8.75% 12/15/2031 144A 12,972,000 12,324,000 -648,000 0.30% -$773.22K
ADTALEM GLOBAL EDUCATION REGD 144A P/P 5.50000000 14,418,000 12,822,000 -1,596,000 0.30% -$1.64M
TransDigm, Inc. 14,034,000 12,480,000 -1,554,000 0.30% -$1.62M
TIHLLC 7 1/8 06/01/31 13,857,000 12,320,000 -1,537,000 0.30% -$1.64M
US FOODS INC SR UNSECURED 144A 02/29 4.75 14,226,000 12,648,000 -1,578,000 0.29% -$1.44M
PERRIGO FIN. UNLIMITE STP 14,588,000 12,965,000 -1,623,000 0.29% -$1.70M
Venture Global LNG, Inc. 13,239,000 11,773,000 -1,466,000 0.29% -$1.71M
VM CONSOLIDATED INC REGD 144A P/P 5.50000000 15,350,000 12,732,000 -2,618,000 0.29% -$2.69M
NRG Energy Inc 13,993,000 12,443,000 -1,550,000 0.29% -$1.57M
Safeway Inc. 14,265,000 12,684,000 -1,581,000 0.29% -$1.58M
RWNYNY 7.25 10/01/29 144A 13,614,000 12,086,000 -1,528,000 0.29% -$1.61M
FMCN 9.375 03/01/29 144A 13,383,000 11,878,000 -1,505,000 0.29% -$1.70M
California Buyer Ltd. / Atlantica Sustainable Infrastructure PLC 13,995,000 12,445,000 -1,550,000 0.29% -$1.73M
VT TOPCO INC SR SECURED 144A 08/30 8.5 18,452,000 12,056,000 -6,396,000 0.29% -$6.85M
CHURCHILL DOWNS INC SR UNSECURED 144A 04/30 5.75 13,800,000 12,274,000 -1,526,000 0.29% -$1.51M
TOPBUILD CORP REGD 144A P/P 4.12500000 14,345,000 12,756,000 -1,589,000 0.28% -$1.38M
WOOF TL B 1L USD 12,864,445 12,096,328 -768,117 0.28% -$610.92K
COMPASS MIN INTL 12,809,000 11,390,000 -1,419,000 0.28% -$1.25M
YUM! BRANDS INC SR UNSECURED 03/31 3.625 14,366,000 12,775,000 -1,591,000 0.28% -$1.42M
POWSOL 6.75 09/15/32 144A 13,100,000 11,647,000 -1,453,000 0.28% -$1.35M
Bellring Intermediate Holdings, Inc. 13,002,000 11,564,000 -1,438,000 0.28% -$1.53M
CSTM 3.75 04/15/29 144A 13,651,000 12,070,000 -1,581,000 0.27% -$1.35M
Aethon United BR LP / Aethon United Finance Corp 12,440,000 11,062,000 -1,378,000 0.27% -$1.27M
NCLH 7.75 02/15/29 144A 12,225,000 10,873,000 -1,352,000 0.27% -$1.46M
COMPASS GRP LLC 13,805,092 12,435,151 -1,369,941 0.27% -$914.90K
INGLES MKTS. INC 4.00% 13,742,000 12,222,000 -1,520,000 0.27% -$1.32M
Flutter Treasury DAC 12,779,000 11,333,000 -1,446,000 0.27% -$1.46M
GLP 8.25 01/15/32 144A 12,206,000 10,856,000 -1,350,000 0.27% -$1.32M
Sensata Technologies, Inc. 13,624,000 12,115,000 -1,509,000 0.27% -$1.30M
NCL Corp. Ltd. 12,440,000 11,062,000 -1,378,000 0.26% -$1.45M
OUTFRONT MEDIA CAP LLC / OUTFRONT MEDIA CAP CORP 7.375% 02/15/2031 144A 12,085,000 10,746,000 -1,339,000 0.26% -$1.45M
OUTFRONT MEDIA CAP LLC/C REGD 144A P/P 4.62500000 13,023,000 11,583,000 -1,440,000 0.26% -$1.27M
CORPBOND 12,913,000 11,484,000 -1,429,000 0.26% -$1.36M
WBI Operations LLC 12,425,000 11,148,000 -1,277,000 0.26% -$1.18M
CARS.COM INC REGD 144A P/P 6.37500000 12,606,000 11,211,000 -1,395,000 0.26% -$1.34M
