MCCVX
NYLI MacKay Convertible Fund
NEW YORK LIFE INVESTMENTS FUNDS

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
109
Top-10 weight
24.73%
Effective holdings ?
74
Crowding ?
50.0

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NYLI U.S. Government Liquidity Fund 71,436,960 $71.44M 4.36%
2 WESTERN DIGITAL CORPORATION SR UNSEC CV 3.0% 11-15-28 WDC 6,875,000 $45.69M 2.79%
3 Welltower OP, LLC, Convertible WELL 28,150,000 $42.96M 2.62%
4 MIRUM PHARMACEUTICALS INC CONV 4% 05/01/2029 MIRM 12,752,000 $42.26M 2.58%
5 Lumentum Holdings, Inc. 13,970,000 $42.18M 2.57%
6 AEIS 2.5 09/15/28 AEIS 18,209,000 $35.43M 2.16%
7 STX 3.5 06/01/28 STX 7,135,000 $35.42M 2.16%
8 QXO INC PREFERRED STOCK 05/28 5.5 QXOPB 519,808 $32.93M 2.01%
9 TTEK 2.25 08/15/28 TTEK 26,609,000 $30.94M 1.89%
10 LNTH 2.625 12/15/27 LNTH 23,906,000 $27.41M 1.67%
11 MMSI 3 02/01/29 MMSI 23,436,000 $27.14M 1.65%
12 MKS INC SR UNSECURED 06/30 1.25 MKSI 15,811,000 $26.63M 1.62%
13 Boeing Co. (The), Conv. Pfd. 346,200 $25.87M 1.58%
14 PG&E Corporation, Convertible PCG 24,558,000 $25.00M 1.52%
15 Post Holdings, Inc., Convertible POST 22,194,000 $24.42M 1.49%
16 ITGR 1.875% Sr Unsecured Nts due 2030 144A ITGR 25,460,000 $24.37M 1.49%
17 ON Semiconductor Corporation, Convertible 19,255,000 $24.35M 1.48%
18 PLANET LABS PBC CONV 0.5% 10/15/2030 144A PL 9,797,000 $22.37M 1.36%
19 UBER TECHNOLOGIES INC SR UNSECURED 12/28 0.875 UBER 17,288,000 $22.19M 1.35%
20 NCL Corporation Ltd. 20,225,000 $20.29M 1.24%
21 OSI SYSTEMS INC SR UNSECURED 144A 02/31 0.5 OSIS 20,280,000 $20.17M 1.23%
22 APOLLO GLOBAL MANAGEMENT PFD APOPA 289,050 $20.05M 1.22%
23 BMRN 1 1/4 05/15/27 BMRN 19,573,000 $19.00M 1.16%
24 Patrick Industries, Inc., Convertible PATK 9,454,000 $18.38M 1.12%
25 IRHYTHM TECHNOLOGIES INC CONV 1.5% 09/01/2029 14,384,000 $18.37M 1.12%
26 Akamai Technologies, Inc., Convertible 16,800,000 $17.87M 1.09%
27 Shift4 Payments, LLC FOUR 18,090,000 $17.42M 1.06%
28 SNOWFLAKE INC CONV 0% 10/01/2027 SNOW 12,188,000 $16.55M 1.01%
29 DDOG 0 12/01/29 DDOG 16,717,000 $16.50M 1.01%
30 BRIDGEBIO PHARMA INC CONV 2.25% 02/01/2029 BBIO 14,242,000 $16.23M 0.99%
31 Liberty Media Corp.-Liberty Formula One Corp. LINTA 13,561,000 $15.89M 0.97%
32 IMAX CORP SR UNSECURED 144A 11/30 0.75 IMAX 14,719,000 $15.77M 0.96%
33 MICROCHIP TECHNOLOGY INC SER A 7.5% PC 03/15/2028 MCHPP 7 1/2 235,175 $15.72M 0.96%
34 ZTS 0.25 06/15/29 ZTS 15,259,000 $15.68M 0.96%
35 ETSY INC CONV 0.125% 10/01/2026 15,617,000 $15.58M 0.95%
36 Ford Motor Company Zero Coupon, Due 03/15/2026 F 14,455,000 $15.33M 0.93%
37 Bank of America Corp., Series L, Conv. Pfd. BACPL 12,072 $15.04M 0.92%
38 LYV 2.875 01/15/30 LYV 13,975,000 $14.83M 0.90%
39 HPE 7 5/8 HPEPC 240,100 $14.54M 0.89%
40 NVMI 0 09/15/30 NVMI 9,006,000 $14.46M 0.88%
41 BURLINGTON STORES INC SR UNSECURED 12/27 1.25 BURL 9,505,000 $14.43M 0.88%
42 Chefs' Warehouse, Inc. (The), Conv. CHEF 9,332,000 $14.38M 0.88%
43 Wells Fargo & Co., Series L, Conv. Pfd. 11,552 $14.25M 0.87%
44 TYLER TECHNOLOGIES INC SR UNSECURED 03/26 0.25 TYL 14,176,000 $14.13M 0.86%
45 Sirius XM Holdings, Inc. LINTA 13,850,000 $14.09M 0.86%
46 DXCM 0.375 05/15/28 DXCM 15,040,000 $14.05M 0.86%
47 NUTANIX INC SR UNSECURED 12/29 0.5 NTNX 15,180,000 $13.84M 0.84%
48 PSN 2.625 03/01/29 PSN 12,747,000 $13.67M 0.83%
49 JAZZ INVTS I LTD CONV 2% 06/15/2026 JAZZ 12,247,000 $13.58M 0.83%
50 MTH 1.75 05/15/28 MTH 13,302,000 $13.56M 0.83%
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