Watco Cos LLC / Watco Finance Corp 12,025,000 10,692,000 -1,333,000 0.26% -$1.25M
NFICN 9.25 07/01/30 144A 11,665,000 10,372,000 -1,293,000 0.26% -$1.25M
CALDERYS FINANCING II LLC 144A 11.750000% 06/01/2028 11,415,000 10,733,375 -681,625 0.26% -$702.91K
UWM HOLDINGS LLC REGD 144A P/P 6.25000000 12,605,000 11,211,000 -1,394,000 0.26% -$1.44M
NESCO Holdings II, Inc. 12,665,000 11,265,000 -1,400,000 0.26% -$1.28M
CP ATLAS BUYER INC SR SECURED 144A 07/30 9.75 11,961,000 10,634,000 -1,327,000 0.26% -$1.42M
CLARIOS TERM B 1LN 05/06/2030 11,047,274 11,019,447 -27,827 0.26% -$36.47K
ON SEMICONDUCTOR CORP REGD 144A P/P 3.87500000 12,604,000 11,210,000 -1,394,000 0.26% -$1.30M
Sinclair Television Group, Inc. 11,342,000 10,628,000 -714,000 0.26% -$572.35K
VISANT 8.375 12/01/31 144A 11,567,000 10,284,000 -1,283,000 0.26% -$1.36M
SCIENCE APPLICATIONS INT REGD 144A P/P 4.87500000 13,780,000 10,974,000 -2,806,000 0.26% -$2.73M
Block, Inc. 12,039,000 10,705,000 -1,334,000 0.26% -$1.38M
TERRAFORM POWER OPERATIN REGD 144A P/P 5.00000000 12,157,000 10,811,000 -1,346,000 0.25% -$1.28M
Roller Bearing Co. of America, Inc. 12,318,000 10,952,000 -1,366,000 0.25% -$1.29M
MTDR 6.5 04/15/32 144A 11,920,000 10,597,000 -1,323,000 0.25% -$1.24M
EMRLD Borrower LP Term Loan B 10,819,420 10,792,303 -27,116 0.25% -$11.05K
LCM Investments Holdings II, LLC 12,237,000 10,883,000 -1,354,000 0.25% -$1.19M
RYASPE 5.875 08/01/32 144A 11,802,000 10,496,000 -1,306,000 0.25% -$1.33M
Vistra Operations Co. LLC 11,410,000 10,147,000 -1,263,000 0.25% -$1.33M
ALLIED UNVL HOLDCO LLC / ALLIED UNVL FIN CORP 6% 06/01/2029 144A 12,038,000 10,664,000 -1,374,000 0.25% -$1.20M
Cleveland-Cliffs Inc. 11,310,000 10,057,000 -1,253,000 0.24% -$1.21M
CORPBOND 11,249,000 10,002,000 -1,247,000 0.24% -$1.31M
TRK 4.875 11/01/27 144A 12,299,000 10,466,000 -1,833,000 0.24% -$1.73M
Carnival Corp. 11,355,000 10,098,000 -1,257,000 0.24% -$1.30M
ELDORADO GOLD CORP SR UNSECURED 144A 09/29 6.25 11,513,000 10,240,000 -1,273,000 0.24% -$1.25M
STANDRD INDS NY 12,477,000 11,095,000 -1,382,000 0.24% -$1.13M
FAIR ISAAC CORP SR UNSECURED 144A 06/28 4 11,619,000 10,331,000 -1,288,000 0.24% -$1.25M
FORD MOTOR CO 14,181,000 12,613,000 -1,568,000 0.24% -$1.30M
KORN/FERRY INTL 11,383,000 10,123,000 -1,260,000 0.24% -$1.20M
XPLR INFRASTRUCTURE OPERATING PARTNERS LP 144A LIFE SR UNSEC 8.375% 01-15-31 10,745,000 9,557,000 -1,188,000 0.23% -$1.21M
NSIT 6.625 05/15/32 144A 11,010,000 9,791,000 -1,219,000 0.23% -$1.25M
TOUCAN FINCO LTD/TOUCAN FINCO SR SECURED 144A 05/30 9.5 16,460,000 10,337,000 -6,123,000 0.23% -$5.46M
CHTR 4.75 03/01/30 144A 15,026,000 10,225,000 -4,801,000 0.23% -$4.52M
Block, Inc. 10,750,000 9,562,000 -1,188,000 0.23% -$1.18M
Rocket Cos., Inc. 10,680,000 9,498,000 -1,182,000 0.23% -$1.29M
WBI Operations LLC 10,760,000 9,571,000 -1,189,000 0.23% -$1.10M
RIVLEN 6.25 10/15/30 144A 10,700,000 9,516,000 -1,184,000 0.23% -$1.13M
CWK 6.75 05/15/28 144A 10,767,000 9,577,000 -1,190,000 0.22% -$1.22M
Signal Parent, Inc, Term Loan B 14,396,464 12,907,674 -1,488,790 0.22% -$525.28K
CHOBANI LLC/FINANCE CORP SR SECURED 144A 11/28 4.625 10,793,000 9,595,000 -1,198,000 0.22% -$1.20M
STONEPEAK NILE PARENT SR SECURED 144A 03/32 7.25 10,139,000 9,015,000 -1,124,000 0.22% -$1.20M
Mavis Tire Express Services TopCo, L.P., First Lien Term Loan 9,430,444 9,406,750 -23,695 0.22% -$40.33K
CACI International Inc. 9,195,000 9,060,000 -135,000 0.22% -$160.31K
TRANSOCEAN LTD 10,372,000 9,225,000 -1,147,000 0.22% -$1.04M
PR 7 01/15/32 144A 10,063,000 8,947,000 -1,116,000 0.22% -$1.06M
AMNTEC 7.25 08/01/32 144A 8,973,000 8,843,000 -130,000 0.22% -$22.15K
POWBUY 8.5 02/15/31 144A 12,890,000 11,460,000 -1,430,000 0.22% -$1.84M
TMS International Corp/DE 10,634,000 9,457,000 -1,177,000 0.22% -$1.20M
THC 5 1/8 11/01/27 10,354,000 9,209,000 -1,145,000 0.21% -$1.13M
TRANSDIGM INC SUB 4.625% 01-15-29 10,410,000 9,255,000 -1,155,000 0.21% -$1.04M
NRG ENERGY INC REGD 144A P/P 6.00000000 10,135,000 9,012,000 -1,123,000 0.21% -$1.16M
Sunoco LP 10,265,000 9,129,000 -1,136,000 0.21% -$1.11M
HRI 7 06/15/30 144A 9,780,000 8,696,000 -1,084,000 0.21% -$1.11M
CLF 7.5 09/15/31 144A 9,720,000 8,642,000 -1,078,000 0.21% -$1.06M
SCIENCE APPLICATIONS INT REGD 144A P/P 5.87500000 9,170,000 9,035,000 -135,000 0.21% -$40.07K
Calpine Corp. 10,205,000 9,075,000 -1,130,000 0.21% -$1.14M
Univision Communications Inc. 9,467,000 8,419,000 -1,048,000 0.21% -$934.82K
UNSEAM 4.625 06/01/28 144a 10,297,000 9,093,000 -1,204,000 0.21% -$1.10M
SONIC AUTOMOTIVE INC REGD 144A P/P 4.62500000 10,255,000 9,120,000 -1,135,000 0.21% -$1.01M
MADISON IAQ LLC SR UNSECURED 144A 06/29 5.875 9,927,000 8,829,000 -1,098,000 0.21% -$912.58K
POST HOLDINGS INC SR SECURED 144A 02/32 6.25 9,643,000 8,577,000 -1,066,000 0.21% -$1.11M
Specialty Building Products Holdings LLC / SBP Finance Corp 12,015,000 8,814,000 -3,201,000 0.21% -$3.31M
SUNOCO LP REGD 144A P/P 7.25000000 9,250,000 8,228,000 -1,022,000 0.20% -$1.05M
PLATIN 9.375 10/03/31 144A 23,050,000 8,477,000 -14,573,000 0.20% -$15.46M
CMPR 7.375 09/15/32 144A 9,476,000 8,402,000 -1,074,000 0.20% -$1.00M
T/L ENDO FINANCE HOLDINGS INC REGD TERM LOAN 0.00000000 13,715,612 8,600,679 -5,114,934 0.20% -$5.04M
Teva Pharmaceuticals Finance Netherlands B.V. 9,320,000 8,211,000 -1,109,000 0.20% -$1.13M
DISH Network Corp 9,319,000 8,285,000 -1,034,000 0.20% -$1.24M
Park River Holdings Inc 9,348,000 8,311,000 -1,037,000 0.20% -$1.06M
PATRICK INDUSTRIES INC REGD 144A P/P 6.37500000 8,450,000 8,325,000 -125,000 0.20% -$98.07K
ENERGY TRANSFER 11,310,000 10,057,000 -1,253,000 0.20% -$1.10M
SHIFT4 PAYMENTS LLC / SHIFT4 P COMPANY GUAR 144A 08/32 6.75 9,349,000 8,312,000 -1,037,000 0.20% -$1.18M
ARCOSA INC REGD 144A P/P 6.87500000 9,029,000 8,028,000 -1,001,000 0.20% -$1.01M
PEGI 4.5 08/15/28 144A 9,469,000 8,420,000 -1,049,000 0.20% -$876.23K
REWORLD HOLDING CORP REGD 144A P/P 4.87500000 9,576,000 8,517,000 -1,059,000 0.19% -$771.08K
TRUK 6.25 02/01/29 144A 18,360,000 16,569,000 -1,791,000 0.19% -$2.81M
SM ENERGY CO SR UNSECURED 144A 08/32 7 9,120,000 8,110,000 -1,010,000 0.19% -$795.13K
TRANSDIGM INC SR SECURED 144A 03/32 6.625 8,770,000 7,800,000 -970,000 0.19% -$1.01M
Group 1 Automotive, Inc. 9,269,000 8,245,000 -1,024,000 0.19% -$932.18K
WESCO DISTRIBUTION INC REGD 144A P/P 6.37500000 8,690,000 7,727,000 -963,000 0.19% -$1.04M
T/L LIFEPOINT HEALTH INC REGD ZCP TERM LOAN 0.00000000 8,058,422 8,038,124 -20,298 0.19% -$26.97K
NRG ENERGY INC REGD 144A P/P 3.62500000 9,643,000 8,577,000 -1,066,000 0.19% -$990.65K
THC 6 1/8 10/01/28 13,481,000 8,002,000 -5,479,000 0.19% -$5.49M
MOOG INC REGD 144A P/P 4.25000000 9,038,000 8,036,000 -1,002,000 0.19% -$966.91K
STGW 5.625 08/15/29 144A 11,944,000 8,216,000 -3,728,000 0.19% -$3.42M
AmeriTex HoldCo Intermediate LLC 8,442,000 7,509,000 -933,000 0.18% -$935.94K
HRI 7.25 06/15/33 144A 8,385,000 7,457,000 -928,000 0.18% -$951.34K
IQVIA INC REGD 144A P/P 5.00000000 8,959,000 7,885,000 -1,074,000 0.18% -$1.07M
WULF COMPUTE LLC SR SECURED 144A 10/30 7.75 8,485,000 7,547,000 -938,000 0.18% -$941.93K
T/L LUMEN TECHNOLOGIES INC REGD ZCP TERM LOAN 0.00000000 7,896,646 7,876,469 -20,177 0.18% $1.32K
NCL Finance Ltd 8,603,000 7,649,000 -954,000 0.18% -$924.10K
FGP 5.875 04/01/29 144A 12,842,000 8,148,000 -4,694,000 0.18% -$4.37M
CI FINANCIAL CO 11,470,000 11,300,000 -170,000 0.18% -$423.97K
Caesars Entertainment Inc 8,605,000 7,651,000 -954,000 0.18% -$854.94K
Clarivate Science Holdings Corp. 10,214,000 9,083,000 -1,131,000 0.18% -$1.72M
NRG Energy Inc 8,410,000 7,680,000 -730,000 0.18% -$796.42K
NGL Energy Operating LLC / NGL Energy Finance Corp. 8,324,000 7,402,000 -922,000 0.18% -$766.76K
AVNT 6.25 11/01/31 144A 7,642,000 7,532,000 -110,000 0.18% -$59.93K
ASHWOO 4.625 04/01/30 144A 9,168,000 8,154,000 -1,014,000 0.18% -$931.23K
JH North America Holdings Inc. 8,488,000 7,550,000 -938,000 0.18% -$1.01M
KODIAK GAS SERVS. L 6.50% 8,413,000 7,482,000 -931,000 0.18% -$959.43K
Lithia Motors, Inc. 8,644,000 7,686,000 -958,000 0.17% -$845.27K
PATRICK INDUSTRIES INC REGD 144A P/P 4.75000000 7,583,000 7,473,000 -110,000 0.17% -$66.96K
PFGC 6.125 09/15/32 144A 8,085,000 7,191,000 -894,000 0.17% -$916.40K
CHTR 4.25 02/01/31 144A 9,067,000 8,063,000 -1,004,000 0.17% -$826.89K
BOMBARDIER INC SR UNSECURED 144A 07/31 7.25 7,050,000 6,945,000 -105,000 0.17% -$109.89K
PR 6.25 02/01/33 144A 8,030,000 7,142,000 -888,000 0.17% -$816.62K
TMH 8.375% Secured Nts due 2028 144A 8,130,000 7,232,000 -898,000 0.17% -$896.55K
Vistra Operations Co. LLC 8,300,000 7,380,000 -920,000 0.17% -$863.67K
Cloud Software Group, Inc. 8,110,000 7,214,000 -896,000 0.17% -$999.92K
FOCUS FINL. PARTNER 6.75% 13,490,000 6,994,000 -6,496,000 0.17% -$6.75M
SONIC AUTOMOTIVE INC REGD 144A P/P 4.87500000 8,329,000 7,407,000 -922,000 0.17% -$785.46K
Cushman & Wakefield U.S. Borrower, LLC 7,495,000 6,664,000 -831,000 0.17% -$929.13K
HUDBAY MINERALS INC REGD 144A P/P 4.50000000 7,965,000 7,083,000 -882,000 0.17% -$869.51K
MVC Acquisition Corp. 7,890,000 7,015,000 -875,000 0.16% -$829.40K
STX 9.625 12/01/32 144a 7,001,685 6,223,685 -778,000 0.16% -$949.69K
Maya SAS/Paris France 7,770,000 6,812,000 -958,000 0.16% -$970.77K
VMED O2 UK FINC. I 6.75% 8,025,000 7,042,000 -983,000 0.16% -$1.18M
Clarios Global L.P./ Clarios US Finance Co. 7,238,000 6,437,000 -801,000 0.16% -$771.10K
WR Grace Holdings LLC 7.38 03/01/2031 7,410,000 6,587,000 -823,000 0.16% -$699.96K
WESCO DISTRIBUTION INC REGD 144A P/P 6.62500000 7,132,000 6,341,000 -791,000 0.15% -$829.68K
CLEAR CHANNEL OUTDOOR HO REGD 144A P/P 7.75000000 11,602,000 6,603,000 -4,999,000 0.15% -$4.91M
WFRD 6.75 10/15/33 144A 7,150,000 6,358,000 -792,000 0.15% -$723.66K
Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer 6.50 10/01/2031 7,158,000 6,365,000 -793,000 0.15% -$799.16K
ASBURY AUTOMOTIVE GROUP REGD SER WI 4.75000000 7,440,000 6,614,000 -826,000 0.15% -$763.71K
WESCO DISTRIBUTION INC REGD 144A P/P 6.37500000 7,083,000 6,297,000 -786,000 0.15% -$826.57K
Pebblebrook Hotel Trust, Convertible 6,705,000 6,605,000 -100,000 0.15% -$15.18K
WESCO Distribution Inc 7,036,000 6,255,000 -781,000 0.15% -$804.51K
IQVIA INC REGD 144A P/P 6.50000000 6,763,000 6,103,000 -660,000 0.15% -$702.81K
CLF 7.625 01/15/34 144A 6,785,000 6,033,000 -752,000 0.15% -$736.64K
LEEWARD RENEWABL REGD 144A P/P 4.25000000 7,328,000 6,518,000 -810,000 0.15% -$686.72K
XPLR Infrastructure Operating Partners LP 8.63 03/15/2033 6,735,000 5,988,000 -747,000 0.15% -$786.60K
PR 5.875 07/01/29 144A 7,038,000 6,257,000 -781,000 0.15% -$768.17K
NRG ENERGY INC REGD 144A P/P 6.25000000 6,750,000 6,002,000 -748,000 0.14% -$789.99K
P&L DEV. LLC / PLD FI PIK 6,642,587 6,009,492 -633,095 0.14% -$695.76K
Clear Channel Outdoor Holdings, Inc. 5,953,000 5,868,000 -85,000 0.14% -$21.61K
First Quantum Minerals Ltd 6,310,000 5,695,000 -615,000 0.14% -$595.85K
BOMBARDIER INC REGD 144A P/P 7.00000000 5,850,000 5,765,000 -85,000 0.14% -$90.34K
JH North America Holdings Inc. 6,650,000 5,911,000 -739,000 0.14% -$771.25K
Restaurant Brands International Limited Partnership 6,797,000 6,044,000 -753,000 0.14% -$705.37K
Global Partners L.P./ GLP Finance Corp. 6,581,000 5,854,000 -727,000 0.14% -$680.94K
Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer 6,503,000 5,784,000 -719,000 0.14% -$741.31K
Amneal Pharmaceuticals LLC 6,346,000 5,642,000 -704,000 0.14% -$713.44K
BUILDERS FIRSTSOURCE INC REGD 144A P/P 5.00000000 6,706,000 5,962,000 -744,000 0.14% -$700.52K
Maya 6,145,000 5,546,000 -599,000 0.14% -$659.01K
MHED 7 3/8 09/01/31 6,300,000 5,601,000 -699,000 0.14% -$579.39K
UNSEAM 6.875 06/15/30 144A 6,290,000 5,592,000 -698,000 0.14% -$647.41K
KEN GARFF AUTOMOTIVE LLC REGD 144A P/P 4.87500000 6,394,000 5,685,000 -709,000 0.13% -$641.28K
SABLE INTL FIN LTD 7.125% 10/15/2032 144A 6,116,000 5,519,000 -597,000 0.13% -$540.36K
USLBMH 6.25 01/15/29 144A 6,695,000 5,952,000 -743,000 0.13% -$611.34K
PRESTIGE BRANDS INC REGD 144A P/P 3.75000000 6,484,000 5,767,000 -717,000 0.13% -$625.96K
PETSMART LLC/PETSMART FI SR SECURED 144A 09/32 7.5 5,805,000 5,239,000 -566,000 0.13% -$429.12K
WRANGLER HOLDCO CORP REGD 144A P/P 6.62500000 5,780,000 5,141,000 -639,000 0.12% -$692.43K
STANDARD INDUSTR INC/NJ SR UNSECURED 144A 08/32 6.5 5,780,000 5,141,000 -639,000 0.12% -$643.14K
CZR 7 02/15/30 144A 5,770,000 5,132,000 -638,000 0.12% -$638.65K
BOMBARDIER INC SR UNSECURED 144A 11/30 8.75 5,005,000 4,930,000 -75,000 0.12% -$114.68K
CSC HOLDINGS LLC REGD 144A P/P 3.37500000 10,446,000 8,749,000 -1,697,000 0.12% -$1.11M
K HOVNANIAN ENTS. I 8.00% 5,700,000 5,069,000 -631,000 0.12% -$631.48K
CRASHC 8 3/4 02/15/29 6,016,000 5,349,000 -667,000 0.12% -$645.07K
ASHWOO 4.625 08/01/29 144A 6,087,000 5,413,000 -674,000 0.12% -$579.18K
M/I HOMES INC REGD 4.95000000 5,827,000 5,184,000 -643,000 0.12% -$638.15K
CRASHC TL B 1L USD 5,455,062 5,441,252 -13,810 0.12% $20.35K
CSC HOLDINGS LLC REGD 144A P/P 11.75000000 8,299,000 6,909,000 -1,390,000 0.12% -$1.52M
TransDigm, Inc. 5,490,000 4,880,000 -610,000 0.12% -$621.78K
NGL Energy Operating LLC / NGL Energy Finance Corp 5,395,000 4,799,000 -596,000 0.12% -$543.62K
FERRELLGAS LP/FERRELLGAS REGD 144A P/P 9.25000000 5,410,000 4,812,000 -598,000 0.12% -$485.72K
LITHIA MOTORS INC SR UNSECURED 144A 06/29 3.875 5,779,000 5,140,000 -639,000 0.12% -$548.51K
MOLINA HEALTHCARE INC SR UNSECURED 144A 01/33 6.25 5,454,000 4,852,000 -602,000 0.11% -$605.95K
EMRLD Borrower L.P., Incremental Term Loan B 4,895,103 4,882,835 -12,268 0.11% -$1.45K
UNSEAM 7.875 02/15/31 144A 5,200,000 4,623,000 -577,000 0.11% -$551.65K
T/L LUMEN TECHNOLOGIES INC REGD ZCP TERM LOAN 0.00000000 4,792,254 4,780,009 -12,245 0.11% $1.23K
NOVELIS CORP REGD 144A P/P 3.87500000 5,839,000 5,195,000 -644,000 0.11% -$597.01K
ALTICE FING SA 5% 01/15/2028 144A 7,164,000 6,465,000 -699,000 0.11% -$647.15K
BWX TECHS. INC 4.125% 7,395,000 4,747,000 -2,648,000 0.11% -$2.57M
CLH 6 3/8 02/01/31 5,106,000 4,543,000 -563,000 0.11% -$580.85K
CAR 8 3/8 06/15/32 5,045,000 4,488,000 -557,000 0.11% -$552.63K
INTERNATIONAL GAME TECHNOLOGY PLC 5,036,000 4,545,000 -491,000 0.11% -$486.50K
EW Scripps Co. (The), First Lien, Term Loan, B2 5,339,619 4,447,864 -891,755 0.11% -$920.50K
FMCN 7.25 02/15/34 144A 4,730,000 4,269,000 -461,000 0.10% -$427.73K
GLOBAL PARTNERS LP SR UNSEC 6.875% 01-15-29 4,945,000 4,398,000 -547,000 0.10% -$535.00K
PETSMART LLC/PETSMART FI REGD 144A P/P 10.00000000 4,745,000 4,282,000 -463,000 0.10% -$317.61K
HUDBAY MINERALS INC REGD 144A P/P 6.12500000 4,833,000 4,297,000 -536,000 0.10% -$557.51K
AXON ENT. INC 6.125% 4,720,000 4,200,000 -520,000 0.10% -$531.53K
CIENA CORP REGD 144A P/P 4.00000000 9,564,000 4,405,000 -5,159,000 0.10% -$4.95M
Venture Global LNG, Inc. 10,494,000 4,731,000 -5,763,000 0.10% -$5.65M

Top 300 of 345, by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
New Generation Gas Gathering LLC Delayed Draw Term Loan 23,506,757 23,506,757 0 0.54% -$384.05K
GFL ENVIRONM-SUB 425,300 425,300 0 0.43% -$314.72K
Peninsula Gaming LLC 01Jul16 Call 71,579 71,579 0 0.41% -$686.03K
PetSmart Term Loan B 400 2032-08-02 16,331,426 16,331,426 0 0.38% $218.43K
KNTK 5.875 06/15/30 144A 14,097,000 14,097,000 0 0.33% $60.94K
Clarios Global LP 2024 EUR Term Loan B 11,065,000 11,065,000 0 0.31% $404.11K
Ascent CNR Corp. 320,298 320,298 0 0.25% $0
TRUIST INSURANCE TERM 2LN 05/06/2032 10,326,842 10,326,842 0 0.24% -$96.81K
Peninsula Pacific Entertainment Term Loan B 475 2032-08-09 9,877,873 9,877,873 0 0.23% $61.74K
PrimeSource TL B 5,450,000 5,450,000 0 0.13% -$15.31K
MLP 275,000 275,000 0 0.12% $445.50K
ENVIVA LLC 294,626 294,626 0 0.10% -$386.70K
Peninsula Pacific Entertainment LLC Delayed Draw First Lien Term Loan B 2,315,127 2,315,127 0 0.05% $14.47K
Hertz Corp. (The), Escrow 3,679,000 3,679,000 0 0.00% -$588.64K
IFIT HEALTH FITNESS INC 128,520 128,520 0 0.00% $0
EVA 6.5% Sr Unsecured Nts due 2026 144A/Escrow 9,257,000 9,257,000 0 0.00% $0
ACC Claims Holdings LLC 11,599,560 11,599,560 0 0.00% $0
ESC CB NATIONAL CINEME 12,070,000 12,070,000 0 0.00% $0

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